MEMORANDUM AND ORDER REGARDING DEFENDANT PATRICK’S MOTION TO DISMISS AND DEFENDANTS’ MOTION TO DISMISS (Dkt. Nos. 17 & 18)
I. INTRODUCTION
Plaintiffs bring this proposed class action on behalf of all children who have been (or will be) placed in the custody of the Massachusetts Department of Children and Families (“DCF”) as a result of a state *150 juvenile court order adjudicating them in need of “care and protection” due to abuse or neglect by their parents. Plaintiffs challenge certain facets of the foster care system in Massachusetts and seek injunc-tive relief under provisions of the United States Constitution and under the federal Adoption Assistance and Child Welfare Act of 1980, 42 U.S.C. §§ 670 et seq. (“AACWA”).
Presently before this court are a motion to dismiss filed by Defendant Patrick (Dkt. No. 17) and a joint motion to dismiss on behalf of all Defendants (Dkt. No. 18). For the reasons discussed below, Defendants’ motions will be denied.
II. FACTS
The six named Plaintiffs — Connor B., Adam S., Camila R., Andre S., Seth T., and Rakeem D. — are children who were transferred into DCF custody as a result of abuse or neglect by their parents. DCF may obtain custody over a child in a number of ways, including a “care and protection” proceeding instituted pursuant to Mass. Gen. Laws eh. 119, §§ 24-26, which targets children who suffer parental neglect or abuse. Plaintiffs bring this action on behalf of all children who enter DCF’s foster care custody as a result of such proceedings. Notably, the action does not involve children over whom DCF has obtained custody through other means, such as children in need of services (“CHINS”) under Mass. Gen. Laws ch. 119, §§ 39E et seq., or children in DCF custody pursuant to a voluntary placement agreement signed by their parents.
Defendants, all sued in their official capacities, are Angelo McClain, DCF Commissioner; Judyann Bigby, Secretary of the Massachusetts Executive Office of Health and Human Services (“EOHHS”), which oversees DCF; and Governor Deval Patrick.
Plaintiffs allege that approximately 8,500 children in DCF custody are exposed to severe potential harm, including: abuse and neglect by foster care parents; movement from one foster home to another with damaging frequency; placement in foster homes ill-suited to address their particular needs; languishing for years without permanent placement and then “aging out” of DCF custody without a permanent family or adequate preparation for adult life; and a lack of essential services, including sibling visitation and adequate medical, dental, mental health, and educational services. (Dkt. No. 1, Compl. ¶¶ 164-214.)
Plaintiffs allege that these harms result from systemic deficiencies within DCF, including failure to maintain an adequately staffed and appropriately trained child welfare workforce; failure to properly manage foster care placements; failure to properly develop and implement case plans and service plans for foster children and their families; and failure to access available federal funding. (Dkt. No. 1, Compl. ¶¶ 215-298.)
Plaintiffs bring this class action seeking an equitable remedy to these alleged failures in the Massachusetts foster care system. The complaint comprises four counts. Counts I, II, and IV allege violations of Plaintiffs’ rights under the United States Constitution, namely, Plaintiffs’ substantive due process rights under the Fourteenth Amendment; Plaintiffs’ liberty interests, privacy interests, and associational rights under the First, Ninth, and Fourteenth Amendments; and Plaintiffs’ procedural due process rights under the Fourteenth Amendment. Count III alleges multiple violations of the Adoption Assistance and Child Welfare Act of 1980, 42 U.S.C. §§ 670 et seq. (“AACWA”).
Plaintiffs seek injunctive relief requiring DCF to implement the following reforms:
1. Decrease caseworker caseloads;
*151 2. Improve caseworker training;
3. Comply with recommendations of qualified professionals to improve essential services for the Plaintiff class;
4. Increase monitoring by caseworkers of the Plaintiff class;
5. Provide adequate visitation for the Plaintiff class with their parents and siblings;
6. Prepare timely case plans and case reviews;
7. Maintain a quality assurance system consistent with national standards;
8. Ensure that an adequately staffed and trained contract monitoring unit is created within the state’s central office for purposes of overseeing and managing the purchased services of the agency; and
9. Pay foster care reimbursement rates as set forth in the AACWA.
(Compl., Prayer for Relief (e).) In addition, Plaintiffs ask that the court appoint a neutral expert to oversee the implementation of these reforms. (Id.)
III. DISCUSSION
Defendants now move to dismiss all four counts in the complaint. Although Defendant Patrick filed a separate motion to dismiss (Dkt. No. 17), his arguments run parallel with those offered by the other Defendants in their joint motion to dismiss (Dkt. No. 18). The court will therefore address Defendant Patrick’s arguments in the context of the joint motion to dismiss.
In addition to attacking the sufficiency of Plaintiffs’ allegations, Defendants offer three threshold arguments: (1) Plaintiffs lack standing; (2) the court should abstain from hearing the ease pursuant to
Younger v. Harris,
A. Standing.
In accordance with Article III of the United States Constitution, a plaintiff must have standing to bring a claim before a federal court.
Lujan v. Defenders of Wildlife,
Defendants challenge Plaintiffs’ standing on two grounds: (1) Plaintiffs fail to establish a causal connection between the harms suffered and the systemic deficiencies alleged; and (2) Plaintiffs cannot prove an immediate threat of future injury.
1. Causal Connection.
Defendants’ principal contention is that Plaintiffs fail to “establish a link between the systemic class relief that they seek and any actual harm allegedly suffered by the *152 six named plaintiffs.” (Dkt. No. 29, Defs.’ Reply Mem. at 16.) Defendants highlight several alleged systemic deficiencies recited in the complaint, including unmanageable caseloads and infrequent contact between social workers and the Plaintiff class. Because these claims amount to “generalized complaints of institutional mismanagement,” they argue, Plaintiffs cannot satisfy the element of causation. (Id. at 24 (citation omitted).)
Defendants’ arguments are unpersuasive. Under the second prong of the
Lujan
test, a plaintiff need not allege that the defendant’s conduct was the proximate cause of the plaintiffs injuries, but merely that the injury was “fairly traceable” to the challenged action of the defendant.
Lujan,
Contrary to Defendants’ assertions, Plaintiffs need not prove with specificity at this stage how every harm suffered by every named Plaintiff relates to a particular defect in the system.
Cf. Lewis v. Casey,
2. Immediate Threat of Future Injury.
Defendants correctly observe that, due to the nature of the relief sought, Plaintiffs cannot establish standing by relying on past injury alone. Where a complaint requests prospective injunctive relief, the plaintiff must allege an immediate threat of future injury.
See Lyons,
Citing Lyons and O’Shea, Defendants argue that Plaintiffs lack standing because *153 they have not established an imminent threat of future injury. Assuming arguen-do that Plaintiffs suffered past harms while in DCF custody, Defendants suggest that these harms are unlikely to reoccur.
This case is clearly distinguishable from the cases Defendants rely upon. Here, Plaintiffs allege, unlike the plaintiffs in
Lyons
and
O’Shea,
that Defendants maintain policies and practices that continue to harm them. Given that Plaintiffs remain in DCF custody and have not been placed in permanent homes, they may fairly argue that they suffer ongoing harm resulting from the alleged systemic failures within DCF. It is well established that allegations of ongoing harm satisfy Article Ill’s standing requirement.
See County of Riverside v. McLaughlin,
B. Abstention.
The Supreme Court has identified several discrete circumstances that require federal courts to abstain from adjudicating a case. Here, Defendants argue that abstention is appropriate under
Younger v. Harris,
In
Younger
and its progeny, the Supreme Court prohibited federal courts from interfering with pending state judicial or administrative proceedings.
See id.; Huffman v. Pursue, Ltd.,
The Court later refined the
Younger
analysis in
Middlesex County Ethics Committee v. Garden State Bar Association,
holding that
Younger
applies to (1) an ongoing state judicial proceeding involving the federal plaintiff that (2) implicates important state interests and (3) that provides an adequate opportunity for the federal plaintiff to assert federal claims.
*154 As discussed below, Younger is inapplicable here because this case does not involve the type of state proceeding that would require abstention and because the Middlesex factors have not been satisfied.
1. Nature of the State Proceeding.
Defendants argue that this class action will interfere with ongoing judicial proceedings in Massachusetts juvenile courts. However, these juvenile court cases do not fall within either of the two narrow exceptions in which the Supreme Court extended
Younger
to civil proceedings. As noted, the Supreme Court has applied
Younger
outside of the criminal context only to “coercive” enforcement actions against an individual and to proceedings brought “uniquely in furtherance of the fundamental workings of a state’s judicial system,” such as the state’s contempt process or its method of enforcing judgments.
See Rio Grande,
Defendants suggest that Plaintiffs’ claims implicate ongoing proceedings involving the termination of parental rights (“TPR” or “care and protection” proceedings), whereby juvenile courts place children in state custody due to abuse or neglect by their parents. Presumably, then, this case would fall under the category of coercive enforcement actions warranting abstention.
See Moore v. Sims,
However, Defendants’ argument fails to appreciate that Plaintiffs’ claims relate only to alleged injuries suffered while in DCF custody. TPR proceedings are the means by which Plaintiffs enter DCF custody, and Plaintiffs expressly state that they are not challenging any aspect of those proceedings in this case. As explained below, state law greatly circumscribes the role of juvenile courts once DCF, an executive agency, takes custody of a child. Where, as here, the state court proceeding is limited to a review of executive action, the Supreme Court has made clear that
Younger
abstention is inappropriate.
See New Orleans Public Serv., Inc. v. Council of City of New Orleans,
2. Applying the Middlesex Factors.
Application of the Middlesex factors further illustrates why Younger and its progeny do not require abstention here.
a. Interference with an Ongoing State Proceeding.
First, Defendants fail to show how the present case would interfere with ongoing state proceedings. Defendants argue that the requested injunctive relief, such as determining the propriety and safety of placements, the adequacy of services, the frequency of visitation, and the appropriateness of DCF’s plans to achieve permanency for each child, “necessarily must be addressed in the ongoing proceedings by Juvenile Court judges, who are vested with the authority and the obligation to render determinations and issue orders on *155 each of these issues.” (Dkt. No. 20, Defs.’ Mem. at 59-60.)
Defendants’ argument misapprehends the nature of Plaintiffs’ claims. As support for their contention that this case threatens to constrain state juvenile courts, Defendants highlight several cases that are clearly inapposite. These authorities fall into two categories: (1) child-in-need-of-services(“CHINS”) cases; and (2) termination-of-parental-rights (“TPR”) cases.
Under Mass. Gen. Laws ch. 119, § 39E, parents may petition a juvenile court to label their child a “child in need of services,” at which time the court can help rectify problems such as the child’s obsti-nance at home or truancy at school. The role of juvenile courts is expanded considerably in a CHINS case.
See In re Angela,
The same is true for TPR cases.
See
Mass. Gen. Laws ch. 119, § 26 (describing the direct role of the courts in determining a child’s fate in TPR proceedings);
see also Adoption of Gregory,
As noted previously, Plaintiffs’ claims do not implicate the proceedings themselves, only the aftermath of the proceedings. In stark contrast to the discretion afforded juvenile courts in TPR and CHINS proceedings, Massachusetts law greatly restricts the juvenile courts’ discretion once a child is placed in DCF’s permanent custody. In fact, the Massachusetts Supreme Judicial Court (“SJC”) has made clear that DCF controls the fate of these children and that the juvenile courts play a very limited oversight role:
When [DCF] is granted permanent custody of a child, it has virtually free rein to place that child in a foster home of its choosing, to decree whether, how much, and what sort of family visitation there should be, and to decide whether to have the child adopted. This discretion is subject only to a petition for review which cannot be filed more than once every six months.
Care & Protection of Three Minors,
In
Care & Protection of Isaac,
The scope of state courts’ discretion is critical to the
Younger
analysis. Multiple federal courts facing nearly identical challenges to state foster-care systems have reached disparate conclusions regarding the applicability of
Younger
2
The case of
Carson P. v. Heineman,
As noted by Kenny A. [v. Perdue,218 F.R.D. 277 , 286 (N.D.Ga.2003) ], “under Georgia law, once the juvenile court grants legal custody of a child to DFCS, the court is powerless to order DFCS to give physical custody of the child to any particular foster parent or otherwise restrict the actual placement of the child.” In Kenny A., the juvenile court’s authority over the state social service department was very limited, and the federal court could arguably assist that juvenile court by issuing orders against the state agency, orders that the juvenile court itself was powerless to enter. Such is not the case in Nebraska.
Id. (citations omitted). Highlighting, in contrast, the “expansive scope of authority” afforded juvenile court judges in Nebraska to “decide the appropriate placement for children in [state] custody,” Carson P. held that Younger abstention was appropriate. Id. at 527.
This class action is closer to
Kenny A.
and its sister cases in which federal courts found
Younger
inapplicable because the plaintiffs sought to enjoin actions taken by an executive agency, not the courts.
See, e.g., Kenny A. v. Perdue,
As described above, once a child is placed in DCF custody, Massachusetts law severely restricts the role of juvenile courts. Unlike in CHINS or TPR cases, the courts’ authority is limited to periodic, highly deferential review of DCF’s decisions. Any indirect impact this case has on the juvenile courts is slight and fails to rise to the requisite level of interference articulated by the First Circuit.
See Rio Grande,
b. Important State Interests.
The second
Middlesex
factor, requiring that the state proceedings implicate important state interests, is easily satisfied here.
See Petition of Dep’t of Public Welfare to Dispense with Consent to Adoption,
c. Adequate Opportunity to Assert Federal Claims.
The final requirement under
Younger
is that the federal plaintiffs had an adequate opportunity to present their federal claims in the state proceeding.
See Middlesex County Ethics Committee,
Defendants’ reliance on this language in
Moore
is flawed for several reasons. First, Defendants overlook a later clarification in
Moore,
which states that “the only pertinent inquiry is whether the state proceedings afford an
adequate
opportunity to raise the constitutional claims.”
Id.
at 430,
Although not addressing this issue head-on, a Ninth Circuit opinion reflected a similar understanding of
Younger,
holding that abstention was inappropriate where the plaintiffs’ claims were “not of a sort that would be presented during the normal course of a state proceeding.”
L.H. v. Jamieson,
Like the plaintiff class in
LaShawn A,
Plaintiffs here also bring a “multifaceted request for broad-based injunctive relief based on the Constitution and on federal ... statutory law.”
C. Sovereign Immunity.
Defendant Deval Patrick, as Governor of Massachusetts, argues that the doctrine of sovereign immunity precludes all claims against him. Specifically, Defendant Patrick asserts that Plaintiffs have failed to establish a sufficient connection between any actions taken by him and the harms alleged. The argument is unpersuasive.
The Eleventh Amendment generally bars suits in federal court against unconsenting states.
See Rosie D. ex rel. John D. v. Swift,
*159 Here, in addition to his general executive and budgetary authority, Governor Patrick has direct supervisory authority over Defendant Bigby, the Secretary of the Massachusetts Executive Office of Health and Human Services, who develops and implements DCF policies and programs. See Mass. Gen. Laws ch. 6A, § 16. Defendant Patrick also approves the appointment of the DCF Commissioner, Defendant McClain. Mass. Gen. Laws ch. 18B, § 6.
Defendant Patrick concedes, moreover, that in 2008 the state legislature codified an executive order creating the Office of the Child Advocate, “who is appointed by and reports directly to the Governor” and is charged with reviewing “[DCF’s] programs and procedures” and resolving “complaints relative to the provision of services to children by an executive agency.” (Dkt. No. 20, Defs.’ Mem. at 48 (quoting Mass. Gen. Laws ch. 18C, § 5).) Significantly, Defendant Patrick’s issuance of the executive order initially establishing the Office represents direct involvement in the ongoing maintenance of the state child welfare system.
The fact that on a daily basis Defendant Patrick plays a somewhat detached, supervisory role is inconsequential.
See Papasan v. Allain,
D. Plaintiffs’ Constitutional Claims (Counts One, Two, and Four).
A complaint is subject to dismissal under Rule 12(b)(6) if, after accepting all well-pleaded facts as true and drawing all reasonable inferences in favor of a plaintiff, the court determines that it “fails to state a claim upon which relief can be granted.”
Edes v. Verizon Commc’ns, Inc.,
1. Substantive Due Process (Count I).
The Due Process Clause of the Fourteenth Amendment provides that “[n]o State shall ... deprive any person of life, liberty, or property, without due process of law.” U.S. Const, amend. XIV, § 1. To establish a substantive due process violation, a plaintiff must first show a de
*160
privation of life, liberty, or property.
DeShaney v. Winnebago County Dep’t of Social Servs.,
The Supreme Court has found such a relationship between the state and incarcerated prisoners,
Estelle v. Gamble,
Although the First Circuit has not squarely addressed this issue,
see J.R. v. Gloria,
This court agrees. The rationale of
Youngberg,
in which the court found a special relationship between the state and involuntarily committed mentally ill patients, applies with equal force here: “If it is cruel and unusual punishment to hold convicted criminals in unsafe conditions, it must be unconstitutional [under the Due Process Clause] to confine the involuntarily committed — who may not be punished at all — in unsafe conditions.”
Two questions remain: (1) what are the contours of this right? and (2) what standard of culpability applies? The Su
*161
preme Court offered helpful guidance as to the first question in
Youngberg.
There, the Court observed that individuals placed involuntarily into state custody are entitled to “conditions of reasonable care and safety, reasonably nonrestrictive confinement conditions, and such training as may be required by these interests.”
Youngberg,
The question here is whether the Supreme Court’s articulation of this right encompasses the following list of entitlements set forth by Plaintiffs in Count I of the complaint: (a) the right to “protection from unnecessary harm” while in state custody; (b) the right to a living environment that protects foster children’s physical, mental and emotional safety and well being; (c) the right to services such as safe and secure foster care placements, appropriate monitoring and supervision, placement in a permanent family, and adequate medical, dental, psychiatric, psychological, and educational services; (d) the right to treatment and care “consistent with the purpose of the assumption of custody by DCF;” (e) the right not to be maintained in custody “longer than is necessary to accomplish the purposes to be served by taking the child into custody;” (f) the right to receive care, treatment and services determined and provided through the exercise of accepted professional judgment; and (g) the right to be placed in the least restrictive environment according to a foster child’s needs. (Dkt. No. 1, Compl. ¶ 303.)
Defendants do not challenge that the Constitution protects the rights discussed in subsections (a) through (d) of Count I. (Dkt. No. 20, Defs.’ Mem. at 77.) Indeed, Youngberg’s guarantee of reasonable care and safety clearly contemplates those rights.
See Youngberg,
At this stage in the litigation, the court cannot say categorically that Plaintiffs have no rights to the protections sought in subsections (e), (f), and (g). As noted, these protections include the right to remain in state custody no longer than necessary under the circumstances, the right to receive care and treatment in accordance with accepted standards of professional judgment, and the right to be placed in the least restrictive environment. (Dkt. No. 1, Compl. ¶ 303.) Accepting Plaintiffs’ allegations as true, this court finds it easily conceivable that Defendants’ failure to provide the above services deprived Plaintiffs of “conditions of reasonable care and safety” and “reasonably nonrestrictive confinement conditions” to which they are entitled.
See Youngberg,
To be clear, this decision does not imply that a blanket entitlement exists in all cases to the above protections; rather, it merely recognizes that Plaintiffs
may,
through discovery, show that the denial of these protections deprived them of reasonable care and safety. While “not every deviation from ideally safe conditions con
*162
stitutes a violation of the [C]onstitution,”
Santana v. Collazo,
The final question concerns the standard of culpability the court must apply in assessing these alleged violations. Defendants argue that Plaintiffs must plausibly allege “conscience-shocking” conduct as described in
County of Sacramento v. Lewis,
Youngberg
and
Lewis
are not mutually exclusive. In
Youngberg,
the Supreme Court held that decisions made by professionals are “presumptively valid” and give rise to liability “only when the decision by the professional is such a substantial departure from accepted professional judgment, practice, or standards as to demonstrate that the person responsible actually did not base the decision on such a judgment.”
Youngberg,
Twenty years later, in
County of Sacramento v. Lewis,
the Court modified the substantive due process analysis: “in a due process challenge to executive action, the threshold question is whether the behavior of the governmental officer is so egregious, so outrageous, that it may fairly be said to shock the contemporary conscience.”
Plaintiffs, then, are incorrect in suggesting that
Lewis
does not apply to this particular substantive due process claim.
6
As the First Circuit unequivocally stated, “the shocks-the-conscience test ... governs
all
substantive due process claims based on executive, as opposed to legislative, action.”
Martinez v. Cui,
In sum, to establish a substantive due process claim, Plaintiffs must show that Defendants’ conduct represented a substantial departure from accepted professional judgment, which deprived them of conditions of reasonable care and safety, and that such conduct shocks the conscience. Here, Plaintiffs have alleged that Defendants abdicated their duty to use professional judgment by placing Plaintiffs in foster homes that presented known risks of harm, failing to monitor these improper placements, shuttling them among foster families without any hope of finding a permanent home, preventing visitation with parents and siblings, and failing to provide various forms of essential treatment. (See Dkt. No. 1, Compl. ¶¶ 164-214.) Plaintiffs further allege that these failures resulted in great physical, mental, and emotional harm to the Plaintiff class. (Id.)
Although Defendants argue that such conduct cannot possibly rise to the level of conscience shocking, this court strongly disagrees. Moreover, all that is required here is that Plaintiffs demonstrate a plausible entitlement to relief.
See Ashcroft v. Iqbal,
— U.S. -,
2. The Right to Familial Integrity (Count II).
In Count II, Plaintiffs allege that Defendants deprived them of liberty, privacy, and associational rights protected by the First, Ninth, and Fourteenth Amendments. (See Dkt. No. 1, Compl. ¶ 305.) More specifically, Plaintiffs allege that DCF failed to make appropriate use of kinship placements (id. ¶¶ 249-53), that DCF failed to “sustain family ties and support reunification” (id. ¶¶ 277-78), and that DCF failed to provide sufficient visitation with siblings and parents (id. ¶¶ 198, 285).
The Supreme Court has recognized a right to familial integrity derived from the broad right to association under both the First Amendment and the Ninth Amendment’s reservation of rights to the
*164
people.
Roberts v. United States Jaycees,
Not surprisingly, the critical factor distinguishing these cases is how broadly the court construes the right at issue. The courts dismissing such claims held that the right to familial integrity is only implicated when the state denies children
any contact
with family members,
see, e.g., Charlie H.,
3. Procedural Due Process (Count IV).
When examining procedural due process claims, courts must take two steps: “the first asks whether there exists a liberty or property interest which has been interfered with by the State; the second examines whether the procedures attendant upon that deprivation were constitutionally sufficient.”
Gonzalez-Fuentes v. Molina,
a. Stated-Created Property Interest.
As an initial matter, Defendants argue that the Eleventh Amendment bars this claim because it is grounded in state-created rights. (Dkt. No. 20, Defs.’ Mem. at 107-08). Defendants rely on
Pennhurst State School and Hospital v. Halderman,
Defendants correctly observe that state law determines whether a person has a constitutionally protected property interest.
See Bd. of Regents v. Roth,
b. Property Interests.
Mere expectations, abstract needs, and desires are not sufficient to create a property interest subject to procedural due process safeguards.
Roth,
Plaintiffs cite several Massachusetts statutes — Mass. Gen. Laws ch. 119, §§ 23(c), 26B, 32, and 110 Code Mass. Regs. 7.124 — which, they argue, confer various protected property interests. Specifically, Plaintiffs assert rights to (a) “placement of children in private families; early and periodic screening, diagnostic and treatment standards; [and] individualized health care plan[s]” under Mass. Gen. Laws ch. 119, § 32; (b) a “medical passport” under 110 Code Mass. Regs. 7.124; (e) “sibling visitation” under Mass. Gen. Laws ch. 119, § 26B; and (d) “placement with relatives, other adult persons who have played significant positive roles in the child’s life, and any minor siblings or half-siblings” under Mass. Gen. Laws ch. 119, § 23(c). (Dkt. No. 1, Compl. ¶ 309.)
Defendants’ motion does not challenge (nor does it expressly concede) Plaintiffs’ assertion that they have rights to early and periodic screening, diagnostic *166 and treatment standards, individualized health care plans, and medical passports, as set forth in Mass. Gen. Laws ch. 119, § 32 and 110 Mass.Code Regs. 7.124. (See Dkt. No. 20, Defs.’ Mem. at 111-12.) Defendants’ silence in the face of the mandatory language employed in the cited statutes speaks volumes. See Mass. Gen. Laws ch. 119, § 32 (stating that DCF “shall insure that every foster child upon entry into the foster care system shall be screened and evaluated under the early and periodic screening, diagnostic and treatment standards established by Title XIX of the Social Security Act”) (emphasis added); see also 110 Mass.Code Regs. 7.124 (mandating that DCF “shall implement a program of utilization of a ‘medical passport’ for all children in substitute care”) (emphasis added). Clearly these statutes create property interests subject to protection under the Constitution’s due process clause.
As to the remaining property interests asserted under Count IV, Defendants argue that the relevant statutory provisions do not create such entitlements because they are conditioned on a determination by DCF that the action is in “the best interests of the child.” Under Mass. Gen. Laws ch. 119, § 26B, for instance, DCF “shall, whenever reasonable and practical and based upon a determination of the best interests of the child, ensure that children placed in foster care shall have access to and visitation with siblings .... ” While such provisions vest significant discretion in DCF, the court is not persuaded by Defendants’ arguments.
Grants of discretion, even broad discretion, to a decisionmaker are not inevitably dispositive of a due process claim. In fact, on at least two occasions the Supreme Court has found that state law created a constitutionally protected interest despite vesting “very broad discretion” in state officials.
Bd. of Pardons v. Allen,
In
Allen,
one regulation at issue required that parole “shall be ordered” if certain conditions are met, including a condition that parole is in “the best interests of society.”
While this case arises in a different context, the critical issue is markedly similar. The relevant provisions of Massachusetts state law mandate that children in DCF custody “shall be placed in private families,” Mass. Gen. Laws ch. 119, § 32 (emphasis added), that DCF “shall ... ensure that [such] children shall have access to and visitation with siblings,” Mass. Gen. Laws ch. 119, § 26B(b) (emphasis added), and that DCF “shall immediately commence a search to locate any relative of the child or other adult person who has played a significant positive role in that child’s life,” Mass. Gen. Laws ch. 119, § 23(c) (emphasis added). While these provisions are conditioned on the looser requirement that such action be in the *167 “best interests of the child,” e.g., Mass. Gen. Laws ch. 119, § 26B(b), once this prerequisite is met the law requires DCF to take the above actions.
In addition, although the “best interests” standard is somewhat vague, it is a far cry from laws that provide “unfettered discretion” to state officials.
See, e.g., Olim v. Wakinekona,
In sum, Plaintiffs’ asserted interests under Mass. Gen. Laws ch. 119, §§ 32, 26B, and 23(c) are more than abstract needs or desires; they are legitimate claims of entitlement.
See Roth,
c. What Process is Due.
The final step in the due process analysis requires this court to determine whether the state has provided sufficient procedural safeguards before depriving Plaintiffs of these protected interests. It is too early to resolve this issue. Discovery will give the parties the opportunity to produce evidence and to argue the antecedent issue of whether a deprivation in fact occurred. Only at that time will the court be able to make an informed decision about the sufficiency of the state’s pre-deprivation process.
See, e.g., Marisol A. v. Giuliani,
E. Plaintiffs’ Statutory Claims under the AACWA (Count III).
Section 1983 provides a cause of action against any person acting under color of state law who deprives a person of “rights, privileges, or immunities secured by the Constitution and laws.” 42 U.S.C. § 1983. However, “[n]ot all violations of federal law give rise to § 1983 actions: ‘[the] plaintiff must assert the violation of a federal
right,
not merely a violation of federal
law.’ ” Rio Grande Cmty. Health Ctr. v. Rullan,
The AACWA, which constitutes Parts B and E of Title IV of the Social Security Act, is a federal spending statute under which the federal government reimburses states for expenses incurred in administering foster care and adoption services. Funding is conditioned upon the state satisfying a series of requirements imposed by the Act, which includes submitting a state plan for the provision of foster care and adoption assistance approved by the Secretary of Health and Human Services.
Defendants assert that Count III, which alleges multiple violations of the AACWA, should be dismissed because the AACWA does not confer private rights. More specifically, they argue that (1) the Act is generally unenforceable because it merely encourages states to take certain actions to receive federal funding; and (2) the specific provisions relied on by Plaintiffs fail the test set forth in
Gonzaga University v. Doe,
1. General Enforceability of the AACWA.
Defendants first argue that the Act is generally unenforceable because it ties federal funding to substantial conformity with state plan requirements and allows states to improve their operations before funding is withheld. Thus, Defendants reason, the statute only creates “system-wide goals” as opposed to rights. (Dkt. No. 20, Defs.’ Mem. at 99.)
This argument is foreclosed by
Lynch v. Dukakis,
*169 2. Applying the Gonzaga Test to Individual Provisions of the AACWA.
Plaintiffs assert two rights under the AACWA: (1) a right to a case plan containing documentation of the steps taken to identify and secure a permanent home pursuant to 42 U.S.C. §§ 671(a)(16) 10 and 675(1)(E); and (2) a right to foster care maintenance payments paid to foster care providers pursuant to 42 U.S.C. §§ 671(a)(1), 671(a)(ll), 671(a)(12), 672(a)(1), and 675(4)(A).
With respect to Plaintiffs’ asserted right to a case plan, Section 671(a)(16) reads as follows:
In order for a State to be eligible for payments under this [statute], it shall have a plan approved by the Secretary which ...
(16) provides for the development of a case plan (as defined in section 675(1) of this title) for each child receiving foster care maintenance payments under the State plan and provides for a case review system which meets the requirements described in section 675(5)(B) of this title with respect to each such child.
42 U.S.C. § 671(a)(16). Section 675(1)(E) then defines “case plan.” 11 With respect to Plaintiffs’ asserted right to foster care maintenance payments, §§ 671(a)(1), 671(a)(ll), and 671(a)(12) read as follows:
In order for a State to be eligible for payments under this [statute], it shall have a plan approved by the Secretary which ...
*170 (I) provides for foster care maintenance payments in accordance with section 672 of this title and for adoption assistance in accordance with section 673 of this title;
(II) provides for periodic review of the standards referred to in the preceding paragraph and amounts paid as foster care maintenance payments and adoption assistance to assure their continuing appropriateness;
(12) provides for granting an opportunity for a fair hearing before the State agency to any individual whose claim for benefits available pursuant to this part is denied or is not acted upon with reasonable promptness.
42 U.S.C. §§ 671(a). Section 672 contains similar language, stating that “each State with a plan approved under this part shall make foster care maintenance payments” if certain conditions are met. 42 U.S.C. § 672(a)(1). Section 675(4)(A) defines “foster care maintenance payments.” 12
Federal courts are divided as to whether the AACWA creates privately enforceable rights to either a case plan 13 or foster care maintenance payments. 14 As noted, the First Circuit in Lynch held that the AACWA confers an enforceable right to a case plan under § 671(a)(16) containing the elements required in § 675(1) — two provisions at issue here. However, the second of these two provisions, § 675(1), was amended in 1997 to add subsection (E), which is the particular subsection Plaintiffs rely upon in this litigation. Thus, although the right to a case plan was clearly upheld in Lynch, the First Circuit did not squarely address the right Plaintiffs are now asserting, which requires this court to conduct an independent analysis. 15
Each of the above provisions satisfies the first
Gonzaga
factor. As noted, the first
Gonzaga
factor requires “rights-creating language,” which consists of
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“mandatory, rather than precatory, terms.”
Such language is readily discernible in the above-cited provisions. For instance, each provision expresses a clear mandate by using the term “shall.” See, e.g., 42 U.S.C. § 671(a)(16) (requiring that states “shall have a plan approved by the Secretary which ... provides for the development of a case plan (as defined in section 675(1) of [AACWA]) for each child receiving foster care maintenance payments under the State plan”) (emphasis added); 42 U.S.C. § 672(a)(1) (requiring that “each State with a plan approved under this part shall make foster care maintenance payments on behalf of each child”) (emphasis added).
Each of the cited provisions similarly discusses how the state must distribute benefits to each child. See, e.g., id. (requiring that states “shall have a plan approved by the Secretary which ... provides for the development of a case plan (as defined in section 675(1) of [AACWA]) for each child receiving foster care maintenance payments under the State plan ....”) (emphasis added); 42 U.S.C. § 672(a)(1) (requiring that “each State with a plan approved under this part shall make foster care maintenance payments on behalf of each child”) (emphasis added). Plainly, these directives are both couched in mandatory terms and are unmistakably focused on the benefítted class, i.e., foster children.
The second
Gonzaga
factor also favors a finding that the AACWA creates privately enforceable rights; the cited provisions indisputably have an “individualized,” rather than “aggregate,” focus.
See Gonzaga,
These provisions also satisfy the third
Gonzaga
factor because the AACWA does not contain an alternative enforcement mechanism. In
Gonzaga,
the Supreme Court noted that students and parents who suspected a violation of the Family Educational Rights and Privacy Act could file written complaints with a federal review board, thereby triggering an investigation and the possibility of relief.
In sum, application of the Gonzaga factors makes it clear that Congress intended to create privately enforceable rights to individualized case plans and foster care maintenance payments under the AACWA. Accordingly, Defendants’ motion to dismiss will be denied with respect to Count III.
IV. CONCLUSION
For the foregoing reasons, Defendant Patrick’s Motion to Dismiss (Dkt. No. 17) and Defendants’ Motion to Dismiss (Dkt. No. 18) are hereby DENIED in their entirety. Due to time constraints, the hearing on the Motions to Dismiss left inadequate time for argument regarding Plaintiffs’ pending Motion for Class Certification (Dkt. No. 2). The clerk will set a date for further argument on this motion.
It is So Ordered.
Notes
. Other federal courts applying
Lujan
to class actions similar to this one have reached the same conclusion.
See, e.g., 31 Foster Children v. Bush,
. Several federal courts have held that
Younger
requires abstention under similar circumstances.
See, e.g., 31 Foster Children v. Bush,
Other courts have held that
Younger
does not apply.
See, e.g., LaShawn A. v. Kelly,
. Defendants’ reliance on
Juidice v. Vail,
. It is far from obvious, however, that the professional judgment standard creates an appreciably lower hurdle for plaintiffs in this foster care case. In some instances it is true that the decision to apply one standard or the other might affect the outcome, but in this context the decision seems to matter little.
See, e.g., Yvonne L. v. N.M. Dep’t of Human Servs.,
. Although
J.R.
involved a § 1983 claim arising out of alleged abuse suffered by children in foster care, the court there applied the deliberate indifference standard.
J.R.,
. One of the lead cases relied upon by Plaintiffs,
Braam ex rel. Braam v. State,
. The Supreme Court later abrogated
Hewitt,
but only insofar as it applied to prison regulations.
See Sandin v. Conner,
.
Gonzaga
refined the earlier three-part test set forth in
Blessing,
which considered: (1) whether Congress intended that the provision in question benefit the plaintiff; (2) whether the right supposedly protected by the statute is vague and amorphous so that its enforcement would strain judicial competence; and (3) whether the provision unambiguously imposes a binding obligation on the States.
Blessing,
. Defendants attempt, unsuccessfully, to bolster this argument by relying on the Supreme
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Court’s decision in
Suter v. Artist M.,
Two years later, concerned that "Suter v. Artist M. affects ... the enforceability of [AACWA]” and that it "could result in the elimination of the ability of beneficiaries of the State plan titles of the Social Security Act, primarily children and families, to sue to enforce the Act’s requirements,” H.R.Rep. No. 102-631, at 300, Congress unequivocally responded by enacting what has become known as the “Suter fix,” an amendment to the Social Security Act that disclaimed any intent to foreclose private rights of action under the AACWA and the other “State plan” titles of the Social Security Act. See 42 U.S.C. § 1320a-2 (stating that provisions of the Social Security Act are "not to be deemed unenforceable because of [their] inclusion in a section of the Act requiring a State plan or specifying the required contents of a State plan”).
. Although § 671(a)(16) does not appear in the complaint, Plaintiffs’ briefs make it clear that they are asserting a right to an individualized case plan under § 671(a)(16) in conjunction with § 675(1)(E), which merely defines the term "case plan.” The absence of this provision in the complaint appears to be a simple oversight, which Defendants do not challenge in their briefs and which this court need not concern itself with here.
. "The term case plan’ means a written document which includes at least the following: ... In the case of a child with respect to whom the permanency plan is adoption or placement in another permanent home, documentation of the steps the agency is taking to find an adoptive family or other permanent living arrangement for the child, to place the child with an adoptive family, a fit and willing relative, a legal guardian, or in another planned permanent living arrangement, and to finalize the adoption or legal guardianship. At a minimum, such documentation shall include child specific recruitment efforts such as the use of State, regional, and national adoption exchanges including electronic exchange systems to facilitate orderly and timely in-State and interstate placements.” 42 U.S.C. § 675(1)(E).
. "The term 'foster care maintenance payments’ means payments to cover the cost of (and the cost of providing) food, clothing, shelter, daily supervision, school supplies, a child’s personal incidentals, liability insurance with respect to a child, reasonable travel to the child’s home for visitation, and reasonable travel for the child to remain in the school in which the child is enrolled at the time of placement. In the case of institutional care, such term shall include the reasonable costs of administration and operation of such institution as are necessarily required to provide the items described in the preceding sentence.” 42 U.S.C. § 675(4)(A).
. A majority of courts has found that the AACWA establishes a privately enforceable right to a case plan.
See, e.g., L.J.
v.
Massinga,
. A majority of courts also has found that the AACWA establishes a privately enforceable right to foster care maintenance payments.
See, e.g., Cal. State Foster Parent Ass'n v. Wagner,
. While the provisions at issue in Lynch are not identical to the provisions at issue here, this distinction is ultimately inconsequential. Section 675(1) merely lists the elements that constitute a "case plan” under the other sections of the Act, and the Gonzaga analysis, as explained in text, is unaffected by the differences in these elements.
