Full opinion text
OPINION OF THE COURT GREENBERG, Circuit Judge. Table of Contents I. Background. . 335 A. The Underlying Facts. CO CO C7I B. The Development of this Litigation CO CO —3 II. Procedural Challenge. 329 III.Section 1983 Claims. CO A. Prosecutorial Immunity. CO ^ 1. Subornation of Perjury. CO Tí 2. Disclosure of Secret Grand Jury Information LO ^ B. Statute of Limitations. C"-Tí 1. Malicious Prosecution. 00 2. False Arrest and Abuse of Process. O 3. Conspiracy claims. 04 W C. Probable Cause. Cm W IV. RICO Claims. 355 A. Section 1962(a). 356 B. Section 1962(c). 358 1. Person/Enterprise Identity. 358 2. Racketeering Activity. 359 3. Pattern of Racketeering Activity. 363 C. Section 1962(d). 365 V. Instructions on Remand. 367 This appeal consolidates the claims of four separate appellants whose complaints are grounded in the same alleged misconduct of the defendants. The plaintiff-appellants were employed in the office of the sheriff of Montgomery County, Pennsylvania. Frederick Hill was the elected sheriff, Joseph Rose the chief deputy sheriff, Walter Kolimaga a lieutenant, and Trudy W. Reed the office manager. Rose, Kolimaga, and Reed were discharged and Hill was defeated in his reelection bid after a grand jury presentment against Michael Rebar, a captain in the sheriff’s office, named them in connection with Rebar’s alleged criminal activity. Thereafter, additional presentments recommended criminal charges against each of the plaintiffs. The defendants are individuals who at the times material to this action held public and party offices in Montgomery County, in the Republican Party organization and in the county itself. Paul Bartle was the Chairman of the Montgomery County Commission, the county governing body, Robert Asher was the Chairman of the Republican Party, Joseph A. Smyth, Jr. was the district attorney, Bert Goodman was an assistant district attorney, and Oscar Vance was the chief of Montgomery County detectives. Bartle along with Rita C. Banning and James R. DeMaioribus constituted the Salary Board of Montgomery County. These individuals and the Republican Party of Montgomery County, the salary board, the commissioners of the county, and the county, were named as defendants by one or more of the plaintiffs. The plaintiffs allege that the presentments were politically motivated and illegally obtained to force their resignations or provide pretexts for their dismissal and that the defendants engaged in a conspiracy to violate their civil rights. Consequently, plaintiffs filed complaints asserting claims under either or both 42 U.S.C. § 1983 and 18 U.S.C. §§ 1961-68 (RICO), in addition to pendent state law claims. The plaintiffs’ complaints were dismissed by Judge Giles of the United States District Court for the Eastern District of Pennsylvania in four separate summary judgment orders. On appeal, the plaintiffs contend that the district court failed to follow the proper procedures for granting summary judgment. In addition, they argue that their complaints adequately alleged section 1983 and RICO claims and that the defendants failed to demonstrate that there was no genuine dispute as to any material issue of fact and thus were not entitled to summary judgment. We have appellate jurisdiction under 28 U.S.C. § 1291. The district court had jurisdiction over the section 1983 claims, the RICO claims and the pendent state law claims under 28 U.S.C. § 1343, 18 U.S.C. § 1964(c), and 28 U.S.C. § 1331. In his memorandum opinions Judge Giles stated that he notified the parties that the then pending “motions to dismiss [filed by defendants] would be considered as motions for summary judgment.” Rose v. Bartle, 692 F.Supp. 521, 524 (E.D.Pa.1988); Reed v. Bartle, No. 87-6495, slip op. at 3 (E.D.Pa. July 22, 1988) [1988 WL 78030]; Hill v. Bartle, Nos. 86-6963, 87-3927, slip op. at 3 (E.D.Pa. July 22, 1988) [1988 WL 78067]; Kolimaga v. Bartle, No. 87-0804, slip op. at 2 (E.D.Pa. July 22, 1988) [1988 WL 77864]. We conclude, however, that the notice was ambiguous and that, consequently, the plaintiffs were denied adequate opportunity to oppose the motions. We must, therefore, reverse the summary judgments unless there was no set of facts on which the plaintiffs could have prevailed. Under this standard we find that some of the plaintiffs’ counts were properly dismissed while others were not. Accordingly, we will affirm in part, reverse in part, vacate in part and remand for further proceedings. I. BACKGROUND A. The Underlying Facts An election at which Hill, the incumbent sheriff was expected to run for reelection, was scheduled for November 8, 1983, in Montgomery County. Prior thereto on July 11, 1983, Smyth, Goodman, and Vance instituted grand jury proceedings to investigate allegations of misconduct in the sheriff’s office. The grand jury issued an interim presentment in August 1983, recommending charges against Michael Rebar, a captain in the sheriff’s office. This presentment, like one later returned, detailed the testimony given in support of the conclusions reached. See Rose app. at 172. The criminal charges included 67 counts of “macing”, defined by 25 Pa.Stat.Ann. § 2374 as the coercive solicitation of political contributions from public employees by public officers or members of political committees. Rebar eventually pleaded guilty to 48 counts of macing. See Rose app. at 261, 570. The presentment also recommended that charges be brought for four counts of conducting an illegal lottery as a funding mechanism for the macing efforts. These charges were brought and Rebar eventually pleaded guilty to them. See Rose app. at 261, 570. The grand jury recommended additional counts of obstructing administration of law or other government functions and hindering apprehension or prosecution. See Rose app. at 261. The August 1983 presentment also named Hill, Rose, Kolimaga, and Reed in connection with Rebar’s alleged criminal activity and as a result Rose, Kolimaga, Reed, and Rebar were fired in August 1983. Hill was defeated in his bid for re-election after the Republican Party failed to endorse him. See Hill Amended Complaint 1149; see also Reed Amended Complaint 1127-28. Hill, Rose, Kolimaga, and Reed allege that they did not direct Rebar’s activities but that Rebar, a Republican committeeman, acted on behalf of the defendants. See Rose app. at 94, 570-72. The defendants maintain that Rebar’s activities were directed by Hill, Rose, Kolima-ga, and Reed as a means to finance Hill’s reelection campaign. In November 1983, the grand jury returned a second presentment recommending charges against Hill, Rose, Kolimaga, and Reed. See Rose app. at 87-171. Consequently, Vance swore out a criminal complaint and an affidavit of probable cause charging each of the plaintiffs with 450 counts of macing and charges related to macing. See, e.g., Rose app. at 264-66. Criminal complaints were issued against the plaintiffs in March 1984 following which District Justice John Murray held a preliminary hearing on the charges lasting 14 days over six months. On October 9, 1984, at the close of the hearing, Murray held over 246 of the charges against Rose for trial, see Rose Amended Complaint 1122, and over 100 of the charges against Hill and Reed, see Hill Amended Complaint II 21; Reed Amended Complaint II35. Certain charges were also held over against Kolimaga. See Kolimaga Complaint 1123. According to his brief, at a trial ending November 28, 1984, Hill was acquitted of the macing charges. See Hill brief at 3. In early December 1984 Rose was informed that the new District Attorney was dropping all charges against him. See Rose Amended Complaint ¶ 23. At a trial ending in March 1985 Hill was acquitted of the election code violation charges. See Hill brief at 3. The charges against Rose and Kolimaga were formally dismissed in February or March 1985. See Rose Amended Complaint 1123; Kolimaga Complaint 1124. Some of the charges against Reed were dismissed by the court and she was acquitted by a jury of the remaining charges. See Reed Amended Complaint H 30. The essence of the complaints filed by these plaintiffs is the allegation of a conspiracy among high-level officials of Montgomery County and the county Republican Party maliciously to prosecute them shortly before the November 1983 election to force then-Sheriff Hill out of office. Allegedly, the defendants sought to replace Sheriff Hill with someone who would cooperate in their efforts to extend party patronage, macing, and other forms of political influence within the sheriff’s office. B. The Development of This Litigation On October 27, 1986, Rose filed a complaint which named Bartle, Asher, Smyth, Goodman, Vance, the county, and the party as defendants and which contained section 1983 and RICO counts. In a third count Rose pleaded pendent state law claims of false arrest, malicious prosecution, malicious use and abuse of process, intentional infliction of emotional distress, outrageous conduct, defamation, and civil conspiracy. On November 28, 1986, Hill filed a complaint in No. 86-6963 under section 1983 which named the same defendants and contained the same pendent state law claims as Rose’s complaint. On February 12, 1987, Kolimaga filed a complaint which named Bartle, Asher, the county, and the party, but not Smyth, Goodman, or Vance, as defendants and which stated section 1983 and RICO counts and a count containing the same pendent state law claims as alleged by Rose. On June 1, 1987, Hill filed a complaint in No. 87-3927 which named Bartle, Asher, Smyth, Goodman, and the party, but neither Vance nor the county, as defendants and which contained a single RICO count. The defendants in the Rose case filed motions under Rule 12(b)(6) and Rule 12(c) and also moved to limit discovery, and Rose filed a motion to compel discovery. After a hearing on these motions on August 12, 1987, Judge Giles directed Rose to file an amended complaint and stayed discovery pending his ruling on the sufficiency of the pleadings. At that time Rose expressly requested that the district court inform him before converting defendants’ motions into motions for summary judgment. See Rose app. at 545-49. Hill and Kolimaga did not participate in the hearing. On September 21, 1987, Rose filed an amended complaint which named the same defendants and which contained the same three counts and, on September 25, 1987, he filed a supplemental memorandum in opposition to the motions to dismiss. See Rose app. at 4-5, 554-87, 588-98. On October 13, 1987, Reed filed a complaint which named all of the defendants Rose had named, including Bartle individually. Additionally, Reed named the Commissioners of Montgomery County and Rita C. Banning, James R. DeMaioribus, and Bartle, collectively, as the Salary Board of Montgomery County, as defendants. Reed’s complaint stated section 1983 and RICO counts and a count containing the same pendent state law claims alleged by the other plaintiffs. See Reed app. at 3, 7-19. Thus, at that point there were five separate actions pending, two brought by Hill, and one by each of the other plaintiffs. The defendants responded to these complaints by filing motions to test the sufficiency of the pleadings. In Hill’s section 1983 case, during February or March 1987, each of the defendants other than Smyth filed a Rule 12(b)(6) motion. On February 23, 1987, Smyth filed an answer which included as an affirmative defense the claim that the amended complaint failed to state a claim upon which relief could be granted and which attached as exhibits copies of the presentments of August 1983 and November 1983. On April 7, 1987, Smyth moved for a judgment on the pleadings under Rule 12(c). See Hill app. at 6,18-19, 35-36, 50-60 62-63, 82-85. During March 1987 each of the defendants in Kolimaga’s action responded to his original complaint by filing motions to dismiss under Rule 12(b)(6). On April 20, 1987, Kolimaga filed a memorandum of law in opposition to the motions to dismiss to which no exhibits were appended. During August and September 1987, each of the defendants other than Smyth filed a Rule 12(b)(6) motion to dismiss Hill’s RICO complaint. See Hill app. at 3, 141-42, 152-53, 162-63. On October 15, 1987, Smyth filed a motion which sought the alternative remedies of striking his name from Hill’s complaint, under Rule 12(f), or dismissing the complaint against him, under Rule 12(b)(6). See Hill app. at 3, 171-72. On October 23, 1987, Smyth filed an answer to Rose’s amended complaint which included as an affirmative defense the claim that the amended complaint failed to state a claim upon which relief could be granted and which attached as exhibits copies of the presentments of August 10, 1983 and November 10, 1983. Rose app. at 603. On October 23, 1987, Bartle and the county filed a motion to dismiss under Rule 12(b)(6) to which was attached an exhibit containing selected excerpts from the November 10, 1983, presentment. See Rose app. at 5, 87, 172, 621-23, 676-83. On October 26,1987, Goodman and Vance filed a motion to dismiss under Rule 12(b)(6). See Rose app. at 684-85. The remaining defendants, Asher and the party, filed a Rule 12(b)(6) motion on November 6, 1987. See Rose app. at 694-96. On December 4, 1987, Smyth renewed his motion for a judgment on the pleadings under Rule 12(c). See Rose app. at 5. Rose and the defendants filed memoranda in support of their respective positions on the motions to dismiss. On December 29, 1987, Smyth filed his answer to Reed’s original complaint which included as an affirmative defense the assertion that the complaint failed to state a claim upon which relief could be granted and which attached as exhibits copies of the presentments of August 10, 1983 and November 10, 1983. See Reed app. at 23; 32, Rose app. at 87, 172. During January 1988 all of the defendants other than Smyth filed motions to dismiss Reed’s complaint pursuant to Rule 12(b)(6). See Reed app. at 3, 36-37, 65-67. On January 28, 1988, Smyth filed a motion for judgment on the pleadings pursuant to Rule 12(c). See Reed app. at 3, 81-84. The plaintiffs and the defendants filed memoranda of law in support of their respective positions on the motions to challenge the sufficiency of the pleadings. On January 22, 1988, Judge Giles entered an order in Rose’s action which stated in pertinent part: The parties are hereby notified that the court shall consider the pleadings, and the documentary or sworn attachments thereto, in deciding any motion pressed pursuant to Fed.R.Civ.P. 12(b)(6). Any party desiring to submit any further brief or document in opposition or support of such motions must do so by February 10, 1988. Rose app. at 772. Orders employing this same language were filed in all of the other cases on January 26, 1988, except for Hill’s RICO case. See Reed app. at 80; Hill app. at 207; Kolima-ga app. at 68. The time limit for the submission of briefs and other documents was extended until February 17, 1988 for the Rose litigation. The deadline was February 26, 1988, in the Reed, Kolimaga, and Hill section 1983 cases. On February 17, 1988, in response to Judge Giles’s order, Rose filed a “Supplemental Response, Submissions, and Memorandum” which observed that the January 22,1988, order was ambiguous as to whether Judge Giles intended to rule on the motions to dismiss or whether he intended to convert the motions and rule on summary judgment. See Rose app. at 775-82. Rose’s memorandum specifically requested that Judge Giles lift a stay of discovery which he had entered before ruling on summary judgment if that was his intention. In fact, because of the stay, Rose’s attempt for discovery had been frustrated and the stay was being honored in the other cases as well. In addition, Rose’s memorandum referred to and incorporated his affidavit of February 16, 1988 and an affidavit of Bernard McNulty, an assistant district attorney, which were submitted for consideration if the court was converting the motions. The McNulty affidavit stated that he had shredded certain records of the District Attorney’s Office relating to the prosecutions of Hill, Reed, Kolimaga, and Rose, but that expungement orders relating to the destruction of these documents did not cover the shredding of Rose’s file. The Rose affidavit contained thirty-one pages of testimony in support of the claims in his amended complaint. The Rose affidavit also stated that “I will not be able to prosecute my case or further counter specific facts asserted in the presentment without the power to subpoena witnesses and depose defendants and without access to the documents in control of the defendants and other parties.” Rose app. at 784, 788. Several of the defendants named in the Rose case filed memoranda of law in reply to Rose’s supplemental response. On February 23, 1988, Hill responded to Judge Giles’s order by filing a motion for leave to amend both his complaints, attaching a copy of the amended complaint consolidating his section 1983 and state law claims with his RICO claim. See Hill app. at 3, 6, 209-13. On March 10, 1988, the district court granted the motion to amend the section 1983 complaint and on March 18, 1988, it allowed Hill to amend his RICO complaint. See Hill app. at 215, 216. The amended complaint no longer named Vance as a defendant and it did not assert RICO claims against Smyth or Goodman. See Hill app. at 225-53. Hill attached copies of Rose’s February 16, 1988, affidavit and Bernard McNulty’s affidavit as exhibits to his amended complaint. See Hill app. at 225, 255-86, 288. In March and April 1988, Smyth' refiled his answer including the Rule 12(b)(6) affirmative defense and the other remaining defendants relied pending Rule 12(b)(6) motions. On February 24 and 25, 1988, the defendants in Kolimaga’s action filed supplemental memoranda of law in support of the motions to dismiss. One memorandum included a copy of the motion to dismiss Rose’s amended complaint and the memorandum of law in support of the Rose dismissal. See Kolimaga app. at 69, 74, 77. The memorandum filed in Rose’s case included an exhibit containing eight pages of selected excerpts from the November 10, 1983, presentment. See Kolimaga app. at 77, 129-36. Kolimaga did not respond to Judge Giles’ order by seeking to amend his complaint nor did he file any briefs, memo-randa, or affidavits after entry of the January 26, 1988, order. On February 26,1988, Reed responded to Judge Giles’s order by filing a motion for leave to amend her complaint, attaching a copy of the amended complaint. The amended complaint named the same defendants and contained the same three counts. The district court granted the motion to amend the complaint on March 10, 1988, by which time Reed had supplied copies of Hill’s amended complaint and Rose’s affidavit as exhibits to be attached to her amended complaint. See Reed app. at 3, 135-38, 157, 162, 163, 191-220, 221-52. In June 1988 the defendants filed anew their Rule 12(b)(6) motions and Smyth’s answer which included a Rule 12(b)(6) affirmative defense. See Reed app. at 3, 259, 263, 402-17. On July 22, 1988, Judge Giles granted the motions to dismiss each of the four plaintiffs’ complaints. The plaintiffs appeal from these orders. II. PROCEDURAL CHALLENGE Judge Giles converted the motions to dismiss into motions for summary judgment in each of these actions. See Rose v. Bartle, 692 F.Supp. at 524; Reed v. Bartle, No. 87-6495, slip op. at 3; Hill v. Bartle, Nos. 86-6963, 87-3927, slip op. at 3; Kolimaga v. Bartle, No. 87-0804, slip op. at 2. Only Kolimaga argues that the determination should be characterized as a Rule 12(b)(6) dismissal rather than as summary judgment. Kolimaga brief at 3. We have previously stated that the label a district court places on its disposition is not binding on an appellate court. See Bogosian v. Gulf Oil Corp., 561 F.2d 434, 443 (3d Cir.1977) (citing Tuley v. Heyd, 482 F.2d 590, 593 (5th Cir.1973)), cert. denied, 434 U.S. 1086, 98 S.Ct. 1280, 55 L.Ed.2d 791 (1978). Here, however, we are not concerned with labels inasmuch as we conclude for the reasons we set forth that a standard of review equivalent to that of a Rule 12(b)(6) determination is required in each of these four eases. Rule 12(b) and Rule 12(c), by identical language, require that when a district court converts motions under them into motions for summary judgment, the procedures of Rule 56 govern. If ... matters outside the pleading are presented to and not excluded by the court, the motion shall be treated as one for summary judgment and disposed of as provided in Rule 56, and all parties shall be given reasonable opportunity to present all material made pertinent to such a motion by Rule 56. When this conversion takes place all parties must be given the opportunity to present material to the court. The parties can exercise this opportunity only if they have notice of the conversion. A comparison of the requirements of Rule 56 with the procedures employed in this case demonstrates that the district court did not provide adequate notice of its conversion of the motions to dismiss. Fed.R.Civ.P. 56(c) includes two prerequisites to a summary judgment ruling. The Rule requires that the parties have at least ten days notice before the court may consider the motion, a requirement logically connected to the second prerequisite: the opportunity to submit “pleadings, depositions, answers to interrogatories, and admissions on file, together with ... affidavits” to support or oppose the motion for summary judgment. The district court’s July 22, 1988, orders granting summary judgment were preceded by more than ten days by the orders of January 22, 1988, and January 26, 1988, on which the district court relied for compliance with the notice requirement of Rule 56. On appeal no party contests the timing of these orders. Instead the plaintiffs contend that the content of the orders was inadequate to provide notice of conversion; they argue that they were unaware that the court was even considering summary judgment. As quoted above, the orders of January 22, 1988, and January 26, 1988, stated: The parties are hereby notified that the court shall consider the pleadings, and the documentary or sworn attachments thereto, in deciding any motion pressed pursuant to Fed.R.Civ.P. 12(b)(6). Any party desiring to submit any further brief or document in opposition or support of such motions must do so by February 10, 1988. Rose app. at 772; see Reed app. at 80; Hill app. at 207; Kolimaga app. at 68. (The Hill, Reed and Kolimaga orders allowed the additional briefs or documents to be filed by February 26, 1988). We have previously held that when no hearing is conducted, the court’s order converting Rule 12(b)(6) and Rule 12(c) motions into summary judgment motions must be unambiguous. [W]e believe that it is undesirable in general for a district court to enter summary judgment after receiving briefs and without holding a hearing unless it makes clear in its order that all affidavits and counter-affidavits must be filed with the briefs.... At the least, as a matter of good practice, we believe resort should not be had to [the authorization in Rule 78 for disposition of a motion without a hearing] unless it is made clear beyond all doubt that the parties must present their affidavits and counter-affidavits in addition to whatever facts appear in the pleadings, depositions, answers to interrogatories, and admissions on file. Season-All Industries, 425 F.2d at 39-40 (footnote omitted). We examine each of the two quoted sentences in the orders to determine if the parties were sufficiently notified of the district court’s intention to convert the motions to dismiss. Preliminarily, we observe that the orders refer to the district court’s consideration of Rule 12(b)(6) motions rather than orders for summary judgment under Rule 56. The content of the orders does not change this focus on Rulé 12(b)(6). The first sentence describes the material on which the district court would rely in ruling on the pending motions. If the described materials unambiguously constitute “matters outside the pleading” which required the district court to convert the motions then this sentence implicitly stated that the court was considering summary judgment. But “pleadings” would not require conversion and the “documentary or sworn attachments” to pleadings could consist not only of material which would require conversion such as a party’s affidavit, but of such diverse materials not requiring conversion as a certificate of service, a notice of appearance, or a stipulation for the extension of time in which to file an answer. Inasmuch as this latter class of attachments would meet the description of matters to be considered by the district court, yet would not require conversion, we cannot conclude that the first sentence unambiguously notified the parties that the district court was considering summary judgment. The second sentence described the type of submissions that the district court would accept before ruling on the pending motions. The district court referred only to the submission of “any further brief or document”. A court obviously may consider legal briefs without having to convert a motion to dismiss into a motion for summary judgment. See 5 C. Wright & A. Miller § 1366, at 682, (citing Baltimore & O.R.R. Co. v. American Fidelity & Cas. Co., 34 F.R.D. 148 (W.D.Pa.1963) and Patitucci v. United States, 178 F.Supp. 507 (E.D.Pa.1959)). When read in conjunction with “brief”, the term “other document” may mean a memorandum of points and authorities which, similarly, does not require conversion. See id. Thus, we cannot conclude that this second sentence in any way clarified the ambiguity of the district court's orders. Although it would be desirable in the interest of clarity for an order to notify expressly the parties that the court was converting a motion to dismiss into one of “summary judgment” or that the ruling would be pursuant to “Rule 56,” the court need not be so explicit so long as the order otherwise fairly apprises the parties of the proposed conversion. Here Rose specifically requested at the August 12, 1987, hearing that the court notify him if it intended to convert the motions. Moreover, in response to the court’s January 22, 1988 order, Rose filed a memorandum of law which clearly stated that he was uncertain as to whether the district court intended to convert the motions. In this instance the district court should have clarified the nature of the proceeding before granting summary judgment. We have held that it is reversible error for a district court to convert a motion under Rule 12(b)(6) or Rule 12(c) into a motion for summary judgment unless the court provides notice of its intention to convert the motion and allows an opportunity to submit materials admissible in a summary judgment proceeding or allows a hearing. See Castle v. Cohen, 840 F.2d 173, 179-80 (3d Cir.1988) (vacating summary judgment when the district court converted the Rule 12(b)(6) motion without notice to the parties); Davis Elliott Int’l, Inc. v. Pan American Container Corp., 705 F.2d 705, 706-08 (3d Cir.1983) (reversing summary judgment when the district court acted without notice to the parties and without an opportunity for hearing); Crown Central Petroleum Corp. v. Waldman, 634 F.2d 127, 129 (3d Cir.1980) (reversing summary judgment when the district court acted without notice to the parties and without allowing an opportunity to submit affidavits); Bryson v. Brand Insulations, Inc., 621 F.2d 556, 559 (3d Cir.1980) (same). The failure to give adequate notice does not, however, require automatic reversal; it may be excused if the failure was a “harmless error”. See Hancock Industries v. Schaeffer, 811 F.2d 225, 229 (3d Cir.1987). Thus, the judgment may be affirmed if it appears that there is no set of facts on which plaintiffs could possibly recover. See id. In Wisniewski v. Johns-Manville Corp., 812 F.2d 81 (3d Cir.1987), we stated: In reviewing orders dismissing an action pursuant to Rule 12(b), [t]he standard by which the orders must be tested is whether taking the allegations of the complaint as true, ... and viewing them liberally giving plaintiffs the benefit of all inferences which fairly may be drawn therefrom, ... ‘it appears beyond doubt that the plaintiff[s] can prove no set of facts in support of [their] claim which would entitle [them] to relief.’ Wisniewski, 812 F.2d at 83 n. 1 (quoting Wisniewski v. Johns-Manville Corp., 759 F.2d 271, 273 (3d Cir.1985) (quoting Bogosian v. Gulf Oil Corp., 561 F.2d 434, 444 (3d Cir.1977), cert. denied, 434 U.S. 1086, 98 S.Ct. 1280, 55 L.Ed.2d 791 (1978))). We view the standard of review under Hancock Industries as identical to that for review of a dismissal under either Rule 12(b)(6) or Rule 12(c). Accordingly, we do not need to address Kolimaga’s contention that the judgment in his case should be viewed as a Rule 12(b)(6) dismissal. Our standard of review, accordingly, is plenary: we may affirm if, and only if, on the basis of the complaints filed by these plaintiffs there was no set of facts which could be proven to establish defendants’ liability. Even if our precedents did not require a “harmless error” analysis, we would employ one nonetheless since counsel for the plaintiffs conceded at oral argument that affirmance would be proper if the complaints failed to state a claim upon which relief could be granted. III. SECTION 1983 CLAIMS The gravamen of the plaintiffs’ section 1983 claims is that the defendants, in conspiring to bring false charges against them by corrupting the grand jury process and thereafter prosecuting these charges, violated the plaintiffs’ rights to “due process, equal protection, liberty, privacy and [an] impartial criminal trial, and to be free from baseless arrest and prosecution and malicious use and abuse of process,” thereby depriving the plaintiffs of their rights under the First, Fourth, Fifth, Sixth and Fourteenth Amendments. Hill Amended Complaint MI 51-52; see also Kolimaga Complaint ¶ 27; Rose Amended Complaint MI 53-54. The district court dismissed the plaintiffs’ section 1983 claims on a variety of alternative grounds. Although Reed does not contest the district court’s dismissal of her section 1983 claims, conceding that they are time barred, the remaining plaintiffs maintain that their civil rights claims were improperly dismissed. A. Prosecutorial Immunity The district court held that District Attorney Smyth and Assistant District Attorney Goodman were entitled to absolute prosecutorial immunity with respect to all of their alleged civil rights violations. In its decision, the court addressed a number of alleged activities of these defendants which appeared in the various complaints, holding that Smyth and Goodman were entitled to immunity for each one. On appeal, as Smyth notes in his brief, “plaintiffs have narrowed their attack against Smyth [and Goodman] to two alleged activities: subornation of perjury and disclosure of secret grand jury information.” Smyth brief at 25. As the district court recognized, the seminal case on prosecutorial immunity is Imbler v. Pachtman, 424 U.S. 409, 96 S.Ct. 984, 47 L.Ed.2d 128 (1976), where the Court utilized a “functional approach” in analyzing the immunity issue. In Imbler, the Court affirmed the dismissal of the plaintiff’s section 1983 suit against a district attorney grounded upon, inter alia, the district attorney’s alleged knowing use of perjured testimony. It held that prosecutors are absolutely immune from civil liability for activities “intimately associated with the judicial phase of the criminal process;” that “in initiating a prosecution and in presenting the State’s case, the prosecutor is immune from a civil suit for damages under section 1983.” 424 U.S. at 430-31, 96 S.Ct. at 995. The Court left open the question of whether immunity was available “for those aspects of the prosecutor’s responsibility that cast him in the role of an administrator or investigative officer rather than that of advocate.” Id. A number of courts of appeals, including this court, have suggested that only a qualified immunity is available for such activity. See, e.g., Mancini v. Lester, 630 F.2d 990, 993 n. 5 (3d Cir.1980) (citing Helstoski v. Goldstein, 552 F.2d 564 (3d Cir.1977) (per curiam)). Moreover, “[t]here may even be situations in which a prosecutor is found to have acted outside any legitimate prosecutorial role,” and therefore is not entitled to absolute immunity. S. Nahmod, Civil Rights & Civil Liberties Litigation, section 7.14, at 445-46 (2d ed. 1986) (emphasis added) (citing, inter alia, Helstoski). 1. Subornation of Perjury Hill and Rose allege that Smyth and Goodman “solicited and prepared perjured testimony by witnesses,” Hill Amended Complaint ¶ 40(a); Rose Amended Complaint ¶ 41(a); that they attempted to get Rose to perjure himself in the grand jury proceedings, Hill Amended Complaint ¶¶ 40(c), 41; Rose Amended Complaint 111141(d), 42; and that they “subjected other grand jury witnesses to similar efforts to solicit perjury in investigatory interviews and before the grand jury, and some of these witnesses actually did perjure themselves.” Hill Amended Complaint 1140(d); Rose Amended Complaint 1141(e). According to the district court, although the plaintiffs conceded that a prosecutor is entitled to absolute immunity for the knowing use of perjured testimony, see Imbler, they contended that the procurement or solicitation of perjured testimony by coercion is distinguishable; that, at best, such activity is an investigative act. The district court rejected the plaintiffs’ arguments, holding that solicitation of testimony is intimately related to the judicial proceedings, and that there “is no policy reason for distinguishing between knowing use of perjury and subornation of perjury” in the immunity context. See, e.g., Rose v. Bartle, 692 F.Supp. at 526. As discussed above, the appropriate inquiry in determining whether immunity is available involves the role in which the prosecutor is acting — an advocacy role, or an investigative role. Although the plaintiffs, in their briefs, characterize the solicitation and coercion of perjury by the defendants as having taken place while the defendants were acting in an “investigative capacity,” they proffer no adequate explanation for such a characterization. Except as to Rose, there is no elaboration in the pleadings regarding the circumstances in which the alleged solicitations of perjury took place. Tellingly, however, the plaintiffs do not dispute the district court’s statement that their allegations involved the solicitation and preparation of perjured testimony “for use in the grand jury proceedings,” 692 F.Supp. at 526, and in fact themselves indicate in their briefs that the defendants attempted to coerce witnesses “into committing perjury before the grand jury.” Rose brief at 37; Hill brief at 34. Moreover, the more fact-specific allegations involving the solicitations of Rose to commit perjury allege that Rose was asked, or coerced, to testify perjuriously before the grand jury. Hill Amended Complaint 111140(c), 41; Rose Amended Complaint 1MT 41(d), 42. Although there may well be situations in which the allegations establish that the solicitation or coercion of false statements from a witness occurred while the prosecutor was acting in an investigative capacity, this does not appear to be one of them. The plaintiffs’ allegations involve direct solicitations of testimony for use in the grand jury proceedings. Such solicitations are encompassed within “the preparation necessary to present a case” and therefore are immunized as involving the prosecutors’ advocacy functions. Myers v. Morris, 810 F.2d 1437, 1449 (8th Cir.), cert. denied, — U.S. -, 108 S.Ct. 97, 98 L.Ed.2d 58 (1987). Similarly, in Brawer v. Horowitz, 535 F.2d 830 (3d Cir.1976), this court affirmed the district court’s dismissal of a complaint alleging that “a federal prosecutor and a cooperating witness had conspired to use perjured testimony ... in order to convict appellants,” id. at 832, reasoning that “[t]he allegations in the complaint implicating [the prosecutor] all related to actions in his role as an advocate, rather than as an administrator or investigator.” Id. at 834; see also Heidelberg v. Hammer, 577 F.2d 429, 432 (7th Cir.1978) (“charges that the prosecutors induced witnesses to commit perjury are barred by the immunity doctrine”); cf. Lee v. Willins, 617 F.2d 320, 322 (2d Cir.) (allegations that prosecutor coerced perjured testimony from witnesses barred because injuries alleged by plaintiff, which stem from his multiple trials, are same injuries for which Imbler granted immunity), cert. denied, 449 U.S. 861, 101 S.Ct. 165, 66 L.Ed.2d 78 (1980). It is true that the plaintiffs allege that the defendants engaged in “efforts to solicit perjury in investigatory interviews as well as before the grand jury.” Hill Amended Complaint II 40(d); Rose Amended Complaint H 41(e) (emphasis added). The mere invocation of the catch-word “investigatory”, however, cannot suffice in this case to forestall dismissal on immunity grounds. See, e.g., Cook v. Houston Post, 616 F.2d 791, 793 (5th Cir.1980) (interviewing witnesses before presenting their testimony to grand jury falls within prosecutor’s advocacy function). In short, although it is true that the distinction between actions taken in a quasi-judieial role and those taken in an investigative role often will involve a “gray area,” see Forsyth v. Kleindienst, 599 F.2d 1203, 1215 (3d Cir.1979), cert. denied, 453 U.S. 913, 101 S.Ct. 3147, 69 L.Ed.2d 997 (1981), the plaintiffs’ own pleadings indicate that the alleged solicitations of perjury occurred in preparation for the grand jury proceedings, not in an investigatory capacity. Smyth and Goodman therefore are absolutely immune from liability for this alleged activity. 2. Disclosure of Secret Grand Jury Information Hill and Rose each allege that during the course of the grand jury proceedings, Smyth and Goodman “regularly reported what transpired in the grand jury to Defendants Asher and Bartle, contrary to state law regarding the confidentiality of grand jury proceedings.” See Rose Amended Complaint ¶ 41(b); Hill Amended Complaint 1140(b). The district court held that the defendants were entitled to absolute prosecutorial immunity with respect to this alleged activity because the “leak” occurred “within the context of a judicial proceeding and was for the purpose of relaying information that was actually presented to the state grand jury.” See, e.g., Rose v. Bartle, 692 F.Supp. at 527. The court rejected the plaintiffs’ contention that this court’s decision in Helstoski v. Goldstein, 552 F.2d at 564 (per curiam), mandated a contrary holding. Helstoski involved an action against a number of defendants including a United States Attorney for, inter alia, allegedly abusing the grand jury process and allegedly deliberately leaking false information to the press, in violation of the plaintiff’s constitutional rights. The Helstoski court held that absolute prosecutorial immunity was inapplicable, reasoning: Even if absolute prosecutorial immunity extends to the administrative and investigative functions of a United States Attorney, it is our opinion that certain paragraphs of Mr. Helstoski’s complaint aver conduct which goes beyond the proper performance of these aspects of a prosecutor’s job. We note, in particular, the several allegations of deliberate leaks by the prosecutor of false information concerning Mr. Helstoski in order to damage his political prospects. It would appear that such activity, if it occurred would lie outside of the rationale for absolute immunity set forth in Imbler. At most, it would be subject to a qualified good-faith immunity. Id. at 566. The district court distinguished Helstoski on two grounds. It stated that in Helsto-ski, the leaks “necessarily occurred outside of any judicial proceeding,” whereas here, the leaks occurred “within the context of a judicial proceeding” and thus fell within the Imbler standard. The district court further indicated that Helstoski was not controlling because in Helstoski the leaked information was allegedly false, whereas here, the plaintiffs merely alleged that defendants leaked “accurate information.” See, e.g., Rose v. Bartle, 692 F.Supp. at 527. On appeal, the essential dispute between the parties involves whether or not Helstoski mandates reversal of the district court’s holding on this issue. To the extent that the district court’s grant of immunity was premised upon the bare fact that the leaks involved here occurred during the course of a grand jury proceeding, its analysis is erroneous. For instance, in Powers v. Coe, 728 F.2d 97, 103 (2d Cir.1984), the court held that a prosecutor was not absolutely immune for leaking secret information from the grand jury investigation to the media, reasoning that “[t]o the degree that a prosecutor is called upon as part of his official duties to deal with the press, it would appear beyond cavil that such a duty would be administrative rather than ‘quasi judicial,’ and hence not deserving of the cloak of absolute immunity.” Moreover, we agree with the plaintiffs that the court erred in reasoning that because the leaked information in this case was “accurate,” the defendants were entitled to immunity. The accuracy of the information disclosed is irrelevant in an inquiry as to whether the defendants’ alleged activities were “intimately associated with the judicial phase of the criminal process” under Imbler. Smyth correctly recognizes that a court must employ a “functional analysis” test in determining whether immunity is available, see Mancini, 630 F.2d at 992; that the critical issue for immunity purposes is whether a prosecutor is acting within his “quasi-judicial” role or his administrative/investigative role. However, neither Smyth, the other parties, nor the district court seem to have actually applied such a “functional analysis” in considering this issue. The relevant inquiry here is whether Smyth and Goodman, when they allegedly reported what was happening in the grand jury proceedings to Asher, the Chairman of the Montgomery County Republican Party, and Bartle, the Chairman of the County Commission, were acting in a quasi-judicial capacity, an administrative/investigative capacity, or totally outside any prosecutorial authority. Viewing the issue in this light, Helstoski is not particularly helpful; there, the prosecutor disseminated information to the press, whereas here, the information was disseminated to various co-defendants. Based upon the pleadings as they stand, we believe that the district court erred in holding that prosecutorial immunity was available as a matter of law; there simply is not enough information in the pleadings to have enabled it — or to enable us — to determine what “role” the defendants were acting in when they relayed the relevant information to Bartle and Asher. There is no indication, for instance, that the information was relayed in the course of “routine meetings dedicated to the preparation and prosecution of the case,” Weg v. Macchiarola, 654 F.Supp. 1189, 1194 (S.D.N.Y.1987) (immunity available for allegation that prosecutor discussed criminal case against plaintiffs with co-defendants who were not prosecutor’s fellow employees, because discussions took place during case preparation meetings). In fact, it is possible that the leaking of information to Bar-tie and Asher was totally unrelated to Smyth and Goodmans’ prosecutorial roles and exceeded the scope of their prosecuto-rial authority. Smyth maintains, however, that even if absolute immunity is unavailable for the alleged disclosures, such conduct is insufficient to state a claim under section 1983, and that therefore, this claim against both prosecutors must be dismissed. We agree. As noted earlier, Hill and Rose allege in their respective complaints that the disclosures were violative of state law. “It is axiomatic that violations of state law alone are insufficient to state a claim for section 1983 relief.” Powers, 728 F.2d at 105 (citing Gomez v. Toledo, 446 U.S. 635, 100 S.Ct. 1920, 64 L.Ed.2d 572 (1980)). In their briefs, the plaintiffs do not argue that these disclosures also are independently actionable under section 1983, and at oral argument, counsel for Rose who argued, in effect, for all of the plaintiffs, stated that whether the disclosures constituted a civil rights violation was “not relevant to our claim.” Hill did not disassociate himself from this statement. Instead, the plaintiffs assert that the disclosures establish a link in the conspiracy among the defendants to violate the plaintiffs’ civil rights; in essence, that the disclosures, although they themselves are not claimed to have impinged any constitutional right, can be used as a bootstrap to render these defendants liable for conspiracy to maliciously prosecute. We disagree. Smyth and Goodman are absolutely immune from liability for the damages resulting from the malicious prosecution. See Imbler. Engaging in an illegal conspiracy does not affect this immunity. The plaintiffs have not demonstrated that the illegal conspiracy, independent of the malicious prosecution, deprived them of any rights or resulted in any damage. The injury claimed by the plaintiffs resulted from the malicious prosecution, for which the prosecutors are absolutely immune. The plaintiffs have failed to claim a re-dressable injury. We therefore affirm the district court’s dismissal of all the plaintiffs’ claims against Smyth and Goodman. B. Statute of Limitations The district court held that the section 1983 claims of each plaintiff were barred by the statute of limitations. The court first reasoned, and none of the parties dispute, that the applicable limitations period was two years. The court went on to explain that federal law determines the date of accrual of a section 1983 cause of action, and that the applicable federal law provides that such a cause of action accrues when the plaintiff “knew or had reason to know of the injury that constitutes the basis of [the] action.” 692 F.Supp. at 528; see Sandutch v. Muroski, 684 F.2d 252, 254 (3d Cir.1982) (per curiam). The court concluded that all the plaintiffs knew or had reason to know of the injuries constituting the bases of their section 1983 actions more than two years before his or her complaint was filed. See, e.g., 692 F.Supp. at 528-31. As noted earlier, Reed concedes that her section 1983 claims are time barred. The remaining plaintiffs contend that the district court’s holding is erroneous. 1. Malicious Prosecution Hill, Kolimaga and Rose strenuously argue that the district court erred in dismissing their section 1983 malicious prosecution claims as time-barred. They maintain that under the weight of judicial authority, the statute of limitations for a section 1983 malicious prosecution claim does not begin to run until the underlying criminal proceedings are terminated in the plaintiff’s favor. They maintain that law, logic and policy dictate that a similar analysis be adopted in this case, and maintain that if it is, their respective section 1983 malicious prosecution claims were timely filed. The district court recognized that in Deary v. Three Un-named Police Officers, 746 F.2d 185 (3d Cir.1984), this court stated in a footnote that the plaintiff's section 1983 claim for malicious prosecution, in the event that her allegations stated such a claim, would have accrued on “the date that the criminal proceedings were resolved in [her] favor.” Id. at 197 n. 16. The district court, however, rejected the plaintiffs’ reliance upon Deary, characterizing this footnote as dictum and therefore not controlling. The district court went on to state that a section 1983 cause of action is not made out simply by asserting that a common-law tort was committed. It reasoned that it was not bound by the elements of the state common law tort in determining when the section 1983 cause of action accrued, but rather was required to examine when the plaintiffs knew or had reason to know of the underlying injury. Citing and quoting Edwards v. Sotomayor, 557 F.Supp. 209, 217 (D.P.R.1983), the court reiterated that “once the violation of a claimant’s federal constitutional rights is apparent, the federal cause of action accrues and there is no need to adopt a state accrual standard immersed in state requirements for a tort of malicious prosecution.” See, e.g., Rose v. Bartle, 692 F.Supp. at 529 (emphasis omitted). The court concluded that each of the plaintiffs’ section 1983 malicious prosecution claims was time-barred under the applicable legal standard. Although the defendants, in their briefs, maintain that there is a “split in authority” with respect to when a section 1983 malicious prosecution claim accrues, Montgomery County and Bartle brief at 40, the cases that the parties have cited indicate that the weight of appellate court authority holds that under federal law, such claims do not accrue until the underlying criminal proceedings are terminated in the plaintiff’s favor. See, e.g., McCune v. City of Grand Rapids, 842 F.2d 903, 907 (6th Cir.1988); Venegas v. Wagner, 704 F.2d 1144, 1146 (9th Cir.1983); Singleton v. City of New York, 632 F.2d 185, 198 (2d Cir.1980), cert. denied, 450 U.S. 920, 101 S.Ct. 1368, 67 L.Ed.2d 347 (1981); cf. Morrison v. Jones, 551 F.2d 939, 940-41 (4th Cir.1977) (applying “favorable termination” rule without expressly acknowledging that the rule is a federal one). Most of the cases cited by the defendants in support of a contrary holding either involve section 1983 claims other than those for malicious prosecution, see, e.g., Strung v. Anderson, 452 F.2d 632 (9th Cir.1971) (search and seizure); Gowin v. Altmiller, 663 F.2d 820, 822 (9th Cir.1981) (section 1983 claim appears to involve only false arrest); Rinehart v. Locke, 454 F.2d 313 (7th Cir.1971) (holding arguably encompasses only section 1983 claims for false arrest), or, at best, support the defendants’ position without extended discussion. See, e.g., Walden III, Inc. v. State of Rhode Island, 576 F.2d 945, 947 n. 5 (1st Cir.1978). More importantly, this court has expressly held that “the elements of liability for the constitutional tort of malicious prosecution under section 1983 coincide with those of the common law tort.” Lee v. Mihalich, 847 F.2d 66, 70 (3d Cir.1988). We stated in Lee: A civil action for § 1983 malicious prosecution requires that: (1) the defendant initiate a criminal proceeding; (2) which ends in plaintiffs favor; (3) which was initiated without probable cause; and (4) the defendant acts maliciously or for a purpose other than bringing the defendant [sic] to justice. We have held that a claim for malicious prosecution is actionable under 42 U.S.C.A. § 1983 (citations omitted). Under these authorities, the section 1983 claim must include the elements of the common law tort as it has developed. Id. at 69-70 (citations and footnotes omitted; emphasis added). The problem with the district court’s analysis is that it fails to accommodate to the law in this circuit, that favorable termination is an element of the constitutional tort. As discussed above, the district court was of the opinion that because a section 1983 claim is not made out by simply asserting the commission of a common law tort — that section 1983 constitutional claims are distinguishable from state tort claims — it was not bound by the elements of the common law tort of malicious prosecution in determining when the plaintiffs’ cause of action accrued. It is true that under certain circumstances the “overlap between state common-law tort actions and federal civil rights actions brought pursuant to the provisions of 42 U.S.C. section 1983” is “undefined.” McCune, 842 F.2d at 907 (Guy, J., concurring). However, that is not the case here; this court has expressly adopted the “favorable termination” element of the common law tort of malicious prosecution as an element of a parallel section 1983 action. The plaintiffs maintain that because favorable termination was a necessary element of their section 1983 claim, they neither knew nor had reason to know of the injury that constituted the basis of their actions until such termination, and that, accordingly, their section 1983 actions did not accrue under federal law until such termination. We agree. Because favorable termination is a necessary element of the relevant section 1983 claim in this circuit, a holding that such termination need not have occurred for a plaintiff to be cognizable of his constitutional injury cannot be justified. See McCune, 842 F.2d at 907-09 (Guy, J., concurring). Had this court limited the elements of a section 1983 malicious prosecution claim to the initiation of criminal proceedings without probable cause for malicious purposes, then perhaps the holding of the district court that the plaintiffs had reason to know of their constitutional injuries before the criminal proceedings were terminated in their favor would be sustainable. As the law in this circuit stands, however, it is not. A review of the parties’ complaints reveals that both Kolimaga and Rose filed their complaints less than two years after the dates they allege that the underlying criminal proceedings were terminated in their favor. Accordingly, their section 1983 malicious prosecution claims were improperly dismissed. It is unclear from the allegations in Hill’s complaint, which was filed on November 28, 1986, exactly when the criminal proceedings were terminated in his favor; he alleges only that on October 9, 1984 his case was held over for trial after a preliminary hearing, and that he was “completely cleared of each and every one of the charges that were held over for trial.". Hill Amended Complaint Iff 21-22. Since it is not apparent from the face of Hill’s complaint that Hill’s section 1983 malicious prosecution claim is time-barred, this claim likewise was improperly dismissed. 2. False Arrest and Abuse of Process Hill, Rose and Kolimaga further assert that their section 1983 claims for false arrest and abuse of process likewise are not time barred. The district court held that Rose’s claims for false arrest and abuse of process accrued in March 1984, when he was charged with criminal activity. Rose v. Bartle, 692 F.Supp. at 529. It held that Kolimaga’s claims for false arrest and abuse of process accrued in August 1983 based upon his allegation that he was “fired from his job on or about August 11, 1983 because of the false charges which defendants conspired to lodge and pursue against him." Kolimaga v. Bartle, slip op. at 6 (citing Kolimaga Complaint f 25). The court held that Hill’s claims for false arrest and abuse of process accrued “[a]t the very latest ... when the matter was held over for trial in October of 1984.” Hill v. Bartle, slip op. at 14-15. Notwithstanding their reliance upon Deary for the proposition that their malicious prosecution claims are not time barred, the plaintiffs ignore the Deary court’s statement that a section 1983 claim for false arrest accrues on the date of the arrest, as does a section 1983 claim for abuse of process, because on that date a plaintiff “would have reason to know of the injury which those two torts encompass.” Deary, 746 F.2d at 197 n. 16. Even if we were inclined to do so, it would be difficult to dismiss this portion of the Deary court’s analysis as mere dictum. Moreover, the plaintiffs conceded at oral argument that the weight of authority is consonant with Deary. The plaintiffs, however, point to Cameron v. Fogarty, 806 F.2d 380 (2d Cir.1986), cert. denied, 481 U.S. 1016, 107 S.Ct. 1894, 95 L.Ed.2d 501 (1987), in which the United States Court of Appeals for the Second Circuit held that because, under common law principles, an action for false arrest cannot be maintained if the arrest was followed by a conviction, conviction is a complete defense to a section 1983 action for false arrest. Id. at 387-89. Although Cameron did not address the issue of accrual, the plaintiffs maintain that if conviction is a complete defense to a section 1983 false arrest action, such an action, like a section 1983 malicious prosecution action, cannot be deemed to have accrued until the plaintiff is acquitted. Although the plaintiffs’ argument has some force, it appears that this court has never indicated that favorable termination is a requisite element of a section 1983 false arrest claim, but rather has suggested to the contrary. See, e.g., Patzig v. O’Neil, 577 F.2d 841, 848 (3d Cir.1978) (“[cjlearly, an arrest without probable cause is a constitutional violation actionable under section 1983.”). Moreover, although Cameron has been followed by a number of courts, at least one court, in a decision issued before Cameron, expressed some doubt as to the rule there adopted. See Brown v. Edwards, 721 F.2d 1442, 1448-49 n. 8 (5th Cir.1984) (“[wjhile the common law rule was clear that an outstanding conviction barred an action for malicious prosecution respecting the same charge ... it appears considerably less plain that such a conviction had the same effect on an action for false arrest.”). Furthermore, whatever the prevailing common law rule, we have some doubts as to the policy determinations underlying Cameron. The Cameron court reasoned that if a conviction is obtained, the arrest without probable cause is simply “premature” and that the resultant injury accordingly is “insubstantial,” and that the exclusionary rule is a sufficient deterrent to arrests lacking probable cause. 806 F.2d at 388. It concluded that its holding reflected the “proper accommodation between the individual’s interest in preventing unwarranted intrusion into his liberty and society’s interest in encouraging the apprehension of criminals.” Id. at 388. We have some misgivings as to this accommodation, especially in light of the availability of qualified immunity as a defense. We also point out that the reference to the conviction rendering the damage “insubstantial” supports the concept that the conviction is a defense in the civil action to be established by the defendant and thus is distinguishable from proof of termination of the criminal action in the plaintiff’s favor in a malicious prosecution case which is an element of the claim which the plaintiff must establish. On such an analysis the false arrest claim would accrue at the time of the arrest. We add, however, that our conclusion is not dependent on this distinction. In short, we reaffirm the Deary court’s analysis of accrual and hold that the plaintiffs’ section 1983 false arrest claims accrued on the dates they were arrested. Cameron is not relevant with respect to the plaintiffs’ claims for abuse of process. As one court has noted, “[at] common law, a civil damage suit for abuse of process is not necessarily barred merely because the criminal (or other) proceeding involving the allegedly abused process has not terminated favorably to the damage suit plaintiff.” Brown, 721 F.2d at 1449 n. 8 (citations omitted). Here, as in Deary, the plaintiffs’ claims for abuse of process accrued on the dates of arrest because the plaintiffs would have had reason to know on those dates of the injuries which the tort encompasses. Although none of the plaintiffs’ amended complaints reveal the dates on which the alleged arrests took place, it is apparent from other dates set forth in the complaints that they could not have taken place less than two years before each complaint was filed. Accordingly, the plaintiffs’ respective section 1983 false arrest and abuse of process claims were properly dismissed. 3. Conspiracy Claims The district cou