John LONBERG, an individual, Plaintiff-Appellee, v. CITY OF RIVERSIDE, a municipal corporation, Defendant-Appellant.
No. 06-55781.
United States Court of Appeals, Ninth Circuit.
Argued and Submitted Feb. 2, 2009. Filed June 26, 2009.
567 F.3d 528
Terry J. Kilpatrick, San Luis Obispo, CA, and Page Wellcome, Cardiff-by-the-Sea, CA, for the plaintiff-appellee.
Before: CYNTHIA HOLCOMB HALL, BARRY G. SILVERMAN and CONSUELO M. CALLAHAN, Circuit Judges.
CALLAHAN, Circuit Judge:
In 1997, John Lonberg (“Lonberg“), a paraplegic, initiated a lawsuit against the City of Riverside (“City“), alleging violations of the Americans with Disabilities Act (“ADA“) and its accompanying regulations. The district court divided the lawsuit into three phases. Phase one, the only phase at issue in this appeal, concerns Lonberg‘s claim that the City‘s plan to achieve ADA compliance did not meet the standards set forth in
We have jurisdiction pursuant to
I.
During the first phase of this lawsuit, Lonberg moved for partial summary judgment regarding the City‘s alleged noncompliance with
Lonberg subsequently moved for a preliminary injunction directing the City to prepare an adequate transition plan. For reasons that are not clear from the record before us, the district court deemed Lonberg‘s motion moot, and set a bench trial for May 2001 on the adequacy of the City‘s transition plan. Nearly five years after the trial, on March 17, 2006, the district court issued findings of facts and conclusions of law in Lonberg‘s favor.2 The court found numerous faults with the City‘s transition plan, including its purported failure to sufficiently identify particular physical obstacles limiting accessibility to the City‘s streets, intersections, sidewalks and crosswalks. It also faulted the plan for, among other things, failing to describe in sufficient detail the methods the City would use to achieve accessibility. Accordingly, the district court entered a permanent injunction requiring the City to “prepare a transition plan that complies with the ADA and § 35.150.”
After the district court entered the permanent injunction, the City moved for a new trial, arguing for the first time that
II.
The City appeals, seeking to vacate the permanent injunction based on Lonberg‘s alleged lack of standing to privately enforce
A.
On appeal, Lonberg maintains that the City has waived its challenge regarding the enforceability of
Reaching the merits of this issue results in no harm to Lonberg, since he had an opportunity to brief this issue fully in district court.3 Indeed, the district court declined to find waiver, and addressed this issue on its merits, adopting the Tenth Circuit‘s view that
B.
We review de novo whether a statute or regulation creates a private cause of action. Townsend v. Univ. of Alaska, 543 F.3d 478, 482 (9th Cir.2008). Whether
1. Alexander v. Sandoval
The Supreme Court‘s decision in Alexander v. Sandoval, 532 U.S. 275, 121 S.Ct. 1511, 149 L.Ed.2d 517 (2001), governs our analysis, as it sets forth the framework for determining whether a federal regulation is enforceable through a private right of action.
In Sandoval, a class of non-fluent English speakers sued the Alabama Department of Public Safety, alleging that its administration of an English-only driver‘s license test violated
The Court explained that “private rights of action to enforce federal law must be created by Congress ... [and that] [t]he judicial task is to interpret the statute Congress has passed to determine whether it displays an intent to create not just a private right but also a private remedy.” Id. at 286 (internal citations omitted).
The relevant statute in Sandoval was § 601 of Title VI of the Civil Rights Act of 1964, as it was the statute that
In determining whether a particular regulation is enforceable through a statute‘s private right of action, the Court explained that we must look to the statute itself and determine whether it displays Congress‘s intent to create the private right purportedly contained in the regulation. Id. at 286. The Court stated that absent such intent, “a cause of action does not exist and courts may not create one, no matter how desirable that might be as a policy matter, or how compatible with the statute.” Id. at 286-87.
The Court determined that § 601 only banned intentional discrimination, and said nothing about activities that may have a discriminatory effect. Accordingly, it held that the disparate-impact regulations, though perhaps otherwise valid, were not enforceable through § 601‘s private cause of action because they did not “simply apply § 601[‘s]” ban on intentional discrimination and instead “forbid conduct that § 601 permits.” Id. at 285. In other words, because the plain language of § 601 only banned intentional discrimination, only those regulations effectuating that ban could be enforced through § 601‘s private cause of action. To hold otherwise, the Court reasoned, would allow “language in a regulation ... [to] conjure up a private cause of action that has not been authorized by Congress.” Id. at 291.
Thus, Sandoval instructs that because only Congress can create a private right of action through statute, we must
2. Application of Sandoval to section 35.150(d)
In determining whether
The plain language of § 202 prohibits public entities from discriminating against qualified disabled individuals in its administration of services and programs. This prohibition against discrimination is universally understood as a requirement to provide “meaningful access.” See, e.g., Mark H. v. Lemahieu, 513 F.3d 922, 937 (9th Cir.2008) (noting that the ADA requires reasonable modifications necessary to ensure “meaningful access“) (citing Southeastern Comty. College v. Davis, 442 U.S. 397, 410 (1979)); Ability Ctr., 385 F.3d at 913 (noting Title II‘s express aim of providing meaningful access by requiring public entities to alter city streets and sidewalks); Chaffin, 348 F.3d at 857 (noting its prior holding that “the ADA requires public entities to provide disabled individuals ‘meaningful access‘“). Section 202 says nothing about a public entity‘s obligation to draft a detailed plan and schedule for achieving such meaningful access, nor does it create a private right to such a plan.
Further, and perhaps most importantly, nothing in the language of § 202 indicates that a disabled person‘s remedy for the denial of meaningful access lies in the private enforcement of
We do not suggest that
Our conclusions are consistent with the approach outlined by the Sixth Circuit in Ability Center and adopted by the First Circuit in Iverson. Ability Ctr., 385 F.3d at 914; Iverson, 452 F.3d at 100-01. Although the Tenth Circuit held otherwise in Chaffin, it did not address whether § 202 evinced congressional intent to create a private right to a transition plan, or whether such a plan would remedy the denial of meaningful access. Instead, it applied Sandoval broadly to a host of ADA regulations, and without addressing each one individually concluded that they all “simply provide[d] the details necessary to implement the statutory right created by § [202] ... of the ADA,” and did “not prohibit otherwise permissible conduct.” Chaffin, 348 F.3d at 854, 857-58(holding that
It is true that
III.
Based on the foregoing, we hold that
SILVERMAN, Circuit Judge, dissenting:
Because I believe the City of Riverside waived its argument that
The City did not raise this defense in its answer, in a motion to dismiss, in a motion for summary judgment, or even at trial. Instead, the City waited until after trial—after the district court issued a decision in Lonberg‘s favor—to argue for the first time in a motion for new trial that
Under
Even if we have the discretion to reach this issue notwithstanding the City‘s failure to perfect it below, I do not see why we should. The City‘s belated assertion of this new defense is most unfair to Lonberg who prevailed at trial in the face of the defenses that were raised and litigated. Why should the City be allowed to wait until it loses and then get another chance to raise an entirely new non-jurisdictional defense that was perfectly available before? This makes a mockery of the rules of civil procedure requiring that claims and defenses be timely raised. There are good reasons for these rules, too—like fairness and avoidance of surprise.
What is the City‘s answer to Lonberg‘s assertion that the new argument has been waived? Nothing. Not a word. In its brief before us, the City offered no explanation whatsoever for its failure to raise its argument earlier, or even a justification for why the argument has not been waived. The City‘s brief is totally silent in response to Lonberg‘s claim of waiver. This failure alone counsels against the exercise of discretion to consider the City‘s new-found position at this late date.
I would affirm.
Notes
Transition Plan. (1) In the event that structural changes to facilities will be undertaken to achieve program accessibility, a public entity that employs 50 or more persons shall develop, within six months of January 26, 1992, a transition plan setting forth the steps necessary to complete such changes. A public entity shall provide an opportunity to interested persons, including individuals with disabilities or organizations representing individuals with disabilities, to participate in the development of the transition plan by submitting comments. A copy of the transition plan shall be made available for public inspection.
(2) If a public entity has responsibility or authority over streets, roads, or walkways, its transition plan shall include a schedule for providing curb ramps or other sloped areas where pedestrian walks cross curbs, ...
(3) The plan shall, at a minimum—
(i) Identify physical obstacles in the public entity‘s facilities that limit the accessibility of its programs or activities to individuals with disabilities;
(ii) Describe in detail the methods that will be used to make the facilities accessible;
(iii) Specify the schedule for taking the steps necessary to achieve compliance with this section and, if the time period of the transition plan is longer than one year, identify steps that will be taken during each year of the transition period; and
(iv) Indicate the official responsible for implementation of the plan.
