                                    Cite as 2016 Ark. 253


                 SUPREME COURT OF ARKANSAS
                                        No.   CV-15-480

                                 Opinion Delivered June 9, 2016
CALVIN JOHNSON, IN HIS OFFICIAL
CAPACITY, AND BOARD OF
TRUSTEES OF THE UNIVERSITY OF
ARKANSAS                         APPEAL FROM THE PULASKI
                      APPELLANTS COUNTY CIRCUIT COURT
                                 [CV-2013-263]
V.
                                 HONORABLE TIMOTHY DAVIS
EUGENE BUTLER                    FOX, JUDGE

                                   APPELLEE REVERSED AND DISMISSED.



                             ROBIN F. WYNNE, Associate Justice


        Appellee Eugene Butler filed suit against appellees Calvin Johnson, in his official

 capacity,1 and the Board of Trustees of the University of Arkansas (collectively, the

 University or appellants), alleging violation of the Arkansas Whistle-Blower Act (AWBA),

 Ark. Code Ann. § 21-1-601 et seq., related to his termination from his job as a police officer

 at the University of Arkansas at Pine Bluff (UAPB). The University filed a motion to dismiss

 pursuant to Arkansas Rule of Civil Procedure 12(b)(6), asserting that appellee’s third

 amended complaint failed to state a cause of action that is not barred by sovereign immunity,

 and the circuit court denied the motion. Rule 2(a)(10) of the Arkansas Rules of Appellate

 Procedure–Civil permits an appeal from an interlocutory “order denying a motion to dismiss

 . . . based on the defense of sovereign immunity.” We reverse and dismiss because the



        1
          The complaint does not state what Calvin Johnson’s official capacity is or allege any
 facts specifically against Johnson.
                                   Cite as 2016 Ark. 252

complaint fails to state a factual basis for Butler’s claim under the AWBA and therefore the

appellants are entitled to sovereign immunity.

       In his third amended complaint,2 Butler alleged the following. Butler was hired by

UAPB as a police officer in 2001. He was promoted to detective, and under Chief of Police

Fred Weatherspoon, lead detective. After Chief Weatherspoon was fired, Major Maxcie

Thomas was named interim chief of police. Chief Thomas “verbally attacked” Butler

during two meetings “in attempt to provoke him into insubordination.” Butler goes on to

allege that there were competing “plans” for the department—the chancellor’s and Chief

Thomas’s—and that he (Butler) was appointed to the position of major while Chief Thomas

was not working due to health problems. Further,

       18. Several employees were lost during this time and the Department was short of
       staff. The Officers wanted to meet with Chief Thomas and Plaintiff sent him a memo
       in regards to that. During the meeting, Chief Thomas immediately started verbally
       attacking Plaintiff in front of the Officers. He accused Plaintiff of being responsible
       for the shortage; but everyone looked at him in disbelief. Thomas was acting this
       way because of Plaintiff’s reports to Chancellor Davis, who was an appropriate
       authority under the [AWBA].
       19. Another one of Plaintiff[’]s duties was being in charge of security of the Harrold
       Complex Dormitory. The Chancellor gave Rita Ticey the position of Administrator
       and she was also the Chancellor’s assistant. Ticey dealt with everything dealing with
       2
         Butler first filed a complaint in the Jefferson County Circuit Court in August 2012.
That court transferred the case to the Pulaski County Circuit Court pursuant to Arkansas
Code Annotated section 16-106-101(d). Pertinent to this appeal, the circuit court on June
10, 2013, granted the University’s motion to dismiss under Rule 12(b)(6) on the basis that
the facts alleged in the complaint did not meet the elements for a violation of the AWBA;
the order stated that the motion to dismiss based on sovereign immunity was denied. Butler
filed an amended complaint, the University filed a second motion to dismiss, and Butler
responded that he “had no further facts that he can allege other than what is in the
complaint.” He stated that the amendment to the complaint “merely correct[ed]
typographical errors and clarifie[d] the nature of the audit.” In March 2015, appellants filed
a motion for judgment on the pleadings, expressly seeking a specific ruling regarding
appellants’ sovereign immunity. Butler filed a response and a third amended complaint.
Appellants filed a motion to dismiss the third amended complaint, as detailed above.

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money. She was also the person that checked all the paper work dealing with time
sheets and payroll. Ticey purchased and paid all the bills for the Harrold complex.
Due to the fact that Plaintiff was not always around, Ticey would sign his name to
time sheets.
20. Sometime later an audit was done of the Harrold Complex in order to determine
of [sic] public funds had been wasted or stolen. The auditors asked Plaintiff questions
in regards to his signature. They questioned Plaintiff about two of his signatures being
on numerous time sheets; Rita Ticey and a worker in the Chancellor’s Office signed
Plaintiff[’]s name. They asked Plaintiff if he gave them permission to sign his name.
Plaintiff told them yes. They asked Plaintiff if he signed the signature card for them
to sign his name and he said no. They showed Plaintiff some documents and he
pointed out his actual signature. They talked to Plaintiff for approximately ten
minutes. A few days later the things Plaintiff told them had been changed. They told
the Chancellor that Plaintiff did not authorize Ticey to sign his name which was a
lie. She had talked to Plaintiff and told him that she was going to sign his name
because he was out of place. This was normal for others to sign your name. It was
apparent that the auditors were not seeking the truth from Plaintiff. They also wanted
to know if Plaintiff was related to Ticey and they were told no. Plaintiff therefore
participated in an investigation of waste or violation of the employee code of
conduct.
21. During the latter part of December 2011 or the first part of January 2012, Plaintiff
was tricked to the University Counsel’s Office by Chief Maxcie Thomas. He told
Plaintiff that he needed to meet with him in regards to some cases Plaintiff worked.
Plaintiff took the files with him and when he got there, Chief Thomas was there
also. The University counsel, Jeff Bell, another Attorney and Maxcie Thomas were
in the conference room. At all times relevant, Jeff Bell was acting within the scope
of his employment as a lawyer for the Defendant. After the interview began, they
asked Plaintiff a few questions and then the female attorney left. Goswick then
entered the room. Attorney Bell and Goswick immediately started questioning
Plaintiff in regards to the audit. The audit was an investigation, hearing, court
proceeding, legislative or other inquiry, or in any form of administrative review to
determine waste or theft of public money.
22. The information Plaintiff told them was true. Jeff Bell constantly told Plaintiff
that he was lying. Plaintiff kept telling them what he was saying was the truth. They
told Plaintiff that the Chancellor was making a fool out of him. They told Plaintiff if
he told them what they need to know that he would protect him. There was nothing
to tell and he became agitated. At one point he asked Chief Thomas if Plaintiff did
any work for him. Chief Thomas lied and told him that Plaintiff only did work and
ran errands for the Chancellor and Ticey.
23. If any money was mismanaged Plaintiff had nothing to do with it. Maxcie
Thomas has lied on Plaintiff on numerous occasions. He had made it a point to do
everything he could to get Plaintiff fired. Plaintiff had verbally complained on him
and filed a grievance on him. This was protected activity as well. Thomas has belittled


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       Plaintiff In front of Dr. Herts, the grievance Officer for the University. This was a
       violation of the Defendant’s code of conduct.
       24. Shortly after the meeting with Bell and Thomas ended, Bell told Plaintiff he
       would be terminated because of his participation in the investigation and his
       communication with the auditors. As Bell promised, on February the 24, 2012
       Plaintiff was terminated.

Butler claims that he left personal items, including a printer and refrigerator, at his office

and that Chief Thomas has refused to release his property. Butler goes on to state that,

pursuant to the AWBA, he was a public employee working for a public employer when he

“reported waste or a violation of UAPB’s code of ethics or responsibilities, and was

terminated in retaliation for his report and participation in a protected activity.” Finally, he

states that he “participated in [an] investigation, hearing, court proceeding, legislative or

other inquiry, or in any form of administrative review and was terminated because he refused

to lie.” Butler alleges that as a direct and proximate cause of UAPB’s3 adverse action, he

has suffered wage loss and seeks all remedies available to him under the AWBA, including

reinstatement, fringe benefits, and retirement credits. Appellants filed a motion to dismiss

the third amended complaint as being barred by the doctrine of sovereign immunity on the

grounds that (1) it is an action against the State of Arkansas, and article 5, § 20 of the Arkansas

Constitution expressly prohibits the General Assembly from waiving the State’s sovereign

immunity from suit in her own courts; and (2) it fails to state a claim that would permit suit

against a state official. The circuit court denied the motion without explanation, and this

timely appeal followed.




       3
           The third amended complaint erroneously refers to UAMS in two places.

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       Before reaching the merits, we address the concerns raised by the dissenting justices

that this court lacks jurisdiction to hear this interlocutory appeal because the trial court failed

to specifically rule on sovereign immunity. Those concerns are misplaced because the sole

issue in the motion to dismiss was sovereign immunity, and the trial court’s order operates

as a ruling on that issue. This case is thus distinguishable from Arkansas Lottery Commission

v. Alpha Marketing, 2012 Ark. 23, 386 S.W.3d 400, in which the Arkansas Lottery

Commission moved for dismissal on multiple grounds, only one of which was based on the

defense of sovereign immunity, and the trial court entered a detailed order but did not

specifically rule on sovereign immunity. Under those circumstances, this court held that

we did not acquire jurisdiction and dismissed the appeal without prejudice, so that the

Commission could return to circuit court to obtain a ruling for this court to review. Here,

we have a ruling on the issue of sovereign immunity and it is appropriate to address the

merits of the appeal. See also Ark. Dep’t of Human Servs. v. Fort Smith Sch. Dist., 2015 Ark.

81, 455 S.W.3d 294.

       In reviewing a circuit court’s decision on a motion to dismiss, we treat the facts

alleged in the complaint as true and view them in the light most favorable to the party who

filed the complaint. Ark. State Claims Comm’n v. Duit Constr. Co., 2014 Ark. 432, 445

S.W.3d 496. In testing the sufficiency of the complaint on a motion to dismiss, all reasonable

inferences must be resolved in favor of the complaint, and the pleadings are to be liberally

construed. Id. However, our rules require fact pleading, and a complaint must state facts,

not mere conclusions, in order to entitle the pleader to relief. Id.




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       On appeal, appellants argue that the circuit court erred in denying the motion to

dismiss Butler’s AWBA law suit because it is barred by sovereign immunity. For their first

subpoint, appellants contend that the General Assembly has no legal authority to waive the

State’s sovereign immunity set out in article 5, § 20 of the Arkansas Constitution. They

cite cases such as Arkansas State Highway Commission v. Nelson Brothers, 191 Ark. 629, 87

S.W.2d 394 (1935) (“It is our settled conviction that the state cannot give its consent to the

maintenance of an action against it”; overruling Arkansas State Highway Comm’n v. Dodge,

186 Ark. 640, 55 S.W.2d 71 (1932)), and Fairbanks v. Sheffield, 226 Ark. 703, 706, 292

S.W.2d 82, 84 (1956) (Article 5, § 20 is mandatory and cannot be waived by the General

Assembly.).    Appellants contend that more recent cases recognizing an exception to

sovereign immunity when it has been waived by the General Assembly are contrary to the

express dictates of article 5, § 20. E.g., Ark. Dep’t of Fin. & Admin. v. Staton, 325 Ark. 341,

942 S.W.2d 804 (1996); Ark. Dep’t of Fin. & Admin. v. Tedder, 326 Ark. 495, 932 S.W.2d

755 (1996); Short v. Westark Cmty. Coll., 347 Ark. 497, 504, 65 S.W.3d 440, 445 (2002);

Arkansas Dep’t of Cmty. Correction v. City of Pine Bluff, 2013 Ark. 36, 425 S.W.3d 731. As

set out below, our disposition of this case makes it unnecessary to reach this argument.

       Next, appellants argue that Butler’s complaint does not state a factual basis for any

equitable exception to sovereign immunity. One exception to the doctrine of sovereign

immunity is that equity has jurisdiction to enjoin or restrain State officials or agencies from

acts which are ultra vires, in bad faith, or arbitrary and capricious. See Arkansas Tech Univ. v.

Link, 341 Ark. 495, 503, 17 S.W.3d 809, 814 (2000). No such allegations are contained in

the third amended complaint, and Butler’s response admits as much by focusing solely on


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the AWBA. Appellants further argue that even if it were possible for the AWBA to waive

the State’s sovereign immunity, Butler fails to state a claim under its provisions. We agree.

The AWBA prohibits retaliation as follows:

       (a)(1) A public employer shall not take adverse action against a public employee
       because the public employee or a person authorized to act on behalf of the public
       employee communicates in good faith to an appropriate authority:
       (A) The existence of waste of public funds, property, or manpower, including federal
       funds, property, or manpower administered or controlled by a public employer; or
       (B) A violation or suspected violation of a law, rule, or regulation adopted under the
       law of this state or a political subdivision of the state.
       (2) The communication shall be made at a time and in a manner which gives the
       public employer reasonable notice of need to correct the waste or violation.
       (b)(1) For purposes of subsection (a) of this section, a public employee communicates
       in good faith if there is a reasonable basis in fact for the communication of the
       existence of waste or of a violation.
       (2) Good faith is lacking when the public employee does not have personal
       knowledge of a factual basis for the communication or when the public employee
       knew or reasonably should have known that the communication of the waste or of
       the violation was malicious, false, or frivolous.
       (c) A public employer shall not take an adverse action against a public employee
       because the employee participates or gives information in an investigation, hearing,
       court proceeding, legislative or other inquiry, or in any form of administrative
       review.
       (d) A public employer shall not take an adverse action against a public employee
       because an employee has objected to or refused to carry out a directive that the
       employee reasonably believes violates a law or a rule or regulation adopted under the
       authority of laws of the state or a political subdivision of the state.
       (e) A public employer shall not take an adverse action against a public employee
       because of a report of a loss of public funds under § 25-1-124.

Ark. Code Ann. § 21-1-603 (Repl. 2004).

       We turn now to the issue before us in this interlocutory appeal: sovereign immunity.

Sovereign immunity for the State of Arkansas arises from express constitutional declaration.

Grine v. Bd. of Tr., 338 Ark. 791, 796, 2 S.W.3d 54, 58 (1999). Article 5, section 20 of the

Arkansas Constitution provides that “[t]he State of Arkansas shall never be made defendant




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in any of her courts.”4 Sovereign immunity is jurisdictional immunity from suit, and

jurisdiction must be determined entirely from the pleadings. Ark. Tech Univ. v. Link, 341

Ark. 495, 501, 17 S.W.3d 809, 812 (2000). In Smith v. Daniel, 2014 Ark. 519, 452 S.W.3d

575, this court held that when the legislature authorized a cause of action against a “public

employer” in the AWBA, it expressly waived sovereign immunity. Here, the only basis

alleged for surmounting the State’s sovereign immunity was that “[t]he state of Arkansas has

waived its sovereign immunity for actions arising under the [AWBA].” For purposes of a

motion to dismiss, we treat only the facts alleged in a complaint as true but not a party’s

theories, speculation, or statutory interpretation. Ark. State Claims Comm’n v. Duit Constr.

Co., 2014 Ark. 432, at 8, 445 S.W.3d 496, 503.

       Here, Butler’s complaint does not identify any conduct attributable to either Johnson

or the Board that violates the AWBA. While he makes the conclusory statement that he

was terminated for reporting waste or a violation of UAPB’s code of ethics, it is unclear

what, if anything, he actually reported. Furthermore, it is unclear what he refused to lie

about or that he was terminated because he refused to lie. Viewing the third amended

complaint in the light most favorable to Butler, he has failed to state facts that would entitle

him to relief under the AWBA and that would constitute a waiver of sovereign immunity

under that statute.




       4
          This court has stated that a suit against a state official in his or her official capacity
is not a suit against that person; rather it is a suit against that official’s office. Ark. Tech Univ.,
341 Ark. at 502, 17 S.W.3d at 813. Also, a suit against the board of trustees of a state
university is a suit against the State. Id.


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       In his response brief, Butler cites Crawford County v. Jones, 365 Ark. 585, 232 S.W.3d

433 (2006). In Jones, this court reversed the grant of a directed verdict on the plaintiff’s

AWBA claim; the issue for this court to resolve was whether Jones’s actions of reporting

alleged misdeeds to quorum court members constituted reporting to the “appropriate

authorities.” This court answered that question in the affirmative and held that the evidence

in that case created a fact question for the jury. That case is readily distinguishable in that,

at the directed-verdict stage, there had been evidence presented that created a fact question

under the AWBA.

       We hold that the circuit court erred in denying appellants’ motion to dismiss under

Rule 12(b)(6) because Butler has failed to state a claim under the AWBA; therefore, no

exception to sovereign immunity exists and this suit is barred by the doctrine of sovereign

immunity as set forth in Article 5, section 20, of the Arkansas Constitution. Because Butler

has failed to state a claim sufficient to establish an exception to sovereign immunity under

the AWBA, we need not reach the issue of whether the General Assembly can waive the

State’s sovereign immunity.

       Reversed and dismissed.

       Special Justice R. MARGARET DOBSON concurs.

       DANIELSON and HART, JJ., and Special Justice ROBERT L. JONES III dissent.

       BRILL, C.J., and GOODSON, J., not participating.

       R. MARGARET DOBSON, Special Justice, concurring. Although I concur with

the majority regarding the disposition of the case, I respectfully disagree with the reasoning.




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       The majority has held the complaint fails to state a factual basis for a claim under the

AWBA and thus the court need not address whether the General Assembly has the legal

authority to waive the State’s sovereign immunity.

       In paragraph 20 of his third amended complaint, Appellee Eugene Butler alleged that

“an audit was done of the Harold Complex in order to determine of [sic] public funds had

been wasted or stolen.” He was questioned regarding his signature on time cards. In

paragraph 21, he alleges that he was later questioned in regard to the audit, and in paragraph

24, he states he was told he would be terminated because of his participation in the

investigation and his communication with the auditors.

       The AWBA in Ark. Code Ann. § 21-1-6-3(c) (Repl. 2004) states, “A public

employer shall not take an adverse action against a public employee because the employee

participates or gives information in an investigation, hearing, court proceeding, legislative

or other inquiry, or in any form of administrative review.”

       An audit which was done in order to determine if public funds had been wasted or

stolen is an inquiry which is covered by the AWBA. Appellee Butler alleges he reported

information in an audit and was then told he would be terminated because of his

participation in the investigation and his communication with the auditors.

       I believe Appellee Butler has stated a claim under the AWBA, and we must address

the General Assembly’s legal authority to waive sovereign immunity.

       Three of my colleagues, through their dissents, have stated that the trial court’s ruling

did not specifically address sovereign immunity and thus this court does not have jurisdiction

to address the matter in an interlocutory appeal. The State’s motion to dismiss plaintiff’s


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third amended complaint points out that the prior orders of the Court had not addressed

sovereign immunity. The State’s motion then sets forth: “Out of an abundance of caution,

to more clearly reflect the Court’s ruling on the issue of sovereign immunity and address

the issue of legislative waiver, the University filed its motion for judgment on the pleadings

regarding the issue of sovereign immunity.” The defense of sovereign immunity is the sole

issue under the State’s motion to dismiss plaintiff’s third amended complaint.            Thus,

although the trial court’s order did not use the words “sovereign immunity,” the denial of

the State’s motion can be nothing other than a ruling on the issue of sovereign immunity.

       I would reverse the trial court on the issue of sovereign immunity. Article 5, § 20

of the Arkansas Constitution states, “The State of Arkansas shall never be made a defendant

in any of her courts.” In Arkansas Department of Human Services. v. Fort Smith School District,

2015 Ark. 81, at 6-7, 455 S.W.3d 294, 299, we stated:

This court has recognized three ways in which a claim of sovereign immunity may be

waived: (1) where the State is the moving party seeking specific relief; (2) where an act of

the legislature has created a specific waiver of sovereign immunity; and (3) where the state

agency is acting illegally or if a state-agency officer refuses to do a purely ministerial action

required by statute.

       The first listed “exception” is not, in actuality, an exception, but is a distinction.

Where the State brings a lawsuit, it is clearly not being made “a defendant in any of her

courts.” Appellee Butler’s claims do not fit into this “exception” to sovereign immunity.

       Likewise, the third listed “exception” is not, in actuality, an exception, but is a

distinction. It still does not allow the State to be made a defendant in her own court.


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Rather, “[w]e have recognized that officers of state agencies may be enjoined from acts that

are ultra vires, in bad faith or arbitrary.” Cammack v. Chalmers, 284 Ark. 161, 163, 680

S.W.2d 689, 690 (1984). Where the underlying reason for an action is “to compel the

States to redress a past injury, [it] unquestionably constitutes[s] a suit against the State.”

Bryant v. Ark. State Hwy. Com., 233 Ark. 41, 44, 342 S.W.2d 415, 417 (1961). Appellee

Butler’s third amended complaint does not identify any conduct attributable to either

Johnson or the Board that violates the AWBA. He seeks redress for a wrong. He seeks

monetary damages. This is a suit against the State and is barred by sovereign immunity.

       The second listed “exception” is the one that is troublesome. If this “exception” is

allowed, it will truly create an “exception” to the Constitutional prohibition against making

the State a defendant in her own courts.

       The question of whether the legislature can waive the State’s sovereign immunity

was directly considered by this Court in 1935 in Arkansas State Highway Commission v. Nelson

Brothers, 191 Ark. 629, 87 S.W.2d 394 (1935). The Nelson Brothers court, after in-depth

consideration of the issue, held, “It is our settled conviction that the State cannot give its

consent to the maintenance of an action against it and the court below was without

jurisdiction.” Id. at 636, 87 S.W.2d at 397.

       Consistent with Nelson Brothers, in 1956, this court held a legislative act to be an

“unconstitutional attempt on the part of the legislature to consent to a suit against the State”

in Fairbanks v. Sheffield, 226 Ark. 703, 706, 292 S.W.2d 82, 84 (1956). In 1961, the court

noted that a suit against the Highway Commission was a suit against the State and stated,

“[I]t has been settled that the Highway Commission cannot be sued, and this immunity cannot


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be waived even by the legislature.” Bryant v. Ark. State Hwy. Comm’n., 233 Ark. 41, 43, 342

S.W.2d 415, 416 (1961) (emphasis added).

       In Fireman’s Insurance Company v. Arkansas State Claims Commission, 301 Ark. 451,

455, 784 S.W.2d 771, 773 (1990), this court noted “the completeness of the intent of such

immunity” and stated, “As early as Pitcock v. State, 91 Ark. 527, 121 S.W. 742 (1913), this

court held that the constitutional prohibition was not merely declaratory that the state could

not be sued without her consent, but that all suits against the state were expressly forbidden.”

       Then, without examination of the issue of whether the legislature can consent and

waive sovereign immunity, two opinions were issued by this court in 1996, Arkansas

Department of Finance and Administration v. Tedder, 326 Ark. 495 (1996), and Arkansas

Department of Finance and Administration v. Staton, 325 Ark. 341 (1996), which indicated an

act of the legislature could waive immunity. In an addendum to the dissent in Staton, it is

noted: “The essence of DFA’s sovereign immunity argument is that sovereign immunity

prohibits suits against the State except when permission to sue has been granted.” Staton,

325 Ark. at 351, 942 S.W.2d at 809. It appears that the State’s attorney in this case did not

raise the question of whether the legislature could waive sovereign immunity. The Staton

and Tedder courts certainly did not analyze the issues or even acknowledge the prior rulings

on this issue.

       Following the issuance of Staton and Tedder, our opinions began citing to these cases,

and then to cite to the cases that followed them, for the premise that an act of the legislature

can waive sovereign immunity. E.g., State of Office of Child Support Enforcement v. Mitchell,

330 Ark. 338, 954 S.W.2d 907 (1997) (holding OCSE did not waive immunity by bringing


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a paternity action); Simmons v. Marshall, 369 Ark. 447, 255 S.W.3d 838 (2007) (holding the

Civil Rights Act did not waive immunity); and Arkansas Dep’t of Cmty. Correction v. City of

Pine Bluff, 2013 Ark. 36, 425 S.W.3d 731 (holding the state statute did not expressly waive

immunity). None of these have examined the holding in Nelson Brothers or analyzed the

question of whether the constitution prohibits the legislature from waiving sovereign

immunity.

       It is axiomatic to say that the legislature cannot issue an act to override the

constitution. I am persuaded by the analysis in Nelson Brothers. Thus, to the extent these

later opinions hold otherwise, they are adverse to the holdings in our previous cases and to

the Arkansas Constitution. I would hold that the General Assembly’s attempt to waive

sovereign immunity through the AWBA is unconstitutional.

       For this reason, I join the majority in reversing the trial court.

       PAUL E. DANIELSON, Justice, dissenting. I respectfully dissent. This court lacks

jurisdiction to hear this appeal because there was no specific ruling on the issue of sovereign

immunity. Arkansas Rule of Appellate Procedure–Civil 2(a)(10) (2015) permits an appeal

from an interlocutory order denying a motion to dismiss based on the defense of sovereign

immunity. See Ark. Lottery Comm’n v. Alpha Mktg., 2012 Ark. 23, 386 S.W.3d 400.

However, before an interlocutory appeal may be pursued from the denial of a motion to

dismiss on the ground of sovereign immunity, we must have in place an order denying the

motion to dismiss on that basis. Id.

       Here, the University filed a motion to dismiss the third amended complaint asserting

that the claims against the University should be dismissed pursuant to Arkansas Rule of Civil


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Procedure 12(b)(6) because Butler failed to state a cause of action not barred by sovereign

immunity. The motion also states that Butler’s complaint is barred by article 5, § 20 of the

Arkansas Constitution because (1) it is an action against the State of Arkansas, and article 5,

section 20 of the Arkansas Constitution expressly prohibits the General Assembly from

waiving the State’s sovereign immunity from suit in her own courts; and (2) it fails to state

a claim that would permit suit against a state official.

       The circuit court denied the motion to dismiss, stating in its order only that

[o]n the 4th day of May, 2015, the Defendants’ Amended Motion for Judgment on the Pleadings
filed March 19, 2015, and the Defendants’ Motion to Dismiss Plaintiff’s Third Amended
Complaint filed March 25, 2015, came on for consideration. The court finds that the
Defendants’ Amended Motion for Judgment on the Pleadings and the Defendants’ Motion to Dismiss
Plaintiff’s Third Amended Complaint should be and hereby are denied.

The majority correctly points out that “[t]he circuit court denied the motion [to dismiss]

without explanation.” Despite this acknowledgment, the majority reverses and dismisses

the case based on its conclusion that “the circuit court erred in denying appellants’ motion

to dismiss under Rule 12(b)(6) because Butler has failed to state a claim under the AWBA;

therefore, no exception to sovereign immunity exists.”

       The majority states that “the sole issue in the motion to dismiss was sovereign

immunity, and the trial court’s order operates as a ruling on that issue.” I disagree. The

motion to dismiss included two assertions—that Butler’s complaint failed to state a cause of

action pursuant to Rule 12(b)(6) and that the action was barred by sovereign immunity.

These are two entirely separate issues. Contrary to the majority’s contention, a ruling on

the 12(b)(6) issue does not constitute a ruling on the issue of sovereign immunity. Without

a ruling specifically on the issue of sovereign immunity, this court lacks jurisdiction to hear

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this appeal. The majority presumes that the circuit court denied the motion to dismiss this

case on the basis of sovereign immunity. This court has been clear that it will not presume

a ruling from the circuit court’s silence, as we have held that we will not review a matter

on which the circuit court has not ruled, “and a ruling should not be presumed.” Alpha Mktg.,

2012 Ark. 23, at 7, 386 S.W.3d at 404 (emphasis in original).

       The circuit court did not explain its denial of the motion to dismiss in its order.

Without such explanation, this court is unable to determine the basis on which the circuit

court denied the motion to dismiss. As such, this court lacks jurisdiction to hear the instant

appeal. Accordingly, I would dismiss this appeal without prejudice.

       Special Justice ROBERT L. JONES III joins in this dissent.

       JOSEPHINE LINKER HART, Justice, dissenting. In Arkansas Lottery Commission

v. Alpha Marketing, 2012 Ark. 23, 386 S.W.3d 400, this court held that absent an express

ruling on sovereign immunity, we did not acquire jurisdiction to hear an interlocutory

appeal pursuant to Rule 2(a)(10) of the Arkansas Rules of Appellate Procedure—Civil.

Rule 2(a)(10) permits an appeal from an interlocutory “order denying a motion to dismiss

or for summary judgment based on the defense of sovereign immunity or the immunity of

a government official.”

       On May 4, 2015, the circuit court entered an order dismissing the Defendants’

Amended Motion for Judgment on the Pleadings, which specifically requested a ruling on

sovereign immunity and legislative waiver, and the Defendants’ Motion to Dismiss Plaintiff’s

Third Amended Complaint, which asserted that Mr. Butler’s complaint should be dismissed




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pursuant to Arkansas Rule of Civil Procedure 12(b)(6) and because his cause of action was

barred by sovereign immunity. However, the order only stated,

               On this 4th day of May, 2015, the Defendants’ Amended Motion for Judgment on
       the Pleadings filed on March 19, 2015, and the Defendants’ Motion to Dismiss Plaintiff’s
       Third Amended Complaint filed on March 25, 2015, came on for consideration. The
       court finds that the Defendants’ Amended Motion for Judgment on the Pleadings and the
       Defendants’ Motion to Dismiss Plaintiff’s Third Amended Complaint should be and hereby
       are denied.

The circuit court order did not address the adequacy of the pleading to state a cause of

action under the Arkansas Whistleblower’s Act as required by Rule 12(b)(6), sovereign

immunity, or the issue of legislative waiver. Accordingly, we do not have before us an

express ruling denying dismissal of Mr. Butler’s complaint on the basis of sovereign

immunity.

       In Chamberlin v. State Farm Mutual Auto Insurance Company, 343 Ark. 392, 36 S.W.3d

281 (2001), this court described the dictates of stare decisis.

       Under the doctrine of stare decisis, we are bound to follow prior case law. The policy
       of stare decisis is designed to lend predictability and stability to the law. It is well-
       settled that “[p]recedent governs until it gives a result so patently wrong, so manifestly
       unjust, that a break becomes unavoidable.” Our test is whether adherence to the
       rule would result in “great injury or injustice.”

(Internal citations omitted.) The doctrine of stare decisis requires that we remand this case

to the circuit court to make an express ruling on sovereign immunity. Therefore, our

options are clear: remand this case for an express ruling on sovereign immunity or overrule

Alpha Marketing. Ignoring Alpha Marketing is not an option.

       In my view, the most prudent course would be to overrule Alpha Marketing and

move on to the merits of this case. Otherwise, stare decisis requires that this appeal be




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dismissed because the order appealed from does not give us jurisdiction to hear this case.

Alpha Mktg., supra; Ark. R. App. P.–Civ, 2(a)(10).

      Fred Harrison and Matthew McCoy Associate General Counsel, for appellant.

      Sutter & Gillham, P.L.L.C., by: Luther Oneal Sutter, for appellee.




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