We are called upon today to revisit a case that we thought had gone to its eternal rest. The tale follows.
Nearly six years ago the district court entered judgment for the defendants in a civil action seeking to strike down, on constitutional grounds, a school transfer/student assignment policy (the Policy) that explicitly considers race as a determining factor in student placement.
Comfort v. Lynn Sch. Comm. (Comfort
I),
But appearances can be deceiving,
see
Aesop,
The Wolf in Sheep’s Clothing
(circa 550 B.C.), and that axiom proved to be applicable here. Following the Supreme Court’s decision in a different case,
see Parents Involved in Cmty. Sch. v. Seattle Sch. Dist. No. 1,
We briefly chronicle the events leading up to this appeal. The underlying litigation began in 1999, when the Comfort family and other similarly situated families sued the Lynn School Committee and a number of allied defendants for, among other things, an injunction to end further use of the Policy (which articulated one aspect of the City of Lynn’s method of effecting student placements in the public schools). The plaintiffs alleged that the Policy was discriminatory because it explicitly relied on race as a criterion for student placement.
After extensive proceedings, the district court upheld the Policy and entered judgment for the defendants.
Comfort I,
Even though the Supreme Court denied the plaintiffs’ petition for certiorari,
Buoyed by the holding, rationale, and language of
Parents Involved,
the
Comfort
plaintiffs moved for relief from judgment in the district court. They maintained that
Parents Involved
had uprooted the legal foundation on which the decision in
Comfort III
rested and that, therefore, allowing the judgment to stand would be grossly inequitable. The district court denied the motion.
See Comfort TV,
In the ordinary course, we review an order granting or denying relief from judgment under Rule 60(b) for abuse of discretion.
See, e.g., Honneus v. Donovan,
In order to put this appeal into perspective, we begin with a few comments about finality. We then turn to the plaintiffs’ motion.
Courts long have recognized that finality is fundamental to our judicial system.
See, e.g., Guerrero-Santana v. Gonzales,
The importance of finality extends beyond the expectations of the parties involved in a particular case. Finality is an “institutional value[ ] that transcendfs] the litigants’ parochial interests.”
Oakes v. United States,
In fine, claims once tried, decided on the merits, appealed, and closed should- — with only a few exceptions — “be considered forever settled as between the parties.”
Feder’d Dep’t Stores, Inc. v. Moitie,
None of this is to say that the principle of finality is immutable. Despite the high premium that the judicial system places on finality, there are some rare circumstances under which a party may be relieved from a final judgment. Rule 60(b) addresses this point (even though it may not exclusively encompass it). The rule has six sub-parts, but only the fifth is implicated here.
Under that sub-part, a court may grant relief from a final judgment when:
[T]he judgment has been satisfied, released or discharged; it is based on an earlier judgment that has been reversed or vacated; or applying it prospectively is no longer equitable.
Fed.R.Civ.P. 60(b)(5). Like each of the other sub-parts of Rule 60(b), this fifth sub-part should be carefully parsed and construed with circumspection.
See Cotto v. United States,
Insofar as the second set of circumstances is concerned, the plaintiffs strive to convince us that the prior judgment upon which the district court’s order rested has been reversed. We are not persuaded.
The provision from which this argument derives requires a direct connection between the prior judgment and the supposedly reversing judgment. The mere emergence of controlling precedent
in some other case
that shows the incorrectness of the prior judgment is not sufficient.
See Lubben v. Selective Serv. Sys. Local Bd. 27,
Lubben
illustrates this point. There, we upheld the denial of a motion for relief from judgment even though the decisional law on which the court had relied in entering the judgment was later discredited.
Id.
We stated unequivocally that, in order to come within Rule 60(b)(5)’s second category, the prior judgment must be directly related to the purportedly reversing decision by, for example, giving rise to the cause of action or being part of the same proceeding.
See id.
In the absence of such a direct connection, “a change in applicable law does not provide sufficient basis for relief.”
Id.
This interpretation of Rule 60(b)(5) is fully consistent with the authorities elsewhere.
See, e.g., Picco v. Global Marine Drilling Co.,
The case at hand simply does not fit this mold. The opinion in Parents Involved, though squarely on point, was rendered in a completely separate case. No direct connection exists.
Little daunted, the plaintiffs try a variation on the same theme. They say that the opinion in Parents Involved “virtually overruled” this court’s en banc decision in Comfort III and, therefore, the panel decision in Comfort II is now effectively reinstated. This “virtual reversal” argument comprises more cry than wool.
The most patent flaw in this argument is that it ignores an abecedarian principle: that the Supreme Court decides only the case before it.
See Hein v. Freedom from Religion Found., Inc.,
This reality undermines the “virtual reversal” scenario and puts an end to the plaintiffs’ quest for relief under the second branch of Rule 60(b)(5).
See Lubben,
The plaintiffs’ fallback position involves the third set of circumstances limned in Rule 60(b)(5). Because that provision paves the way for the granting of relief from a final judgment on a purely equitable basis, changes in precedent have a more pronounced relevance thereunder.
See Rufo v. Inmates of Suffolk County Jail,
The plaintiffs assert that the prior judgment here satisfies this requirement because it has a continuing effect on the school assignments of the minor plaintiffs. That assertion misreads the language of the rule and confuses prospective application with the res judicata effect that attaches to almost every final judgment.
See, e.g., Allen v. McCurry,
We have understood the class of judgments having prospective application (sometimes referred to as “prospective force”) to be restricted to forward-looking judgments, such as injunctions and consent decrees.
See, e.g., Harvey,
This narrow interpretation of prospective force makes eminent sense. When a long-term injunction or consent decree is in play, there is good reason to weigh the interests of finality and equity differently; such measures, by their very nature, envision the regulation of future conduct.
See Rufo,
The prior judgment in this case is not of that genre. It is not executory, nor does it leave open for future adjudication any issues regarding the rights of the parties. Clearly, then, the prior judgment does not have prospective application as that term has been defined in this context.
See Paul Revere,
The plaintiffs offer a weak rejoinder: they say that the prior judgment constrains them to suffer under the strictness of the Policy (now known to be unconstitutional) and that, therefore, the judgment has prospective force. But that is merely an embellished way of saying that the prior judgment has res judicata effect. That is not enough: that a party may be precluded from re-litigating a matter because of claim preclusion principles is not sufficient to imbue a prior judgment with prospective force.
See DeWeerth,
Let us be perfectly clear. There is more to consider under the third branch of Rule 60(b)(5) than whether a prior judgment has prospective force.
See United States v. Kayser-Roth Corp.,
We need go no further. The short of it is that this case does not come within any of the three exceptions envisioned by Rule 60(b)(5). Thus, the plaintiffs are not entitled to relief under the rule, and the dis
Affirmed.
Notes
. The details of the Policy are set out at length in several earlier opinions,
see, e.g., Comfort III,
. It is puzzling why the motion was filed in the first place. The plaintiffs have acknowledged an awareness that the Policy is vulnerable to attack in a new suit brought by new complainants. That would seem to be an easy way to prevent what the plaintiffs repeatedly characterize as a miscarriage of justice. With that option open but unutilized, the plaintiffs’ claims of inequity ring hollow.
