Opinion for the Court filed by Circuit Judge, STEPHEN F. WILLIAMS.
While attending college, plaintiffs Ernest A. Tuckett III and William Demps, Jr. also worked as “testers” for the Fair Employment Council of Greater Washington. In December 1990, both Tuckett and Demps, who are black, were paired with white testers also employed by the Council. On successive days, the two pairs of testers — equipped with fake credentials intended to be comparable— sought employment referrals from BMC Marketing Corporation, which runs an employment agency in the District of Columbia. Both times the white tester received a referral and the black tester did not; indeed, BMC allegedly refused even to accept an application from one of the two black testers. On the basis of these tests, the Council and the two black testers sued BMC in federal district court, alleging that BMC has “a pattern, practice and policy of employment discrimination on the basis of race”. The plaintiffs asserted claims under two different federal statutes — 42 U.S.C. § 1981 and 42 U.S.C. § 2000e — and one local statute. They sought declaratory and injunctive relief as well as damages of various sorts.
BMC moved to dismiss the complaint for want of standing. The district court denied the motion but granted BMC leave to take an interlocutory appeal under 28 U.S.C. § 1292(b),
I. The Individual Testers
A. Federal Claims
Neither of the federal statutes that they invoke gives the tester plaintiffs a cause of action for damages, and they lack standing to seek the other forms of relief requested.
1. Claims for Damages
a. U.S.C. § 1981
Section 1981 gives all citizens of the United States “the same right in every State and Territory to make and enforce contracts ... as is enjoyed by white citizens”, language that the Supreme Court has interpreted to prohibit not only racially discriminatory government interference with private contracting but also purely private discrimination in contracts.
Runyon v. McCrary,
As for the first assertion, BMC denies that it enters into contracts with the people who seek referrals from it. The plaintiffs respond that this argument assumes factual matters that should be dealt with in further proceedings. But even if BMC sometimes does enter into contracts with job-seekers, the' testers here made conscious and material *1271 misrepresentations of fact by deceiving BMC about their intentions and by presenting BMC with fictitious credentials. Any results ing contracts between the tester plaintiffs and BMC would have been voidable at BMC’s option, as the plaintiffs appear to recognize. See, e.g., Rest. (2d) of Contracts § 164(1) (1981). Even on the plaintiffs’ argument, then, BMC did not deny the testers the opportunity to enter into a contract that they could have enforced.
Certainly the loss of the opportunity to enter into a
void
contract — i.e., a contract that
neither
party can enforce — is not an injury cognizable under § 1981, for a void contract is a legal nullity. From the perspective of the party who obtains a contract through misrepresentations, however, it is generally
worse
for the contract to be voidable than for it to be void; in the absence of any kind of ratification, a voidable contract simply gives the other party an
option.
In any event, the rule that contracts obtained through misrepresentations are merely void
able
rather than void seems designed entirely to protect the
target
of the misrepresentations. We conclude, therefore, that the loss of the opportunity to enter into a contract voidable at the other party’s will is not cognizable under § 1981. Cf., e.g.,
Kawitt v. United States,
The plaintiffs’ second assertion fails because the testers eoncededly had no interest in securing a job through BMC. Indeed, they had promised the Council to refuse any offer of employment that they received in conjunction with their testing activities. See Plaintiffs’ Rule 108(h) Statement of Genuine Factual Issues (Sept. 18, 1992) at 17; Defendant Snelling & Snelling, Inc.’s Motion to Dismiss and/or for Summary Judgment (June 23, 1992) tab 14 at 17. In depositions, both of the tester plaintiffs confirmed that they would have rejected any job offer obtained through a referral from BMC. Plaintiffs’ Statement tab 20 at 92 (Tuckett); Snelling’s Motion tab 16 at 233-34 (Demps). At most, then, BMC deprived the tester plaintiffs of the opportunity to refuse to enter into an employment contract with BMC’s clients. This too is not an injury cognizable under § 1981.
Our conclusion that the tester plaintiffs are not entitled to damages under § 1981 arguably conflicts with decisions of the Third and Eleventh Circuits, but the analysis in those decisions is not directly on point. In
Meyers v. Pennypack Woods Home Ownership Ass’n,
Watts v. Boyd Properties,
Our conclusion that the tester plaintiffs lack a cause of action under § 1981 is perfectly consistent with
Havens Realty Corp. v. Coleman,
b. 42 U.S.C. § 2000e-2(b)
The tester plaintiffs also sought damages under Title VII of the Civil Rights Act of 1964. Title VII declares that “[i]t shall be an unlawful employment practice for an employment agency to fail or refuse to refer for employment, or otherwise to discriminate against, any individual because of his race”. 42 U.S.C. § 2000e-2(b). After exhausting certain administrative remedies (as the plaintiffs have done), “a person claiming to be aggrieved” by any such practice may sue the offending employment agency in court. Id. § 2000e-5(b), (c), (f)(1). This statutory scheme is much more analogous than § 1981 to the provisions of the Fair Housing Act that were at issue in Havens. 1 For our purposes, however, the available remedies are critically different.
Had the tester plaintiff in
Havens
proved her claims, the district court could have awarded her damages. See 42 U.S.C. § 3612(b); cf.
United States v. Balistrieri,
2, Claims for Prospective Relief
Since the tester plaintiffs have
no
cause of action for damages under either § 1981 or Title VII, their federal claims reduce to their request for injunctive or declaratory relief. Yet under
City of Los Angeles v. Lyons,
The plaintiff in
Lyons
alleged that Los Angeles police, without provocation, had subjected him to a chokehold that had knocked him unconscious and injured his larynx. In addition to damages, he sought an injunction barring the police from applying such choke-holds in the future. But the Supreme Court held that he had no standing to seek injunc-tive relief. Despite his allegations of past injury, his standing to seek the injunction “depended on whether he was likely to suffer
future
injury from the use of the chokeholds by police officers”.
Id.
at 105,
Here, the tester plaintiffs made several different references to future injury in their complaint. In general, however, these future injuries spring entirely from BMC’s
past
conduct. See, e.g., Second Amended Complaint ¶ 44 (suggesting that testers will continue to feel embarrassment and humiliation over their treatment during the tests);
id.
¶ 7. To pursue an injunction or a declaratory judgment, the tester plaintiffs must allege a likelihood of future
violations
of their rights by BMC, not simply future
effects
from past violations.
Lyons
is directly on point, for the Court there denied standing despite the plaintiffs allegation that he continued to fear that he would suffer a fatal chokehold in a future encounter with the police. “The emotional consequences of a prior act”, the Court observed, “simply are not a sufficient basis for an injunction absent a real and immediate threat of future injury by the defendant.”
Lyons,
Only once in their complaint do the tester plaintiffs even come close to alleging that they will suffer any future illegality at BMC’s hands. In their § 1981 count (though not in their Title VII count), they assert that “[u]n-less restrained by this Court, defendants will continue to deny, on the basis of race, said plaintiffs and third parties who may be unaware of the defendants’ discriminatory con-duett] the right to make and enforce contracts for employment.” Second Amended Complaint ¶ 50. The reference to third parties, of course, does not help the tester plaintiffs establish standing; to satisfy the requirements of Article III, they must allege that they themselves are likely to suffer future injury. See
Lyons,
First, the plaintiffs assert standing on the basis of “BMC’s continuing failure to refer Mr. Demps or Mr. Tuckett for employment on account of their race”. Appellees’ Brief at 36. This allegation, however, does the tester plaintiffs no good; as we explained above, see supra part LA.l.a., BMC’s refusal to act on the testers’ applications does not violate § 1981. And even if we import the same allegation into the plaintiffs’ Title VII count, the facts as alleged by the plaintiffs would not make out a continuing violation of Title VII either. The tester plaintiffs sought referrals from BMC solely on the basis of their fictitious credentials and their misrepresentations about their desire for jobs. Now that BMC is aware of the deception, it surely has no duty to continue to consider the testers for employment referrals.
The plaintiffs also claim that their complaint, fairly read, raises “the possibility that as people entering the job market or as testers they will in the future seek job referrals from BMC”. Appellees’ Brief at 36. But nowhere does the complaint assert that the tester plaintiffs are likely
ever
to return to BMC seeking employment referrals, let alone that they will do so at any point “in the reasonably near future”. Cf.
Lyons,
The district court overlooked these problems on the theory that the plaintiffs themselves control whether they re-initiate contact with BMC. Mem.Op. at 7. But this fact does not excuse the plaintiffs from alleging that they plan to do so. To the contrary, the Supreme Court has categorically rejected the proposition that a plaintiff seeking prospective relief need assert a threat of imminent future injury “only when the alleged harm depends upon ‘the affirmative actions of third parties beyond a plaintiff’s control’”. See
Defenders of Wildlife,
— U.S. at -n. 2,
In any event, the plaintiffs simply do not control whether they will suffer any future injury, for they do not control whether BMC would discriminate against them in any future encounter. Suppose we could assume that the tester plaintiffs are likely to return to BMC in the reasonably near future. Indeed, for the sake of their § 1981 claim (and possibly even their Title VII claim, see supra at 6 n. 1), suppose we could assume that they will do so as bona fide candidates for employment rather than as testers. They would still appear to be in much the same position as the plaintiff in Lyons: while he presumably could have initiated another encounter with the Los Angeles police, he could not control whether he would be subjected to a second illegal chokehold.
In
Lyons,
the Supreme Court stated that unless the plaintiff could allege that Los An-geles ordered or authorized its police officers to apply unprovoked chokeholds, he could “establish an actual controversy in this ease” only by “mak[ing] the incredible assertion ... that
all
police officers in Los Angeles
always
choke any citizen with whom they happen to have an encounter”.
Lyons,
For all these reasons, the facts as alleged in the complaint do not come close to indicating that either tester “will again be subjected to the alleged illegality”. See
Lyons,
B. The Possibility of Amendment
As a fallback position, the plaintiffs claim that “the appropriate course is to remand to the District Court to permit plaintiffs an opportunity to amend and supplement their Complaint”. Appellees’ Brief at 37 n. 26. In
Havens,
which involved a challenge to a realty company’s alleged practice of steering white customers to white areas and black customers to black areas, the Supreme Court followed this course with respect to two plaintiffs who alleged that the company’s ac
*1275
tions had deprived them of the benefits of living in an integrated community. Though the complaint simply stated that these plaintiffs were “residents of the City of Richmond or Henrico County”, the Court said they would have standing only if they lived in neighborhoods where the company’s actions had “an appreciable effect”. See
Havens,
The Court’s later decisions clarify the reasoning behind this disposition.
Havens
came to the Court on the defendant’s motion to dismiss the case on the pleadings, pursuant to Rule 12(b). Though courts addressing such motions usually must “presume[] that general allegations embrace those specific facts that are necessary to support the claim”,
Lujan v. National Wildlife Fed’n,
The case before us is quite different. We do not confront a complaint whose allegations are so general that we cannot tell whether, if proved, they would demonstrate injury in fact. To the contrary, the allegations plainly are not sufficient to support standing, for they simply do not deal with the likelihood of any future injury to the plaintiff testers. What is necessary, then, is not the “more definite statement” contemplated by Rule 12(e), but an amendment adding allegations that the present complaint does not even touch upon. Rule 15(a) makes clear that the plaintiffs have no automatic right to add those allegations.
On the other hand, district courts do have the
discretion
to permit such amendments when considering a motion to dismiss for want of standing.
Warth v. Seldin,
Of course, a plaintiffs successful effort to persuade a trial court to take an erroneous view of the law may yield different equities from those prevailing in the absence of such an effort. In some circumstances, it might well be an abuse of discretion for the district court to permit plaintiffs to add new allegations to a complaint after their adversaries have been forced to spend substantial time and effort litigating the adequacy of the old allegations. Cf.
National Wildlife Federation,
C. Pendent Claims under District of Columbia Law
The tester plaintiffs have also asserted a cause of action under the District of Columbia’s Human Rights Act. That statute contains a provision similar to §
2000e-2(b),
see D.C.Code § l-2512(a)(2), and it goes further than the original Title VII by authorizing suits for damages as well as for equitable relief, see
id.
§ 1-2556. But the testers were able to bring their claim under this statute to federal court only because it was pendent to their federal claims. See 28 U.S.C. § 1367(a). As a result, even if the plaintiffs have a cause of action for damages under D.C. law, it will be within the district court’s discretion whether or not to dismiss this claim if it dismisses both their federal claims. See id. § 1367(c)(3); cf.
Clifton Terrace
Assocs.
v. United Technologies Corp.,
II. The Fair Employment Council
The other plaintiff in this action, the Fair Employment Council of Greater Washington, fares better under our analysis. The Council does not claim standing on behalf of any members; in fact, it is not a membership organization. Cf.
Hunt v. Washington State Apple Advertising Comm’n,
We agree that the Council has alleged “injury in fact” sufficient to satisfy the requirements of Article III. And, though the Council is suing BMC over alleged violations of statutory rights enjoyed by third parties, we conclude that Congress did give the Council a cause of action under Title VII. We also conclude, however, that the Council has no cause of action under § 1981.
A. Article III Standing
Like the fair-housing organization that was one of the plaintiffs in Havens, the Council has a broad goal of promoting equal opportunity independent of merely seeking more enforcement of the civil rights laws. Second Amended Complaint ¶ 5. Its testing program is but one means toward this goal; the Council also conducts “community outreach and public education, counseling, and research projects”. Declaration of Charles W. Jackson ¶ 8 (Sept. 18, 1992). The complaint alleges that BMC’s discriminatory actions have interfered with these efforts and programs and have also required the Council to expend resources to counteract BMC’s alleged discrimination. Second Amended Complaint ¶¶45, 58, 60.
These allegations closely track the claims that the Supreme Court found sufficient in
Havens.
See
Havens,
In reaching this conclusion, however, we explicitly reject the Council’s suggestion that the mere expense of testing BMC constitutes “injury in fact” fairly traceable to BMC’s conduct. The diversion of resources to testing might well harm the Council’s other programs, for money spent on testing is money that is not spent on other things. But this particular harm is self-inflicted; it results not from any actions taken by BMC, but rather from the Council’s own budgetary choices. Indeed, it is not really a harm at all; assuming that BMC’s actions did not have any other effect'on the Council’s programs independent of its efforts to increase legal pres *1277 sure on possible open housing violators, the Council and its programs would have been totally unaffected if it had simply refrained from making the re-allocation. One can hardly say that BMC has injured the Council merely because the Council has decided that its money would be better spent by testing BMC than by counseling or researching. 3
We disagree with the Seventh Circuit that
Havens
would support such a purely self-referential injury. In
Village of Bellwood v. Dwivedi,
A corollary of our conclusion is that the Council’s standing stems from BMC’s actions against bona fide employment candidates, not from BMC’s actions against the testers. The Council has adequately alleged that BMC has a pattern or practice of discrimination, and its treatment of the testers may be some evidence of such a pattern. Any harm to the Council’s programs, however, flows from BMC’s refusal to refer genuine job-seekers for employment. As this case proceeds, the Council will have to provide support for its claim that BMC’s alleged discrimination has “perceptibly impaired” its programs.
B. Cause of Action
Though the Council has adequately alleged an “injury in fact” sufficient to meet the requirements of Article III, this does not necessarily mean that Congress has conferred a cause of action upon it. BMC has done nothing to impair the Council’s
own
right to make contracts, nor is the Council even capable of seeking an employment referral. Instead, the Council’s asserted injuries flow from BMC’s alleged violations of
other people’s
rights under § 1981 and Title VII. This fact triggers concerns about an aspect of the “prudential” limits on standing: ordinarily, a plaintiff “must assert his own legal interests, rather than those of third parties”.
Gladstone, Realtors,
*1278
To phrase the principle this way, however, is to beg the question. If Congress has given the Council a cause of action to redress the injuries that it is suffering as a result of BMC’s alleged discrimination against candidates for referrals, then the Council is indeed suing to protect its own “legal interests”. Cf., e.g.,
Smith v. City of Cleveland Heights,
When the “prudential” limits on standing to raise statutory claims are understood in this way — as a set of presumptions that courts use in determining whether the statutes in question confer a cause of action upon the plaintiff, see, e.g.,
Warth v. Seldin,
Our case law establishes that Title VII is such a statute. Congress specifically permitted any “person claiming to be aggrieved” by an unlawful employment practice to file suit (after exhausting certain other potential avenues of relief). See 42 U.S.C. § 2000e-5(f)(l). This language, we have held, opens the courts to “anyone who satisfies the constitutional requirements”.
Gray v. Greyhound Lines,
Section 1981 is a different matter. A footnote in
Gray
indicated that there too standing extended to the full extent permissible under Article III.
Gray,
Moreover,
Gray’s
view of § 1981 flatly conflicts with the Supreme Court’s holding in
Warth v. Seldin.
There, an organization whose members included residents of the town of Penfield, New York, complained that the town’s zoning ordinance excluded people of low and moderate income in violation of those people’s rights under § 1981. This exclusion, in turn, injured the organization’s members by depriving them of the benefits of living in an integrated community. Such an injury satisfies the constitutional requirements, and the Court accordingly has recognized it as a basis for standing in suits under the Fair Housing Act (which confers standing to the full extent permitted by Article III). See
Trafficante,
As one would expect, then, other circuits— including our own — have rejected Gray’s view of § 1981. In
Mackey v. Nationwide Insurance Companies,
We too have now explicitly embraced
Mackey
rather than
Gray.
In
Clifton Terrace Associates v. United Technologies Corp.,
In arguing that the “prudential” barriers to standing nonetheless do not preclude its particular suit, the Council cites
Des Vergnes v. Seekonk Water District,
The normal presumption against reading a statute to authorize “derivative” causes of action — that is, causes of action to redress injuries that derive entirely from the violation of someone else’s rights under the statute — is subject to only one exception that is even arguably relevant here. Courts sometimes infer that the legislature intended to authorize such causes of action when, in their absence, no one would be able to assert the statutory rights that the legislature created. Because of this inference, a litigant might have a cause of action even though his injuries flow from the violation of other people’s statutory rights, at least if both of the following conditions are met: (1) the litigant’s interests are aligned with the other people’s interests, and (2) the other people are unable to bring suit in their own right. See, e.g.,
Canfield Aviation v. National Transp. Safety Bd.,
But even assuming that the Council’s interests are aligned with those of the direct victims of BMC’s alleged discrimination, the obstacles to suit by those victims are not serious enough to warrant the inference that § 1981 confers a cause of action upon the Council. To be sure, the people to whom BMC denies employment referrals may not necessarily know why their applications were unsuccessful, and so the possible victims of BMC’s alleged discrimination may not always know who they are. But the Council itself could remedy much of the problem simply by publicizing the results of its tests and offering litigation assistance to people who suspect (on the basis of this new information) that BMC has discriminated against them. In the present case, as in
Warth v. Seldin,
“there is no indication that [direct victims of discrimination by BMC] are disabled from asserting their own right in a proper case.”
Warth,
The Third Circuit has perceived “seemingly inconsistent strains” in the Supreme Court’s treatment of whether “the ‘obstacle’ factor” is an essential prerequisite to third-party standing,
Amato v. Wilentz,
Apart from cases involving “the ‘obstacle’ factor”, the Court generally has allowed a litigant to assert the rights of a third party “only when the third party’s rights protect that party’s relationship with the litigant”.
Haitian Refugee Center v. Gracey,
Whatever the precise limits of these cases, they offer no help to the Council. The Council certainly faces no direct restriction on its own activities, and the § 1981 rights of people who seek referrals from BMC are unrelated to any special relationship between those people and the Council. Under
Warth v. Seldin,
the Council therefore cannot bring suit to complain about the violation of those people’s § 1981 rights. See
Warth,
******
To sum up, the Council lacks a cause of action under § 1981. It can proceed with its Title VII claim, but it has a cause of action only to the extent that the effects of BMC’s discrimination have perceptibly impaired its programs. As for the individual testers, they have not stated a cause of action under § 1981, nor have they established standing to seek the only form of-relief that might be available to them under Title VII.
We remand the case to the district court for proceedings consistent with this opinion.
So ordered.
Notes
. BMC still argues that people who lack a bona fide interest in employment—such as testers— lack any cause of action under § 2000e-2(b). The plaintiffs, supported by the Equal Employment Opportunity Commission as amicus curiae, dispute this reading of the statute. But because we agree with BMC’s alternative argument that the tester plaintiffs cannot recover damages under Title VII and have no standing to seek the other relief that, they request, we need not address the issue.
. The rules become less forgiving as litigation moves along. When a court confronts a Rule 56 motion for summary judgment, “[i]t will not do to 'presume' the missing facts”.
National Wildlife Federation,
. For the same reason, we reject the district court's theory that the money that the Council spent on the second test (if not the money that it spent on the first one) gave it "a constitutionally cognizable injury” because BMC’s alleged discrimination against the first set of testers "could have been a factor” in the Council’s decision to run the second test. Mem.Op. at 10-11. BMC’s treatment of the first set of testers did not impair any of the Council’s programs in any way, even though the pattern of discrimination evidenced by such tests may have done so. The Council simply decided that its limited resources would be better spent on testing BMC again than on testing a different agency or on pursuing its other programs.
. This conclusion, although not our embrace of
Mackey,
seems to be in tension with
Gersman v. Group Health Association,
. The one notable exception to this rule is inspired by First Amendment overbreadth analysis. In
Secretary of State of Maryland v. Joseph H. Munson Co.;
