JETT v. DALLAS INDEPENDENT SCHOOL DISTRICT
No. 87-2084
SUPREME COURT OF THE UNITED STATES
Argued March 28, 1989-Decided June 22, 1989
491 U.S. 701
*Together with No. 88-214, Dallas Independent School District v. Jett, also on certiorari to the same court.
Leonard J. Schwartz argued the cause and filed a brief for respondent in No. 87-2084 and petitioner in No. 87-214.†
The questions before us in these cases are whether
I
Petitioner Norman Jett, a white male, was employed by respondent Dallas Independent School District (DISD) as a teacher, athletic director, and head football coach at South Oak Cliff High School (South Oak) until his reassignment to another DISD school in 1983. Petitioner was hired by the DISD in 1957, was assigned to assistant coaching duties at South Oak in 1962, and was promoted to athletic director and head football coach of South Oak in 1970. During petitioner‘s lengthy tenure at South Oak, the racial composition of the school changed from predominantly white to predominantly black. In 1975, the DISD assigned Dr. Fredrick Todd, a black, as principal of South Oak. Petitioner and Todd clashed repeatedly over school policies, and in particular over petitioner‘s handling of the school‘s football program. These conflicts came to a head following a November 19, 1982, football game between South Oak and the predominately white Plano High School. Todd objected to petitioner‘s comparison of the South Oak team with professional teams before the match, and to the fact that petitioner entered the officials’ locker room after South Oak lost the game and told two black officials that he would never allow black officials to work another South Oak game. Todd also objected to petitioner‘s
On March 15, 1983, Todd informed petitioner that he intended to recommend that petitioner be relieved of his duties as athletic director and head football coach at South Oak. On March 17, 1983, Todd sent a letter to John Kincaide, the director of athletics for DISD, recommending that petitioner be removed based on poor leadership and planning skills and petitioner‘s comportment before and after the Plano game. Petitioner subsequently met with John Santillo, director of personnel for DISD, who suggested that petitioner should transfer schools because any remaining professional relationship with Principal Todd had been shattered. Petitioner then met with Linus Wright, the superintendent of the DISD. At this meeting, petitioner informed Superintendent Wright that he believed that Todd‘s criticisms of his performance as head coach were unfounded and that in fact Todd was motivated by racial animus and wished to replace petitioner with a black head coach. Superintendent Wright suggested that the difficulties between Todd and petitioner might preclude petitioner from remaining in his coaching position at South Oak, but assured petitioner that another position in the DISD would be secured for him.
On March 25, 1983, Superintendent Wright met with Kincaide, Santillo, Todd, and two other DISD officials to determine whether petitioner should remain at South Oak. After the meeting, Superintendent Wright officially affirmed Todd‘s recommendation to remove petitioner from his duties as coach and athletic director at South Oak. Wright indicated that he felt compelled to follow the recommendation of the school principal. Soon after this meeting, petitioner was informed by Santillo that effective August 4, 1983, he was reassigned as a teacher at the DISD Business Magnet School, a position that did not include any coaching duties. Petitioner‘s at-
Petitioner brought this action against the DISD and Principal Todd in his personal and official capacities, under
On appeal, the Court of Appeals for the Fifth Circuit reversed in part and remanded. 798 F. 2d 748 (1986). Initially, the court found that petitioner had no constitutionally protected property interest “in the intangible, noneconomic benefits of his assignment as coach.” Id., at 754. Since petitioner had received both his teacher‘s and coach‘s salary after his reassignment, the change in duties did not deprive him of any state law entitlement protected by the Due Process Clause. The Court of Appeals also set aside the jury‘s finding that petitioner was constructively discharged from his teaching position within the DISD. The court found the evidence insufficient to sustain the claim that petitioner‘s loss of coaching duties and subsequent offer of reassignment to a lesser coaching position were so humiliating or unpleasant that a reasonable employee would have felt compelled to re-
The Court of Appeals then turned to the DISD‘s claim that there was insufficient evidence to support a finding of municipal liability under
The Court of Appeals also rejected the District Court‘s conclusion that the DISD‘s liability for Principal Todd‘s actions could be predicated on a theory of respondeat superior under
The Court of Appeals published a second opinion in rejecting petitioner‘s suggestion for rehearing en banc in which the panel gave further explanation of its holding that respondeat superior liability against local governmental entities was unavailable under
Because the Court of Appeals’ conclusion that local governmental bodies cannot be held liable under a theory of respondeat superior for their employees’ violations of the rights guaranteed by
We note that at no stage in the proceedings has the school district raised the contention that the substantive scope of the “right . . . to make . . . contracts” protected by
II
Title
“All persons within the jurisdiction of the United States shall have the same right in every State and Territory to make and enforce contracts, to sue, be parties, give evidence, and to the full and equal benefit of all laws and proceedings for the security of persons and property as is enjoyed by white citizens, and shall be subject to like punishment, pains, penalties, taxes, licenses, and exactions of every kind, and no other.”
In essence, petitioner argues that in 1866 the 39th Congress intended to create a cause of action for damages against municipal actors and others who violated the rights now enumerated in
JUSTICE BRENNAN‘s dissent errs in asserting that we have strayed from the question upon which we granted certiorari. See post, at 739-740. Jett‘s petition for certiorari asks us to decide “[w]hether a public employee who claims job discrimination on the basis of race must show that the discrimination resulted from official ‘policy or custom’ in order to recover under
Equally implausible is JUSTICE BRENNAN‘S suggestion that we have somehow unwittingly answered this question in the past. See post, at 741. Most of the cases cited by the dissent involved private conduct, and thus quite obviously could not have considered the propriety of judicial implication of a federal damages remedy under
A
On December 18, 1865, the Secretary of State certified that the Thirteenth Amendment had been ratified and become part of the Constitution. Less than three weeks later,
“That there shall be no discrimination in civil rights or immunities among the inhabitants of any State or Territory of the United States on account of race, color, or previous condition of slavery; but the inhabitants of every race and color, without regard to any previous condition of slavery or involuntary servitude, except as a punishment for a crime whereof the party shall have been duly convicted, shall have the same right to make and enforce contracts, to sue, be parties, and give evidence, to inherit, purchase, lease, sell, hold, and convey real and personal property, and to the full and equal benefit of all laws and proceedings for the security of person and property, and shall be subject to like punishment, pains, and penalties, and to none other, any law, statute, ordinance, regulation, or custom to the contrary notwithstanding.” Id., at 474.
On January 29, 1866, Senator Trumbull took the floor to describe S. 61 to his colleagues. Trumbull indicated that “the first section will amount to nothing more than the declaration in the Constitution itself unless we have the machinery to carry it into effect.” Id., at 475. The Senator then alluded to the second section of the bill which provided:
“That any person who under color of any law, statute, ordinance, regulation, or custom shall subject, or cause to be subjected, any inhabitant of any State or Territory to the deprivation of any right secured or protected by this act, or to different punishment, pains, or penalties on account of such person having at any time been held in a condition of slavery or involuntary servitude, . . .
or by reason of his color or race, than is prescribed for the punishment of white persons, shall be deemed guilty of a misdemeanor, and, on conviction, shall be punished by fine not exceeding $1,000, or imprisonment not exceeding one year, or both, in the discretion of the court.” Ibid.
Senator Trumbull told the Senate: “This is the valuable section of the bill so far as protecting the rights of freedmen is concerned.” Ibid. This section would allow for criminal prosecution of those who denied the freedman the rights protected by § 1, and Trumbull felt, in retrospect somewhat naively, that, “it will only be necessary to go into the late slaveholding States and subject to fine and imprisonment one or two in a State, and the most prominent ones I should hope at that, to break up this whole business.” Ibid.
Trumbull then described the third section of the bill, which, as later enacted, provided in pertinent part:
“That the district courts of the United States, within their respective districts, shall have, exclusively of the courts of the several States, cognizance of all crimes and offenses committed against the provisions of this act, and also, concurrently with the circuit courts of the United States, of all causes, civil and criminal, affecting persons who are denied or cannot enforce in the courts or judicial tribunals of the State or locality where they may be any of the rights secured to them by the first section of this act; and if any suit or prosecution, civil or criminal, has been or shall be commenced in any State court, against any such person, for any cause whatsoever . . . such defendant shall have the right to remove such cause for trial to the proper district or circuit court in the manner prescribed by the ‘Act relating to habeas corpus and regulating judicial proceedings in certain cases,’ approved March three, eighteen hundred and sixty three, and all acts amendatory thereof.” 14 Stat. 27.
Discussion of § 2 of the bill focused on both the propriety and constitutionality of subjecting state officers to criminal punishment for effectuating discriminatory state laws. Opponents of the bill consistently referred to criminal punishment and fines being levied against state judges and other state officers for the enforcement of state laws in conflict with § 1. See id., at 475, 499, 500 (Sen. Cowan); id., at 598 (Sen. Davis); id., at 1121 (Rep. Rogers); id., at 1154 (Rep. Eldridge). They never intimated that they understood any part of the bill to create a federal damages remedy against state officers or the political subdivisions of the States.
Debate concerning § 3 focused on the right of removal of civil and criminal proceedings commenced in state court. Senator Howard, an opponent, engaged in a section by section criticism of the bill after its introduction by Trumbull. As to § 3 he gave numerous examples of his perception of its operation. All of these involved removal of actions from state court, and none alluded to original federal jurisdiction except in the case of the exclusive criminal jurisdiction expressly provided for. Id., at 479 (“All such cases will be subject to be removed into the Federal courts“); see also id., at 598 (Sen. Davis) (“Section three provides that all suits brought in State courts that come within the purview of the previous sections may be removed into the Federal courts“).
Representative Wilson of Iowa, Chairman of the House Judiciary Committee, introduced S. 61 in the House on March 1, 1866. Of § 1 of the bill, he said:
“Mr. Speaker, I think I may safely affirm that this bill, so far as it declares the equality of all citizens in the enjoyment of civil rights and immunities merely affirms existing law. We are following the Constitution. . . . It is not the object of this bill to establish new rights, but to protect and enforce those which already belong to every citizen.” Id., at 1117.
As did Trumbull in the Senate, Wilson immediately alluded to § 2, the criminal provision, as the main enforcement mechanism of the bill. “In order to accomplish this end, it is necessary to fortify the declaratory portions of this bill with sanctions as will render it effective.” Id., at 1118.
The only discussion of a civil remedy in the House debates surrounding the 1866 Act came in response to Representative Bingham‘s proposal to send the bill back to the House Judiciary Committee with instructions “to strike out all parts of said bill which are penal and which authorize criminal proceedings, and in lieu thereof to give all citizens of the United States injured by denial or violation of any of the other rights secured or protected by said act, an action in the United States courts, with double costs in all cases of emergency, without regard to the amount of damages.” Id., at 1266, 1291. Bingham was opposed to the civil rights bill strictly on the grounds that it exceeded the constitutional power of the Federal Government. As to States “sustaining their full constitutional relation to the Government of the United States,” Bingham, along with several other Republicans, doubted the power of the Federal Government to interfere with the reserved powers of the States to define property and other rights. Id., at 1292. While Bingham realized that the same constitutional objections applied to his proposal
Representative Wilson responded to his Republican colleague‘s proposal. Wilson pointed out that there was no difference in constitutional principle “between saying that the citizen shall be protected by the legislative power of the United States in his rights by civil remedy and declaring that he shall be protected by penal enactments against those who interfere with his rights.” Id., at 1295. Wilson did however see a difference in the effectiveness of the two remedies. He stated:
“This bill proposes that the humblest citizen shall have full and ample protection at the cost of the Government, whose duty it is to protect him. The [Bingham] amendment . . . recognizes the principle involved, but it says that the citizen despoiled of his rights, instead of being properly protected by the Government, must press his own way through the courts and pay the bills attendant thereon. . . . The highest obligation which the Government owes to the citizen in return for the allegiance exacted of him is to secure him in the protection of his rights. Under the amendment of the gentleman the citizen can only receive that protection in the form of a few dollars in the way of damages, if he shall be so fortunate as to recover a verdict against a solvent wrongdoer. This is called protection. This is what we are asked to do in the way of enforcing the bill of rights. Dollars are weighed against the right of life, liberty and property.” Ibid.
Bingham‘s proposal was thereafter defeated by a vote of 113 to 37. Id., at 1296. The Senate bill was subsequently carried in the House, after the removal of the “civil rights and immunities” language in § 1, and an amendment adding a ninth section to the bill providing for a final appeal to the Supreme Court in cases arising under the Act. Id., at 1366-
After holding the bill for a full 10 days, President Johnson vetoed the bill and returned it to the Senate with his objections. The President‘s criticisms of §§ 2 and 3 of the bill, and Senator Trumbull‘s responses thereto, are particularly illuminating. As to § 2, the President declared that it was designed to counteract discriminatory state legislation, “by imposing fine and imprisonment upon the legislators who may pass such . . . laws.” Id., at 1680. As to the third section, the President indicated that it would vest exclusive federal jurisdiction over all civil and criminal cases where the rights guaranteed in § 1 were affected. Ibid.
Trumbull took issue with both statements. As to the charge that § 2 would result in the criminal prosecution of state legislators, Trumbull replied:
“Who is to be punished? Is the law to be punished? Are the men who make the law to be punished? Is that the language of the bill? Not at all. If any person, ‘under color of any law,’ shall subject another to the deprivation of a right to which he is entitled, he is to be punished. Who? The person who, under the color of the law, does the act, not the men who made the law. In some communities in the South a custom prevails by which different punishment is inflicted upon the blacks from that meted out to whites for the same offense. Does this section propose to punish the community where the custom prevails? Or is it to punish the person who, under color of the custom, deprives the party of his right? It is a manifest perversion of the meaning of the section to assert anything else.” Id., at 1758.
Trumbull also answered the President‘s charge that the third section of the bill created original federal jurisdiction in all cases where a freedman was involved in a state court proceeding. He stated:
“So in reference to this third section, the jurisdiction is given to the Federal courts of a case affecting the person that is discriminated against. Now, he is not necessarily discriminated against, because there may be a custom in the community discriminating against him, nor because a Legislature may have passed a statute discriminating against him; that statute is of no validity if it comes in conflict with a statute of the United States; and it is not to be presumed that any judge of a State court would hold that a statute of a State discriminating against a person on account of color was valid when there was a statute of the United States with which it was in direct conflict, and the case would not therefore rise in which a party was discriminated against until it was tested, and then if the discrimination was held valid he would have a right to remove it to a Federal court.” Id., at 1759.
Senator Trumbull then went on to indicate that “[i]f it be necessary in order to protect the freedman in his rights that he should have authority to go into the Federal courts in all cases where a custom [of discrimination] prevails in a State . . . I think we have the authority to confer that jurisdiction under the second clause of the constitutional amendment.” Ibid. Two days later, on April 6, 1866, the Senate overrode the President‘s veto by a vote of 33 to 15. Id., at 1809. On April 9, 1866, the House received both the bill and the President‘s veto message which were read on the floor. Id., at 1857-1860. The House then promptly overrode the President‘s veto by a vote of 122 to 41, id., at 1861, and the Civil Rights Act of 1866 became law.
Several points relevant to our present inquiry emerge from the history surrounding the adoption of the Civil Rights Act of 1866. First, nowhere did the Act provide for an express damages remedy for violation of the provisions of § 1. See Jones v. Alfred H. Mayer Co., 392 U. S. 409, 414, n. 13 (1968) (noting “[t]hat
Two events subsequent to the passage of the 1866 Act bear on the relationship between
Second, the 41st Congress reenacted the substance of the 1866 Act in a
What is now
Unlike the rest of the bill, § 1 was not specifically addressed to the activities of the Klan. As passed by the 42d Congress, § 1 provided in full:
“That any person who, under color of any law, statute, ordinance, regulation, custom, or usage of any State, shall subject, or cause to be subjected, any person within the jurisdiction of the United States to the deprivation of any rights, privileges, or immunities secured by the Constitution of the United States, shall, any such law, statute, ordinance, regulation, custom, or usage of the State to the contrary notwithstanding, be liable to the party injured in any action at law, suit in equity, or other proper proceeding for redress; such proceeding to be prosecuted in the several district or circuit courts of the United States, with and subject to the same rights of appeal, review upon error, and other remedies provided in like cases in such courts, under the provisions of the act of the ninth of April, eighteen hundred and sixty-six, entitled ‘An act to protect all persons in the United States in their civil rights, and to furnish the means of their vindication‘; and the other remedial laws of the United States which are in their nature applicable in such cases.” 17 Stat. 13.
Three points are immediately clear from the face of the Act itself. First, unlike any portion of the 1866 Act, this statute explicitly ordained that any “person” acting under color of state law or custom who was responsible for a deprivation of constitutional rights would “be liable to the party injured in any action at law.” Thus, “the 1871 Act was designed to expose state and local officials to a new form of liability.” Newport v. Fact Concerts, Inc., 453 U. S. 247, 259 (1981). Second, the 1871 Act explicitly provided original federal jurisdiction for prosecution of these civil actions against state
Even a cursory glance at the House and Senate debates on the 1871 Act makes these three points clear. In introducing the bill to the House, Representative Shellabarger, who served on the joint committee which drafted the bill, stated:
“The model for it will be found in the second section of the act of April 9, 1866, known as the ‘civil rights act.’ That section provides a criminal proceeding in identically the same case as this one provides a civil remedy for, except that the deprivation under color of State law must, under the civil rights act, have been on account of race, color or former slavery.” Cong. Globe, 42d Cong., 1st Sess., App. 68 (1871).
Representative Shellabarger added that § 1 provided a civil remedy “on the same state of facts” as § 2 of the Civil Rights Act of 1866. Ibid. Obviously Representative Shellabarger‘s introduction of § 1 of the bill to his colleagues would have been altogether different if he had been of the view that the 39th Congress, of which he had been a Member, had already created a broader federal damages remedy against state actors in 1866. The view that § 1 of the 1871 Act was an amendment of or supplement to the 1866 Act designed to create a new civil remedy against state actors was
Both proponents and opponents in the House viewed § 1 as working an expansion of federal jurisdiction. Supporters continually referred to the failure of the state courts to enforce federal law designed for the protection of the freedman, and saw § 1 as remedying this situation by interposing the federal courts between the State and citizens of the United States. See id., at 376 (Rep. Lowe) (“The case has arisen . . . when the Federal Government must resort to its own agencies to carry its own authority into execution. Hence this bill throws open the doors of the United States courts to those whose rights under the Constitution are denied or impaired“). Opponents recognized the expansion of original jurisdiction and railed against it on policy and constitutional grounds. See id., at 429 (Rep. McHenry) (“The first section of the bill . . . vests in the Federal courts jurisdiction to determine the individual rights of citizens of the same State; a jurisdiction which of right belongs only to the State tribunals“); id., at App. 50 (Rep. Kerr); id., at 365-366 (Rep. Arthur); id., at 373 (Rep. Archer).
The Senate debates on § 1 of the 1871 Act are of a similar tenor. Senator Edmunds, Chairman of the Senate Judiciary Committee, and one of the members of the joint committee which drafted the bill, introduced § 1 to the Senate in the following terms:
“The first section is one that I believe nobody objects to, as defining the rights secured by the Constitution of the United States when they are assailed by any State law or under color of any State law, and it is merely carrying out the principles of the civil rights bill, which have
since become a part of the Constitution.” Id., at 568, quoted in Monroe v. Pape, supra, at 171.
Again Senators addressed § 1 of the Act as creating a new civil remedy and expanding federal jurisdiction to accommodate it in terms incompatible with the supposition that the 1866 Act had already created such a cause of action against state actors. See Cong. Globe, 42d Cong., 1st Sess., 653 (1871) (Sen. Osborn) (“I believe the true remedy lies chiefly in the United States district and circuit courts. If the State courts had proven themselves competent . . . we should not have been called upon to legislate upon this subject at all. But they have not done so“); id., at App. 216 (Sen. Thurman) (“Its whole effect is to give to the Federal Judiciary that which does not belong to it—a jurisdiction that may be constitutionally conferred upon it, I grant, but that has never yet been conferred upon it“); see also id., at 501 (Sen. Frelinghuysen).
The final aspect of the history behind the adoption of present day
Opposition to the amendment in this form was vehement, and ran across party lines, extending to many Republicans who had voted for § 1 of the 1871 Act, as well as earlier Reconstruction legislation, including the Civil Rights Act of 1866. See id., at 758 (Sen. Trumbull); id., at 798-799 (Rep. Farnsworth).
The Sherman amendment was regarded as imposing a new and theretofore untested form of liability on municipal governments. As Representative Blair put it:
“The proposition known as the Sherman amendment—and to that I shall confine myself in the remarks which I may address to the House—is entirely new. It is altogether without a precedent in this country. Congress has never asserted or attempted to assert, so far as I know, any such authority. That amendment claims the power in the General Government to go into the States of this Union and lay such obligations as it may please upon the municipalities, which are the creations of the States alone.” Id., at 795 (Rep. Blair), partially quoted in Monell, 436 U. S., at 673-674.
See also Cong. Globe, 42d Cong., 1st Sess., 758 (1871) (Sen. Trumbull) (referring to the conference committee version of the Sherman amendment as “asserting principles never before exercised, on the part of the United States at any rate“). The strong adverse reaction to the Sherman amendment, and continued references to its complete novelty in the law of
Although the debate surrounding the constitutional principles established in Prigg, Dennison, and Day occurred in the context of the Sherman amendment and not § 1 of the 1871 Act, in Monell we found it quite inconceivable that the same legislators who opposed vicarious liability on constitutional grounds in the Sherman amendment debates would have silently adopted the same principle in § 1. Because the “creation of a federal law of respondeat superior would have raised all the constitutional problems associated with
Both Prigg and Dennison were on the books when the 39th Congress enacted § 1 of the 1866 Act. Supporters of the 1866 Act were clearly aware of Prigg, and cited the case for the proposition that the Federal Government could use its own instrumentalities to effectuate its laws. See, e. g., Cong. Globe, 39th Cong., 1st Sess., 1294 (1871) (Rep. Wilson). There was, however, no suggestion in the debates surrounding the 1866 Act that the statute violated Prigg‘s complementary holding that federal duties could not be imposed on state instrumentalities by rendering them vicariously liability for the violations of others. Just as it affected our interpretation of § 1 of the 1871 Act in Monell, we think the complete silence on this score in the face of a constitutional background known to those who enacted the 1866 Act militates against imputing to Congress an intent to silently impose vicarious liability on municipalities under the earlier statute. Cf. Tenney v. Brandhove, 341 U. S. 367, 376 (1951).
As originally enacted, the text of
There is no commentary or other information surrounding the addition of the phrase “and laws” to the remedial provisions of present day
“It may have been the intention of Congress to provide, by this enactment [the Civil Rights Act of 1871], for all the cases of deprivations mentioned in the previous act of 1870, and thus actually to supersede the indefinite provision contained in that act. But as it might perhaps be held that only such rights as are specifically secured by the Constitution, and not every right secured by a law authorized by the Constitution, were here intended, it is deemed safer to add a reference to the civil rights act.” 1 Revision of the United States Statutes as
Drafted by the Commissioners Appointed for that Purpose 362 (1872).
We have noted in the past that the addition of the phrase “and laws” to the text of what is now
We think the history of the 1866 Act and the 1871 Act recounted above indicates that Congress intended that the explicit remedial provisions of
Petitioner cites
“The jurisdiction in civil . . . matters conferred on the district courts by the provisions of this [chapter and Title 18], for the protection of all persons in the United States in their civil rights, and for their vindication, shall be exercised and enforced in conformity with the laws of the United States, so far as such laws are suitable to carry the same into effect; but in all cases where they are not adapted to the object, or are deficient in the provisions necessary to furnish suitable remedies and punish offenses against law, the common law, as modified and changed by the constitution and the statutes of the State wherein the court having jurisdiction of such civil or criminal cause is held, so far as the same is not inconsistent with the Constitution and laws of the United States, shall be extended to and govern the said courts in the trial and disposition of the cause. . . .”
Our conclusion that the express cause of action for damages created by
The Court began its analysis by noting that “Congress simply failed explicitly to describe § 717‘s position in the constellation of antidiscrimination law.” 425 U. S., at 825. We noted that in 1972, when Congress extended the strictures of Title VII to federal employment, the availability of an implied damages remedy under
In Brown, as here, while Congress has not definitively spoken as to the relationship of
Since our decision in Monell, the Courts of Appeals have unanimously rejected the contention, analogous to petitioner‘s argument here, that the doctrine of respondeat superior is available against a municipal entity under a Bivens-type action implied directly from the
The jury found that Principal Todd had violated petitioner‘s rights under
“A public independent school district (such as and including the Dallas Independent School District), acts by and through its Board of Trustees and/or its delegated administrative officials (including the Superintendent and school principals), with regard to action taken against or concerning school district personnel.
“A public independent school district (such as and including the Dallas Independent School District) is liable for the actions of its Board of Trustees and/or its delegated administrative officials (including the Superintendent and school principals), with regard to wrongful or unconstitutional action taken against or concerning school district personnel.” App. 31.
We agree with the Court of Appeals that this instruction was manifest error. The instruction seems to rest either on the assumption that both Principal Todd and Superintendent Wright were policymakers for the school district, or that the school district is vicariously liable for any actions taken by these employees. Since we have rejected respondeat superior as a basis for holding a state actor liable under
We cannot fault the trial judge for not recognizing these principles in his instructions to the jury since this action was tried in October 1984, and the District Court did not have the benefit of our decisions in either Pembaur or Praprotnik to guide it. Similarly, the Court of Appeals issued its decision in this action before our decision in Praprotnik. Pursuant to its cross-petition in No. 88-214, the school district urges us
We decline to resolve this issue on the record before us. We think the Court of Appeals, whose expertise in interpreting Texas law is greater than our own, is in a better position to determine whether Superintendent Wright possessed final policymaking authority in the area of employee transfers, and if so whether a new trial is required to determine the responsibility of the school district for the actions of Principal Todd in light of this determination. We thus affirm the judgment of the Court of Appeals to the extent it holds that the school district may not be held liable for its employees’ violation of the rights enumerated in
It is so ordered.
JUSTICE SCALIA, concurring in part and concurring in the judgment.
I join Parts I and IV of the Court‘s opinion, and Part III except insofar as it relies upon legislative history. To hold that the more general provisions of
JUSTICE BRENNAN, with whom JUSTICE MARSHALL, JUSTICE BLACKMUN, and JUSTICE STEVENS join, dissenting.
To anyone familiar with this and last Terms’ debate over whether Runyon v. McCrary, 427 U. S. 160 (1976), should be overruled, see Patterson v. McLean Credit Union, ante, p. 164, today‘s decision can be nothing short of astonishing. After being led to believe that the hard question under
In granting certiorari in these cases we did not, as the plurality would have it, agree to review the question whether one may bring a suit for damages under
It is not only unfair to decide the action on this basis; it is unwise. The question is important; to resolve it on the basis of largely one-sided briefing, without the benefit of the views of the courts below, is rash. It is also unnecessary. The Court appears to decide today (though its precise holding is less than pellucid) that liability for violations by the government of
Because I would conclude that
Title
Notes
“All persons within the jurisdiction of the United States shall have the same right in every State and Territory to make and enforce contracts, to sue, be parties, give evidence, and to the full and equal benefit of all laws and proceedings for the security of persons and property as is enjoyed by white citizens, and shall be subject to like punishment, pains, penalties, taxes, licenses, and exactions of every kind, and to no other.”
The question is whether this statute permits a cause of action in damages against those who violate its terms.
The plurality approaches this issue as though it were new to us, recounting in lengthy and methodical detail the introduction, debate, passage, veto, and enactment of the 1866 Act. The story should by now be familiar to anyone with even a passing acquaintance with this statute. This is so because we have reviewed this history in the course of deciding—and reaffirming the answer to—the very question that the plurality deems so novel today. See Jones v. Alfred H. Mayer Co., 392 U. S. 409 (1968); Sullivan v. Little Hunting Park, Inc., 396 U. S. 229 (1969); Tillman v. Wheaton-Haven Recreation Assn., Inc., 410 U. S. 431 (1973); Johnson v. Railway Express Agency, Inc., 421 U. S. 454 (1975); Runyon v. McCrary, 427 U. S. 160 (1976); McDonald v. Santa Fe Trail Transportation Co., 427 U. S. 273 (1976); Delaware State College v. Ricks, 449 U. S. 250 (1980); General Building Contractors Assn., Inc. v. Pennsylvania, 458 U. S. 375 (1982); Saint Francis College v. Al-Khazraji, 481 U. S. 604 (1987); Shaare Tefila Congregation v. Cobb, 481 U. S. 615 (1987); Goodman v. Lukens Steel Co., 482 U. S. 656 (1987); Patterson v. McLean Credit Union, ante, p. 164. An essential aspect of the holding in each of these cases was the principle that a person injured by a violation of § 1 of the 1866 Act (now
We have had good reason for concluding that
Indeed, the debates on § 1 demonstrate that the legislators’ worry was not that their actions would do too much, but that they would do too little. In introducing the bill that became the 1866 Act, Senator Trumbull explained that the statute was necessary because “[t]here is very little importance in the general declaration of abstract truths and principles [contained in the Thirteenth Amendment] unless they can be carried into effect, unless the persons who are to be affected by them have some means of availing themselves of their benefits.” Cong. Globe, 39th Cong., 1st Sess., 474 (1866) (emphasis added). Representative Thayer of Pennsylvania echoed this theme: “When I voted for the amendment to abolish slavery... I did not suppose that I was offering... a mere paper guarantee.” “The bill which now engages the attention of the House has for its object to carry out and guaranty
In these circumstances, it would be unreasonable to conclude that inferring a private cause of action from
The only way that the plurality can distinguish Jones, and the cases following it, from this action is to argue that our recognition of an implied cause of action against private persons did not include recognition of an action against local governments and government officials. But before today, no one had questioned that a person could sue a government official for damages due to a violation of
Perhaps recognizing how odd it would be to argue that one may infer from § 1 of the 1866 Act a cause of action against private persons, but not one against government officials, the Court appears to claim that the 1871 Act erased whatever
“That we have read § 1 of the 1866 Act to reach private action and have implied a damages remedy to effectuate the declaration of rights contained in that provision does not authorize us to do so in the context of the ‘state action’ portion of
§ 1981 , where Congress has established its own remedial scheme. In the context of the application of§ 1981 and§ 1982 to private actors, we ‘had little choice but to hold that aggrieved individuals could enforce this prohibition, for there existed no other remedy to address such violations of the statute.’ . . . That is manifestly not the case here, and whatever the limits of the judicial power to imply or create remedies, it has long been the law that such power should not be exercised in the face of an express decision by Congress concerning the scope of remedies available under a particular statute.” Ante, at 731-732, quoting Cannon v. University of Chicago, 441 U. S. 677, 728 (1979) (WHITE, J., dissenting) (emphasis in original; footnote omitted).
This argument became available only after
The Court‘s argument fails for other reasons as well. Its essential point appears to be that, in
The suggestion, moreover, that today‘s holding “finds support in” Brown v. GSA, 425 U. S. 820 (1976), is audacious. Ante, at 733. Section 1983—which, for example, specifies no exhaustion requirement, no damages limitation, no defenses, and no statute of limitations—can hardly be compared with § 717 of the Civil Rights Act of 1964, at issue in Brown, with its many detailed requirements and remedies, see 425 U. S., at 829-832. Indeed, in Preiser v. Rodriguez, 411 U. S. 475, 489 (1973), we emphasized the “general” nature of
According to the Court, to allow an action complaining of government conduct to be brought directly under
The Court‘s primary reason for distinguishing between private and governmental conduct under
The Court‘s approach not only departs from our prior analysis of implied causes of action, but also attributes an intent to the 39th Congress that fluctuates depending on the state of the law with regard to
II
I thus would hold that Jett properly brought his suit against respondent directly under
Because
Section 1983, in contrast, forbids a person to “subjec[t], or caus[e] to be subjected” another person to a deprivation of the rights protected by the statute. It is telling that
While it acknowledged that § 1 of the 1866 Act did not contain the “subjects, or causes to be subjected” language of
Nor does anything in the history of
According to the plurality, the history of the Sherman amendment is relevant to the interpretation of
III
No one doubts that
JUSTICE STEVENS, dissenting.
My agreement with JUSTICE BRENNAN‘s dissent is buttressed by the views I expressed in Middlesex County Sewerage Authority v. National Sea Clammers Assn., 453 U. S. 1, 22 (1981) (opinion concurring in judgment in part and dissenting in part), and in Oklahoma City v. Tuttle, 471 U. S. 808, 834 (1985) (dissenting opinion).
“First, is the plaintiff ‘one of the class for whose especial benefit the statute was enacted‘—that is, does the statute create a federal right in favor of the plaintiff? Second, is there any indication of legislative intent, explicit or implicit, either to create such a remedy or to deny one? Third, is it consistent with the underlying purposes of the legislative scheme to imply such a remedy for the plaintiff? And finally, is the cause of action one traditionally relegated to state law, in an area
It would make no sense, however, to apply a test first enunciated in 1975 to a statute enacted in 1866. An inquiry into Congress’ actual intent must take account of the interpretive principles in place at the time. See Cannon v. University of Chicago, 441 U. S. 677, 698-699 (1979); Merrill Lynch, Pierce, Fenner & Smith, Inc. v. Curran, 456 U. S. 353, 375-378 (1982). See also Welch v. Texas Dept. of Highways and Public Transportation, 483 U. S. 468, 496 (1987) (SCALIA, J., concurring) (advising against construing a statute on the basis of an interpretive principle announced after the statute was passed). Thus, I would interpret
Application even of the test fashioned in Cort, however, would lead to the conclusion that Jett may bring a cause of action in damages against respondent under
The plurality‘s assertion that the 1866 Act created no original federal jurisdiction for civil actions based on the statute, see ante, at 721, is similarly unavailing. The language of § 3 easily includes original jurisdiction over such suits, and we have in fact concluded as much. See Moor v. County of Alameda, 411 U. S. 693, 704-705 (1973) (“The initial portion of § 3 of the Act established federal jurisdiction to hear, among other things, civil actions brought to enforce § 1“). In addition, the plurality‘s argument con-
Amici assert, in addition, that “[i]n recognizing an implied cause of action” under
