Lead Opinion
Following the 2010 Decennial Census, the General Assembly of North Carolina enacted redistricting plans for the North Carolina Senate and House of Representatives, and for the North Carolina dis
I. Procedural Background
The Constitution of North Carolina requires decennial redistricting of the North Carolina Senate and North Carolina House of Representatives, subject to several specific requirements. The General Assembly is directed to revise the districts and apportion Representatives and Senators among those districts. N.C. Const, art. II, §§ 3, 5. Similarly, consistent with the requirements of the Constitution of the United States, the General Assembly establishes North Carolina’s districts for the United States House of Representatives after every decennial census. U.S. Const, art. I, §§ 2, 4; 2 U.S.C. §§ 2a, 2c (2012).
Following the census conducted with a date of 1 April 2010, leaders of the North Carolina House of Representatives and the North Carolina Senate independently appointed redistricting committees. Each committee was responsible for recommending a plan applicable to its own chamber, while the two committees jointly were charged with preparing a redistricting plan for the United States House of Representatives North Carolina districts. These committees sought information and suggestions from numerous sources, including the North Carolina Legislative Black Caucus and the North Carolina delegation to the United States Congress. In addition, these committees solicited input from various constituencies; invited public comment and conducted public hearings in multiple counties, including twenty-four of the forty counties then covered by section 5 of the Voting
The General Assembly convened on 25 July 2011 to deliberate the redistricting plans drawn by the House and Senate committees. That same day, alternative maps were submitted by leaders of the Democratic Party and by the Legislative Black Caucus. On 27 July, the General Assembly ratified the 2011 North Carolina Senate redistricting plan and the 2011 plan for the federal House of Representatives districts. On 28 July, the General Assembly ratified the 2011 North Carolina House of Representatives redistricting plan. On 2 September 2011, the three plans were submitted to the United States Department of Justice for preclearance under section 5 of the Voting Rights Act, and preclearance was received on 1 November 2011.
On 3 November 2011, Margaret Dickson and forty-five other registered voters filed a complaint, seeking to have the three redistricting plans declared invalid on both constitutional and statutory grounds. These plaintiffs filed an amended complaint on 12 December 2011. On 4 November 2011, the North Carolina State Conference of Branches of the NAACP joined by three organizations and forty-six individuals filed a complaint seeking similar relief. These plaintiffs filed an amended complaint on 9 December 2011. Following the filing of the original complaints, the Chief Justice of the Supreme Court of North Carolina appointed a panel of three superior court judges to hear these actions, pursuant to N.C.G.S. § 1-267.1. On 19 December 2011, the three-judge panel (“the trial court”) consolidated both cases for all purposes.
On 6 February 2012, the trial court allowed in part and denied in part defendants’ motion to dismiss. Plaintiffs filed a motion for par
While a ruling on the motions for summary judgment was pending, the trial court issued an order determining that genuine issues of material fact existed as to two issues that could not be resolved by summary judgment. Accordingly, the court ordered a trial on these two issues, which it identified as:
A. Assuming application of a strict scrutiny standard and, in considering whether the Enacted Plans were narrowly tailored, was each challenged Voting Rights Act (“VRA”) district drawn in a place where a remedy or potential remedy for racially polarized voting was reasonable for purposes of preclearance or protection of the State from vote dilution claims under the Constitution or under § 2 of the VRA?
B. For six specific districts (Senate Districts 31 and 32, House Districts 51 and 54 and Congressional Districts 4 and 12 - none of which is identified as a VRA district), what was the predominant factor in the drawing of those districts?
The court conducted the trial on 4 and 5 June 2013. On 8 July 2013, the trial court issued its unanimous “Judgment and Memorandum of Decision” denying plaintiffs’ motion for partial summary judgment and entering summary judgment for defendants on all remaining claims. Plaintiffs entered timely notice of appeal pursuant to N.C.G.S. § 120-2.5.
II. Plaintiffs’ Federal Claims
We begin by considering plaintiffs’ claims brought under federal law. If a redistricting plan does not satisfy federal requirements, it fails even if it is consistent with the law of North Carolina. See U.S. Const, art. VI, § 2; N.C. Const, art. I, § 3. Plaintiffs argued first to the trial court, and now to us, that the redistricting plans violate the Equal Protection Clause of the Fourteenth Amendment to the Constitution of the United States because they impermissibly classify individuals based upon their race. In other words, plaintiffs contend that the redistricting plans constitute impermissible racial gerrymandering that has denied them equal protection under the law.
A court considering allegations of racial gerrymandering first must determine the appropriate standard of review. Strict scrutiny, the highest tier of review, applies “when the classification impermissibly interferes with the exercise of a fundamental right or operates to the peculiar disadvantage of a suspect class.” White v. Pate,
A party challenging a redistricting plan has the burden of establishing that race was the predominant motive behind the state legislature’s action. Miller,
[t]he plaintiff’s burden is to show, either through circumstantial evidence of a district’s shape and demographics or more direct evidence going to legislative purpose, that race was the predominant factor motivating the legislature’s decision to place a significant number of voters within or without a particular district. To make this showing, a plaintiff must prove that the legislature subordinated traditional race-neutral districting principles, including but not limited to compactness, contiguity, and respect*550 for political subdivisions or communities defined by actual shared interests, to racial considerations. Where these or other race-neutral considerations are the basis for redistricting legislation, and are not subordinated to race, a State can “defeat a claim that a district has been gerrymandered on racial lines.”
Id. (quoting Shaw v. Reno,
As a court considers which standard of review is appropriate, it should be mindful of the Supreme Court’s observation that “courts must ‘exercise extraordinary caution in adjudicating claims that a State has drawn district lines on the basis of race.’ ” Easley v. Cromartie,
B. The VRA Districts
We turn first to the twenty-six districts that the trial court subjected to strict scrutiny. As to these districts, the trial court reached two significant conclusions. First, the court unanimously found that “it is undisputed that the General Assembly intended to create 26 of the challenged districts to be ‘Voting Rights Act districts’ ” that would include a Total Black Voting Age Population of at least fifty percent. This unchallenged finding of fact is binding on us. Koufman,
The challenges faced by the General Assembly while redistricting are easy to express but persistently difficult to resolve. The Fourteenth Amendment, by guaranteeing equal protection for all citizens regardless of race, virtually prohibits consideration of race during redistricting. U.S. Const, amend. XIV, § 1. Yet the Voting Rights Act, passed “to help effectuate the Fifteenth Amendment’s guarantee that no citizen’s right to vote shall ‘be denied or abridged ... on account of race, color, or previous condition of servitude,’ ” Voinovich v. Quilter, 507 U.S. 146, 152,
Despite this cat’s cradle of factors facing the General Assembly, the trial court found that no factual inquiry was required regarding the General Assembly’s predominant motivation in forming the
Nonetheless, this error is not fatal and does not invalidate the trial court’s order. A similar scenario played out in Cromartie I, in which the courts reviewed the General Assembly’s creation of North Carolina’s Twelfth Congressional District.
The posture of the litigants here is distinguishable because plaintiffs, unlike their counterparts in Cromartie I, lost at summary judgment and are the appealing party. However, even if we were to follow Cromartie Is lead and reverse, plaintiffs could gain nothing on
2. Compelling Governmental Interest
We begin this analysis by considering the factors that defendants contend constitute a “compelling governmental interest.” See Stephenson I,
Although the Supreme Court of the United States has nevér held outright that compliance with section 2 or section 5 can be a compelling state interest, the Court has issued opinions that expressly assumed as much. To be specific, the Supreme Court in Shaw v. Hunt assumed arguendo that compliance with section 2 could be a compelling state interest,
We next consider whether compliance with either section 2 or section 5 constitutes a compelling state interest under the facts presented here. Those goals may reach the level of a compelling state interest if two conditions are satisfied. First, the General Assembly must have identified past or present discrimination with some specificity before it could turn to race-conscious relief. Shaw II,
a. Compelling Interest Under Section 2 of the Voting Rights Act
Before we turn our attention to consideration of individual districts, we consider the application of section 2 of the VRA in the instant case. “The essence of a § 2 claim is that a certain electoral law, practice, or structure interacts with social and historical conditions to cause an inequality in the opportunities enjoyed by black and white voters to elect their preferred representatives.” Thornburg v. Gingles,
Unlike cases such as Gingles, in which minority groups use section 2 as a sword to challenge districting legislation, here we are considering the General Assembly’s use of section 2 as a shield. Defendants argue that, because the Gingles test considers race, the State has a compelling interest in preemptively factoring race into its redistricting process to ensure that its plans would survive a legal challenge brought under section 2. To establish that this state interest is legitimate, defendants must show a strong basis in evidence that the possibility of a section 2 violation existed at the time of the redistricting. See Shaw II,
Thus, to establish a compelling interest in complying with section 2 when the redistricting plans were developed, the legislature at that time must have had a strong basis in evidence that the Total Black Voting Age Population in a geographically compact area was fifty per
The trial court’s order included several extensive appendices. In the body of the order, the trial court described the legislative record that existed when the plans were enacted, then referred to Appendix A, where this information was presented in detail. Appendix A, titled “Findings of Fact Relevant to the Issue of Racial Polarization in Specific Locations where Voting Rights Act Districts were Placed in the Enacted Plans,” is incorporated by reference into the trial court’s order.
Appendix A is broken into three parts. Part I, titled “General Findings of Fact,” opens with a summary of the background of the case, then notes results of recent elections. For instance, the trial court observed that all African-American incumbents elected to the North Carolina General Assembly or the United States Congress in 2010 were elected in districts that were either majority African-American or majority-minority coalition districts. In addition, no African-American candidate elected in 2010 was elected from a majority white crossover district, and two African-American incumbent state senators running in majority white districts were defeated in that election. No African-American candidate for the United States Congress was elected in a majority white district between 1992 and 2010, while from 2004 through 2010, no African-American candidate was elected to office in a statewide partisan election.
In this Part I of Appendix A, the court also considered an academic study of racially polarized voting conducted by Ray Block, Jr., Ph.D. This study, prepared for the Southern Coalition of Social Justice, is titled “Racially Polarized Voting in 2006, 2008, and 2010 in North Carolina State Legislative Contests.” Dr. Block employed Justice Brennan’s conclusion in Gingles that racially polarized voting occurs when there is a consistent relationship between the race of the voter and the way in which that person votes, and found that such a relationship existed in the areas examined. He added that he also found evidence that “majority-minority districts facilitate the election
Nevertheless, the trial court observed that the North Carolina General Assembly identified a few limitations in Dr. Block’s study. For instance, the study did not pinpoint the percentage of white voters in majority African-American or majority-minority districts who voted for the candidate of choice of African-American voters. In addition, his study could analyze a legislative election only when the African-American candidate had opposition. As a result, the General Assembly commissioned Thomas L. Brunell, Ph.D. to prepare a supplementary report. Dr. Brunell’s study, titled “Report on Racially Polarized Voting in North Carolina,” examined the forty North Carolina counties covered by section 5 of the Voting Rights Act, plus Columbus, Duplin, Durham, Forsyth, Jones, Mecklenburg, Richmond, Sampson, Tyrrell, Wake, and Warren Counties. Dr. Brunell found “statistically significant racially polarized voting” in fifty of these fifty-one counties.
The trial court made additional findings of fact in Part I of Appendix A that we believe would be pertinent to a Gingles totality of circumstances test and that, by extension, indicate a strong basis in evidence that the Gingles preconditions existed. At the beginning of the redistricting process, the General Assembly noted that North Carolina had been ordered to create majority African-American districts as a remedy for section 2 violations in Bertie, Chowan, Edgecombe, Forsyth, Gates, Halifax, Martin, Mecklenburg, Nash, Northampton, Wake, Washington, and Wilson Counties. See Gingles v. Edmisten,
In addition, the trial court found as fact that the documents submitted by plaintiffs included a law review article prepared by an attorney for the North Carolina NAACP. Anita S. Earls et al., Voting Rights in North Carolina 1982-2006, 17 S. Cal. Rev. L. & Soc. Just. 577 (2008). The court observed that this article “also provided evidence of racially polarized voting as alleged or established in voting rights lawsuits filed in many of the countiesf
In Part II of Appendix A, the trial court conducted an individualized analysis of each of the VRA districts created by the General Assembly in 2011. Generally, each finding of fact relates to one district. While four of the findings of fact deal with more than one district, in each such instance those districts are situated within the same county. Each finding of fact in this Part II follows a similar pattern. The finding of fact begins with data that explain how the information in Part I of the Appendix applies to the district under examination. The finding of fact lists the counties included in the district, along with that district’s Total Black Voting Age Population. This information is pertinent to the first Gingles precondition, that the minority group is able to demonstrate that it is sufficiently large and geographically compact to constitute a majority in a single-member district. See Pender Cnty.,
Plaintiffs have not challenged any of the trial court’s findings of fact relating to the twenty-six VRA districts, and thus those findings are binding on appeal. Koufman,
Moreover, the trial court made additional findings of fact, recited above, that would be relevant to the Gingles totality of circumstances test for twenty-two of the challenged VRA districts.
b. Compelling Governmental Interest under Section 5 of the Voting Rights Act
As noted above, forty of North Carolina’s one hundred counties were covered by section 5 at the time of redistricting. This section, which prevents retrogression, forbids “[a]ny voting qualification or prerequisite to voting, or standard, practice, or procedure with respect to voting that has the purpose of or will have the effect of diminishing the ability of any citizens of the United States on account of race or color ... to elect their preferred candidates of choice.” 52 U.S.C.S. § 10304(b).
We concluded above that compliance with section 5 is a compelling state interest. Turning then to the facts of this case, we take into account the evidence recited above in our discussion regarding the State’s concern about possible section 2 liability. In addition, the appendices to the trial court’s order indicate that all of North Carolina Senate Districts 5, 21, -and 28, and all of North Carolina House Districts 5, 7, 12, 24, 42, and 57, are in counties covered by section 5. Also, section 5 covers most of the territory contained in United States Congressional District One, Senate Districts 4 and 20, and House Districts 21, 32, and 48. Moreover, all of the twenty-six challenged districts contain areas that previously have been part of majority-minority districts. As a result of their connection with counties covered under section 5, these districts may become subject to nonretrogression analysis. Georgia v. Ashcroft,
3. Narrow Tailoring
Having determined that defendants had a compelling interest both in avoiding section 2 liability and in avoiding retrogression under section 5, we now consider whether the redistricting was sufficiently narrowly tailored to advance those state interests as to the twenty-six districts created to comply with the Voting Rights Act. See Stephenson I,
*564 the “narrow tailoring” requirement of strict scrutiny allows the States a limited degree of leeway in furthering such interests [as VRA compliance]. If the State has a “strong basis in evidence” for concluding that creation of a majority-minority district is reasonably necessary to comply with § 2, and the districting that is based on race “substantially addresses the § 2 violation,” it satisfies strict scrutiny.
Vera,
As discussed above, the trial court found that the General Assembly designed each of the challenged districts to consist of a Total Black Voting Age Population exceeding fifty percent of the total voting age population in that district. We have held that doing so is permissible as a method of addressing potential liability under section 2. Pender Cnty.,
The Total Black Voting Age Population percentage ranges from a low of 50.45% to a high of 57.33% in the twenty-six districts in question. However, the average Total Black Voting Age Population of the challenged districts is only 52.28%. Twenty-one of the twenty-six districts have Total Black Voting Age populations of less than 53%, and only two of these districts, Senate 28 and House 24, exceed 55% Total
Plaintiffs argue that creating districts with a Total Black Voting Age Population percentage exceeding fifty percent constitutes impermissible racial packing, citing Vera,
Although the burden is upon the State under strict scrutiny, the parties challenging the redistricting must also make a showing.
In a case such as this one where majority-minority districts (or the approximate equivalent) are at issue and where racial identification correlates highly with political affiliation, the party attacking the legislatively drawn boundaries must show at the least that the legislature could have achieved its legitimate political objectives in alternative ways that are comparably consistent with traditional districting principles. That party must also show that those districting alternatives would have brought about significantly greater racial balance.
Cromartie II,
We are aware of the Supreme Court’s warning that “if there were a showing that a State intentionally drew district lines in order to destroy otherwise effective crossover districts, that would raise serious questions under both the Fourteenth and Fifteenth Amendments.” Strickland,
4. Proportionality
Finally, because plaintiffs challenge the General Assembly’s consideration of proportionality, the trial court analyzed whether the legislature used proportionality in the enacted plans improperly to “link[ ] the number of majority-minority voting districts to minority members’ share of the relevant population.” See De Grandy,
endeavored to create VRA districts in roughly the same proportion as the ratio of Black population to total population in North*567 Carolina. In other words, because the 2010 census figures established that 21% of North Carolina’s population over 18 years of age was ‘any part Black,’ the corresponding rough proportion of Senate seats, out of 50 seats, would be 10 seats, and hence 10 VRA Senate districts. Likewise, of the 120 House seats, 21% of those seats would be roughly 25 House seats, and hence 25 VRA districts.
Based on these and other findings, the trial court concluded that “the General Assembly had a strong basis in evidence for concluding that ‘rough proportionality’ was reasonably necessary to protect the State from anticipated liability under § 2 of the VRA and ensuring preclearance under § 5 of the VRA.”
Plaintiffs now argue that this conclusion is erroneous as a matter of law because racial proportionality is neither a compelling governmental interest nor a requirement of the VRA. They contend that, because “[t]he VRA was not designed to guarantee majority-minority voting districts, but to guarantee that the processes, procedures, and protocols would be fair and free of racial discrimination,” the legislature’s redistricting was based upon an unconstitutional premise. Plaintiffs contend that, by focusing on proportionality at the statewide level, the General Assembly necessarily predetermined how many VRA districts to draw without first considering where potential liability existed for section 2 violations. Plaintiffs maintain that, as a result, the General Assembly’s process sought “ ‘outright racial balancing,’ ” which is “patently unconstitutional” under such cases as Fisher v. University of Texas at Austin, _U.S. _, _,
The VRA provides that “nothing in this section establishes a right to have members of a protected class elected in numbers equal to their proportion in the population.” 52 U.S.C.S. § 10301(b). Consistent with this proviso, the Supreme Court has repeatedly held that proportionality does not provide a safe harbor for States seeking to comply with section 2. LULAC,
In light of these standards, the record here demonstrates that the General Assembly did not use proportionality improperly to guarantee the number of majority-minority voting districts based on the minority members’ share of the relevant population. We believe that such an effort, seeking to guarantee proportional representation, proportional success, or racial balancing, would run afoul of the Equal Protection Clause. See De Grandy,
Thus, with regard to the VRA districts, we hold that, while the General Assembly considered race, the trial court erred by concluding prematurely that race was the predominant factor motivating the drawing of the districts without first performing adequate fact finding. However, because we held above that the trial court correctly found that each of the twenty-six districts survives strict scrutiny, we need not remand the case for reconsideration under what may be a less demanding standard of review.
We now turn to the four districts that the trial court found were not drawn as VRA districts but which were challenged by plaintiffs as being the result of racial gerrymandering. These were the Fourth and Twelfth Congressional Districts, North Carolina Senate District 32, and North Carolina House District 54.
The trial court made numerous specific findings of fact as to whether race was the General Assembly’s predominant motive in drafting these districts. For example, the court found that race was not a factor in drawing Congressional District Twelve, Congressional District Four, and House District 54. In fact, the record indicates that the drafters of these three districts did not consider racial data. The trial court found that political goals were a factor in drawing Congressional Districts Twelve and Four, and that protection of incumbents was a factor in drawing Congressional District Twelve and House District 54. The trial court found that the drafting of Senate District 32 was compelled by the need to comply with the population distribution requirements set out in Stephenson I. In addition, the drafters were instructed to comply with Cromartie II in drawing Congressional District Twelve and Congressional District Four, and with Gingles in Senate District 32. The drafters considered the Whole County Provision of the North Carolina Constitution in drawing Senate District 32 and House District 54. Based on these findings, the trial court determined that the “shape, location and composition” of each of these districts was dictated not only by such factors as a desire to avoid liability under section 2 of the Voting Rights Act and attaining preclearance under section 5 of that Act, but also by other “equally dominant legislative motivations,” such as complying with the North Carolina Constitution, equalizing population among districts, protecting incumbents in both parties, and fashioning districts “that were more competitive for Republican candidates than the plans used in past decades or any of the alternative plans.”
Once the trial court found that race was not a predominant motive in drafting these four districts, it applied the rational basis test. Under this test, a court considers whether the drawing of the districts bears “ ‘some rational relationship to a conceivable legitimate governmental interest.’ ” Rhyne v. K-Mart Corp.,
Plaintiffs argue to us that the trial court erred in its findings of fact and conclusions of law regarding Congressional District Twelve and North Carolina Senate District 32, contending that race manifestly was the predominant factor in the construction of these districts. As detailed above, the trial court found both racial and non-racial motivations, with neither category predominant. When a trial court sits without a jury, “the trial court’s findings of fact have the force and effect of a jury verdict and are conclusive on appeal if there is competent evidence to support them, even though the evidence could be viewed as supporting a different finding.” Bailey v. State,
We conclude that the trial court did not err either in its determination that the rational basis test was appropriate or in its application of that test to the evidence it credited. The Supreme Court of the United States has recognized that compliance with federal law, incumbency protection, and partisan advantage are all legitimate governmental interests. See Shaw I,
III. Plaintiffs’ State Claims
We now consider plaintiffs’ claims brought under state law. Plaintiffs argue that the trial court erred when it failed to find that the enacted Senate and House plans violate the Whole County Provision of the North Carolina Constitution. Article II, Section 3(3) of the
The tension between the Whole County Provision and federal requirements is apparent. In 1983, a three-judge panel of the United States District Court for the Eastern District of North Carolina held that the Whole County Provision was unenforceable anywhere in the State. Cavanagh v. Brock,
This Court has set out nine criteria for ensuring that House and Senate districts satisfy both the Whole County Provision and the Voting Rights Act. Stephenson I,
In their discussion of the Whole County Provision, plaintiffs contend that the test of a plan’s compliance with Stephenson Is fifth and sixth criteria is the number of counties left undivided. They argue that the current plan violates Stephenson I because it divides counties and traverses county lines to an unnecessary extent. In support of their argument, plaintiffs submit charts indicating that their suggested “House Fair and Legal” plan results in five fewer divided counties and six fewer county line traversals than the enacted House plan, while maintaining the same number of groupings. Similarly, plaintiffs’ charts indicate that their suggested “Senate Fair and Legal” plan divides five fewer counties and contains eleven fewer traversals of county lines than the enacted Senate plan.
Defendants respond that plaintiffs have misinterpreted the requirements of Stephenson I. According to defendants, Stephenson I is satisfied by minimizing the number of counties contained within each multi-county grouping. In other words, a proper plan maximizes the number of possible two-county groupings before going on to create three-county groupings, maximizes the number of possible three-
While we are conscious of the efforts of the litigants to interpret Stevenson I’s requirements faithfully, after careful review of our opinions in Stephenson I and Pender County, we are satisfied that defendants’ interpretation is correct. Stephenson Ts fifth factor states that, when combining two or more counties to comply with the one-person, one-vote standard, “the requirements of the WCP are met by combining or grouping the minimum number of whole, contiguous counties necessary” for compliance.
In addition, the maps that plaintiffs employ to support their arguments regarding the Whole County Provision are not helpful because they are premised upon a flawed understanding of our holding in Pender County. In that case, we held that the first Gingles precondition can be shown only where the minority population is fifty percent plus one of the Total Black Voting Age Population. Pender Cnty.,
Plaintiffs have also compared the General Assembly’s enacted plans with earlier redistricting plans approved in North Carolina. However, those plans were tailored to a particular time and were based upon then-existing census numbers and population concentrations. The requirement that the State maintain its one-person, one-vote standard as populations shift makes comparisons between current and previous districting plans of limited value. The utility of prior plans is further diminished by subsequent clarifications of the legal standards in effect when these earlier plans were promulgated. See, e.g., Pender Cnty.,
Separately, plaintiffs argue that this Court should consider the purported lack of compactness of the districts created by the General
Finally, plaintiffs argue that the enacted plans violate the “Good of the Whole” clause found in Article I, Section 2 of the Constitution of North Carolina. We do not doubt that plaintiffs’ proffered maps represent their good faith understanding of a plan that they believe best for our State as a whole. However, the maps enacted by the duly elected General Assembly also represent an equally legitimate understanding of legislative districts that will function for the good of the whole. Because plaintiffs’ argument is not based upon a justiciable standard, and because acts of the General Assembly enjoy “a strong presumption of constitutionality,” Pope v. Easley,
We agree with the unanimous three-judge panel that the General Assembly’s enacted plans do not violate plaintiffs’ constitutional rights. We hold that the enacted House and Senate plans satisfy state and federal constitutional and statutory requirements. Accordingly, we affirm the trial court.
AFFIRMED.
Notes
. Effective 1 September 2014, section 5 of the VRA is codified at 52 U.S.C.S. § 10304 (LexisNexis 2014). Section 5 previously was codified at 42 U.S.C.S. § 1973c.
. Because a software glitch caused the State’s initial submission to the Department of Justice to be incomplete, the General Assembly enacted curative statutes on 7 November 2011. These statutes were precleared on 8 December 2011.
. “If compliance with § 5 were not a compelling state interest, then a State could be placed in the impossible position of having to choose between compliance with § 5 and compliance with the Equal Protection Clause.” League of United Latin Am. Citizens v. Perry,
. These counties were Beaufort, Bertie, Chowan, Craven, Cumberland, Durham, Edgecombe, Gates, Guilford, Granville, Greene, Halifax, Hertford, Hoke, Jones, Lenoir, Martin, Mecklenburg, Nash, Northampton, Pasquotank, Perquimans, Pitt, Robeson, Sampson, Scotland, Vance, Wake, Warren, Washington, Wayne, and Wilson.
. The article included references to cases involving the following counties: Beaufort, Bladen, Cumberland, Duplin, Forsyth, Franklin, Granville, Halifax, Lenoir, Montgomery, Pasquotank, Person, Pitt, Richmond, Sampson, Scotland, Tyrrell Vance, Wayne, and Washington.
. The districts not affected by this evidence are Senate 28, House 29, House 31, and House 57.
. The only districts not affected by at least one of these three pieces of evidence are Senate 28, House 29, House 31, and House 57.
. This statute no longer applies in North Carolina. Shelby Cnty. v. Holder,_ U.S._,
Concurrence Opinion
concurring in part and dissenting in part.
I agree with the majority’s holding with respect to plaintiffs’ challenge under the “Good of the Whole” Clause in Article I, Section 2 of the Constitution of North Carolina. Nonetheless, because the twenty-six VRA districts at issue and two of the four non-VRA districts were created in direct contradiction to federal and state provisions, this Court should vacate the trial court’s judgment and remand the matter to the lower court for proper findings of fact and conclusions of law. I therefore respectfully dissent. Furthermore, there are several points of error, any of which would warrant vacating and remanding. With respect to the VRA districts, the record, supports the trial court’s conclusions that the VRA districts were drawn with race as the predominant motive and that strict scrutiny applies. Contrary to the conclusions reached by the
I.
Though this honorable Court wishes to achieve finality in this appeal, the citizens of this state would be better served by this Court if we held our usual course and vacated and remanded the case to the trial court for proper findings of fact and conclusions of law based upon a correct interpretation of the law. I disagree with the majority’s assertion that doing so “would achieve nothing but delay” because “the panel has already conducted its analysis under th[e] [strict scrutiny] standard.” In its analysis the trial court incorrectly stated and applied the standard. At a minimum, proper findings, once made, would better illuminate defendants’ actions in view of the appropriate constitutional tests and would provide a better basis for proper review by this Court, potential consideration by the Supreme Court of the United States, and assessment by the citizens of North Carolina of our General Assembly’s actions and this Court’s decision.
In reaching its conclusions, the trial court misapplied precedent from this Court and the Supreme Court of the United States. The majority compounds the error by ignoring altogether the trial court’s explicit findings of fact and by too generously characterizing the General Assembly’s enacted plan. The majority’s departure from this Court’s usual course of adherence to our settled principles of appellate review could create a stain of suspicion among the citizens of the state regarding the actions of their elected officials and bodies of government— both legislative and judicial. See, e.g., State v. Carter,
II.
Contrary to the majority’s opinion, the trial court correctly concluded that strict scrutiny applies; however, the trial court incorrectly articulated the standard and therefore improperly applied its findings of fact to the standard. Of particular concern is the trial court’s finding that the General Assembly’s use of “rough proportionality” as a
A.
It is well established that “all laws that classify citizens on the basis of race, including racially gerrymandered districting schemes, are constitutionally suspect and must be strictly scrutinized.” Hunt v. Cromartie,
The burden to make this showing falls to the plaintiff:
The plaintiff’s burden is to show, either through circumstantial evidence of a district’s shape and demographics or more direct evidence going to legislative purpose, that race was the predominant factor motivating the legislature’s decision to place a significant number of voters within or without a particular district. To make this showing, a plaintiff must prove that the legislature subordinated traditional race-neutral districting principles, including but not limited to compactness, contiguity, and respect for political subdivisions or communities defined by actual shared interests, to racial considerations.
If the plaintiff satisfies this initial burden of production, the redistricting legislation “cannot be upheld unless it satisfies strict scrutiny, [the] most rigorous and exacting standard of constitutional review.”
Here, while acknowledging the fact-intensive nature of the examination into whether race was the predominant factor motivating the legislature’s redistricting decision, the trial court believed that it was “able to by-pass this factual inquiry” for the twenty-six VRA districts:
The Plaintiffs collectively challenge as racial gerrymanders 9 Senate, 18 House and 3 U.S. Congressional districts created by the General Assembly in the Enacted Plans. Of those 30 challenged districts, it is undisputed that the General Assembly intended to create 26 of the challenged districts to be “Voting Rights Act districts” [hereinafter “VRA districts”] and that it set about to draw each of these VRA districts so as to include at least 50% Total Black Voting Age Population [hereinafter “TBVAP”]. Moreover, the General Assembly acknowledges that it intended to create as many VRA districts as needed to achieve a “roughly proportionate” number of Senate, House and Congressional districts as compared to the Black population in North Carolina. To draw districts based upon these criteria necessarily requires the drafters of districts to classify residents by race so as to include a sufficient number of black voters inside such districts, and consequently exclude white voters from the districts, in an effort to achieve a desired racial composition of >50% TBVAP and the desired “rough proportionality.” This is a racial classification.
The majority explains that
[b]ecause of the trial court’s truncated findings of fact [as to whether race was “the General Assembly’s predominant motivation in forming the twenty-six VRA districts”], we do not know which other factors may have influenced the creation and shape of these twenty-six districts and the extent of any such influence. As a result, we do not know whether race fairly can be described as the predominant factor in the formation of these districts and whether, in turn, strict scrutiny was the appropriate standard of review.
The majority then analyzes the case as if strict scrutiny applies. This Court should remand for the trial court to clarify the full basis for its conclusion that plaintiffs have met their burden to show that race was the predominant factor. The record provides substantial evidence and the Supreme Court of the United States provides clear guidance on this point. Furthermore, as discussed below, the trial court’s subsequent findings with regard to proportionality inescapably lead to the conclusion that race was the predominant factor, thereby requiring strict scrutiny.
Plaintiffs and amici point to evidence showing that State Senator Robert Rucho and State Representative David Lewis, the respective chairs of the Senate and House Redistricting Committees, instructed Dr. Thomas Hofeller, the “chief architect” of the redistricting plans, to draw the plans to provide “substantial proportionality]” between the percentage of the state’s population that is Black and the percentage of districts that would be majority Black. Dr. Hofeller was also told to “draw a 50% plus one district wherever in the state there is a sufficiently compact black population” to do so. The public statements released by Senator Rucho and Representative Lewis also reflect these legislative goals, saying that, in order to comply with VRA section 2, the VRA districts are designed to provide Black voters with “substantial proportionality” and “must be established with a BVAP of 50% plus one.” As stated particularly well by the amici election law professors, this “undisputed, direct evidence” demonstrates the legis
The Supreme Court of the United States has found similar evidence to be sufficient to trigger strict scrutiny of the redistricting plans. See, e.g., Bush v. Vera,
the state then has the burden of “producing evidence that the plan’s use of race is narrowly tailored to further a compelling state interest, and the plaintiffs bear the ultimate burden of persuading the court either that the proffered justification is not compelling or that the plan is not narrowly tailored to further it.” Shaw v. Hunt,861 F. Supp. 408 , 436 (E.D. N.C. 1994).
In support of this proposition, the trial court quotes the district court’s decision in Shaw II. In Shaw II, however, the Supreme Court of the United States reversed the trial court and, in doing so, held that under strict scrutiny, “North Carolina . . . must show not only that its redistricting plan was in pursuit of a compelling state interest, but also that ‘its districting legislation is narrowly tailored to achieve [that] compelling interest.’ ”
This conclusion is bolstered by the Supreme Court’s earlier statement in Miller that, “[t]o satisfy strict scrutiny, the State must demonstrate that its districting legislation is narrowly tailored to achieve a compelling interest.”
Here the trial court attempted to distinguish Fisher on the ground that the General Assembly is entitled to some degree of deference given that redistricting is “an inherently political process.” The Supreme Court, however, has declined to defer to political decision makers and apply something less than strict scrutiny to race-based classifications:
*582 But we have refused to defer to state officials’ judgments on race in . . . areas where those officials traditionally exercise substantial discretion. For example .... in the redistricting context, despite the traditional deference given to States when they design their electoral districts, we have subjected redistricting plans to strict scrutiny when States draw district lines based predominantly on race.
Johnson v. California,
Thus, the trial court’s misunderstanding and misapplication of the strict scrutiny analytical framework should warrant this Court’s vacating the trial court’s decision and remanding for reconsideration in light of correct principles. See id. at_,
B.
I turn next to address the invalidity of the twenty-six VRA districts. In view of the appropriate strict scrutiny standard, assuming that the state had a compelling interest in avoiding liability under
In Thornburg v. Gingles, 478 U.S. 30,
Here, in considering whether the General Assembly’s plan was narrowly tailored, the trial court reviewed, inter alia, defendants’ Memorandum, of Law in Support of their Motion for Summary Judgment. Defendants’ Memorandum states:
[defendants freely admit three principles followed by them in drawing the enacted legislative plans:
3. that the General Assembly would explore the possibility of establishing a sufficient number of VRA legislative districts to provide African-American voters with rough proportionality in*584 the number of VRA districts in which they have reasonable opportunity to elect their candidates of choice.
Defendants further state that they “increased the number of VRA districts to provide African American voters with rough proportionality in the number of districts in which they can elect candidates of choice.”
After reviewing defendants’ Memorandum and other materials, the trial court entered its judgment explaining the General Assembly’s use of proportionality in redrawing its district plans as follows:
The undisputed evidence establishes that the General Assembly, in drafting the Enacted Plans, endeavored to create VRA districts in roughly the same proportion as the ratio of Black population to total population in North Carolina. In other words, because the 2010 census figures established that 21% of North Carolina’s population over 18 years of age was “any part Black,” the corresponding rough proportion of Senate seats, out of 50 seats, would be 10 seats, and hence 10 VRA Senate districts. Likewise, of the 120 House seats, 21% of those seats would be roughly 25 House seats, and hence 25 VRA districts.
The General Assembly, in using “rough proportionality” as a benchmark for the number of VRA districts it created in the Enacted Plans, relies upon Supreme Court precedent that favorably endorses “rough proportionality” as a means by which a redistricting plan can provide minority voters with an equal opportunity to elect candidates of choice. League of United Latin Am. Citizens v. Perry,548 U.S. 399 , 429-30 (2006) [hereinafter LULAC]; Shaw II,517 U.S. at 916 n.8; De Grandy,512 U.S. at 1000 . In De Grandy, the Supreme Court said that “no violation of § 2 can be found . . ., where, in spite of continuing discrimination and racial bloc voting, minority voters form effective voting majorities in a number of districts roughly proportional to the minority voters’ respective shares in the voting-age population.”512 U.S. at 1013-1015 . Where a State’s election districts reflect substantial proportionality between majority and minority populations, the Supreme Court explained, such districts would “thwart the historical tendency to exclude [the minority population], not encourage or perpetuate it.” Id. at 1014. It is reasonable for the General Assembly to rely upon this unequivocal holding of the Supreme Court in drafting a plan to avoid § 2 liability. When the Supreme Court says “no violation of § 2 can be found” under certain circumstances, prudence dictates that the General*585 Assembly should be given the leeway to seek to emulate those circumstances in its Enacted Plans.
(ellipsis in original) (emphases added) (footnote call number omitted). The trial court concluded that achieving rough proportionality was “not inconsistent with the General Assembly’s obligation to narrowly tailor the plans under strict scrutiny.” Although the trial court correctly cited the holding in De Grandy, the case does not support the trial court’s conclusion.
In De Grandy the Florida legislature drew majority-minority districts roughly proportionate in number to the minorities’ share of the total Florida population. While the Supreme Court held that such redistricting did not violate VRA section 2, the Court explicitly rejected the state’s proposed rule that “rough proportionality” would always immunize the state from VRA section 2 liability, stating:
[W]e reject the safe harbor rule because of... a tendency to promote and perpetuate efforts to devise majority-minority districts even in circumstances where they may not be necessary to achieve equal political and electoral opportunity. Because in its simplest form the State’s rule would shield from § 2 challenge a districting scheme in which the number of majority-minority districts reflected the minority’s share of the relevant population, the conclusiveness of the rule might be an irresistible inducement to create such districts. It bears recalling, however, that for all the virtues of majority-minority districts as remedial devices, they rely on a quintessentially race-conscious calculus aptly described as the “politics of second best.”
Id. at 1019-20,
A state legislature is thus required to determine whether each majority-minority district is reasonably necessary to afford minorities equal political and electoral opportunity. See League of United Latin Am. Citizens v. Perry,
Notwithstanding, based on its misreading of De Grandy, the trial court cites approvingly defendants’ use of proportionality as the “benchmark” for creating the enacted plan — beginning with proportionality as the goal and then working backwards to achieve that goal. Similarly, the trial court reasoned: “When the Supreme Court says ‘no violation of § 2 can be found’ under certain circumstances, prudence dictates that the General Assembly should be given the leeway to seek to emulate those circumstances in its Enacted Plans.” (quoting De Grandy,
By characterizing the General Assembly’s consideration of race as a “prophylactic consideration” used “as a means of inoculating the redistricting plans against potential legal challenges under section 2’s totality of the circumstances test,” the majority compounds the trial court’s error and purports to establish the use of race as a legislative safe harbor in derogation of the clear prohibition against such use set forth by the Supreme Court of the United States. De Grandy,
C.
With respect to the four non-VRA districts, plaintiffs challenge the trial court’s determination that “race was not the predominant motive in the creation of’ Senate District 32 and Congressional District 12. “The legislature’s motivation is itself a factual question,”
i.
Looking first at Senate District 32, plaintiffs contend that the trial court’s findings actually undermine its conclusion that strict scrutiny does not apply because the districts are not race-based. The trial court found the following relevant facts:
204. As was true under the 2000 Census, under the 2010 Census there is insufficient TBVAP in Forsyth County to draw a majority-TBVAP Senate district in Forsyth County. However, because of concerns regarding the State’s potential liability under § 2 and § 5, Dr. Hofeller was instructed by the redistricting chairs to base the 2011 Senate District 32 on the 2003 versions of Senate District 32.
207. The first version of Senate District 32 that was released by the General Assembly had a TBVAP of 39.32%. Subsequently, the SCSJ plan was released. Its version of District 32 was located in a three-county and three-district group (Forsyth, Davie, Davidson). The SCSJ District 32 had a TBVAP of 41.95%. The SCSJ District 32 was a majority-minority coalition district with a non-Hispanic white population of 43.18%.
208. The redistricting chairs were concerned that any failure to match the TBVAP % found in the SCSJ District 32 could potentially subject the state to liability under § 2 or § 5 of the VRA. Therefore, Dr. Hofeller was instructed by the Redistricting Chairs to re-draw the State’s version of Senate District 32 so that it would at least equal the SCSJ version in terms of TBVAP.
As discussed above, the Supreme Court of the United States has held that when redistricting plans drawn in an attempt to preempt VRA section 2 litigation or obtain VRA section 5 preclearance are predominantly race-based, such plans attract strict scrutiny. See Vera,
ii.
With respect to Congressional District 12, the trial court’s findings belie a fundamental problem with redistricting, particularly in North Carolina, the importance of which cannot be overstated. In Easley v. Cromartie,
With respect to House District 54 and Congressional District 4, the trial court also found that race was not the predominant motivating factor. Plaintiffs do not contest these determinations, and they are binding on appeal. Koufman v. Koufman,
D.
With respect to the Whole-County Provisions (“WCP”), plaintiffs contend that the trial court erred in .concluding that the enacted house and senate plans do not violate the provisions of the state constitution, which dictate that “[n]o county shall be divided in the formation of a senate district,” N.C. Const, art. II, § 3(3), and “[n]o county shall be divided in the formation of a representative district,” id. art. II, § 5(3). In Stephenson v. Bartlett,
. . . [T]o ensure full compliance with federal law, legislative districts required by the VRA shall be formed prior to creation of non-VRA districts. ... In the formation of VRA districts within the revised redistricting plans on remand, we likewise direct, the trial court to ensure that VRA districts are formed consistent with federal law and in a manner having no retrogressive effect upon minority voters. To the maximum extent practicable, such VRA districts shall also comply with the legal requirements of the WCP, as herein established ....
In forming new legislative districts, any deviation from the ideal population for a legislative district shall be at or within plus or minus five percent for purposes of compliance with federal “one-person, one-vote” requirements.
*591 In counties having a 2000 census population sufficient to support the formation of one non-VRA legislative district..., the WCP requires that the physical boundaries of any such non-VRA legislative district not cross or traverse the exterior geographic line of any such county.
When two or more non-VRA legislative districts may be created within a single county, . . . single-member non-VRA districts shall be formed within said county. Such non-VRA districts shall be compact and shall not traverse the exterior geographic boundary of any such county.
In counties having a non-VRA population pool which cannot support at least one legislative district... or, alternatively, counties having a non-VRA population pool which, if divided into districts, would not comply with the . . . “one-person, one-vote” standard, the requirements of the WCP are met by combining or grouping the minimum number of whole, contiguous counties necessary to comply with the at or within plus or minus five percent “one-person, one-vote” standard. Within any such contiguous multi-county grouping, compact districts shall be formed, consistent with the at or within plus or minus five percent standard, whose boundary lines do not cross or traverse the “exterior” line of the multi-county grouping; provided, however, that the resulting interior county lines created by any such groupings may be crossed or traversed in the creation of districts within said multi-county grouping but only to the extent necessary to comply with the at or within plus or minus five percent “one-person, one-vote” standard.
The intent underlying the WCP must be enforced to the maximum extent possible; thus, only the smallest number of counties necessary to comply with the at or within plus or minus five percent “one-person, one-vote” standard shall be combined[.]
. . . fCJommunities of interest should be considered in the formation of compact and contiguous electoral districts.
. . . [M]ulti-member districts shall not be used in the formation of legislative districts unless it is established that such districts are necessary to advance a compelling governmental interest.
Finally, we direct that any new redistricting plans, including any proposed on remand in this case, shall depart from*592 strict compliance with the legal requirements set forth herein only to the extent necessary to comply with federal law.
Stephenson II,
• In view of my analysis concerning plaintiffs’ equal protection claim, the WCP issue also warrants remanding the case because the General Assembly, in attempting to comply with Stephenson Fs Rule 1, drew the VRA districts before applying Rules 2 through 9. Because I conclude that the VRA districts are unconstitutional, this Court should instruct the General Assembly to redraft its redistricting plans. The unconstitutional VRA districts would necessarily affect the result of the General Assembly’s application of the rubric set forth in Stephenson I. See Pender Cnty. v. Bartlett,
E.
Having carefully considered the precedent established by the Supreme Court of the United States, the decisions of this Court, and the record on appeal, it is important to recognize that race can be used as a factor fairly, but it equally important to emphasize that race must not be used punitively. To this end, it is important to be cognizant of race, not only in view of the historical record of our state and our nation, but also taking into account modern realities and future possibilities. It is for this reason that I note my concern with the majority’s statement that “no meaningful comparisons can be made” with “earlier redistricting plans approved in North Carolina” because “those plans were tailored to a particular time and were based upon then-existing census numbers and population concentrations.” Some comparisons may be of limited value, but increasingly sophisticated data processing and modes of visual representation may provide helpful comparisons among past, present, and proposed districts in view of past and present population concentrations. It would be a disservice to North Carolina’s citizens and our courts if the majority’s statements are read to foreclose without qualification any meaningful comparisons with earlier approved plans.
As discussed above, the trial court erred by making incomplete findings of fact and conclusions of law. Further, even using the findings as made by the trial court, the court’s judgment discloses several serious misapplications of law, which led the court to erroneous conclusions of law. There can be no serious debate that strict scrutiny applies in view of the General Assembly’s use of race as a benchmark for measuring the redistricting plan. The VRA districts are fatally defective in view of the legislature’s use of racial proportionality as a safe harbor, and the invalidity of these districts necessarily renders invalid the entire plan under settled federal constitutional standards announced by the Supreme Court of the United States. Similarly, the trial court’s findings regarding the non-VRA districts do not support its conclusions. Furthermore, these impermissibly racially gerrymandered districts fail under the Whole County Provision of the North Carolina Constitution. For any of these errors, this Court would do well to vacate and remand rather than prematurely affirm a defective and ultimately undemocratic districting plan.
Accordingly, I concur in that part of the majority’s opinion regarding plaintiffs’ remaining state claims related to the “Good of the Whole” Clause in Article I, Section 2 of. the Constitution of North Carolina, and respectfully dissent from those parts of the opinion affirming the trial court’s erroneous judgment.
. “If, however, [the] plaintiff [ ] cannot show that race was the ‘predominant factor’ to which traditional districting principles were ‘subordinated,’ and thus cannot meet the threshold for triggering strict scrutiny, it follows that the facially neutral classification (the electoral district) will be subject, at most, to rational basis review.” Quilter v. Voinovich,
. “Packing” is one means of diluting minority voting strength. For example, “[a] minority group ... might have sufficient numbers to constitute a majority in three districts. So apportioned, the group inevitably will elect three candidates of its choice, assuming the group is sufficiently cohesive. But if the group is packed into two districts in which it constitutes a super-majority, it will be assured only two candidates.” Voinovich v. Quilter,
. The United States Supreme Court has repeatedly assumed without deciding that compliance with the VRA can be a compelling state interest in the strict scrutiny context, but the Court has not expressly decided the issue. See Shaw II,
