Michael BOWERS, Plaintiff,
v.
NATIONAL COLLEGIATE ATHLETIC ASSOCIATION, ACT, INC., NCAA Initial-Eligibility Clearinghouse, Temple University of the Commonwealth System of Higher Education, University of Iowa, American International College, Defendants,
Temple University of the Commonwealth System of Higher Education, Defendant and Third-Party Plaintiff,
v.
Delaware State University, University of Memphis, University of Massachusetts Amherst, Third-Party Defendants.
United States District Court, D. New Jersey.
*390 *391 Barbara E. Ransom, Max Lapertosa, Public Interest Law Center of Philadelphia, Philadelphia, PA, Richard L. Bazelon, Bazelon, Less & Feldman, P.C., Marlton, NJ, for Plaintiff, Michael Bowers.
Charles J. Vinicombe, J. Freedley Hunsicker, Jr., John Schultz, Julianne Peck, Amy E. Pizzutillo, Drinker, Biddle & Shanley LLP, Princeton, NJ, for Defendant, National Collegiate Athletic Association.
Robert A. Burgoyne, Fulbright & Jaworski LLP, Washington, DC, Nicholas M. Kouletsis, Pepper Hamilton, LLP, Cherry Hill, NJ, for Defendants, ACT, Inc. and NCAA Initial Eligibility Clearinghouse.
Mark Schantz, Andrew Ives, Office of the General Counsel, University of Iowa, Iowa City, IA, Thomas J. Miller, Attorney General, Gordon E. Allen, Deputy Attorney General, Office of the Iowa Attorney General, Des Moines, IA, William O. Perkins, Jr., Jersey City, NJ, Jack Jay Wind, Margulies, Wind, Herrington & Knopf, P.C., Jersey City, NJ, for Defendant, University of Iowa.
John B. Langel, Abigail L. Flitter, Ballard Spahr Andrews & Ingersoll, LLP, Philadelphia, PA, for Defendant and Third-Party Plaintiff, Temple University of the Commonwealth System of Higher Education.
James H. Savage, Ruprecht, Hart & Weeks, LLP, Millburn, NJ, for Defendant, American International College.
John J. Farmer, Jr., Attorney General of New Jersey, Jeffrey C. Burstein, Senior Deputy Attorney General, The State of New Jersey, Newark, NJ, for Intervenor, The State of New Jersey.
Linda B. Celauro, John James Peirano, Jr., Carpenter, Bennett & Morrissey, Newark, NJ, for Third-Party Defendant, University of Massachusetts Amherst.
Peter L. Frattarelli, Archer & Greiner, A Professional Corporation, Haddonfield, NJ, for Third-Party Defendant, University of Memphis.
Michael K. Willison, Dickie, McCamey & Chilcote, Lawrenceville, NJ, for Third-Party Defendant, Delaware State University.
OPINION
ORLOFSKY, District Judge.
I. INTRODUCTION
Can states be made to pay damages for violating Title II of the Americans with Disabilities Act? That controversial question lies at the heart of this motion, the latest in a long series of difficult issues stemming from the claims by Michael Bowers, a young, learning-disabled football player, that discrimination based upon his learning disability has prevented him from receiving an athletic scholarship to college. The Plaintiff's latest Complaint names some, but apparently not all, of the colleges with whom he sought to play football. As a result, one of the named defendant universities interpleaded a trio of third-party defendant schools, public universities all, from whom it seeks contribution in the event of a damages verdict against it. Thus, although of somewhat lesser public moment, the availability or not of a right to contribution under federal and New Jersey laws prohibiting discrimination against the disabled is also a critical question in the present motion. The Third-Party Defendants have now moved to dismiss the Third-Party Complaint, pursuant to Fed.R.Civ.P. 12(b)(1) and 12(b)(6), arguing principally that there is no such right to contribution, or, alternately, that since they would have sovereign immunity from suit by the Plaintiff, the Third-Party Plaintiff can have no basis for contribution.
*392 I conclude, however, that there is a right to contribution in such cases, and that, in enacting Title II of the Americans with Disabilities Act, Congress validly abrogated the sovereign immunity of the States embodied in the Eleventh Amendment to the United States Constitution. I also conclude that the State of Tennessee, at least, waived its Eleventh Amendment immunity from suit when it accepted federal funds pursuant to the terms of the Rehabilitation Act. Thus, for the reasons set forth more fully below, I shall grant the Third-Party Defendants' motions in part and deny them in part with prejudice. I shall also deny the motions by two of the Third-Party Defendants to dismiss the Third-Party Plaintiff's claims for contribution under New Jersey law without prejudice to the Third-Party Defendants' opportunity to renew their motions pending submission of additional materials supporting their entitlement to claim their parent state's sovereign immunity.
II. FACTS AND PROCEDURAL HISTORY
This is the eighth opinion I have issued in the course of adjudicating the claims asserted by Plaintiff, Michael Bowers ("Bowers"), that he was discriminated against by various entities as a result of his disability. See Bowers v. NCAA,
Briefly, Bowers was a talented highschool football player, who sought to parlay his skills on the football field into an athletic scholarship at a four-year university. He was "recruited" by a number of the defendant institutions, including Temple University of the Commonwealth System of Higher Education ("Temple"), the University of Iowa ("Iowa"), and American International College ("AIC"). That is, he talked with representatives from the schools, and from their football teams, about the possibility that the school would offer him a scholarship. Bowers has alleged that some of these conversations involved actual promises to grant him a scholarship.
All of the defendant and third-party defendant universities are members of the National Collegiate Athletic Association ("NCAA"). The NCAA, by the consent of its members, sets minimum standards of academic preparedness for student-athletes entering college. See Bowers II,
The NCAA initially determined that Bowers had taken only three of its required thirteen core courses. See Id.. It concluded, as a result, that he was a "nonqualifier" that is, not eligible to play football or receive an athletic scholarship at least for his freshman year, and possibly for longer. See id. at 467, 469. The NCAA's determination was based on the fact that, as a result of a diagnosed learning disability, Bowers had been enrolled primarily in special education classes, which the NCAA found to be below "regular instructional level." See Bowers I,
News of Bowers's non-qualifier status had a devastating effect on his prospects for a football scholarship. All of the efforts to recruit Bowers by the various defendant institutions, including Temple, Iowa, and AIC, were contingent on the assumption that he would be a "qualifier." See Bowers II,
On May 23, 1997, Bowers initiated this suit, seeking injunctive relief, and perhaps damages, against the NCAA, and certain of its officers, pursuant to the Americans with Disabilities Act, 42 U.S.C. §§ 12101-213 (2000) ("ADA"), Section 504 of the Rehabilitation Act of 1973, 29 U.S.C. § 794(a) (2000) ("Rehab.Act"), and the Sherman Act, 15 U.S.C. §§ 1-37 (2000). On September 8, 1997, Bowers filed an Amended Complaint, which for clarity I will now refer to as the First Amended Complaint, dropping the officer defendants and adding ACT, Inc. and the NCAA Initial Eligibility Clearinghouse, the NCAA's contractors, as well as Defendants, Temple, Iowa, and AIC. The First Amended Complaint also asserted claims under the New Jersey Law Against Discrimination, N.J. Stat. Ann. §§ 10:5-1 to -42 (West 1993 & Supp.2001) against all defendants, and claims under New Jersey contract law against NCAA's contractors.
I subsequently dismissed all of Bowers's Sherman Act claims, see Bowers II,
During the pendency of Bowers's Motion for Leave to Amend, Temple sought leave to add as third-party defendants, Delaware State University ("Delaware State"), the University of Memphis ("Memphis"), and the University of Massachusetts Amherst ("U.Mass."). I granted Temple's Motion on November 17, 2000, and on November 21, 2000, Temple filed a third-party complaint against Delaware State, Memphis, and U. Mass. (collectively, "Third-Party Defendants"). U. Mass. filed this Motion to Dismiss for Failure to State a Claim, pursuant to Fed.R.Civ.P. 12(b)(6), on April 11, 2001. On April 20, 2001, Memphis filed its own Motion to Dismiss for Failure to State a Claim, as well as a Motion to Dismiss for Lack of Subject Matter Jurisdiction, pursuant to Fed.R.Civ.P. 12(b)(1). Delaware State has joined both of Memphis' motions.[2]
I have jurisdiction over Bowers's claims under the ADA and Rehab. Act pursuant to 28 U.S.C. §§ 1331 and 1343(a), and supplemental jurisdiction over his claims under New Jersey state law pursuant to 28 U.S.C. § 1367. I have jurisdiction over Temple's claims pursuant to 28 U.S.C. § 1367(a).
III. DISCUSSION
A. Rule 12(b)(6) Standard
Federal Rule of Civil Procedure 12(b)(6) governs motions to dismiss for failure to state a claim upon which relief may be granted. "In considering a Rule 12(b)(6) motion, the Court may dismiss a complaint if it appears certain the plaintiff cannot prove any set of facts in support of its claims which would entitle it to relief." Mruz v. Caring, Inc.,
*395 B. Whether Temple May Assert Claims for Contribution Under Title II and the Rehab. Act
1. Whether a Right to Contribution Exists Under Title II or Under the Rehab. Act
In their Rule 12(b)(6) filings, the Third-Party Defendants each assert that neither the Rehab. Act nor Title II of the ADA creates a right of action for third-party plaintiffs to seek contribution from defendants not named by the principal plaintiff. See U. Mass.'s Br. at 4; Memphis's R. 12(b)(6) Br. at 2-3. Neither statute expressly creates a right to contribution. See 42 U.S.C. § 12133 (2000);[3] 29 U.S.C. § 794a(a)(2) (2000).[4] Ordinarily, when Congress has explicitly provided a remedial scheme for a statute, and chosen to omit a right of contribution, the presumption is that a court should not imply one. See Texas Indus., Inc. v. Radcliff Materials, Inc.,
However, when courts have themselves implied a right of action under a statute, the addition of a right to contribution is simply one of the "elements or aspects of the [enforcement] apparatus" to be fine-tuned by the courts. Musick, Peeler & Garrett v. Employers Ins. of Wausau,
In my view, a right to contribution is an appropriate complement to the other judicially-implied remedies under Title II and the Rehab. Act. Title II incorporates by reference the remedies available under the Rehab. Act, which in turn incorporates the remedies available under Title VI of the Civil Rights Act. See 42 U.S.C. § 12133 (2000); 29 U.S.C. § 794a(a)(2) (2000). There is a judicially-implied private right of action available for enforcement *396 of section 601 of Title VI, the parallel substantive section to section 794 of the Rehab. Act. See Sandoval,
It might be argued that the cross-reference language in Title II and in the Rehab. Act is intended to adopt the remedies and standards in place at the time of the Acts' adoption, rather than to authorize judicially-constructed remedies. Congress, however, clearly believed that the available remedies under the ADA would shift as the remedies for the cross-referenced statutes shifted. See H.R.Rep. No. 101-485(III) (1990), reprinted in 1990 U.S.C.C.A.N. 445, 489 ("As with other titles of the bill ... if the remedies and procedures change in title II of the 1964 act ... they will change identically in this title...."). Indeed, this feature of the bill prompted a proposed amendment to replace the cross-reference with express remedial provisions. The amendment was ultimately rejected, however, and during the debates surrounding the amendment, its opponents were emphatic that they believed it was essential that the law provide the same remedies for discrimination against the disabled as were available to racial and other minorities. See 136 Cong. Rec. H2599, 2615 (1990) (statement of Rep. Edwards); id. at 2616 (statement of Rep. Fish); id. at 2619 (statement of Rep. Hawkins); id. at 2620 (statement of Rep. Mazzoli); id. at 2621 (statement of Rep. Bennett); id. (statement of Rep. Brooks); id. at 2621-22 (statement of Rep. Owens). Additionally, given the doctrinal uncertainty surrounding Title VI remedies at the time the Rehab. Act was amended, see Regents of Univ. of Cal. v. Bakke,
Since the remedies under the ADA and the Rehab. Act are judicially implied and administered, I turn to Musick, rather than Texas Instruments or Northwest Airlines, to determine the existence of a right to contribution. There are few indications whether a right to contribution is generally consistent or inconsistent with the overall structure of the ADA or the Rehab. Act. The legislative history of Title II suggests that Congress expected it would include "the full panoply of remedies," although as I note, infra, there were important qualifications to that expectation. *397 H.R.Rep. No. 101-485(II) (1990), reprinted in 1990 U.S.C.C.A.N. 303, 381. More significantly, a right of contribution both furthers the purposes of the Act, and enhances predictability for those regulated by it. Ordinary private plaintiffs may often be ignorant of the scope of the relationships among entities who jointly cause them harm, and these relationships may remain obscure even after discovery. The defendant entity is usually in a better position to know the identity and culpability of potential tortfeasors. Thus, contribution allows the law to reach defendants who might otherwise escape liability, and perhaps continue to discriminate undeterred. Contribution also helps to ensure that damages will correspond more closely to the scope of each defendant's participation in the discriminatory activity, rather than randomly imposing the plaintiff's full harm on whatever entity happens to present the "face" of discrimination to that plaintiff.
It is appropriate, therefore, for this Court to permit a right to contribution as part of the Title II and Rehab. Act remedial schemes. I note that two other district courts have found that there is no right to contribution under the ADA. See Pattison v. Meijer, Inc.,
2. The Elements of a Contribution Claim
Typically, in order to establish a claim for contribution, a third-party plaintiff must show that it has borne an unjust share of a common liability with the third-party defendant. See Northwest Airlines,
3. Whether Temple and the Third-Party Defendants are Liable for the Same Injury to the Same Plaintiff
U. Mass. argues that, even crediting the pleadings of both Bowers and Temple, the harms allegedly inflicted on Bowers by the two universities are not "the same," and thus that Temple's claim for contribution must fail. See U. Mass.'s Br. at 10-11. That is, whereas Temple has denied Bowers the opportunity to play football, and earn a scholarship, at Temple, U. Mass. has only denied Bowers a chance to play for U. Mass. See id. U. Mass. is surely correct that at least part of the harm from independent acts of discrimination can constitute distinct injuries. A child who seeks to enroll at, but is successively rejected by, a series of public schools, solely because of his or her race, *398 religion, or other irrelevant characteristic, plainly is stigmatized afresh by each rejection. Yet if the child's family is then obliged to pay for private schooling, each public school is also a "cause in fact" of the financial harm the family suffers as a result, since the harm would not have occurred but for the individual school's action. See Keeton, supra, § 41, at 265-67. Similarly, although Bowers alleges that he was harmed by the individual discrimination of each Defendant, he also alleges that he was harmed by his inability to receive an athletic scholarship. See 2d Am. Compl., Count I Requested Relief ¶ 4. Temple, in turn, alleges that Delaware State, Memphis, and U. Mass. recruited Bowers but elected not to offer him a scholarship as a result of his nonqualifer status. If the allegations in the Complaints of Bowers and Temple are true, as I must assume they are, then both Temple and the Third-Party Defendants share responsibility for Bowers's loss of an athletic scholarship. It would be unfair for Temple alone to bear the costs of that liability. Thus, I will deny U. Mass.'s Motion to Dismiss Temple's claims for contribution under Title II and the Rehab. Act.
4. Whether Memphis and Delaware State Would Have Been Immune from Suit by Bowers
As I have noted, a third-party plaintiff can only state a claim for contribution where the principal plaintiff himself could have brought a suit against the third-party defendants. Memphis and Delaware State argue that, as alter egos of their respective sovereign states, they would have been immune from suit by Bowers under either Title II or the Rehab. Act. See Memphis's R. 12(b)(1) Br. at 3.[7] This argument presents me with a number of challenging and subtle legal questions, which I shall endeavor to resolve over the succeeding subsections. I first determine that the burden to demonstrate immunity lies with the moving party. I then consider whether Memphis, the only moving party to have come forward with evidence supporting its immune status, is in fact an arm of the State of Tennessee. Finding that it is, I confront the questions that have commanded the attention of many courts and scholars recently, the validity of Congress' clear abrogation of a state's Eleventh Amendment immunity to suit in federal court under Title II and under the Rehab. Act. Parting ways with my distinguished colleague, Judge Brown, I conclude that Congress has validly abrogated the States' Eleventh Amendment immunity under both Title II and the Rehab. Act. Thus, I will deny Memphis's motion.
a. Allocation of Burdens in a Claim of Sovereign Immunity
In an ordinary Rule 12(b)(1) motion, the plaintiff bears the burden of persuading the court that subject matter jurisdiction exists. See Kehr Packages, Inc. v. Fidelcor, Inc.,
In a "factual" challenge to a court's jurisdiction, such as this, the court may consider material outside the pleadings. See Gould Electronics, Inc. v. United States,
Delaware State has not come forward with any evidence demonstrating its relationship to the State of Delaware. I must therefore deny Delaware State's motion to dismiss Temple's claims for contribution under Title II and the Rehab. Act.[8]
b. Whether Memphis is an Arm of the State of Tennessee
The sovereign immunity of States guarantees that "nonconsenting States may not be sued by private individuals in federal court." Bd. of Tr. of the Univ. of Alabama v. Garrett,
The first branch of the Fitchik test asks, logically enough, whether payment for a judgment against the defendant entity would come from the state fisc. See Fitchik,
As a result of a legal sleight of hand by the State of Tennessee, the source of Memphis's funding is uncertain. David Zettergren, the Assistant Vice President for Finance at Memphis, reports that in recent years, less than 50% of Memphis's budget has come from "State of TN appropriations." See Collier Cert. Exh. 4, ¶¶ 7-8. The remainder of the school's budget comes from sources such as tuition, gifts, parking fees, and the like. See id. I have previously determined that, where a majority of a university's funds come from non-state sources, and there is no other source of obligation to pay judgments, the first Fitchik factor does not support immunity. See Bowers VI, slip op. at 10-12. The sticking point is that Zettergren's implicit characterization of the tuition and other university-generated funds as not appropriated by the State of Tennessee is inconsistent with Tennessee law. The Tennessee legislature automatically takes to its own coffers all proceeds raised by its state universities, and re-appropriates those funds back to the university that raised them. See 2001 Tenn. Pub. Acts 435 § 29 it. 3; Boyd v. Tennessee State Univ.,
This leaves me to determine whether the interests of sovereign immunity are truly served by recognizing a formalistic shuffling of state accounts plainly calculated to extend the state's immunity to an entity that might not otherwise receive it. Or, put another way, what is the significance of the fact that a money judgment would be enforceable against the State? Although the Supreme Court has explicitly rejected historicist accounts of the state treasury interest, see Seminole Tribe of Fla. v. Florida,
Nonetheless, I believe one possible principle can be inferred from PATH and other, similar, cases. Both the majority and dissent in PATH discussed the centrality of the political accountability of the State to its status as a sovereign entitled to immunity from suit. See PATH,
Soon after PATH, however, the Court seems to have realized that its own precedents held the key to resolving its internal disagreement. In Regents of the Univ. of California v. Doe, a unanimous Court held that the "State's legal liability for suit" is in fact only "an indicator of the relationship between the State and its creation."
With these principles in mind, I turn back to the question of Memphis's funding. *402 Under the view of Doe I have just outlined, a state that immunizes one of its creations from suits is, in effect, determining that it prefers a model of accountability that flows exclusively through the electoral process. Thus, the label of "state funds" attached to all of Memphis's revenues is not empty formalism-it is formalism evincing a particular account of republican government in the State of Tennessee. Under Supreme Court precedent as I understand it, I am bound to accept that account. As a result, I must conclude that any judgment against Memphis would come from state funds. Cf. Jain v. Univ. of Tenn. at Martin,
All nine members of the Supreme Court have agreed that "the vulnerability of the state treasury" is "a sufficient condition for Eleventh Amendment immunity." PATH,
c. Whether Congress Validly Abrogated Tennessee's Eleventh Amendment Immunity in the Enactment of Title II
Congress is not entirely dependent upon the States' ordering of the lines of accountability for state instruments. Where Congress "unequivocally intends" to abrogate the sovereign immunity of a state, and that abrogation lies within "`a valid grant of constitutional authority,'" Congress may render a state susceptible to suit. Garrett,
i.
Although the procedure for evaluating the validity of a congressional abrogation *403 of Eleventh Amendment immunity is "now familiar," my understanding of that procedure appears to differ somewhat from those of the other courts to have considered the constitutionality of Title II.[12] In order to determine whether Congress has acted pursuant to a valid grant of constitutional authority, my "first step" must be to "identify with some precision the scope of the constitutional right at issue." Garrett,
It is in the process of comparing the actual constitutional right with the putative remedies created by Congress that my approach differs from other federal courts. In assessing whether Title II represents an improper redefinition of the meaning of the Equal Protection Clause, many courts *404 seem to have presumed that Congress' invocation of § 5, among other sources of potential authority, see 42 U.S.C. § 12101(b)(4) (2000), must mean that every provision of Title II is enacted pursuant to § 5. See, e.g., Alsbrook v. City of Maumelle,
Suppose, for instance, that Congress were to enact an anti-discrimination statute in which it clearly invoked its § 5 power to award damages only where a court would find that the Constitution had been violated, and invoked its Commerce Clause power to provide for prospective injunctive relief against state officers in all other instances of state discrimination.[15] Such a statute does not redefine any substantive Fourteenth Amendment rights; it merely adopts the rights created by the courts, and, additionally, sets some standards for the behavior of commercial actors under its Article I power. The Article III power is preserved as the exclusive domain of the federal courts, as the "appropriate legislation" test requires. See Kimel,
ii.
Having established the proper standard, I now turn to whether Title II does, in fact, validly abrogate Tennessee's sovereign immunity. The first part of that task, the scope of the underlying constitutional violation, is not difficult, since the Garrett Court was itself examining Title I of the ADA. See Garrett,
It is ambiguous whether Title II employs Congress' § 5 power to regulate conduct beyond that proscribed in Garrett, Cleburne, and Romer. The legislative history of the ADA is equivocal on the availability of damages for unintentional discrimination. The House report states, "As with Section 504, there is also a private right of action for persons with disabilities, which includes the full panoply of remedies." H.R.Rep. No. 101-485(II), reprinted in 1990 U.S.C.C.A.N. 303, 381. That statement does not provide much evidence either way. Similarly, while the Conference Committee report observes that "[t]he Rehabilitation Act provides a private right of action, with a full panoply of remedies available," id. No. 101-485(III), reprinted in 1990 U.S.C.C.A.N. 445, 475, the case the Committee cites for that proposition expressly reserved the question whether damages were available where there was no intentional discrimination. See Miener v. State of Missouri,
However, I have previously determined that compensatory damages are only available under Title II under a theory of intentional discrimination. See Bowers V, slip op. at 7-8. I rested my determination on the fact that Title II incorporates the remedies of the Rehab. Act, which in turn incorporates Title VI.[16]Id. Because I then *406 believed, as the Supreme Court has since confirmed, that "Guardians held that private individuals could not recover compensatory damages under Title VI except for intentional discrimination," Sandoval,
The mere fact that damages under Title II are probably limited to instances of intentional discrimination does not necessarily guarantee that Title II will exact payment only from irrational state defendants. Intentional discrimination is never rational; it is based on fear and ignorance, the very opposite of rationality. See Romer,
I see nothing in the text of the ADA that clearly resolves the mixed motive question. However, at the time both the ADA and Rehab. Act were enacted, the Supreme Court was already employing the now-familiar burden-shifting analysis of McDonnell Douglas Corp. v. Green,
On the whole, then, there is a reasonable reading of Title II in which Congress' § 5 power need only be exercised to penalize unconstitutional conduct. While it is certainly true, as other courts have observed, that Title II regulates a wide variety of conduct that could be characterized as rational, see, e.g., Doe v. Division of Youth and Family Services,
In contrast, the statutory schemes found unconstitutional by the Supreme Court in Florida Prepaid, Kimel, and Garrett offered no reasonable interpretation that would not have permitted damages for constitutional conduct by states in at least some instances. Indeed, in Florida Prepaid, the Court was quite explicit that the two most glaring flaws of the Patent Remedy Act were that "Congress did nothing to limit the coverage of the Act to cases involving arguable constitutional violations ... [n]or did it make any attempt to confine the reach of the Act by limiting the remedy to certain types of infringement." Fla. Prepaid,
I conclude, therefore, that Title II does not invoke Congress' § 5 power against conduct the courts would not themselves recognize as unconstitutional. I am reluctant, as I must be, to infer that Congress has played that ultimate trump card in its relations with the States. I must similarly be hesitant to read Title II to create a serious question of constitutionality. Clearly, there is at least one possible reading of Title II in which Congress unconstitutionally exceeded its power. See Thompson v. Colorado,
Thus, I read Title II to call upon Congress' § 5 power only insofar as it makes available damages for intentional discrimination. In all other respects, Title II is simply regulation under the Commerce Clause. Since this arrangement falls within the scope of the Fourteenth Amendment already recognized by Article III courts, it is "appropriate legislation." Fla. Prepaid,
d. Whether the State of Tennessee Has Waived its Eleventh Amendment Immunity from Suit Under the Rehab. Act
When a state receives federal dollars, it does so subject to any non-coercive condition Congress has expressly attached to the receipt of its funds. See South Dakota v. Dole,
Tennessee has knowingly waived its sovereign immunity. While this would seem obvious from the face of the Rehab. Act, it might be argued that, given the fact that Title II duplicates the effects of the Rehab. Act, and that Title II abrogates, or might have been thought to abrogate, a state's sovereign immunity, a state might not have believed it was surrendering anything meaningful in agreeing to a waiver. See Garcia,
On the record before me, I also must conclude that Tennessee's waiver was not coerced. Memphis argues that the "financial inducements" employed by Congress can become so "coercive as to cross the point where pressure turns into compulsion." College Savings,
Finally, Memphis argues that it, or the Tennessee Board of Regents acting on its behalf, lacked the authority to waive Tennessee's sovereign immunity. See Memphis's R. 12(b)(1) Br. at 36. By this argument, however, Memphis and the Tennessee Board of Regents also lack the power to enter into a contract that would result in waiver. In effect, Memphis is arguing that it lacks the authority to receive federal funds. Since the Tennessee legislature seems not to have bestirred itself to prevent Memphis from receiving these illicit federal funds, I deem it inappropriate to intervene on the legislature's behalf.
Finding that Tennessee's waiver of its sovereign immunity pursuant to the Rehab. Act was knowing and voluntary, I must deny Memphis's Motion to Dismiss Temple's claim for contribution under the Rehab. Act.
C. Whether Temple May Assert Claims for Contribution Under the New Jersey Law Against Discrimination
Before addressing the merits of Temple's claims for contribution under the NJLAD, I must first be certain that I have jurisdiction even to entertain such claims. A state's sovereign immunity shields it from supplemental state law claims brought against it in federal court, absent its consent. See Pennhurst II,
IV. CONCLUSION
For the reasons set forth above, I shall deny the Third-Party Defendants' Motions to Dismiss Temple's claims for contribution under the ADA and Rehab. Act. However, I shall also grant Memphis's Motion to Dismiss the NJLAD claim. The motions by U.Mass. and Delaware State to dismiss Temple's NJLAD claim shall be denied without prejudice to the rights of the parties to renew their motion and submit supplemental briefing on the movants' status as arms of their respective states. The Court will enter an appropriate form of order.
ORDER
This matter having come before the Court on the motions of the University of Memphis and Delaware State University to dismiss, pursuant to Fed.R.Civ.P. 12(b)(1) and 12(b)(6), and the University of Massachusetts Amherst's Motion to Dismiss, pursuant to Fed.R.Civ.P. 12(b)(6), Peter L. Frattarelli, Esq. Archer & Greiner, PC, appearing on behalf of Third-Party Defendant, University of Memphis, Michael K. Willison, Esq., Dickie, McCamey & Chilcote, appearing on behalf of Third-Party Defendant, Delaware State University, Linda B. Celauro, Esq., John James Peirano, Jr., Esq., Carpenter, *410 Bennett & Morrissey, appearing on behalf of Third-Party Defendant, University of Massachusetts Amherst, and John B. Langel, Esq., Abigail L. Flitter, Esq., Ballard Spahr Andrews & Ingersoll, LLP, appearing on behalf of Defendant and Third-Party Plaintiff, Temple University of the Commonwealth System of Higher Education; and,
The Court having considered the papers submitted by counsel for Third-Party Defendants, University of Memphis, Delaware State University, and University of Massachusetts Amherst, in support of the motion and the papers submitted by counsel for Third-Party Plaintiff, Temple University of the Commonwealth System of Higher Education in opposition;
For the reasons set forth in the Opinion issued herewith, IT IS, on this seventh day of November, 2001, hereby ORDERED that:
1. Third-Party Defendant, University of Memphis's motions are GRANTED in part and DENIED in part; and,
2. The motions of Third-Party Defendants, Delaware State University and University of Massachusetts Amherst are DENIED; and,
3. The motions of Third-Party Defendants, University of Memphis, Delaware State University and University of Massachusetts Amherst, to dismiss the claims for contribution by Third-Party Plaintiff, Temple University of the Commonwealth System of Higher Education, pursuant to the Americans with Disabilities Act and the Rehabilitation Act, are DENIED WITH PREJUDICE; and,
4. The motion of Third-Party Defendant, University of Memphis, to dismiss the claim for contribution by Third-Party Plaintiff, Temple University of the Commonwealth System of Higher Education, under the New Jersey Law Against Discrimination, is GRANTED; and,
5. The motions of Third-Party Defendants, Delaware State University and University of Massachusetts Amherst, to dismiss the claim for contribution by Third-Party Plaintiff, Temple University of the Commonwealth System of Higher Education, under the New Jersey Law Against Discrimination, are DENIED WITHOUT PREJUDICE to the rights of Third-Party Defendants, Delaware State University and University of Massachusetts Amherst, to renew their motion upon submission of supplemental briefing; and,
6. Third-Party Defendants, Delaware State University and University of Massachusetts Amherst shall submit any supplemental briefing on claims under the New Jersey Law Against Discrimination within thirty days of the date of this Order; and,
7. Third-Party Plaintiff, Temple University of the Commonwealth System of Higher Education, shall have ten days thereafter in which to respond to any supplemental briefing by the Third-Party Defendants, Delaware State University and University of Massachusetts Amherst.
NOTES
Notes
[1] Bowers was enrolled at Temple for only one semester, in the Spring of 1997.
[2] As the basis for their Rule 12(b)(1) Motion, Memphis and Delaware State have asserted that Title II of the ADA and Section 504 of the Rehab. Act unconstitutionally abrogate their sovereign immunity as alter egos of their respective states. Accordingly, pursuant to 28 U.S.C. § 2403(a), I certified to the Attorney General of the United States, by letter dated August 7, 2001, that the constitutionality of one of the laws of the United States had been challenged, and invited the United States to intervene. The United States Department of Justice, Division of Civil Rights, informed me, in a telephone call to my chambers on October 11, 2001, that the United States would not intervene or file briefs at this time.
[3] Title II of the ADA provides that: "The remedies, procedures, and rights set forth in section 794a of Title 29 shall be the remedies, procedures, and rights this subchapter provides to any person alleging discrimination on the basis of disability in violation of section 12132 of this title." 42 U.S.C. § 12133 (2000).
[4] The Rehab. Act states: "The remedies, procedures, and rights set forth in title VI of the Civil Rights Act of 1964 shall be available to any person aggrieved by any act or failure to act by any recipient of Federal assistance or Federal provider of such assistance under section 794 of this title." 29 U.S.C. § 794a(a)(2) (2000). Title VI of the Civil Rights Act does not expressly address the availability of remedies, either. See Guardians Ass'n v. Civil Service Comm'n of N.Y.,
[5] However, in the Court's view, suits brought under section 601 itself were limited to instances of intentional discrimination. See Sandoval,
[6] In reaching this conclusion, I recognize that private rights of action are no longer to be found by implication, and that, unlike Title IX, the ADA and the Rehab. Act Amendments were not enacted with a contrary expectation. See Cannon v. Univ. of Chicago,
[7] Although Memphis's argument is, technically, a subpart of the overarching Rule 12(b)(6) motion, I accept the characterization of the sovereign immunity argument as falling under Rule 12(b)(1), albeit with some modifications that I must recognize. See infra Section III.B.4.a. It seems logical to employ here the same standards I would have applied had I been required to resolve the sovereign immunity question in the first instance, with Temple now standing in the shoes of Bowers.
[8] U. Mass. has not joined Memphis' Rule 12(b)(1) motion, and does not appear to assert that it is an arm of the Commonwealth of Massachusetts. As I explain below, I will allow both U. Mass. and Delaware State to renew their motions and supplement their briefing to make clear whether or not they are entitled to claim sovereign immunity. However, because I conclude that any such immunity has validly been abrogated or waived as to the federal claims, see infra, that determination is ultimately irrelevant to the motions with regard to the ADA and Rehab. Act.
[9] The Act states: "Item 3. All institutional revenues of any kind collected by the institutions in the course of their operations for their own use are hereby appropriated to the institutions in addition to the specific appropriations made by this act." 2001 Tenn. Pub. Acts 435 § 29.
[10] It might be argued that it is at least odd to vest in states the power to arrange for the responsibility of their entities and officers to federal obligations. This concern is met, I think, by the power of Congress to abrogate sovereign immunity under section five of the Fourteenth Amendment, as well as by the individual liability of officers to suit.
[11] The remaining Fitchik factors, of course, are still relevant where the state funding factor is not determinative.
[12] The parties do not dispute that Congress unequivocally intended to abrogate the sovereign immunity of the states under the ADA. See 42 U.S.C. § 12202 (2000); Garrett,
[13] Some commentators have argued that the true outer bounds of a constitutional prohibition may extend beyond that which the Court, in its limited institutional competence, has permitted itself to recognize. See, e.g., Robert C. Post and Reva B. Siegel, Equal Protection by Law: Federal Antidiscrimination Legislation After Morrison and Kimel, 110 Yale L.J. 441, 467-69 (2000). In other words, a constitutional tree may fall, even when federal courts are not there to hear it. While it is ultimately for the Supreme Court to defend its own doctrine, I note that suits brought by individuals, inviting federal courts to recognize violations of the Constitution beyond what federal courts have thought it prudent to identify, and demanding recompense for them, may similarly strain the competence of federal courts.
[14] I note that the Supreme Court's opinion in Garrett appears to proceed immediately to an evaluation of the legislative record. See Garrett,
[15] For example:
The Discrimination in Widget Production Act of 2001
Section 101. It shall be unlawful for all producers of widgets, including states, to discriminate in hiring.
Section 102. Where any discrimination covered by section 101 would be found by a court to violate the Fourteenth Amendment, Congress hereby exercises its authority under § 5 of that Amendment to make damages remedies available against the violator. It is Congress' intent that this section shall abrogate the sovereign immunity of any state violator.
Section 103. In any instance of discrimination not covered by section 102, Congress hereby exercises its power under the Commerce Clause to make available prospective injunctive relief against the violator, or, where the violator is protected by sovereign immunity, against its officers.
[16] The Third Circuit has found that compensatory damages are available under both the Rehab. Act and Title II. See Jeremy H. by Hunter v. Mount Lebanon Sch. Dist.,
