OPINION
Plаintiff-appellants (“Plaintiffs”), a group of foster children in Clark County, Nevada, appeal the dismissal of their complaint pursuant to Federal Rule of Civil Procedure 12(b)(6). 1 For the reasons that follow, we reverse the dismissal of Counts One, Two, Three, Eight, and Eleven; affirm the dismissal of counts Nine and Ten; and remand for further proceedings.
I. BACKGROUND
Plaintiffs brought this action under 42 U.S.C. § 1983 against State and County officials, alleging violations of their substantive due process rights under the Fourteenth Amendment and violations of their federal statutory rights under the Adoption Assistance and Child Welfare Act (CWA), 42 U.S.C. § 670 et seq.; the Child Abuse Prevention and Treatment Act (CAPTA), 42 U.S.C. § 5101 et seq.; and the Individuals with Disabilities Education Act (IDEA), 20 U.S.C. § 1431 et seq. 2 Plaintiffs’ action consists of individual claims for damages and injunctive relief and class claims for injunctive relief.
The defendants (“Defendants”) named in the action are Clark County; Virginia Valentine, the Clark County Manager; Tom Morton, the Director of Clark County’s Department of Family Services; Diane ' Comeaux, the Administrator of Nevada’s Division of Child and Family Services; and Michael Willden, the Director of Nevada’s Department of Health and Human Services. The complaint also lists as “John Doe” defendants ten caseworkers and ten supervisors for Clark County’s Department of Family Services. According to the complaint, the State of Nevada was responsible for providing foster care services until October 2004, when that responsibility was transferred to Clark County. The State retains responsibility for supervision and oversight of Clark County’s foster care system, including the County’s compliance with state and federal law. 3
The complaint alleges that Clark County’s foster care system is plagued by systemic failures that result in violations of the rights guaranteed to foster children by federal statutes and the Due Process clause of the Fourteenth Amendment. The specific allegations include the failure *997 to provide caseworkers with even basic training; the failure to provide foster children and their foster parents with case plans and medical records; the failure to provide foster children with necessary-medical care; the failure to provide foster children with guardians ad litem; the failure to investigate reports of abuse and neglect in foster homes; the failure of Clark County to incorporate state and federal requirements into its child welfare policies; and the failure of the State to ensure that Clark County is operating its foster care system in compliance with federal law.
The complaint’s allegations also describe how these systemic failures have injured the named plaintiffs. For the sake of brevity, we summarize only a few examples.
The alleged failure to provide adequate medical care has had serious consequences for several of the named plaintiffs. Henry A. was forced to change treatment providers more than ten times, but his medical records were not transferred properly. As a result, Henry was given a dangerous combination of psychotropic medications and was hospitalized in an intensive care unit for two weeks, on the brink of organ failure. Upon release from the hospital, Henry was administered the same medications again and returned to the ICU.
When Jonathan D. became seriously ill with an impacted colon, the County failed to approve a colonoscopy or other treatment measures, desрite repeated requests from Jonathan’s doctor and his foster parent. Without the County’s consent, Jonathan’s doctor was forced to wait until Jonathan’s condition became life-threatening, justifying emergency surgery without the County’s permission. By that point, Jonathan had been in severe pain for months.
Other plaintiffs were injured by the failure to provide foster children and their foster parents with the records and documentation required by federal law. For example, when Olivia G. was placed with a foster parent after being discharged from a psychiatric facility, her foster parent did not receive the authorization to fill her prescriptions, forcing Olivia to go through a painful withdrawal.
Finally, some plaintiffs were left in foster homes without any intervention despite their reports of abuse and neglect. According to the complaint, Defendants failed to investigate Linda E.’s reports of physical abuse in her foster home; placed Leo C. and Victor C. in a foster home that had a known history of neglect; and placed Mason I. in an out-of-state facility despite numerous reports of patient abuse there and Mason’s own complaints of sexual abuse.
II. JURISDICTION & STANDARD OF REVIEW
These factual allegations, among others, form the basis for the parts of the complaint that are at issue in this appeal: Counts One, Two, and Eleven, based on the Fourteenth Amendment to the United States Constitution; Counts Three and Eight, based on the CWA; Count Nine, based on CAPTA; and Count Ten, based on CAPTA and the IDEA. 4 The district court had jurisdiction under 28 U.S.C. §§ 1331 and 1343(a). The district court dismissed these claims pursuant to Federal Rule of Civil Procedure 12(b)(6) and entered final judgment in favor of Defendants on October 27, 2010. Plaintiffs filed a timely notice of appeal, and we have jurisdiction under 28 U.S.C. § 1291.
*998
We discuss each claim in detail below. We review de novo the district court’s decision to grant Defendants’ motion to dismiss under Rule 12(b)(6).
ASW,
III. DISCUSSION
A. Substantive Due Process Claims
Generally, “the Fourteenth Amendment’s Due Process Clause ... does not confer any affirmative right to governmental aid” and “typically does not impose a duty on the state to protect individuals from third parties.”
Patel v. Kent Sch. Dist.,
Plaintiffs here have raised claims under both exceptions, arguing (1) that Defendants have a custodial relationship with foster children and have failed to provide adequate safety and medical care, and (2) that Defendants have affirmatively placed some of the children in danger by putting them in foster care placements that were known to be abusive.
1. Special Relationship Exception (Counts One and Eleven)
Counts One and Eleven of the complaint allege that Defendants have violated Plaintiffs’ “right to be free from harm while involuntarily in government custody and their right to medical care, treatment, and services.” Count One seeks damages and injunctive relief for the individual plaintiffs and Count Eleven seeks injunctive relief on behalf of a class of foster children who have failed to receive early intervention services that they are entitled to under federal law.
Both counts proceed to provide more detailed factual allegations. Count One provides a list of the conduct that allegedly has violated Plaintiffs’ rights to adequate safety and medical care:
(a) failure to adequately provide medical, dental, and mental health services, including but not limited to standardized periodic health screenings and treatments, medical services for maximum reduction of physical or mental disability, and monitoring of, administration, and use of psychotropic drugs by foster children;
(b) failure to inform caregivers of essential information;
(c) failure to conduct legally required visits with foster children;
(d) failure to adequately respond to reports of abuse;
(e) failure to ensure adequacy of relative caregiver placements; and
(f) failure to adequately inspect out of state facilities and monitor treatment and services provided to foster children placed in out of state facilities.
*999 Count One also incorporates the detailed examples of how Defendants failed to provide adequate medical care and safety to the individual plaintiffs, such as the failure to approve Jonathan’s necessary medical treatment despite knowledge that he was seriously ill; the failure to provide Olivia’s foster parents with the information and authorization to fill her prescriptions; and the failure to respond to reports of abuse and neglect at Linda and Mason’s foster care placements. Count Eleven alleges that Defendants’ routine failure to refer eligible children to early intervention services amounts to a denial of adequate medical care.
The district court dismissed Counts One and Eleven after concluding that Defendants were entitled to qualified immunity because Plaintiffs failed to allege a violation of a clearly established constitutional right. The district court explained that while the State must “provide individuals in state custody with their basic human needs,” the specific examples of medical care and services listed by Plaintiffs were not clearly established constitutional rights.
This conclusion is plainly wrong with respect to Plaintiffs’ damages claim against Clark County and Plaintiffs’ claims for injunctive relief. “Qualified immunity shields federal and state
officials
from
money damages
unless a plaintiff pleads facts showing (1) that the official violated a statutory or constitutional right, and (2) that the right was ‘clearly established’ at the time of the challenged conduct.”
Ashcroft v. al-Kidd,
— U.S. -,
Qualified immunity is, however, a possible defense to the claims for damages against the individual defendants in Count Onе. Even if a complaint sufficiently alleges that a government official violated a federal constitutional or statutory right, that official is entitled to qualified immunity from money damages if the right was not “clearly established” at the time of the challenged conduct.
See al-Kidd,
In this case, the district court’s qualified immunity analysis was too narrow. The district court looked at Plaintiffs’ detailed factual allegations and essentially determined that Defendants were entitled to qualified immunity because the “very action[s] in question” had not “previously been held unlawful.”
See id.
Instead, the district court should have (1) determined the contours of a foster child’s clearly established rights at the time of the challenged conduct under the “special relationship” doctrine of substantive due process, and (2) examined whether a reasonable official would have understood that the specific conduct alleged by Plaintiffs violated those rights.
See al-Kidd,
It is clearly established that “when the State takes a person into its custody and holds him there against his will, the Constitution imposes upon it a corresponding duty to assume some responsibility for his safety and general well-being.”
DeShaney,
It is also clearly established that this special relationship doctrine applies to children in foster care. We recently clarified that it has been clearly established since at least 1996 that foster children have “a federal constitutional right to state protection” while they remain in the care of the State.
Tamas v. Dep’t of Soc. & Health Servs.,
All of the conduct challenged here occurred after 1996, so there is no question that a foster child’s right to the basic needs identified in
DeShaney
— food, clothing, shelter, medical care, and reasonable safety — was clearly established “at the time of the challenged conduct.”
See al-Kidd,
First,
Tamas
itself held that this right encompasses “a foster child’s liberty interest in social worker supervision and protection from harm inflicted by a foster parent.”
Second, we can look to the clearly established law from other circuits cited by the
Tamas
court. Those cases demonstrate, for example, that a foster child’s due process rights are violated when a state official exhibits deliberate indifference to a child’s serious medical needs,
Norfleet v. Ark. Dep’t of Human Servs.,
Having examined the relevant contours of a foster child’s clearly established due process rights to adequate safety and medical care, we conclude that a reasonable official would have understood that at least some of the specific conduct alleged by Plaintiffs violated those rights. Count One of the complaint alleges generally that Defendants exhibited deliberate indifference and violated the children’s rights to “be free from harm while involuntarily in government custody and their right to medical care”; alleges more specifically that Defendants failed to provide adequate medical care, monitor the administration of medication, or respond to reports of abuse; and provides detailed factual allegations relating to the individual plaintiffs. A reasonable official would have understood that failing to authorize Jonathan’s medical treatment despite knowledge of his serious illness and repeated requests from his treating physician amounted to deliberate indifference to a serious medical need. A reasonable official would also have understood that failing to respond to Linda’s reports of physical abuse in her foster home or the numerous reports of abuse in Mason’s out-of-state placement would constitute deliberate indifference to the children’s right to safety in their foster care placements.
It may be that Plaintiffs cannot prove these allegations, or that they can only prove some of their less serious allegations, such as the failure to рrovide standardized periodic health screenings. If that turns out to be the case, the individual defendants can again raise the defense of qualified immunity at a later stage in the proceedings.
See Ortiz v. Jordan,
— U.S. -,
*1002 2. State-Created Danger Exception (Count Two)
The State can also be held liable under the Fourteenth Amendment’s Due Process clause for failing to protect an individual from harm by third parties “where the state action ‘affirmatively placets] the plaintiff in a position of danger,’ that is, where state action creates or exposes an individual to a danger which he or she would not have otherwise faced.”
Kennedy v. City of Ridgefield,
In Count Two of their complaint, Plaintiffs allege that Defendants
act[ed] with deliberate indifference to known or obvious danger in removing Plaintiffs from their homes and placing them in the care of foster parents, including in the care of relative caregivers and out of state facilities and homes, who were unfit to care for them and posed an imminent risk of harm to Plaintiffs’ safety.
The complaint also contains more detailed factual allegations, including that Defendants placed Leo and Victor in a foster home that had a known history of neglect; that Defendants required Mason to have unsupervised visits with his grandparents despite having knowledge that they had abused him; and that Defendants placed Mason in an out-of-state facility that had a known history of chronic neglect and abuse.
The district court dismissed Count Two for failure to state a claim under the state-created danger doctrine, and ruled in the alternative that Defendants were entitled to qualified immunity because Plaintiffs’ rights under the state-created danger doctrine were not clearly established. Citing repeatedly to the dissent from denial of rehearing en banc in Kennedy v. City of Ridgefield, rather than the opinion itself, the district court reasoned that the complaint did not sufficiently allege that Defendants “did more than simply expose the plaintiff to a danger that already existed” because Defendants merely “place[d] foster children into an already broken system.”
The district court’s reasoning was erroneous. The test that the district court took from the dissent from denial in
Ken
nedy—that the official must do more than “expose the plaintiff to a danger that already existed”—is not the law of this circuit.
Compare
That is precisely what Plaintiffs have alleged here. They allege that Defendants knew of the danger of abuse and neglect that Plaintiffs faced in certain foster homes and acted with deliberate indifference by exposing Plaintiffs to that danger anyway. This is sufficient to state a claim under the controlling opinion in Kennedy. The fact that the dangerous foster homes “already existed” is irrelevant.
Moreover, we have already held that the state-created danger doctrine applies to placing a foster child in a home where there is a known danger of abuse.
Tamas,
3. Liability of the State Officials
The State defendants also argue that, with respect to them, the complaint fails to state a claim for substantive due process violations because it does not adequately allege that the State officials had a custodial relationship with the foster children or that they are liable as supervisors.
6
Although the district court did not address this argument, the State raised it below, and we may affirm the district court’s dismissal on any ground supported by the record.
Dougherty,
First, the State defendants argue that they cannot be held liable under the “special relationship” exception in Count One because the plaintiff foster children are technically in the custody of Clark County. This аrgument is not persuasive. The complaint alleges that defendant Willden has “responsibility for ensuring the provision of child welfare services throughout the state” and that defendant Comeaux leads the agency which “must evaluate all child welfare services provided throughout the State and take corrective action against any agency providing child welfare services which is not complying with any applicable laws, regulations, or policies.” Furthermore, the complaint also alleges that at least two plaintiffs, Henry and Linda, were in the custody of the State before the foster care system was transferred to Clark County. This is sufficient to plead a custodial relationship between the foster children and the State defendants.
Second, the State defendants argue that plaintiffs have failed to state a claim against them for supervisory liability. We recently reaffirmed that a plaintiff may state a claim under § 1983 against a supervisor for deliberate indifference.
Starr v. Baca,
After thoroughly examining the plaintiffs’ complaint, we agree that there are few specific allegations against the State defendants. Most of the allegations in the complaint simply reference “Defendants,” without specifying whether the conduct at issue was committed by the named State officials, County officials, or the “John Doe” supervisors or caseworkers. For many of the detailed factual allegations, such as the failure to respond to a particular report of abuse or authorize a particular medical procedure, it is implausible to suggest that Willden or Comeaux personally committed the alleged violation.
The allegations that do expressly reference the State defendants are too general to state a claim for supervisory liability. In
Starr v. Baca,
the plaintiff alleged that Sheriff Baca himself had been given clear notice by the Department of Justice of the specific unconstitutional conditions in the jails; that the Sheriff received numerous reports documenting inmate violence caused by the unconstitutional conduct of his deputies; and that the Sheriff ultimately acquiesced in these constitutional violations.
See
In contrast, the allegations here claim that the agencies directed by Willden and Comeaux have oversight responsibility for Clark County’s foster care system and are required to ensure that Clark County is complying with state and federal law. The complaint also alleges that all of the defendants had knowledge of independent reports documenting the systemic failures of foster care in Nevada. But it does not allege that Willden or Comeaux had any personal knowledge of the specific constitutional violations that led to Plaintiffs’ injuries, or that they had any direct responsibility to train or supervise the caseworkers employed by Clark County.
The allegations that come closest to pleading personal involvement by Willden and Comeaux concern the failure to provide medical records to the children and their foster parents in order to facilitate their medical care. Paragraphs 27 and 28 allege that Willden is responsible for “ensuring county compliance with all federal mandates of the Medicaid program” and that Comeaux is “responsible for administering the Medicaid program with respect to children in thе child welfare system.” Paragraph 42 alleges that “State Defendants ... are responsible for the management and day-to-day operation of Nevada’s Children’s Mental Health Services program.” Finally, Paragraph 59 alleges that the State defendants fail to share the medical records from the State’s Medicaid database and the Mental Health Services program with the County defendants, which in turn prevents County employees from sharing that information with foster parents.
When read together, these allegations suggest that there may be a causal connec *1005 tion between the State defendants’ failure to share these medical records and the injuries suffered by plaintiffs such as Henry, who received a dangerous combination of prescription drugs because his medical records were not given to his treatment providers.
But even if the complaint in its current form fails to state a claim against the State officials for substantive due process violations, the district court abused its discretion by failing to give the plaintiffs an opportunity to amend their complaint. “[W]e have repеatedly held that a district court should grant leave to amend even if no request to amend the pleading was made, unless it determines that the pleading could not possibly be cured by the allegation of other facts.”
Lopez,
As we have already concluded, the complaint adequately pleads violations of Plaintiffs’ clearly established substantive due process rights, and it plausibly suggests an entitlement to relief from at least some of the defendants. Where the complaint falls short in some places is tying its factual allegations to particular defendants. But this type of deficiency can likely be cured by amending the complaint, and there is certainly no evidence to suggest that allowing amendment would be futile.
Therefore, on remand, Plaintiffs should be given an opportunity to amend their substantive due process claims. We note that in any future proceedings in the district court, еach defendant’s liability must be analyzed individually using the proper standard, whether that individual is a line-level caseworker, a supervisory official, or a municipality.
See Tamas,
B. Federal Statutory Claims
Section 1983 can also be used to enforce federal statutes.
Blessing v. Freestone,
Blessing
established a three-prong test for determining whether a federal statute creates an individual right. “The
Blessing
test requires: 1) that Congress intended the statutory provision to benefit the plaintiff; 2) that the asserted right is not so ‘vague and amorphous’ that its enforcement would strain judicial competence; and 3) that the provision couch the asserted right in mandatory rather than precatory terms.”
Watson v. Weeks,
If a statutory provision satisfies the
Blessing
test, it is presumptively enforceable through § 1983.
Watson,
Here, the plaintiffs seek to enforce four sets of federal statutory provisions through § 1983: the case plan provisions of the CWA, the records provisions of the CWA, the guardian ad litem provision of CAPTA, and the early intervention services provisions of CAPTA and the IDEA. All of these are spending statutes; the State of Nevada has agreed to administer its foster care system in accordance with these federal laws in return for financial assistance from the federal government. The district court dismissed these claims on the basis that none of the provisions are privately enforceable. 7
1. CWA: Case Plan Provisions (Count Eight)
Count Eight of the complaint seeks injunctive relief for a class of children who have not received a case plan as required by the CWA. The case plan provisions of the CWA are codified at 42 U.S.C. §§ 671(a)(16) and 675(1). Section 671(a)(16) states that:
In order for a State to be eligible for payments under this part, it shall have a plan approved by the Secretary which ... provides for the development of a case plan (as dеfined in section 675(1) of this title) for each child receiving foster care maintenance payments under the State plan....
Section 675(1) provides a detailed definition of what a case plan must include, such as the child’s health and educational records, a description of the child’s permanency plan, and a plan for ensuring the child’s educational stability.
The district court concluded that these provisions do not contain sufficient “rights-creating language” to satisfy the first prong of the
Blessing
test. We disagree and join the majority of federal courts in holding that the case plan provisions are enforceable through § 1983.
See, e.g., L.J. v. Massinga,
Section 671(a)(16) unambiguously requires the State to provide for the development of a case plan “for each child.” As the Massachusetts district court wrote re
*1007
cently in
Connor B.,
rights-creating language “is readily discernible” in § 671(a)(16) because it “expresses a clear mandate by using the term ‘shall’ ” and “discusses how the state must distribute benefits to
each child.”
Our court’s precedent also supports this conclusion. We have concluded in two different cases that other provisions of the CWA contain rights-creating language.
8
In
ASW,
we held that §§ 671(a)(1) and 673(a)(3) create a right to individualized adoption assistance payment determinations and that § 671(a)(12) creates a right to a hearing when adoption assistance payments are reduced.
Defendants’ argument to the contrary is not persuasive. Defendants maintain that “Congress only required the State to have a plan to ‘develop’ a case plan for each child.” But as we recognized in
ASW,
Congress has directed that statutory provisions within the Social Security Act should not “be deemed unenforceable becausе of its inclusion in a section ... requiring a State plan or specifying the required contents of a State plan.” 42 U.S.C. § 1320a-2;
ASW,
The second and third
Blessing
factors also show that the case plan provisions are presumptively enforceable. The requirement that each child have a case plan is not “so vague and amorphous that its enforcement would strain judicial competence.”
Watson,
We now turn to whether the presumption that the case plan provisions are enforceable is rebutted by Congressional action that has “expressly or impliedly foreclosed enforcement under section 1983[.]”
Watson,
We conclude that the case plan provisions of the CWA, codified at §§ 671(a)(16) and 675(1), are enforceable through § 1983. We therefore reverse the district cоurt’s dismissal of Count Eight.
2. CWA: Records Provisions (Count Three)
Count Three is a claim for injunctive relief and damages on behalf of the individual plaintiffs. It seeks to enforce the requirement that a State provide updated health and education records to foster parents as part of a “case review system.” These provisions are codified at 42 U.S.C. §§ 671(a)(16), 675(1), and 675(5)(D).
As it does with respect to a case plan, § 671(a)(16) requires a State to provide for a “case review system” for each child. Section 675(5)(D) defines “case review system” to include “a procedure for assuring that ... a child’s health and education record ... is reviewed and updated, and a copy of the record is supplied to the foster parent or foster care provider with whom the child is placed, at the time of each placement of the child in foster care.” Section 675(1)(C) outlines the detailed information that must be included in a child’s health and education record.
The district court analyzed the records provisions of the CWA along with the case plan provisions and concluded that the records provisions were also not enforcеable. The district court adopted the reasoning of the Eleventh Circuit in
SI Foster Children v. Bush,
which held that the language describing a case review system as “a procedure for assuring” that a foster child has accurate health and education records gives the provision “an aggregate or system wide focus instead of one that indicates concern with whether the needs of any particular child are met.”
We disagree with this analysis and instead join the federal courts that have found the records provisions of the CWA to be privately enforceable along with the case plan provisions.
See, e.g., Lynch,
Defendants argue that the district court’s decision is supported by a footnote in ASW, which distinguished
31 Foster Children
by noting that unlike § 673(3), the provision at issue in
ASW,
the statutory text of § 675(5) alone does not mention “a right ... to have medical and education backgrounds provided to caregivers[.]”
3. CAPTA: Guardian ad litem, provisions (Count Nine)
Count Nine of the complaint seeks injunctive relief on behalf of a class of foster children who have not been appointed guardians ad litem. It seeks to enforce the guardian ad litem provision of CAPTA, codified at 42 U.S.C. § 5106a(b)(2)(B)(xiii), which provides that:
A State plan ... shall contain a description of the activities that the State will carry out using amounts received under the grant ... including ... an assurance in the form of a certification by the Governor of the State that the State has in effect and is enforcing a State law, or has in effect and is operating a statewide program ... that includes provisions and procedures requiring that in every case involving a victim of child abuse or neglect which results in a judicial proceeding, a guardian ad litem ... shall be appointed to represent the child in such proceedings ....[ 11 ]
As the district court observed, Nevada does have a law directing state courts to appoint a guardian ad litem for every eligible child.
See
Nev.Rev.Stat. § 432B.500(1) (“After a petition is filed that a child is in need of protection ... the court shall appoint a guardian ad litem for the child.”). But courts do not always order these appointments, because Clark County does not have enough guardian ad litem volunteers.
See
Nev.Rev.Stat. § 432B.500(2) (“No compensation may be allowed a person serving as a guardian ad litem рursuant to this section.”). Plaintiffs thus seek an injunction compelling the State and County defendants to “make it possible for state courts to appoint a guardian ad litem in every case.” The district court held that the guardian ad litem provision of CAPTA was not privately enforceable and that, in the alternative, abstention was
*1010
warranted under the doctrine set forth in
Younger v. Harris,
As best we can tell, no court has specifically addressed whether the guardian ad litem provision of CAPTA is enforceable through § 1983, and no federal appellate court has considered whether any provision of the current version of CAPTA is privately enforceable. As a matter of first impression, we conclude that the guardian ad litem provision does not create an individual right enforceable through § 1983.
The Sixth Circuit and the D.C. Circuit have held that an earlier version of CAP-TA is not privately enforceable.
Doe v. District of Columbia,
In 1996, the language of CAPTA was changed substantially. The current version requires each State receiving a grant to submit a plan that “specifies the areas of the child protective services system” that the State will address with its grant money. 42 U.S.C. § 5106a(b)(l)(A). That plan must “contain a description of the activities that the State will carry out,” including, as detailed above, a certification that the State is enforcing a law or operating a program that includes provisions and procedures requiring the appointment of guardians ad litem. 42 U.S.C. § 5106a(b)(2)(B)(xiii).
Every federal district court to consider the question has found that the more recent versions of CAPTA do not satisfy the
Blessing
test.
12
See, e.g., Charlie H,
We agree with this reasoning and affirm the district court’s decision below. Unlike the case plan and records provisions of the CWA, the guardian ad litem provision of CAPTA does not contain the unambiguous rights-creating language necessary to satisfy the first prong of the Blessing test. As discussed above, when Congress wrote the CWA, it incorporated detailed requirements for what a child’s case plan or health and education record must include and how those records must be incorporated into a case review system. In contrast, CAPTA gives little specific guidance, requiring only that a State either enact a law or create a program that includes procedures designed to accomplish broad goals, such as representation for every child by a guardian ad litem. 13
*1011
This approach leads us to conclude that Congress intended to focus on “the aggregate or systemwide policies and practices of a regulated entity[,]” rather than “individual rights to benefits.”
Watson,
A CAPTA and IDEA: Early Intervention Services (Count Ten)
Count Ten seeks injunctive relief on behalf of a class of foster children who were not referred to early intervention services for which they were eligible. It seeks to enforce provisions of both CAPTA and IDEA that require States to refer certain children to early intervention services. The CAPTA provision, 42 U.S.C. § 5106a(b)(2)(B)(xxi), provides:
A State plan ... shall contain a description of the activities that the State will carry out using amounts received under the grant ..., including ... an assurance in the form of a certification by the Governor of the State that the State has in effect and is enforcing а State law, or has in effect and is operating a statewide program ... that includes ... provisions and procedures for referral of a child under the age of 3 who is involved in a substantiated case of child abuse or neglect to early intervention services funded under Part C of the [IDEA]![ 14 ]
The IDEA provision requires a State to have “policies and procedures that require the referral for early intervention services ... of a child under the age of 3 ... who is involved in a substantiated case of child abuse or neglect[.]” 20 U.S.C. § 1437(a)(6)(A). The district court held that the CAPTA provision is not privately enforceable and that IDEA’S comprehensive enforcement scheme precludes enforcement of that provision through § 1983. We affirm the decision of the district court.
Our analysis of the CAPTA guardian ad litem provision applies with equal force to the early intervention provision. Because Congress did not “unambiguously confer” an individual federal right, the early intervention provision fails the first prong of the
Blessing
test.
See Gonzaga,
With respect to the IDEA claim, we have previously held that the IDEA has a comprehensive enforcement schemе that forecloses enforcement through § 1983.
Blanchard v. Morton Sch. Dist.,
This course of action would be inappropriate. The district court correctly applied the law to Plaintiffs’ § 1983 claim and had no opportunity to decide whether Plaintiffs could proceed under IDEA’S express cause of action. We thus affirm the district court’s dismissal of Count Ten. If, on remand, Plaintiffs wish to pursue a claim under IDEA’S express cause of action, they can seek leave to amend their cоmplaint.
C. Assignment on Remand
Plaintiffs request that we reassign this case to a different district judge on remand. Our supervisory powers under 28 U.S.C. § 2106 permit reassignment when “unusual circumstances” are present.
United Nat’l Ins. Co. v. R & D Latex Corp.,
Plaintiffs argue that reassignment is warranted under the first two factors because Judge Jones has prejudged the merits of the case and expressed hostility toward Plaintiffs’ counsel. In support of this argument, Plaintiffs point to Judge Jones’s comments during proceedings in this case as well as during an earlier, closely related case,
Clark K. v. Guinn,
No. 2:06-CV-1068-RCJ-RJJ,
After thoroughly reviewing the record, as well as the transcripts from Clark K. submitted by Plaintiffs in their request for judicial notice, we conclude that reassignment is not necessary. We agree that Judge Jones occasionally expressed frustration with Plaintiffs’ counsel and made a few troubling comments, especially concerning his willingness to approve a potential settlement or consent decree in Clark K. But those comments were not made during the present case, and our review of the entire record shows that Judge Jones gave genuine consideration to the arguments of both parties and provided a reasoned decision. There is no indication that Judge Jones is unwilling to follow our instructions on remand. In short, reassignment is an extreme remedy, and it is not warranted here.
IV. CONCLUSION
For the foregoing reasons, we REVERSE the dismissal of Counts One, Two, Three, Eight, and Eleven; AFFIRM the dismissal of Counts Nine and Ten; and REMAND for further proceedings. On remand, the district court should allow Plaintiffs leave to amend their substantive due process claims, and Plaintiffs can seek *1013 further leave to amend if they wish to add a claim under the IDEA’S express cause of action. Plaintiffs shall recover their costs on appeal.
REVERSED in part, AFFIRMED in part, and REMANDED.
Notes
.At oral argument, counsel for Defendants suggested that some of the named plaintiffs are no longer in governmеnt custody but provided no further information. Without knowing which plaintiffs are no longer in custody and what claims for injunctive relief relate to them, there is simply no way for us to determine whether some claims for injunctive relief are now moot. On remand, any mootness arguments should be brought to the attention of the district court. We note, however, that Plaintiffs’ damages claims are not moot in any event.
See Bernhardt v. Cnty. of Los Angeles,
. Plaintiffs also raised claims under the supremacy clause, which they voluntarily dismissed, and several pendent state law claims, which the district court dismissed pursuant to 28 U.S.C. § 1367(c).
. For the purposes of reviewing a Rule 12(b)(6) dismissal, we accept as true all well-pleaded facts in the complaint.
ASW v. Oregon,
. The dismissal of the remaining counts has not been challenged on appeal. See supra note 2.
. For the first time on appeal, the County defendants argue that dismissal against Clark County is proper because Plaintiffs have failed to sufficiently plead that the violations of their constitutional rights were pursuant to a policy, practice, or custom as required by
Monell v. Dep’t of Soc. Servs.,
. The County defendants did not raise this argument in their motion to dismiss and have not raised it before this court.
. The district court's order occasionally refers to these claims as "statutory, constitutional violations” and explains that Defendants are entitled to qualified immunity because it is not "clearly established” that the statutory provisions at issue are privately enforceable. These statements are incorrect. First, enforcement through § 1983 does not transform a statutory right into a constitutional right. Section 1983 provides for enforcement of rights guaranteed by federal statutes alone. See
Blessing,
. These decisions are not dispositive because we must examine each provision separately rather than the statute as a whole. ASW,
. This statute is known as the
"Suter
fix.” In
Suter v. Artist
M.,
. Additional evidence of Congress’s intent to create an enforceable right can be found at 42 U.S.C. § 622(b)(8)(A)(ii), which requires each State to assure that it is “operating” a case review system "for each child receiving foster care under the supervision of the State.”
See, e.g., Kenny A.,
. At the time the complaint was filed, this provision was codified at 42 U.S.C. § 5106a(b)(2)(A)(xiii).
. The current version (as amended in 2010) is substantially similar to the other versions that have been in place since the significant changes made in 1996.
. Also in contrast to the CWA, the “Suter fix” does not apply to CAPTA, which is codified in Chapter 67 of Title 42 rather than Chapter 7. See supra note 9.
. At the time Plaintiffs filed their complaint, this was codified at 42 U.S.C. § 5106a(b)(2)(A)(xxi).
. In Clark K., a different group of foster children who were also represented by the National Center for Youth Law brought a class action seeking injunctive relief against many of the same defendants named here. Judge Jones denied the motion for class certification. While an appeal of that denial was pending in our court, the parties stipulated to dismissal of the case with prejudice as to those particular plaintiffs.
