OPINION
Plaintiffs-Appellees are illegal immigrants and organizations assisting such immigrants who seek to legalize their status under a legalization program in the Immigration Reform and Control Act of 1986 (“IRCA”), 8 U.S.C. § 1255. The legalization program was established to benefit aliens who have unlawfully resided in the United States since 1982. Plaintiffs challenge policies and practices adopted by Defendant-Appellant Immigration and Naturalization Service (“INS”) to implement IRCA’s requirement that the aliens’ unlawful status must have been “known to the government” since 1982 to receive legalization under the statute. See 8 U.S.C. § 1255a(a)(2)(B).
The District Court agreed with plaintiffs and issued a preliminary injunction that ordered the INS to use a specific burden-shifting mechanism for meeting the “known to the government” requirement. ( This Court affirmed, but the Supreme Court vacated, on jurisdictional grounds. After plaintiffs filed a Second Amended Complaint, the District Court found jurisdiction, certified a class, and granted another preliminary injunction based on the first one. This Court remanded, again on jurisdictional grounds. The District Court once more found jurisdiction and reinstated its class certification and also reinstated, in modified form, its preliminary injunction.
The INS appeals the District Court’s reinstatement of the class certification and the preliminary injunction. In addition, the INS argues that the Second Amended Complaint is untimely and that, in any event, this action should be dismissed in its
FACTUAL AND PROCEDURAL BACKGROUND
Since this action was filed in 1988, it has „gone from the District Court through the Ninth Circuit to the Supreme Court, back to the District Court, and now again to the Ninth Circuit, without ever being finally resolved. It is one of several actions filed in this and other circuits, with similar procedural histories, challenging different policies and practices used by Defendant-Appellant Immigration and Naturalization Service (“INS”) to implement a legalization program adopted by Congress as part of the Immigration Reform and Control Act of 1986 (“IRCA”). See 8 U.S.C. § 1255a. During the course of this litigation, numerous decisions addressing equally numerous questions were issued. Because of these complexities, we summarize below only the most important decisions, and we do so only with respect to questions actually at issue in this appeal.
The IRCA provides, in relevant part, that the Attorney General shall adjust the status of an illegal alien to that of an alien lawfully admitted for temporary residence if the alien meets three requirements. See 8 U.S.C. § 1255a(a).
On March 24, 1988, the original Complaint in this action was filed. Some of the plaintiffs were individual aliens who alleged that they wished to qualify for legalization but were made ineligible for legalization by the INS’s interpretation of the IRCA’s “continuous unlawful residence since 1982” and “known to the government” requirements. Plaintiffs argued that the INS’s interpretation of these requirements violated the IRCA as well as the due process and equal protection clauses of the Fifth Amendment. Other plaintiffs were organizations who alleged that they provided legal and other'assistance to aliens seeking legalization and that the INS’s illegal interpretation of the IRCA’s “continuous unlawful residence since 1982” and “known to the government” requirements made such assistance more difficult and less effective. The Cоmplaint sought class certification and declaratory and in-junctive relief.
On November 4,1988, the District Court entered an Order Granting in Part and Denying in Part Defendants’ Motion to Dismiss. The District Court found that the organizational plaintiffs had standing to sue because they had alleged that the INS’s policies and practices impaired their organizational goals and drained their resources, causing an injury to these organizational plaintiffs. The District Court also found, however, that the individual plaintiffs did not have standing to sue because only aliens who had actually filed legalization applications could obtain “meaningful judicial relief’ and because none of the individual plaintiffs- alleged that they had actually filed applications. Accordingly, the District Court dismissed all individual plaintiffs from the lawsuit. On the same day, the District Court also entered an Order Denying Plaintiffs’ Motion for Provisional Class Certification. The District Court concluded that because the individual plaintiffs did not have standing and, therefore, did not have valid claims, they did not have “claims which are typical of those plaintiffs with valid claims.” As a consequence, plaintiffs could not satisfy the “prerequisite” for class certification in Fed.R.Civ.P. 23(a)(3) that “the claims ... of the representative parties are typical of the claims ... of the class.”
On March 7, 1989, the District Court entered an Order Granting in Part Plaintiffs Motion for Summary Judgment, see Immigration Assistance Project of the Los Angeles County Fed’n of Labor v. INS (AFL-CIO),
The District Court granted relief to three groups of applicants. The first group of applicants to which the District Court granted relief consisted of “section 265 violators,” i.e., aрplicants who alleged that: (1) they had failed to file quarterly address reports to the INS as required prior to January 1, 1982, by section 265 of the Immigration and Naturalization Act (“INA”), 8 U.S.C. § 1305; (2) these section 265 violations made their status unlawful; and (3) the absence of the required address reports from their INS files made
The burden of proof shifts as follows: an applicant must make a prima facie showing that he or she violated the address reporting requirements either by failing to report the address or submitting a false address. Once the applicant makes such a showing, the INS then has the burden of coming forward with proof that the alleged violation and subsequent unlawful status was not known to the government. If the INS does come forward with such evidence, the applicant must then show by a preponderance of the evidence that he or she was in unlawful status and that this unlawful status was known to the government. At all times, the applicant carries the burden of persuasion to prove eligibility for legalization.
IAP II,
The seсond group of applicants to which the District Court granted relief consisted of “student visa violators,” i.e., among others, students who had violated their visas by not fulfilling some condition of these visas, such as taking a required number of class hours. The INS had instructed its application examiners that these students fell under an IRCA requirement according to which they had to “establish that ... the alien’s unlawful status was known to the government as of[January 1, 1982].” 8 U.S.C. § 1255a(a)(2)(B). To meet this requirement, these students had to “producer ] documentation from a school ... which establishes that the said school forwarded to the [INS] a report that clearly indicated the applicant had violated his or her nonimmigrant student status prior to January 1, 1982.” 8 C.F.R. § 245a.l(d)(4). By contrast, the INS had instructed its examiners that students who violated their visas by remaining in the United States after they graduated fell under an IRCA requirement according to which they merely had to “establish that the alien’s period of authorized stay as a nonimmi-grant expired before [January 1, 1982].” Id. The District Court held that the INS’s different treatment of students who had violated their visas by not fulfilling some condition of the visa, on the one hand, and students who had violated their visas by remaining in the United States after they graduated, on the other, was “irrational” and, therefore, violated equal protection. See IAP I,
The, third and final.group of applicants to which the District Court granted relief consisted of “incorrectly reinstated violators,” i.e., applicants who, by misrepresentation or mistake, had been incorrectly reinstated to lawful status sometime after January 1, 1982. Plaintiffs alleged that
On September 18, 1992, this Court affirmed in part, reversed in part, and remanded to the District Court for further proceedings. See Legalization Assistance Project of the Los Angeles County Fed’n of Labor (AFL-CIO) v. INS,
Regarding section 265 violators, we affirmed the declaratory and injunctive relief granted by the District Court. The following passage from our opinion is worth quoting:
[T]he district court concluded that section 265 violations were “known to the government” precisely because the INS had no periodic address report on file for the alien as required by statute and regulation. We agree with the district court’s conclusion. The record shows that before January 1, 1982, the INS reviewed agency records to determine whether nonimmigrants had complied with the reporting requirements under section 265. The absence of the required section 265 report identified those in violation. As a consequence of its own practices, the INS had actual knowledge of an alien’s unlawful status.
IAP III,
Regarding student visa violators, we held that these applicants were not only entitled to the prospective relief grantеd by the District Court, but also to retroactive relief. Accordingly, we remanded to the District Court “so that any [such] applicants who may have been denied legalization as a consequence of invalid INS regulations may be identified, and granted appropriate relief.” Id. at 1213.
Finally, regarding all three groups of applicants, we remanded to the District Court “to reconsider plaintiffs’ request for an extension of application deadlines .in light of’ this Court’s related decision in Catholic Social Services, Inc. v. Thornburgh,
On June 18, 1993, the United States Supreme Court vacated CSS I and remanded for a new jurisdictional determination. See Reno v. Catholic Soc. Servs.,
On November 26, 1993, Justice O’Con-nor granted the INS’s application in the present case to stay the District Court’s 1993 Temporary Protective Order pending final disposition of the appeal by the Ninth Circuit. See INS v. Legalization Assistance Project of Los Angeles County Fed’n of Labor,
In response to CSS II and IAP IV, plaintiffs lodged a Second Amended Com
Most importantly, the Second Amended Complaint added the current individual plaintiffs to the lawsuit. Some individual plaintiffs alleged that they did not file applications for legalization because of the challenged INS policies and practices. Plaintiffs John Doe 1 and John Doe 2, for example, both alleged that they “attempted to file an application for legalization during the application period but w[ere] prevented from applying because of the INS’s policies and practices challenged in this lawsuit.” Plaintiff John Doe 1 alleged, in particular, that he “presented an application to the Immigration Service at a legalization office” and that “[t]he legalization office refused to accept this application.” Similarly, plaintiff John Doe 2 alleged that he “went to a Qualified Designated Entity (‘QDE’) to file his application”
The organizational plaintiffs in the Second Amended Complaint were a subset of the organizational plaintiffs in the original Complaint. The allegations they made in the Second Amended Complaint were similar to the allegations they had made in the original Complaint.
On September • 8, 1995, the District Court entered an Order Denying Defendants’ Motions to Dismiss and Vacate Rulings and Granting in Part Plaintiffs’ Motions to Amend Complaint, For Class Certification and for Reinstatement of Temporary Protective Order (“1995 Order”). Regarding the Second Amended Complaint, the District Court concluded that “the proposed organizational plaintiffs do not have standing except insofar as they represent the interests of members whose claims are ripe under CSS [//].” The District Court further concluded that only individual plaintiff John Doe 1 “presents a paradigm case of ‘front-desking,’ ” but thаt with regard to all but two of the other individual plaintiffs, “development of further facts should be allowed to establish whether they too satisfy the same ripeness considerations exemplified by the classic front-desking situation described in CSS [II ].”
a class of individuals who entered the United States prior to January 1, 1982, who are otherwise eligible for legalization under IRCA, who were deterred from filing an application because of INS’s regulations and policies, or who filed an application which has not resulted in a decision, and who fall under one of [the] three categories [described above in connection with the District Court’s 1989 orders] involving the ‘known to the government’ requirement of IRCA.
The District Court further reaffirmed its 1989 orders. The District Court finally reinstated its 1993 Temporary Protective Order to the extent that it required the INS to
provide written notice to class members; refrain from arresting or deporting individuals who might qualify as class members unless the INS is in possession of reliable information establishing that they are deportable regardless of then-eligibility for legalization pursuant to this court’s Orders; and provide temporary employment authorizations and other benefits to class members.
The Ninth Circuit granted the INS’s motion to stay the District Court’s 1995 Order pending interlocutory appeal, and the 1995 Order was never implemented.
In 1996, Congress foreclosed the possibility left open by the Supreme Court in CSS II — that “class members who were not front-desked” could “demonstrate that the front-desking policy was nevertheless a substantial cause of their failure to apply” and thus meet the ripeness requirement,
Notwithstanding any other provision of law, no court shall have jurisdiction of any cause of action or claim by or on behalf of any person asserting an interest under this section unless such person in fact filed an application under this section within the period specified by subsection (a)(1) of this section, or attempted to file a complete application and application fee with an authorized legalization officer of the Service but had the application and fee refused by that officer.
8 U.S.C. § 1255a(f)(4)(C) (emphasis added).
On January 16, 1998, this Court applied 8 U.S.C. § 1255a(f)(4)(C) in the CSS litigation and held:
Because none of the class members or named plaintiffs have alleged that they actually tendered an application and fee or attempted to do so but were rebuffed by a legalization assistant, they do not have standing pursuant to the limited grant of federal court jurisdiction set forth in [8 U.S.C. § 1255a(f)(4)(C).]
Catholic Soc. Servs., Inc. v. Reno,
On remand, the District Court initially granted the INS’s Motion to Dismiss on the grounds that none of the plaintiffs in the original Complaint had made allegations sufficient to establish standing. The District Court later reversed itself and granted plaintiffs’ Motion for Reconsideration on the basis that some of the organizational plaintiffs in the Second Amended Complaint had made allegations’ sufficient to establish standing as per Justice O’Con-nor’s instructions in IAP TV.
On March 3, 1999, the Distriсt Court entered an Order on Pending Motions (“1999 Order”) that denied the INS’s renewed Motion to Dismiss and granted in part plaintiffs’ Motion to Reinstate Temporary Protective Relief. The District Court held:
The court reinstates its [1995] class certification order and reinstates its [1995] order granting temporary relief with the following modifications. The defendants are hereby ordered to: (1) provide the-plaintiffs within 30 days of this order the number of applications that have been filed by class members, the number of such applications that have been adjudi- ■ cated, and the number that are still pending; (2) provide the plaintiffs with quarterly reports thereafter stating the number of class members applications adjudicated during that period and the number of applications that remain pending; (3) notify all class members with pending legalization applications of the ñamé, address and telephone number of counsel for plaintiffs within 30 days of this order. The court further instructs the INS to adjudicate such applications in accordance with the procedures established in this court’s rulings at [IAP /,]709 F.Supp. 998 and [IAP 17,]717 F.Supp. 1444 (W.D.Wash.1989).
A week later, the District Court granted the INS’s motion to stay its 1999 Order pending appeal, and the 1999 Order, like the 1995 Order, was never implemented.
The INS now asks this Court to find that the Second Amended Complaint is untimely and to remand this case to the District Court with specific instructions to dismiss it in its entirety because jurisdiction is lacking and venue in the Western District of Washington is improper. The INS further asks us, in the event that we do not remand with instructions to dismiss, to vacate the District Court’s 1999 Order reinstating the class certification and the preliminary injunction. We have jurisdiction pursuant to 28 U.S.C. § 1292(a)(1).
ANALYSIS
I. Timeliness of the Second Amended Complaint
A. Introduction.
The INS argues that the Second Amended Complaint was untimely. A civil
Plaintiffs lodged the Second Amended Complaint, which added the current individual plaintiffs and their claims, on May 30, 1995. At the latest, the six-year statute of limitations started to run when the District Court denied the class certification sought in the original Complaint on November 4, 1988. Because more than the six years allowed by § 2401(a) had elapsed between these two dates, the claims of the current individual plaintiffs would normally be time-barred.
We do not agree with the District Court that the time between the denial of class certification and the filing of the Second Amended Complaint should be tolled. We hold, however, that the Second Amended Complaint relates back to the original Complaint and is, therefore, timely.
B. The time between the denial of class certification and the filing of the Second Amended Complaint should not be tolled.
The District Court first observed that “[t]he filing of a class action gives the benefit of the original filing date to all class members and the grant of class certification is retroactive to the date the lawsuit is filed.” The District Court then concluded that “[although the court did not certify the class until 1995, the certification is retroactive to the date the plaintiffs filed this suit in 1988.” This reasoning is unconvincing because it ignores that the District Court denied class certification in 1988. .
The Supreme Court has held that “the commencement of the original class suit tolls the running of the statute for all purported members of the class who make timely motions to intervene after the comt has found the suit inappropriate for class action status.” Am. Pipe and Constr. Co. v. Utah,
In the present case, the commencement of this class action suit on March 24, 1988—the date of the filing of the original Complaint—tolled the statute of limitations. The statute began running anew when the District Court denied class certification on November 4, 1988. Plaintiffs lodged their Second Amended Complaint, which added the current individual plaintiffs and their claims, on May 30, 1995. Because more than the six years allowed by the statute of limitations elapsed be
C. The Second Amended Complaint relates back to the original Complaint and was, therefore, timely.
Federal Rule of Civil Procedure 15(c) provides in relevant part:
An amendment of a pleading relates back to the date of the original pleading when ... the claim or defense asserted in the amended pleading arose out of the conduct, transaction, or occurrence set forth or attempted to be set forth in the original pleading, ... the amendment changes the party or the naming of the party against whom a claim is asserted ... and, within the period provided ... for service of the summons and complaint, the party to be brought in by amendment (A) has received such notice of the institution of the action that the party will not be prejudiced in maintaining a defense on the merits, and (B) knew or should have known that, but for a mistake concerning the identity of the proper party, the action would have been brought against the party.
Fed. R. Civ. Pro. 15(c). The Advisory Committee Note.to the 1.966 Amendment to Rule 15(c) observes that “[t]he relation back of amendments changing plaintiffs is not expressly treated in revised Rule 15(c) since the problem is generally easier” and goes on to comment that “the attitude taken in revised Rule 15(c) toward change of defendants extends by analogy to amendments changing plaintiffs.” Fed. R. Civ. Pro. 15(c) advisory committee’s note.
In the Ninth Circuit,
An amendment adding a party plaintiff relates back to the date of the original pleading only when: 1) the original complaint gave the defendant adequate notice of the claims of the newly proposed plaintiff; 2) the relation back does not unfairly prejudice the defendant; and 3) there is an identity of interests between the original and newly proposed plaintiff.
Rosenbaum v. Syntex Corp.,
In the present case, the original Complaint and the Second Amended Complaint were both filed “on behalf of persons who are statutorily eligible for legalization pursuant to the Immigration Reform and Control Act of 1986 (IRCA), but who have been unlawfully denied access to legalization benefits by the defendants.” In particular, the original Complaint and the Second Amended Complaint both challenged the INS’s regulations and practices defining and interpreting the term “known to the Government” as used in the IRCA. The original Complaint thereby placed the INS on notice that all aliens covered by the INS’s regulations and practices defin
In the original Complaint, plaintiffs John Doe 1 and 2 alleged that they “accepted employment” and “did not file quarterly status reports” and were therefore “in violation of the terms of [their] non-immigrant visa.” In the Second Amended Complaint, new plaintiffs John Doe 1 and 2 similarly alleged that “they violated the terms of [their] nonimmigrant visa by working” and “failing to submit required address reports.” Moreover, in the original Complaint, plaintiffs John Doe 1 and 2 stated that they “wishe[d] to qualify for legalization, but Defendant’s current regulations [made them] ineligible.” In the Second Amended Complaint, new plaintiffs John Doe 1 and 2 similarly stated that they “attempted to file an application for legalization ... but [were] prevented from applying because of the INS’s policies and practices challenged in this lawsuit.” The addition of new plaintiffs who are similarly situated to the original plaintiffs therefore did not cause the INS any prejudice in the present case. Thus, the no-prejudice requirement of Rule 15(c) is met in the present case. See Rosenbaum,
Because the original individual plaintiffs and the current individual plaintiffs are “similarly situated,” the identity-of-interest requirement of Rule 15(c) is also met in the present case. See Rosenbaum,
Because all three requirements identified in Rosenbaum for adding plaintiffs and relating their claims in the Second Amended Complaint back to the original Complaint are met in the present case, we affirm the District Court’s decision that the claims of the current individual plaintiffs are timely.
II. Standing and Ripeness
A. Introduction
In urging this Court to dismiss this action for lack of jurisdiction, the INS argues that none of the plaintiffs meet the applicable standing and ripeness requirements. The standing question is “whether the plaintiff has ‘alleged such a personal stake in the outcome of the controversy’ as to warrant his invocation of federal-court jurisdiction.” Warth v. Seldin,
B. Jurisdiction may be established on the basis of the Second Amended Complaint.
Initially, the INS argues that jurisdiction must be established exclusively on the basis of the allegations in the original Complaint. This argument is foreclosed by our recent en banc decision in the CSS litigation. See CSS v. INS,
We believe that it would have been by far the better course for the panel in CSS [III] to remand with instructions to allow amendment of the complaint to satisfy [jurisdictional] requirements [in 8 U.S.C. § 1255a(f)(4)(C) ] imposed for the first time while the case was on appeal. If the panel in CSS [III] had allowed such amendment, there would be no tolling ... issue[ ]. But because the panel ordered the dismissal of the action in CSS [III], plaintiffs were obliged to file a new action rather than allowed to continue their pending action.
CSS V,
C. Individual plaintiffs John Doe 5 and John Doe 6, who alleged that they filed applications for legalization which have not yet been adjudicated because of the challenged INS practices, have ripe “procedural” claims over which the District Court has jurisdiction.
Two of the individual plaintiffs, John Doe 5 and John Doe 6, alleged in the Second Amended Complaint that they filed applications which have not yet been adjudicated because of 14971 the challenged INS practices. These plaintiffs have ripe “procedural” claims over which the District Court has jurisdiction.
In CSS II, the Supreme Court concluded that “a [plaintiffs] claim would ripen only once he took the affirmative steps that he could take before the INS blocked his path by applying the regulation to him.”
In her concurrence to the CSS II majority opinion, Justice O’Connor noted that she “would not go so far as to state that a suit challenging а benefit-conferring rule is necessarily unripe simply because the plaintiff has not yet applied for the benefit.”
The CSS II majority opinion commented that even if the “firm prediction” rule was applicable, the Court did not see “how such a ‘firm prediction’ could be made in this case.”
As for the prediction that the plaintiffs “will apply for the benefit,” we are now considering only the cases of those plaintiffs who, in fact, failed to file timely applications. As for the prediction that “the agency will deny the application by virtue of the [challenged] rule,” we reemphasize that in this case, access to the benefit in question is conditioned on several nontrivial rules other than the' two challenged. This circumstance makes it much more difficult to predict firmly that the INS would deny a particular application “by virtue of the [challenged] rule,” and not by virtue of some other, unchallenged rule that it determined barred an adjustment of status.
Id.
The CSS II majority did not reject Justice O’Connor’s “firm prediction” rule, but rather concluded that the rule was not satisfied in that case: Because the CSS II plaintiffs in fact did nоt apply timely, it was impossible in that case to “firmly predict” that they would apply late. This is so because 8 U.S.C. § 1255a(f)(2) prohibits against all review of any “denial of adjustment of status under this section based on a late filing of an application for such adjustment.” See CSS II,
In Freedom to Travel Campaign v. Newcomb,
In the present case, the first prong of Justice O’Connor’s “firm prediction” -rule— that the court can firmly predict that the
The IRCA provides, however, that “[t]here shall be no ... judicial review of a determination respecting an application for adjustment of status under this section except in accordance with this subsection” and that “[t]here shall be judicial review of ... a denial [of an application for adjustment of status] only in the judicial review of an order of deportation under section 1105a of this title.” 8 U.S.C. §§ 1255a(f)(l), (4)(A) (emphasis added). As a rule, such appeals of deportation orders must be brought individually before a Circuit Court of Appeals, rather than — as here — as a class action before a District Court. See 8 U.S.C. § 1105a (repealed by Illegal Immigration Reform and Immigrant Responsibility Act of 1996). In short, if 8 U.S.C. §§ 1255a(f)(l), (4)(A) were to apply here, this class action suit could not be brought. This limit on judicial review arguably does not limit the review of pending applications, because such cases do not involve a “review of a determination respecting an application.” 8 U.S.C. § 1255a(f)(l) (emphasis added). And even if 8 U.S.C. §§ 1255a(f)(l), (4)(A) would normally limit the review of pending applications, it does not do so where, as here, plaintiffs’ challenges are procedural rather than substantive.
In Naranjo-Aguilera» we noted an exception for procedural rather than substantive challengеs to § 1255a(f)’s limited review scheme:
[District courts have jurisdiction over “collateral,” “procedural” challenges to INS practices in the processing of applications, such as the front-desking in CSS [II] .... Where plaintiffs challenge alleged INS application-processing practices on a nationwide scale, a class action lawsuit with district court discovery mechanisms is an appropriate, and indeed the most effective, method of judicial review.
This Court has already concluded that the relief granted by the District Court in IAP I and IAP II was procedural:
The INS argues that the district court erred when it issued injunctive relief that required the agency to use a particular procedure under which nonimmi-grants could prove that their unlawful status was “known to the government.” We disagree with the agency’s contention and conclude that the district court in establishing such procedure properly exercised its discretion to structure equitable relief.
IAP III,
There is no reason to revise this assessment now. Plaintiffs John Doe 5 and John Doe 6 challenge the INS policy and practice of not accepting the absence of the aliens’ address reports from the INS files as proof that their unlawful status was known to the government. See 8 C.F.R. § 245a.l(d)(l), (2). Plaintiffs John Doe 5 and John Doe 6 further challenge the INS policy and practice of requiring applicants like them to prove that their unlawful status was “known' to the government” by “produc[ing] documentation from a school ... which establishes that the said school forwarded to the [INS] a repоrt that clearly indicated the applicant had violated his or her nonimmigrant student status prior to January 1, - 1982.” 8 C.F.R. § 245a.l(d)(4). Plaintiffs John Doe 5 and John Doe 6 thus challenge the procedure that the INS required them to follow in proving that their unlawful status was known to the government. .The District Court agreed and set up a different burden-shifting procedure. See IAP II,
In McNary v. Haitian Refugee Center, Inc., 498 U.S. 479,
In those cases [in] which the INS denied [legalization] based in whole or in part on the fact that the applicant failed to submit payroll records or piecework receipts, the INS shall vacate the denials and reconsider the cases in light of the proper standard of proof which will require the government to present evidence to negate the just and reasonable inference created by the affidavits and other documents submitted by the applicant.
Id. at 881. The Supreme Court held that the District Court had jurisdiction over the plaintiffs’ class action challenge and affirmed. See McNary,
Plaintiffs John Doe 5 and John Doe 6 do not challenge “INS’s interpretations of IRCA’s substantive eligibility requirements,” i.e., whether they are eligible for adjustment of status. Instead, plaintiffs John Doe 5 and John Doe 6 challenge the procedure by which they have to prove that they are eligible for adjustment of status.
D. Individual plaintiffs John Doe 1, John Doe 2, John Doe 8, and others like them, who alleged that they did not file applications for legalization because of the challenged INS policies and practices, may have ripe claims over which the District Court has jurisdiction.
In the Second Amended Complaint, some of the individual plaintiffs alleged that they did not file applications for legalization because of the challenged INS policies. These plaintiffs may qualify as “front-desked” class members whose
For example, we previously suggested that plaintiffs John Doe 1 and John Doe 2 “may have alleged facts sufficient to grant them standing.” IAP VI,
The District Court held that these allegations in the Second Amended Complaint are sufficient because they meet the “notice pleading” requirements of Fed. R.Civ.P. 8(a)(2). Rule 8(a)(2) requires any pleading which sets forth a claim for relief to contain “a short and plain statement of the claim showing that the pleader is entitled to relief.” This rule “require[s] that the pleading ... give[ ] the opposing party fair notice of the nature and basis or grounds of the claim and a general indication of the type of litigation involved.” 5 Charles Alan Wright & Arthur R. Miller, Federal Practice and Procedure § 1215 (2d ed.1990). The allegations by plaintiffs John Doe 1, John Doe 2, and John Doe 8 in the Second Amended Complaint indeed “give[ ] the [INS] fair notice of the nature and basis or grounds of the claim and a general indication of the type of litigation involved,” 5 Miller & Wright, supra at § 1215, and thus meet the requirements of notice pleading.
The INS argues, however, that more than mere notice pleading -is required. Specifically, the INS argues that plaintiffs had to allege — but failed to do so — each element of the jurisdictional requirements in 8 U.S.C. § 1255a(f)(4)(C), i.e., that they “in fact filed an application” or “attempted to file a complete application and application fee with an authorized legalization officer ... but had the application and fee refused by that officer.” CSS III provides considerable support for this argument.
CSS III thus suggests that plaintiffs had to allege that “they actually tendered an application and fee or attempted to do so” to have standing to challenge the INS’s interpretation of 8 U.S.C. § 1255a(a)(2)(B)’s requirement that an “alien’s unlawful status was known to the Government.” None of the individual plaintiffs have‘made such allegations in the Second Amended Complaint or elsewhere. For example, plaintiffs John Doe 1 and John Doe 2 both alleged that they “attempted to file an application,” but neither alleges that he “attempted to ... tender[ ] a[ ] fee.” Similarly, John Doe 8 alleged that he “sought to file, a completed amnesty application,” but does not mention any fee. Under CSS III, these allegations are not sufficient to establish standing.
We nevertheless “remand with instructions to allow amendment of the complaint to satisfy [the jurisdictional] requirements [in 8 U.S.C. § 1255a(f)(4)(C) ],” as recommended by our En Banc Court in CSS V,
In addition, even some non-front-desked class members may have standing to challenge the constitutionality of this jurisdictional requirement. This group includes those individual plaintiffs who alleged that they did not file applications for legalization because of the challenged INS policies, but who do not meet thе IRCA’s jurisdictional requirements because they did not “attempt[ ] to file a complete application and application fee with an authorized legalization officer of the Service but had the application and fee refused by that officer,” 8 U.S.C. § 1255a(f)(4)(C). In CSS II, the Supreme Court left open the possibility that “further facts would allow [such] class members who were not [actually] front-desked to demonstrate that the front-desking policy was nevertheless a substantial cause of their failure to apply,” making their claims ripe.
E. The organizational plaintiffs may have ripe claims over ivhich the District Court- has jurisdiction.
In IAP IV, Justice O’Connor held that the IRCA did not give organizational plaintiffs standing to sue on their own behalf. See
None of the organizational plaintiffs alleged in the Second Amended Complaint that any of their members or clients had “actually tendered an application and fee or attempted to do so but were rebuffed by a legalization assistant” and that they had thus met the jurisdictional requirements of 8 U.S.C. § 1255a(f)(4)(C). Instead, plaintiffs Immigration Assistance Project and Hermandad Mexicana Nacional, for example, merely alleged that their members and clients had been and would continue to be injured by the challenged INS policies and practices. Under CSS III,
For the reasons discussed above in section II.D, we “remand with instructions to allow amendment of the complaint to satisfy [the jurisdictional] requirements[in 8 U.S.C. § 1255a(f)(4)(C) ],” as we recommended en banc in CSS V,
The INS argues that venue is improper in the Western District of Washington. A civil action, such as this one, in which a defendant is an agency of the United States and in which no real property is involved, may be brought, inter alia, in- any judicial district in which a plaintiff resides. See 28 U.S.C. § 1391(e). Venue is a quеstion that the Ninth Circuit reviews de novo. See Myers v. Bennett Law Offices,
Plaintiff John Doe 8 resides in Seattle and, thus, in the Western District of Washington. Plaintiff Washington Association of Churches presumably also resides in the Western District of Washington. If plaintiff John Doe 8 or plaintiff Washington Association of Churches can satisfy the jurisdictional requirements of 8 U.S.C. § 1255a(f)(4)(C) because they (or their members) have been front-desked, venue in the Western District of Washington will be proper for all purposes. If neither of these two plaintiffs can meet these jurisdictional requirements, but either of them would have standing under CSS II,
IV. Class Certification
In its 1995 Order, the District Court certified “a class of individuals who ... [1] were deterred from filing an application because of INS’s regulations and policies, or[2] who filed an application which has not resulted in a decision.” In its 1999 Order, the District Court reinstated this class certification.
The INS argues this class certification was improper. The INS concedes that “a class certification order is not ordinarily reviewable on appeal in this posture” but argues that in the present case, the grant of class certification “is inextricably interwoven with the ... grant of injunctive relief and must be subject to review.”
Our decision in Paige v. California,
We review a District Court’s decision to certify a class for an abuse of discretion. See Hawkins v. Comparet-Cassani,
As discussed above in seсtion II.C, plaintiffs with pending legalization applications have claims that are ripe under Justice O’Connor’s “firm prediction” test and the District Court had jurisdiction over these claims because they are “procedural” challenges to INS practices in the processing of applications. See CSS II,
The INS argues that certification of a class of plaintiffs with pending legalization applications was nevertheless improper because “plaintiffs have not presented any evidence to demonstrate the class is so numerous that joinder is impracticable” as required by Fed.R.Civ.P. 23(a).
The INS also argues that “plaintiffs have not demonstrated that they can satisfy the commonality and typicality requirements” of Fed.R.Civ.P. 23(a). But the INS makes this argument only with respect to front-desked class members.
The defendants are hereby ordered to: (1) provide the plaintiffs within 30 days of this order the number of applications that have been filed by class members, the number of such applications that have been adjudicated, and the number that are still pending; (2) provide the plaintiffs with quarterly reports thereafter stating the number of class members applications adjudicated during that period and the number of applications that remain pending; (3) notify all class members with pending legalization applications of the name, address and telephone number of counsel for plaintiffs within 30 days of this order. The court further instructs the INS to adjudicate such applications in accordance with the procedures established in this court’s rulings at [ZAP /,]709 F.Supp. 998 and [ZAP IQ717 F.Supp. 1444 (W.D.Wash. 1989).
The INS concedes that in the 1999 Order “the district court awarded interim relief’ only to “those who claim to have timely filed legalization applications.” Because the injunction in the 1999 Order does not benefit front-desked class members, we can uphold the injunction without reaching the question whether the class certification in the 1995 Order was proper as to front-desked class members. The certification of the class as to front-desked class members is therefore not “inextricably intertwined” with the issuance of the injunction. See Paige,
Y. Propriety of Temporary Protective Relief
The INS argues that the District Court improperly granted temporary protective relief to class members with pending legalization applications. We review the grant of a preliminary injunction for abuse of discretion. See Textile Unlimited, Inc. v. A. BMH & Co.,
This Court already rejected most of the INS’s arguments in IAP III when it affirmed the similar temporary protective relief granted by the District Court in IAP I and IAP II. Moreover, contrary to the INS’s remaining arguments, neither the Supreme Court’s subsequent ruling in CSS II nor other subsequent rulings render the injunction improper. In its 1999 Order, the District Court instructed the INS “to adjudicate [pending] applications in accordance with the procedures established in this court’s rulings” in IAP I and IAP II. In IAP III, we affirmed these procedures. The INS raises three arguments that subsequent rulings have completely or partially invalidated IAP I, IAP II, and IAP III.
First, the INS argues that after CSS II, the District Court no longer has jurisdiction over claims by plaintiffs whose applications have not yet been decided. As discussed in section II.C, however, CSS II did not destroy District Court jurisdiction over procedural claims by plaintiffs with pending applications, including the claims by plaintiffs in the present case.
Second, the INS argues that the 1999 Order did not afford Chevron deference to the INS’s own interpretation of the “known to the government” requirement. The 1999 Order instructed the INS, inter alia, to adjudicate pending applications in accordance with the burden-shifting mechanism established in IAP II for section 265 violators. Under this mechanism, knowledge of an applicant’s unlawful status can be imputed to the government from the absence of the alien’s required quarterly address reports from the INS’s files. In In re H, 20 I. & N. Dec. 693 (BIA 1993), the BIA, however, held that “[i]t is not reasonable to impute knowledge to the Government based on the absence of a document.” 20 I. & N. Dec. at 696. And in Chevron, U.S.A., Inc. v. Natural Resources Defense Council, Inc.,
The BIA’s holding in In re H, that knowledge of an applicant’s unlawful status could not be imputed to the government through the absence from the INS’s files of quarterly address reports required by § 265, is not a “reasonable interpretation” of § 1255a(a)(2)(B)’s “known to the government” requirement. In affirming the burden-shifting mechanism established in IAP II, we observed:
The record shows that before January 1, 1982, the INS reviewed agency records to determine whether nonimmigrants had complied with the reporting requirements under section 265. The absence of the required section 265 report identified those in violation. As a consequence of its own practices, the INS had actual knowledge of an alien's unlawful status.
IAP III,
Third, the INS argues that the 1999 Order violated rational-basis review as defined in Heller v. Doe,
In Heller, the Supreme Court reaffirmed that under rational-basis review, “a classification ‘must be upheld against equal protection challenge if there is any reasonably conceivable state of facts that could provide a rational basis for the classification.’”
Plaintiffs argue that Heller does not apply to the present case because Heller involved a classification by an agency rather than, as in the present case, a legislature. We reject this argument in light of the fact that the Supreme Court vacated IAP I and IAP II and remanded it specifically “for further consideration in light of Heller.” IAP v. INS,
In IAP III, we agreed with the District Court that there was “no rational basis between the two groups to justify requiring ... nonimmigrant[ ] [students who had violated their visas by not taking a required number of class hours] to meet different proof requirements for showing unlawful status as compared to other non-immigrant students ... who were similarly situated.”
More generally, the INS objects that plaintiffs have not met the requirements for a preliminary injunction. To receive a preliminary injunction, plaintiffs were required to show “either a likelihood of success on the merits and the possibility of irreparable injury, or that serious questions going to the merits were raised and the balance of hardships tips sharply in its favor.” Sun Microsystems, Inc. v. Microsoft Corp.,
In the present case, plаintiffs have already convinced this Court that the INS’s policy towards applicants who violated their visas by not filing the required quarterly address reports “represents an overly restrictive interpretation of [the] IRCA” and that there was “no rational basis” for the INS’s policy towards applicants who violated their visas by, e.g., not taking a required number of class hours. ZAP III,
CONCLUSION
For the foregoing reasons, we AFFIRM the District Court’s reinstatement of its class certification order and its modified reinstatement of its order granting temporary relief. We REMAND to allow plaintiffs to amend the complaint to satisfy all jurisdictional and venue requirements as outlined above.
Notes
. The organizational plaintiffs should similarly be allowed to amend the complaint.
. The IRCA further provides that such an alien is entitled to adjustment to permanent residency if he meets additional requirements. See 8 U.S.C. § 1255a(b)(l).
. On or about August 29, 1988, plaintiffs filed an Amended Complaint in reaction to (1) orders issued by the District Court for the District of Columbia in a similar action and (2) new INS regulations.
. . As an independent ground for denial of plaintiffs' Motion for Provisional Class Certification, the District Court determined that the Motion was untimely in violation of Local Rule 23(f)(3).
. The CSS plaintiffs challenged the INS's interpretation of the IRCA’s requirement that the applicant has been “continuously physically present since November, 6, 1986,” 8 U.S.C. § 1255a(a)(3)(A), and, in particular, the INS's position that for an applicant's absence from the United States to qualify as a “brief, casual, and innocent” absence under § 1255a(aj(3)(B) that,does not destroy eligibility for legalization, the applicant must have obtained INS approval, or "advance parole,” before taking the absence. See CSS I,
. Moreover, the IRCA provides that "[tjhere shall be judicial review of ... a denial [of an application for adjustment of status] only in the judicial review of an order of deportation under section 1105a of this title.” 8 U.S.C. § 1255a(f)(4)(A). As a rule, such an appeal must be brought individually before a Circuit Court of Appeals. See 8 U.S.C. § 1105a (repealed by Illegal Immigration Reform and Immigrant Responsibility Act of 1996). Thus, even after a denial of an application, a class action challenge before a District Court would normally be barred. In Naranjo-Aguilera v. INS,
[DJistrict courts have jurisdiction over "collateral,” "procedural” challenges to INS practices in the processing of applications, such as the front-desking in CSS .... Where plaintiffs challenge alleged INS application-processing practices on a nationwide scale, a class action lawsuit with district court discovery mechanisms is an appropriate, and indeed the most effective, method of judicial review.
Id. at 1112-13.
. An en banc panel of this Court later held that this group of constructively front-desked plaintiffs with ripe claims "include[d], at a minimum, those who went to an INS office and told their story to an INS officer at the front desk, were told that they were ineligible to apply, and were turned away without an application.” Catholic Social Services, Inc. v. INS,
. "QDEs are state, local, community, or voluntary organizations authorized by the Attorney General to accept applications under certain conditions. 8 U.S.C. § 1255a(c)(2-3).” CSS v. INS,
. Among the individual plaintiffs the District Court deemed to have claims that are possibly ripe under CSS II are plaintiffs John Doe 2, John Doe 5, and John Doe 6. Among the individual plaintiffs the District Court deemed not to have claims that are possibly ripe under CSS II is plaintiff John Doe 7. The District Court erred in reaching the latter conclusion. Plaintiffs such as John Doe 7 who have filed applications that have been denied have claims that, are ripe under CSS II. See
. An en banc panel of this Court has held that “aliens who filed or attempted to file a completed application and fee with a QDE fall within [this] statutory grant of jurisdiction.” CSS V,
. In 2000, Congress passed the “LIFE Act” and thereby retroactively repealed 8 U.S.C. § 1255a(f)(4)(C) with respect to aliens who before October 1, 2000 ... filed with the Attorney General a written claim for class membership ... pursuant to a court order issued in the case of .. . (1) Catholic Social Services, Inc. v. Meese ... or (2) League of United Latin American Citizens v. INS,
. We may affirm the District Court's decision on any basis the record supports, including one the District Court did not reach. See Herring v. Fed. Deposit Ins. Corp.,
. Plaintiffs cite two out-of-circuit decisions for the proposition that following reversal of an order denying class certification, all claims embraced in the complaint relate back to the date on which the action was originally filed. See Knable v. Wilson,
. The facts at issue in the present case are similar to those at issue in In re Glacier Bay,
. The jurisdictional requirements of 8 U.S.C. § 1255a(£)(4)(C) are:
Notwithstanding any other provision of law, no court shall have jurisdiction of any cause of action or claim by or on behalf of any person asserting an interest under this section unless such person in fact filed an application under this section within the period specified by subsection (a)(1) of this section, or attempted to file a complete application and application fee with an authorized legalization officer of the Service but had the application and fee refused by that officer.
8 U.S.C. § 1255a(f)(4)(C).
. Our conclusion that plaintiffs' challenges are procedural conflicts with the conclusion of the Court of Appeals for the District of Columbia Circuit in Ayuda, Inc. v. Reno,
. Plaintiffs John Doe 5’s and John Doe 6’s claims are different from the claims that this Court found substantive rather than procedural in Naranjo-Aguilera. There, the plaintiffs challenged the INS’s interpretation of the SAW legalization program's provision that "the Attorney General may ... provide for termination of the temporary resident ... if ... the alien ... is convicted of a felony or 3 or more misdemeanors committed in the United States.” 8 U.S.C. § 1160(a)(3)(B) (emphasis added). Specifically, the Naranjo-Aguilera plaintiffs "argued that the INS has an unlawful policy of treating th[is] rule as a per se ground for denial or termination of temporary resident status, rather than as one factor to be weighed, in the INS's discretion and on a case-by-case basis, along with other positive and negative factors.”
. Our previous suggestion that plaintiffs John Doe 1 and John Doe 2 “may have alleged facts sufficient to grant them standing,” IAP VI,
. If we instead decided to dismiss this action, plaintiffs would be allowed to file a new action because "a complaint is not subject to dismissal with prejudice unless it appears to a certainty that no relief can be granted under any set of facts that can be proved in support of its allegations.” Wright and Miller, supra at § 1215. Here, plaintiffs John Doe 1, John Doe 2, and John Doe 8 could presumably prove that they attempted to tеnder the required fee, and it does not "appear[ ] to a certainty that no relief can be granted” under that set of facts. Moreover, a new action filed by any of the named plaintiffs or class members sufficiently soon after the dismissal of the present action would be timely because the statute of limitations remains tolled during the pendency of the present action. See supra section I.B; see also CSS V,
. Plaintiff Washington Association of Churches states that it is "an association of churches” and mentions no members or clients other than churches. Nor does plaintiff Washington Association of Churches mention that its member churches have members or clients who meet either the jurisdictional requirements of 8, U.S.C. § 1255a(f)(4)(C) because they "tendered an application and fee or attempted to do so” or the ripeness requirement of CSS II,
. Fed.R.Civ.P. 23(a) provides:
One or more members of a class may sue ... as representative parties on behalf of all only if (1) the class is so numerous that joinder of all members is impracticable, (2) there are questions of law or fact common to the class, (3) the claims ... of the representative parties are typical of the claims ... of the class, and (4) the representative parties will fairly and adequately protect the interests of the class.
. Specifically, the INS argues:
Here the claims of any member of the proposed plaintiff class will be based entirely on highly individualized testimony about what transpired when they attempted to file*870 a complete application and application fee and had the application and application fee refused. At trial, each member of the proposed class would be required ... to prove that they actually presented a complete application to an authorized officer of the INS, along with the required fee, and had both the application and the fee refused by that officer.
(Emphasis added).
. Strictly speaking, this sub-class includes not only front-desked members, but also non-front-desked members who meet CSS IPs ripeness requirements because they can "demonstrate that the front-desking policy was nevertheless a substantial cause of their failure to apply,”
. The INS also argues that under SEC v. Chenery Corp.,
