OPINION
Defendants Rudolph W. Giuliani, Marva Livingston Hammonds, and Nicholas Scoppetta (“City defendants”) have moved pursuant to Rule 12(b)(6), Fed.R.Civ.P., for an order dismissing large portions of plaintiffs’ complaint filed on December 3, 1995 for failure to state a claim upon which relief can be granted. Defendants George E. Pataki and Brian J. Wing (“State defendants”) likewise have moved pursuant to Rule 12(b)(6), Fed. R.Civ.P., for a partial order of dismissal. Plaintiffs have moved, pursuant to Rule 23, Fed.R.Civ.P., for an order certifying this action as a class action. Finally, City defendants have moved for an order bifurcating this action.
For the reasons hereinafter stated, defendants’ motions to dismiss are denied to the extent that (1) custodial plaintiffs may pursue their substantive due process claims based upon alleged violations of their right to be free from harm and all plaintiffs may pursue their procedural due process claims based upon alleged violations of various provisions of New York’s Child Protective Services laws, codified at Title 6 of Article 6 of the New York Social Services Law; (2) plaintiffs may pursue their federal statutory claims based upon the Adoption Assistance and Child Welfare Act, including the provision herein referred to as the Multiethnic Placement Act, the Child Abuse Prevention and Treatment Act, the Americans with Disabilities Act, and the Rehabilitation Act; and (3) plaintiffs may pursue their state law claims. Further, plaintiffs’ motion for class certification is granted. Finally, City defendants’ motion to bifurcate this action is denied.
BACKGROUND
Plaintiffs are eleven children all of whom have suffered, and some of whom continue to be at risk of, severe abuse and neglect. These children allege that defendants, who are officials with responsibility for the Child Welfare Administration of the City of New York (“CWA”) now renamed the New York City Administration for Children’s Services (“ACS”), 1 mishandled plaintiffs’ cases and, through defendants’ actions or inactions, deprived plaintiffs of their rights under the First, Ninth, and Fourteenth Amendments to the United States Constitution, under Article XVII of the New York State Constitution, as well as under numerous federal and state statutes.
The factual allegations of the complaint portray a child welfare program in crisis and collectively suggest systemic deficiencies of gross proportions. The eleven children who seek to represent the proposed class have endured a wide range of abuses *670 and all reflect the dire situation facing children in the system. In their complaint, the named plaintiffs allege the following facts:
Marisol A. is a five-year old who was born two days after her mother, Ms. A., was arrested on charges of dealing drugs. CWA placed Marisol with Ms. C. during and subsequent to Ms. A.’s incarceration but, in 1994, CWA restored Marisol to her mother’s custody despite her criminal history and reports that she was abusing Marisol during visitations. CWA failed to assess properly the appropriateness of this placement and took no steps to supervise or monitor Ms. A.’s home. Upon regaining custody, Ms. A. confined Marisol to a closet for several months, deprived her of sustenance resulting in her eating her own feces and plastic garbage bags to survive, and both physically and sexually abused her to the point of injury. During this period, Ms. A.’s sister and Ms. C. filed multiple reports of abuse with CWA to no avail. A housing inspector familiar with the signs of abuse discovered Marisol during a chance visit and reported the situation to the police. Despite Ms. C.’s eagerness to adopt Marisol, CWA has not begun the process of terminating Ms. A.’s parental rights and has not provided Marisol with counseling or support services. Lawrence B. died on February 18, 1996 of AIDS-related illness at the age of nineteen. 2 Lawrence’s mother died of AIDS in or around 1985 leaving him an orphan and he entered the foster care system in 1995, at age seventeen, pursuant to a voluntary agreement signed by his aunt who could no longer care for him. After taking custody, CWA failed to assess Lawrence’s medical condition for almost two months and then shuttled him from one inappropriate placement to another. Lawrence first spent seven months in a diagnostic facility and then was transferred to a group home that lacked the medical staff needed to monitor his condition. In fact, CWA neglected even to inform the agency of Lawrence’s HIV-positive status. Finally, CWA placed Lawrence in a group home aimed to assist teenagers in making the transition to independent living. CWA again failed to alert that agency to Lawrence’s medical condition. Even when the agency notified CWA that Lawrence needed hospice care, CWA suggested that the staff simply take him to the hospital when necessary. Despite his deteriorating health, CWA recommended *671 continued placement in the group home and maintained a goal of independent living in his case plan until his death.
Thomas C. is a fifteen-year old who has been in foster care since he was seven. In those eight years, Thomas endured numerous placements including a hospital, a diagnostic center, and a residential treatment center (“RTC”). In 1993, without adequate investigation, CWA approved Thomas’ placement with Rev. D., a minister Thomas met at the RTC, who took him to South Carolina. There Rev. D. sexually abused Thomas who subsequently ran away. In 1994, Thomas was returned to the RTC where he now resides. He has since attempted suicide twice and has run away from the RTC only to return after facing hardship and abuse on the streets. CWA has failed to determine the appropriateness of the RTC placement, to pursue the possibility of adoption, or to provide Thomas with counseling.
Shauna D. is a two-year old who lives with Ms. D., her drug-addicted mother. CWA has failed to investigate reports of suspected abuse despite the fact that Ms. D. has already lost custody of her six other children. In September 1995, Ms. M., a friend who had been caring for Shauna, filed for formal custody. In November 1995, however, Ms. D. forcibly took Shauna from Ms. M.’s home. Despite repeated calls from Shauna’s law guardian, her CWA caseworker has failed to investigate adequately reports of abuse or to ensure that Ms. D. is in a drug rehabilitation program.
Ozzie E. is a fourteen-year old who suffers from seizure disorder, brain lesions, and behavioral problems. In 1995, Ozzie’s father placed him in foster care after finding himself unable to care for Ozzie. Although Ozzie and his mother, Ms. E., both want to be reunited, he remains in a group home because CWA has failed to provide any family preservation services to enable Ms. E. to care for him. Although CWA acknowledges that the group home is not equipped to address Ozzie’s neurological problems, the agency has taken no steps to return Ozzie to his mother.
Darren F. and David F. are seven-year old twins who have been in foster care since they were one. In 1990, CWA placed the twins with their grandmother who was too old to care for them and from whom they were removed after she allowed their drug-addicted mother to live with them. In 1991, CWA placed the twins, who already were evidencing signs of psychological trauma, with Ms. R. who made efforts to address the children’s special needs. Despite Ms. R.’s requests, CWA failed to provide the twins with treatment as their behavior deteriorated. Finally, a psychiatrist recommended that, because of then-young age, they remain with Ms. R. but enroll in a day treatment center. CWA, however, placed the twins in an inappropriate residential center where they remain today and has risked their chance to be adopted by Ms. R.
Bill G. is a fourteen-year old who is mentally retarded and suffers from a mild form of cerebral palsy. His sister, Victoria G., is ten. In 1985, CWA placed them together in the home of Ms. H. pursuant to a finding of parental neglect. The children’s permanency goal was to return to then-parents, Mr. and Mrs. G., and the case plan outlined steps for their parents to follow in that regard. CWA, however, failed to monitor the parents’ progress and the children remained with Ms. H. even after her legal authority had lapsed. In 1989, Mr. and Mrs. G. agreed to voluntary placement but, during their infrequent visits, beat the children. Despite all of these factors, CWA still failed to obtain a termination of parental rights and has considered returning them to their father after they have spent more than ten years in Ms. H.’s care.
Brandon H. is a seven-year old who was placed in foster care at birth because his mother was twelve at the time and in foster care herself. In early 1992, CWA placed Brandon with Ms. W. but did not file a petition seeking termination of parental rights until later that year. The court terminated those rights in 1994 but, despite Ms. W.’s willingness to adopt him, CWA still has not even taken steps to transfer Brandon’s case to the agency’s *672 adoption division. CWA thus allows Brandon to remain in foster care without addressing his need for permanency.
Steven I. is a sixteen-year old who has developed severe psychiatric and emotional problems after spending his entire life in foster care. Steven exhibits violent behavior and, by age twelve, Steven had attempted to rape a nine-year old girl, had stabbed other children with pencils, and had lit several fires. After CWA ignored a recommendation that Steven receive long-term residential treatment, his behavior deteriorated to the point that, at age fifteen, he was committed to New York Hospital as a “sexual predator.” Upon his release, CWA placed him in an inappropriate group home from which he ran away in 1994. He now lives on the streets and CWA has failed to locate him or to provide him with any treatment.
See Complaint for Declaratory and Injunctive Relief at 27-62 [hereinafter “Complaint”].
In support of their claims, plaintiffs specifically allege that defendants fail to:
(1) appropriately accept reports of abuse and neglect for investigation;
(2) investigate those reports in the time and manner required by law;
(3) provide mandated preplacement preventive services to enable children to remain at home whenever possible;
(4) provide the least restrictive, most family-like placement to meet children’s individual needs;
(5) provide services to ensure that children do not deteriorate physically, psychologically, educationally, or otherwise while in CWA custody;
(6) provide children with disabilities, including HIV/AIDS, with appropriate placements;
(7) provide appropriate case management or plans that enable children to return home or be discharged to permanent placements as quickly as possible;
(8) provide services to assist children who are appropriate for adoption in getting out of foster care;
(9) provide teenagers adequate services to prepare them to live independently once they leave the system;
(10) provide the administrative, judicial, or dispositional reviews to which children are entitled;
(11) provide caseworkers with training, support, or supervision; and
(12) maintain adequate systems to monitor, track, and plan for children.
See Complaint at 2-4.
Plaintiffs bring this action pursuant to 42 U.S.C. § 1983 which provides in pertinent part:
[e]very person who, under color of any statute, ordinance, regulation, custom, or usage, of any State ... subjects, or causes to be subjected, any citizen of the United States ... to the deprivation of any rights, privileges, or immunities secured by the Constitution and laws, shall be liable to the party injured....
42 U.S.C. § 1983. They allege that defendants have violated and continue to violate their rights under the First, Ninth, and Fourteenth Amendments to the United States Constitution; the Adoption Assistance and Child Welfare Act of 1980, 42 U.S.C. §§ 620-28, 670-79a (“Adoption Assistance Act”), including the provision herein referred to as the Multiethnic Placement Act of 1994, 42 U.S.C. § 622(b)(9); the Child Abuse Prevention and Treatment Act, 42 U.S.C. §§ 5101-06a (“CAPTA”); provisions of the Medicaid Act, 42 U.S.C. §§ 1396a, 1396d(a) and (r); the Americans with Disabilities Act of 1990, 42 U.S.C. § 12101 et seq. (“ADA”); § 504 of the Rehabilitation Act of 1973, 29 U.S.C. §§ 794, 794a (“Rehabilitation Act”); Article XVII of the New York State Constitution; Articles 2, 3, 6, and 7 of the New York State Social Services Law; Articles 6 and 10 of the New York State Family Court Act; state regulations codified at 18 N.Y.C.R.R. §§ 400-484; and other state plans. Plaintiffs seek injunctive or declaratory relief as needed to remedy defendants’ alleged violations and, further, request the appointment of
a receiver with full authority to oversee and direct the implementation of all the *673 injunctive relief granted by the court, to restructure the New York City child welfare system, and to take all steps necessary to ensure that the child welfare system operates in full compliance with all applicable law.
Complaint at 108. Finally, plaintiffs ask this Court to retain jurisdiction over the matter to monitor the implementation of such relief.
Before this Court are motions by both City and State defendants pursuant to Rule 12(b)(6), Fed.R.Civ.P., for an order dismissing the bulk of plaintiffs’ federal constitutional and statutory claims as well as plaintiffs’ state law claims. Also before the Court is plaintiffs’ motion pursuant to Rule 23, Fed. R.Civ.P., for an order certifying this action as a class action on behalf of:
[a]ll children who are or will be in the custody of the New York City Child Welfare Administration (“CWA”), and those children who, while not in the custody of CWA, are or will be at risk of neglect or abuse and whose status is known or should be known to CWA[.]
Notice of Motion for Class Certification at 1. Finally, City defendants have moved for an order bifurcating this action.
DISCUSSION
I. Motions to Dismiss
Defendants seek dismissal of large portions of plaintiffs’ complaint pursuant to Rule 12(b)(6), Fed.R.Civ.P., for failure to state a claim upon which relief can be granted. In the alternative, defendants ask this Court either to decline to exercise supplemental jurisdiction over plaintiffs’ state law claims or to find those claims non-justieiable. Finally, defendants ask this Court to refuse to decide plaintiffs’ claims, City defendants relying on the Bwrford abstention doctrine and State defendants relying on the Younger abstention doctrine.
In deciding a motion to dismiss, this Court must accept as true the factual allegations set forth in the complaint and must draw all reasonable inferences in plaintiffs’ favor.
See Hishon v. King & Spalding,
A. Plaintiffs’ Federal Constitutional Claims
42 U.S.C. § 1983 establishes a cause of action for “the deprivation of any rights, privileges, or immunities secured by the Constitution and laws” of the United States. § 1983 is, therefore, a vehicle through which a private plaintiff may pursue a claim for an alleged constitutional violation by a person acting under color of state law.
See Golden State Transit Corp. v. City of L.A.,
Defendants ask this Court to dismiss plaintiffs’ first cause of action which alleges violations of their rights derived from the First, Ninth, and Fourteenth Amendments to the United States Constitution. Although plaintiffs’ first cause of action contains more specific language, their federal constitutional claims can be divided loosely into two significant categories: (1) violation of plaintiffs’ substantive due process right to protection from harm while in state custody; and (2) violation of plaintiffs’ right not to be deprived of entitlements created by New York State *674 law without due process. 3
1. Substantive Due Process Claims
Defendants move to dismiss the first significant component of plaintiffs’ first cause of action in which they assert that defendants have, through their actions or inactions, violated plaintiffs’ substantive due process right to be free from harm. Defendants argue that, unlike the custodial plaintiffs whose claims defendants do not challenge, those children who are not in ACS custody have no federal substantive due process right to be protected from harm in light of the Supreme Court’s decision in
DeShaney v. Winnebago County Dep’t of Social Servs.,
Under certain circumstances, the federal Constitution imposes upon the government an affirmative duty to provide services and care to individuals in state custody.
See DeShaney,
The Second Circuit has extended the reasoning of
Youngberg
to children who are the responsibility of the state.
See Society for Good Will to Retarded Children, Inc. v. Cuomo,
The parties agree that custodial plaintiffs have a constitutional right to be free from harm.
4
The issue facing this Court with respect to custodial plaintiffs, therefore, is not whether they are entitled to protection from harm but, rather, how broad that protection must be. The Supreme Court has held that the right to be free from harm encompasses the right to essentials of care including adequate food, shelter, clothing, and medical attention.
See Youngberg,
The Court is inclined, at this juncture, to take a broad view of the concept of harm in the context of plaintiffs’ substantive due process claims. Clearly, the state is required to protect children in its custody from physical injury. This Court further finds that custodial plaintiffs have a substantive due process right to be free from unreasonable and unnecessary intrusions into their emotional well-being. As the United States District Court for the Northern District of Illinois reasoned, “[a] child’s physical and emotional well-being are equally important. Children are by their nature in a developmental phase of their lives and their exposure to traumatic experiences can have an indelible effect upon their emotional and psychological development and cause more lasting damage than many strictly physical injuries.”
B.H. v. Johnson,
a. Right to Appropriate Conditions and Duration of Foster Care
As a key element of their substantive due process claims, plaintiffs allege that defendants have violated “their right to be housed in the least restrictive, most appropriate and family-like placement.” Complaint at 102. In support of their motions to dismiss, however, defendants argue that custodial plaintiffs do not have a Fourteenth Amendment due process right to the least restrictive, optimal level of care or placement and, therefore, that children who are kept in foster care longer than necessary or who are denied services to enable them to reunite with their families fail to state a claim.
Courts generally agree that the Fourteenth Amendment does not require the state to provide children in foster care with an optimal level of care or treatment.
See Baby Neal v. Casey,
*676
Individuals in state custody, however, do have a constitutional right to conditions of confinement which bear a reasonable relationship to the purpose of their custody.
See Jackson v. Indiana,
This Court is satisfied that the right to be free from harm encompasses the right alleged by plaintiffs to appropriate conditions and duration of foster care. Indeed, the crux of plaintiffs’ latter claim is that defendants’ failure to provide safe and appropriate placements has caused them to suffer impermissible harm. Custodial plaintiffs have alleged sufficient facts to support the claim that they have been deprived of even adequate or appropriate conditions of foster care including certain basic necessities which defendants are obligated to provide. Thus, to the extent that custodial plaintiffs can establish that the conditions and duration of foster care are so inadequate as to violate plaintiffs’ Fourteenth Amendment due process right to be free from harm, they are entitled to do so and defendants’ motions to dismiss are denied.
b. Right to Family Integrity
Another key element of plaintiffs’ substantive due process claims is the allegation that defendants have violated “their right not to be deprived of a family relationship absent compelling reasons.” Complaint at 102. While defendants acknowledge the constitutional foundation for the right to family integrity, they arg-ue that this right is not implicated on the facts set forth in the complaint. Specifically, defendants assert that (1) plaintiffs fail to allege that defendants were wrongfully removing children from their biological parents and (2) any alleged failure of defendants to provide services to reunite biological family members does not rise to the level of a constitutional violation.
The right to family integrity is derived both from the First Amendment’s broad right of association and the Fourteenth Amendment’s general substantive due process protections.
See Roberts v. United States Jaycees,
Plaintiffs in the instant case do not allege facts suggesting that they have been
*677
denied such visitation rights but, rather, challenge defendants’ general failure to provide services that function to preserve the family unit. Courts have held, however, that plaintiffs “do not have a constitutional right to rely on an agency to strengthen and reunite their families even if that agency has a statutory duty to do so.”
Dixey v. Jewish Child Care Assoc.,
Nevertheless, plaintiffs do have a constitutional right to protection from harm as noted above. Plaintiffs’ family integrity claims are closely related to those pertaining to the duration of foster care and, by extension, fall within the concept of harm for substantive due process purposes. Indeed, plaintiffs suggest that defendants unnecessarily place children in foster care and allow children properly in foster care to languish without taking steps to reunite them with their biological family where appropriate. Once again, this Court is persuaded that plaintiffs have stated facts sufficient to support a claim that they have been impermissibly harmed in violation of the Fourteenth Amendment by defendants’ failure to provide reasonable services and placements that protect custodial plaintiffs’ right of association with their biological family members. Custodial plaintiffs, therefore, are entitled to show that defendants’ actions or inactions regarding plaintiffs’ familial relationships have caused them harm as defined by the Court. Defendants’ motions to dismiss this portion of plaintiffs’ first cause of action, therefore, are denied.
2. Procedural Due Process Claims
Defendants further move to dismiss the second significant component of plaintiffs’ first cause of action in which they assert that defendants have deprived plaintiffs of government services to which they have a statutory entitlement without due process of law. Defendants, without citing to any particular state law provision, contest plaintiffs’ procedural due process claims on the grounds that (1) the statutes and regulations upon which plaintiffs rely do not vest in them any constitutionally protected liberty or property interests and (2) even if plaintiffs do have entitlements of which they were deprived, they have failed to allege that they were denied such entitlements without due process of law. Defendants further argue that, not only was process not denied, but plaintiffs fail to assert what process was even due.
Despite bearing the burden of establishing that plaintiffs have failed to state a claim upon which relief can be granted, however, defendants merely set forth established procedural due process doctrine and neglect to analyze why the statutes upon which plaintiffs rely do not create entitlements worthy of constitutional protection. In fact, defendants fail even to refer to any particular statute in their memoranda of law in support of their motions to dismiss. Plaintiffs, however, direct this Court to various provisions of New York’s Child Protective Services laws, codified at Title 6 of Article 6 of the New York Social Services Law (“Title 6”). See Pis.’ Mem. in Opp’n at 31 n. 14. This Court will, therefore, consider whether the provisions of Title 6 create entitlements deserving of constitutional protection. To the extent that defendants move to dismiss plaintiffs’ procedural due process claims grounded in any other state law or regulation, the Court is unwilling to entertain defendants’ motions without further briefing and such motions are hereby denied.
A court analyzing a procedural due process claim first must determine whether plaintiffs have a protected interest and, only then, must decide whether the deprivation of that interest met with the requirements of due process.
See Kentucky Dep’t of Corrections v. Thompson,
[t]he Fourteenth Amendment’s procedural protection of property is a safeguard of the security of interests that a person has already acquired in specific benefits.... To have a property interest in a benefit, a person clearly must have more than an abstract need or desire for it. He must have more than a unilateral expectation of it. He must, instead, have a legitimate claim of entitlement to it.
Id.
at 576-77,
The Supreme Court has specifically declined to address whether state child welfare statutes give children an entitlement to protective services “which would enjoy due process protection against state deprivation____”
DeShaney v. Winnebago County Dep’t of Social Servs.,
The Second Circuit has addressed whether a state law creates a claim of entitlement under
Roth
in the context of benefits afforded to applicants under a county’s physically handicapped children’s program.
See Col-son,
Title 6 sets forth a specific scheme for child protection the purpose of which is
to encourage more complete reporting of suspected child abuse and maltreatment and to establish in each county of the state a child protective service capable of investigating such reports swiftly and competently and capable of providing protection for the child or children from further abuse or maltreatment and rehabilitative services for the child or children and parents involved.
SSL § 411. These child welfare laws, like others that have been found to create entitlements, “mandate that officials follow guidelines and take affirmative actions to ensure the well being and promote the welfare of children in foster care.”
Taylor ex rel. Walker v. Ledbetter,
Each relevant provision of Title 6 contains the mandatory language necessary to elevate the benefit to an entitlement. Title 6 is distinguishable from the law relied upon by the plaintiffs in
Colson
which, according to that court, contains “virtually nothing that is mandatory” and places the decision to act in the near total discretion of the commissioner.
Colson,
An entitlement to child protective services thus having been established, the Court is unwilling at this juncture to dismiss plaintiffs’ procedural due process claims. As Justice Blackmun has noted, “[i]n procedural due process claims, the deprivation by state action of a constitutionally protected interest ... is not in itself unconstitutional; what is unconstitutional is the deprivation of such an interest without due process of law.”
Zinermon v. Burch,
B. Plaintiffs’ Federal Statutory Claims
42 U.S.C. § 1983 provides a remedy for violations of both federal constitutional and statutory rights.
See Golden State Transit Corp. v. City of L.A.,
1. Claims Pursuant to the Social Security Act
Defendants ask the Court to dismiss plaintiffs’ second, third, and fifth causes of action brought pursuant to various provisions of the Social Security Act (“SSA”) including the Adoption Assistance Act, the Multiethnic Placement Act, and CAPTA on the ground that these provisions do not provide for a private right of action to enforce their requirements. Defendants do not argue that plaintiffs fail to state violations of these pro *681 visions but, rather, move to dismiss on the basis that plaintiffs are not entitled to pursue these claims in federal court.
When deciding whether a private right of action exists to enforce a federal funding statute, courts are bound by any expression of clear intent on the part of Congress to create such a right.
See Mrs. W. v. Tirozzi,
Once these three factors have been met, the burden shifts to the state actor to show Congressional intent to the contrary.
See Wright,
a. The Adoption Assistance Act Claims
The Adoption Assistance Act is contained in subchapter IV of the SSA and establishes a cooperative federal-state program under which the federal government provides funding for child welfare programs to participating states. Plaintiffs allege violations of 42 U.S.C. §§ 622(b) and 627(a) and (b) of subchapter IV-B entitled “Child Welfare Services” 6 and of 42 U.S.C. § 671(a) of subchapter IV-E entitled “Federal Payments for Foster Care and Adoption Assistance.” 7
Whether a private right exists to enforce provisions of the Adoption Assistance Act has been the subject of recent debate in both the judicial and legislative branches of government. In 1992, the Supreme Court considered whether a private individual could bring a § 1983 claim to enforce § 671(a)(15) of the Adoption Assistance Act.
See Suter v. Artist M.,
In 1994, however, Congress expressed its disapproval of the Supreme Court’s decision in Suter and amended the SSA. See 42 U.S.C. § 1320a-2 (Oct. 20, 1994) [hereinafter “Amendment”]. The Amendment states:
In an action brought to enforce a provision of this chapter, such provision is not to be deemed unenforceable because of its inclusion in a section of this chapter requiring a State plan or specifying the required contents of a State plan. This section is not intended to limit or expand the grounds for determining the availability of private actions to enforce State plan requirements other than by overturning any such grounds applied in Suter v. Artist M., [503 U.S. 347 ]112 S.Ct. 1360 [118 L.Ed.2d 1 ] (1992) [sic], but not applied in prior Supreme Court decisions respecting such enforceability; provided, however, that this section is not intended to alter the holding in Suter v. Artist M. that section 671(a)(15) of this title is not enforceable in a private right of action.
Id. Plaintiffs argue that this Amendment is a clear expression of Congress’ intent to create a private right of action to enforce provisions of the Adoption Assistance Act other than § 671(a)(15). In the alternative, plaintiffs argue that the Amendment shows Congress’ intent to reject the Supreme Court’s reasoning in Suter and to require courts to return to the pr e-Suter approach when deciding whether to recognize a private right of action to enforce provisions other than § 671(a)(15). Defendants, however, stand by their reading of the import of Suter. They argue that not only did Congress preclude any private right to enforce § 671(a)(15) but also that it left open to judicial construction whether plaintiffs can rely on § 1983 to enforce the other provisions of the Adoption Assistance Act. Defendants urge this Court to apply the reasoning in Suter to plaintiffs’ claims.
This Court does not read the Amendment as a clear expression of Congress’ intent to create a private right of enforcement. Rather, this Court is persuaded that Congress has expressed its intent to require courts to apply pr
e-Suter
case law to determine the private enforceability of SSA provisions other than § 671(a)(15).
8
Courts that recently have considered this issue have adopted this approach.
See Harris v. James,
the amendment overrules the general theory in Suter that the only private right of action available under a statute requiring a state plan is an action against the state for not having that plan. Instead, the previous tests of Wilder and Pennhurst apply to the question of whether or not the particulars of a state plan can be enforced by its intended beneficiaries.
Id. The Court must now apply the factors set forth in Wilder to decide whether plaintiffs are entitled to pursue their claims under § 1983.
Plaintiffs allege violations of § 622(b)(9) and of §§ 627(a) and (b) of subchapter IV-B of the SSA. The Multiethnic Placement Act, § 622(b)(9), sets forth as part of the requirements for federal funding that a state plan for child welfare services “provide for the diligent recruitment” of potential foster and adoptive parents who are racially and ethnically diverse. Of the other provisions relied upon by plaintiffs, § 627(a) describes the foster care protections that the state must offer in order to gain additional payments and § 627(b) outlines the further requirements the state must meet to avoid a reduction of its allotment. With respect to the first Wil *683 der factor, both §§ 622 and 627 are intended to benefit the members of the proposed class of plaintiffs. Further, the language of these provisions is mandatory and sets forth the requirements that the state must meet to be eligible for funding, to gain additional funding, and to avoid a reduction in funding. The second Wilder factor thus is met. Finally, determining state compliance with these provisions is well within the abilities of the Court. None of these provisions is so vague or amorphous as to be beyond the competence of the Court to enforce.
Plaintiffs also allege violations of § 671(a) of subchapter IV-E of the SSA. That provision sets forth the requisite elements and features a state plan for foster care and adoption assistance must contain in order for the state to be eligible for federal funding. With respect to the first
Wilder
factor, it is clear that the members of the proposed class of plaintiffs are the intended beneficiaries of the Adoption Assistance Act. Second, the language of § 671(a) is mandatory and “imposed a binding obligation by explicitly tying the creation of certain features of a state plan to federal funding.”
Jeanine B.,
Prior to
Suter,
several courts recognized the right of private individuals to sue for violations of provisions of the Social Security Act.
See, e.g., Winston ex rel. Winston v. Children and Youth Servs. of Delaware County,
b. CAPTA Claims
Plaintiffs further allege violations of two provisions of CAPTA which govern federal grants to states for child abuse and neglect prevention and treatment programs. The first, 42 U.S.C. § 5106a(b)(2), requires a state, as a condition of federal funding, to initiate a prompt investigation into all reports of abuse or neglect and to take immediate steps to protect children whom the state believes have suffered or are at risk of suffering abuse or neglect. The second, 42 U.S.C. § 5106a(b)(3), requires a state to have in effect administrative procedures, personnel, training procedures, facilities, and related programs and services “to ensure that the State will deal effectively with child abuse and neglect cases” in order to be eligible for federal funds.
Defendants again ask this Court to dismiss these claims on the ground that plaintiffs have no private right of action to enforce these statutes. Courts have differed in their interpretation of whether CAPTA creates rights enforceable by private individuals pursuant to § 1983.
See Jeanine B. ex rel. Blondis v. Thompson,
As to the first prong of
Wilder,
there is no dispute that the members of the proposed class of plaintiffs are the intended beneficiaries of the CAPTA provisions at issue. Moving to the second inquiry, the language of §§ 5106a(b)(2) and (b)(3) requires that “such State shall ... provide that ... an investigation shall be initiated promptly ... and ... immediate steps shall be taken to protect the health and welfare of the ... child____” The statute sets forth clear conditions which the state must meet to qualify for a federal grant and does so through the use of mandatory and not precatory language. The sole area of contention is whether these CAPTA provisions meet the third
Wilder
prong or whether they are so vague and amorphous as to be beyond the enforcement power of the Court. Two of the courts to consider most recently the private enforceability of CAPTA grappled primarily with this issue.
See Tony L.,
Defendants argue that the language in § 5106a(b)(2) requiring the state to conduct prompt investigations and to take immediate steps to protect children at risk is too ambiguous and that the Court, therefore, is not qualified to assess compliance. To the contrary, this Court certainly is competent to determine whether the state has made any efforts to comply with this provision. Further, the Court can look to professional standards to determine whether an investigation was properly and promptly initiated and whether the protective steps taken were appropriate. This provision, therefore, is not so vague as to be beyond the enforcement power of the Court. With respect to § 5106a(b)(3), defendants do not cite any language from this provision as being too ambiguous to be enforced judicially. Accordingly, § 5106a(b)(3) likewise survives the third prong of Wilder. Finally, defendants have not argued that Congress has precluded expressly private plaintiffs from pursuing § 1983 claims alleging violations of CAPTA.
In light of the 1994 Amendment disapproving of the Supreme Court’s reasoning in Suter and the more recent decision of the United States District Court for the Eastern District of Wisconsin in Jeanine B., this Court is persuaded that plaintiffs are entitled to claim alleged violations of CAPTA pursuant to § 1983. In so doing, the Court has considered and now rejects the notion that the discretionary nature of the regulation renders CAPTA too vague for the court to enforce. Defendants’ motions to dismiss plaintiffs’ claims pursuant to provisions of CAPTA are, therefore, denied.
2. Claims Pursuant to the Disability Statutes
Defendants ask the Court to dismiss plaintiffs’ sixth cause of action brought pursuant to the ADA and the Rehabilitation Act for failure to allege facts sufficient to state violations of these statutes. The ADA provides that “no qualified individual with a disability shall, by reason of such disability, be excluded from participation in or be denied the benefits of the services, programs, or activities of a public entity, or be subjected to discrimination by any such entity.” 42 U.S.C. § 12132. The Rehabilitation Act provides in pertinent part:
No otherwise qualified individual with a disability in the United States ... shall, solely by reason of her or his disability, be excluded from the participation in, be denied the benefits of, or be subjected to discrimination under any program or activity receiving Federal financial assistance ____
29 U.S.C. § 794(a). Although both statutes establish similar rights, the ADA affords plaintiffs broader protection in that it prohibits discrimination by state agencies regardless of whether they receive federal funding.
It is defendants’ position that plaintiffs fail to state a claim under these statutes because they do not allege facts sufficient to show that they were denied both the opportunity to participate in foster care services and the benefits available to non-disabled persons on account of their disabilities. Plaintiffs argue that defendants have violated these Acts by failing to make reasonable accommodations for handicapped children, including appropriate placements and proper medical attention to allow them to function while in foster care, such that they are deprived of meaningful access to the child welfare system.
*685
It is well established that the ADA and the Rehabilitation Act require public entities or those entities receiving federal funds to provide reasonable accommodations for the handicapped.
See Alexander v. Choate,
Taken together, these cases stand for the proposition that a disabled individual is entitled to meaningful access to the benefits and services provided by a public agency or an agency receiving federal funds. Access alone, despite defendants’ arguments to the contrary, is insufficient.
See Alexander,
With respect to named plaintiff Lawrence B., who recently died of AIDS-related illness, the agency’s failure to provide meaningful access to child welfare services is evident. As an initial matter, it is undisputed that Lawrence was disabled as defined by the ADA and the Rehabilitation Act. CWA failed to assess promptly Lawrence’s medical status, transferred him from one inappropriate placement to another including a group home that lacked the medical staff needed to monitor his condition, neglected to inform the placement agency of his HIV-positive status, placed him in a group home aimed to assist teenagers in making the transition to independent living, and maintained a goal of independent living in his case plan until his death. The facts alleged by another named plaintiff, Ozzie E., who remains in a group home unequipped to address his neurological problems, further support plaintiffs’ claims under the ADA and the Rehabilitation Act.
Plaintiffs’ allegations, if proven, raise serious questions as to whether ACS has fulfilled even its most fundamental obligation to provide meaningful access as required by the ADA and the Rehabilitation Act. This Court, taking the allegations of the complaint as true for purposes of the instant motion, holds that plaintiffs have alleged sufficient facts to support their claims. Accordingly, defendants’ motions to dismiss plaintiffs’ claims brought under the ADA and the Rehabilitation Act are hereby denied.
C. Plaintiffs’ State Law Claims
Defendants move to dismiss plaintiffs’ seventh and eighth causes of action alleging violations of the New York State Constitution and various state laws and regulations. To that end, defendants ask the Court to refuse to exercise supplemental jurisdiction or to dismiss plaintiffs’ state law claims for lack of justiciability. In the alternative, defendants ask the Court to abstain from deciding plaintiffs’ claims, the City relying on the Buvford abstention doctrine and the State relying on the Younger abstention doctrine.
*686 1. Supplemental Jurisdiction
Federal courts have the power pursuant to 28 U.S.C. § 1367 to exercise supplemental jurisdiction over state law claims that arise from events that form the basis of alleged violations of federal law. That statute provides, in pertinent part:
(a) Except as provided in subsections (b) and (c) ... in any civil action of which the district courts have original jurisdiction, the district courts shall have supplemental jurisdiction over all other claims that are so related to claims in the action within such original jurisdiction that they form part of the same case or controversy under Article III of the United States Constitution.
28 U.S.C. § 1367. Subsection (e) of § 1367 sets forth the conditions under which a district court may decline to exercise supplemental jurisdiction over a state law claim. Defendants urge this Court to decline to exercise such jurisdiction pursuant to § 1367(c)(2) which grants a court the discretion to decline jurisdiction if “the claim substantially predominates over the claim or claims over which the district court has original jurisdiction.”
As a threshold matter, it is undisputed that plaintiffs’ state law claims are so related to their federal claims as to form part of the same case or controversy as required by § 1367(a). Indeed, defendants do not contest that this Court has the discretion to consider plaintiffs’ allegations but, rather, ask this Court to decline to do so. Because the bulk, if not all, of plaintiffs’ federal claims have survived defendants’ motions to dismiss, plaintiffs’ state law claims cannot be said to predominate for purposes of § 1367(e)(2). Even if this were not so, however, § 1367(c) merely sets forth circumstances under which a district court may, but is not required to, decline to exercise jurisdiction. For the foregoing reasons, supplemental jurisdiction is proper and this Court hereby exercises that jurisdiction over plaintiffs’ state law claims.
2. Justiciability
Jurisdiction having been established, this Court must now determine the justiciability of plaintiffs’ state law claims. Defendants argue that plaintiffs’ state law claims are non-justiciable in that they require the Court to usurp the role of the State Department of Social Services (“DSS”) which, by statute, is responsible for enforcing state laws and regulations. A court determining the justiciability of a claim must consider the doctrine of separation of powers and must recognize that the court may be ill-suited to certain administrative tasks.
See Jones v. Beame,
This Court is persuaded by plaintiffs’ argument that the judicial branch .is competent to determine whether ACS has complied with the duties imposed upon it by the state legislature. In an analogous context, the New York Court of Appeals addressed the justiciability of state law claims brought by a group of present and former psychiatric patients seeking to enforce then-statutory rights and noted that “there is nothing inherent in plaintiffs’ attempts to seek a declaration and enforcement of then-rights that renders the controversy nonjustieiable. They do not wish to controvert the wisdom of any program. Instead, they ask only that the program be effected in the manner that it was legislated.”
Klostermann v. Cuomo,
As in
Klostermann,
plaintiffs ask this Court to adjudicate their legal claims and to ensure the enforcement of their statutory rights. These actions fall well within the power of the judicial branch in that they do
*687
not require this Court to preempt the discretionary authority vested in the executive branch and, thus, do not raise the separation of powers concerns suggested by defendants. Additionally, New York courts have deemed justiciable similar claims of systemic state law violations.
See, e.g., Jiggetts v. Grinker, 75
N.Y.2d 411, 415-16,
3. Abstention
Finally, in further support of their motions to dismiss, defendants ask this Court to refrain from considering plaintiffs’ claims. City defendants rely on the
Burford
abstention doctrine and urge the Court not to consider plaintiffs’ claims brought pursuant to the New York State Constitution, statutes, and regulations. The State defendants, however, argue for a broader abstention based on the
Younger
doctrine. In either ease, abstention is a doctrine to be applied only in rare and exceptional cases and, as a general rule, federal courts have a “virtually unflagging obligation ... to exercise the jurisdiction given them.”
Colorado River Water Conservation Dist. v. United States,
a. Burford Abstention
Under the Supreme Court’s ruling in
Burford v. Sun Oil Co.,
City defendants contend that Bur-ford abstention is appropriate in the instant case for three reasons: (1) a federal ruling could conflict with the state’s administrative scheme; (2) the laws upon which plaintiffs rely are unclear; and (3) the area of child welfare services is one of substantial state concern. This Court is not persuaded by any of defendants’ arguments. As an initial matter, plaintiffs neither ask the Court to make individualized findings of fact on plaintiffs’ allegations nor to interfere with or alter the underlying policies of ACS. Rather, plaintiffs ask this Court to fashion relief to ensure agency compliance with an existing administrative and statutory scheme. Further, it is not at all apparent that the laws upon which plaintiffs rely are unclear. Rather, this Court is competent to determine whether ACS has complied with the state constitu *688 tional provisions, statutes, and regulations governing the child welfare system.
The most compelling of defendants’ arguments, that the area of child welfare is of substantial state concern, likewise is without merit. The
Burford
abstention doctrine is intended “to preserve federal-state comity by not interfering with state attempts to develop, effect and/or enforce state policy.”
Ganaday,
b. Younger Abstention
State defendants ask this Court to abstain from adjudicating plaintiffs’ claims pursuant to the doctrine set forth in
Younger v. Harris,
Courts deciding whether to abstain pursuant to
Younger
must consider whether (1) there is an ongoing state judicial proceeding; (2) those proceedings implicate important state interests; and (3) there exists an adequate opportunity in state proceedings to raise federal claims.
See Middlesex County Ethics Comm. v. Garden State Bar Assoc.,
State defendants do not refer this Court to any pending state proceeding in *689 which plaintiffs will have the opportunity to present the federal claims raised in the instant complaint.' Rather, defendants summarily argue for abstention on the grounds that
since New York’s statutory scheme under the Family Court Act embodies the mandates of [the Adoption Assistance Act] and CAPTA, etc., the issues of compliance by the State with those statutes are cognizable in New York’s Family Court. By definition, every child who is subject to New York’s child protective system is also subject to a Family Court action in which the claims raised here can be litigated.
State Defendants’ Reply Memorandum of Law in Support of Motion to Dismiss the Complaint at 8. Because none of the plaintiffs in the instant case are improperly challenging a state court proceeding through the federal courts, the Younger abstention doctrine is inapplicable to the instant case.
II. Motion for Class Certification
Plaintiffs have moved pursuant to Rule 23, Fed.R.Civ.P., for an order certifying this action as a class action. Plaintiffs define the class as:
[a]ll children who are or will be in the custody of the New York City Child Welfare Administration (“CWA”), and those children who, while not in the custody of CWA, are or will be at risk of neglect or abuse and whose status is known or should be known to CWA.
Plaintiffs’ Notice of Motion for Class Certification at 1. To be eligible for class certification, plaintiffs first must show that the proposed class satisfies all four requirements of Rule 23(a).
See Robidoux v. Celani,
A. Rule 23(a)
Rule 23(a) provides for class certification 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 or defenses of the representative parties are typical of the claims or defenses of the class, and (4) the representative parties will fairly and adequately protect the interests of the class.
Fed.R.Civ.P. 23(a). Plaintiffs argue that they easily meet all four prerequisites of the rule. Defendants, however, challenge the issues raised by the proposed class as lacking commonality and the claims of the representative parties as lacking typicality. Additionally, defendants argue that the class as defined is overbroad and unmanageable.
(1) Numerosity
The proposed class is undeniably large and defendants do not challenge certification on the grounds that the class fails to meet the numerosity requirement of Rule 23(a)(1). To the contrary, City defendants urge this Court to deny the motion for certification because “[n]o case yet reported has even attempted to deal with a class of this size in a system of this size and complexity.” City Defendants’ Memorandum of Law Opposing Class Certification at 6 [hereinafter “City Defs.’ Mem. in Opp’n”]. Despite the potential problems raised by a class of this size, the relevant inquiry for certification purposes, however, is whether the class is “so numerous that joinder of all members is impracticable.” Fed. R.Civ.P. 23(a)(1).
Plaintiffs need not establish the exact number of potential class members as the courts are empowered to “make ‘common sense assumptions’ to support a finding of numerosity.”
German v. Federal Home Loan Mortgage Corp.,
Defendants’ argument that the class is so broad as to be unmanageable is without merit. Plaintiffs cite several eases in the child welfare context where courts have certified classes similar to the one proposed in the instant case.
See, e.g., Baby Neal ex rel. Kanter v. Casey,
(2) Commonality
The parties’ first significant point of contention is whether the proposed class meets the commonality requirement of Rule 23(a)(2). That requirement is satisfied if “there are questions of law or fact common to the class.” Fed.R.Civ.P. 23(a)(2). Defendants argue that the only common thread linking plaintiffs’ claims is that they all challenge the practices of one City agency, ACS. Other than that, defendants suggest that plaintiffs are a disparate group which has filed too many claims alleging too many legal violations based on too many factual circumstances to be combined into one lawsuit.
Rule 23(a)(2) “will be satisfied if the named plaintiffs share at least one question of fact or law with the grievances of the prospective class.”
Baby Neal ex rel. Kanter v. Casey,
Once a common question is identified, “differences among the questions raised by individual members [of the class] will not defeat commonality.”
German v. Federal Home Loan Mortgage Corp.,
Further, Rule 23(a)(2) does not require that plaintiffs all suffer the same actual injury. Rather, plaintiffs can establish commonality by “demonstrating that all class members are subject to the same harm — ” Id. at 56 (emphasis added). Here, plaintiffs allege systemic violations of federal and state law resulting in the deprivation of services to which they claim they are entitled. Each member of the proposed class, regardless of that child’s current circumstance, is at risk of suffering the harm of which the named plaintiffs complain.
Finally, that the relief sought is injunctive in nature further supports a finding of commonality in satisfaction of Rule 23(a)(2). Indeed, “injunctive actions ‘by their very nature often present common questions satisfying Rule 23(a)(2).’ ” Id. at 57 (quoting 7A Charles A. Wright & Arthur R. Miller, Federal Practice and Procedure, § 1763, at 201 (1986)). Plaintiffs do not ask this Court to make individualized damage awards based on the distinct claims of each plaintiff but rather ask for declaratory and injunctive relief applicable to the class as a whole. For the foregoing reasons, the Court finds that plaintiffs have satisfied Rule 23(a)(2) for purposes of class certification.
(3) Typicality
Closely related to the commonality requirement of Rule 23(a)(2) is the typicality requirement of Rule 23(a)(3). This prerequisite to class certification poses the second significant point of contention between the parties and demands a showing that “the claims or defenses of the representative parties are typical of the claims or defenses of the class.” Fed.R.Civ.P. 23(a)(3). Rule 23(a)(3) functions to ensure that “the named plaintiffs have incentives that align with those of absent class members so as to assure that the absentees’ interests will be fairly represented.”
Baby Neal ex rel. Ranter v. Casey,
A proposed class satisfies Rule 23(a)(3) if “each class member’s claim arises from the same course of events and each class member makes similar legal arguments to prove the defendant’s liability.”
Robidoux v. Celani,
In the instant case, the central claim of the named plaintiffs is that defendants have engaged in and continue to engage in a course of conduct which deprives plaintiffs of services to which they are entitled and thus violates their constitutional and statutory rights. This claim certainly is typical of that of the proposed class members who likewise are challenging defendants’ practices. Where, as here, an action challenges a pattern of activity, the named plaintiffs can represent class members who suffer different injury “so long as all the injuries are shown to result from the practice.”
Baby Neal,
Additionally, the nature of the relief sought favors a finding that the claims of the named plaintiffs are typical of the class. This Court is empowered to certify a class despite the unique circumstances of each plaintiff as long as the relief sought is based on the same legal theory.
See Jane B. ex rel. Martin v. New York City Dep’t of Social Servs.,
*692 (4) Representativeness
The Second Circuit has held that plaintiffs must satisfy a two-pronged test to meet Rule 23(a)(4)’s requirement that “the representative parties will fairly and adequately protect the interests of the class.” Fed.R.Civ.P. 23(a)(4). First, the Court must determine whether class counsel is qualified, experienced, and generally able to conduct the litigation.
See In re Drexel Burnham Lambert Group,
Defendants take a narrow view of the potential for conflict and suggest that, because the actual relief sought by individual class members may contradict that sought by other class members, the named plaintiffs cannot fairly represent the class. For example, defendants suggest that relief sought by children who look to remain with their families may run directly counter to relief sought by children who need to be removed from their homes. Additionally, defendants argue that different categories of plaintiffs may be in competition for the finances needed to provide them with relief. Both of these arguments are without merit.
The Court is inclined to take a much broader view of the relief sought in the instant case. Plaintiffs, whether they need to be reunited with their biological families or removed from them, all seek declaratory and injunctive relief which would require defendants to comply with federal and state law. Plaintiffs do not ask this Court to adjudicate individual claims or to establish policies with respect to any particular situation. Rather, plaintiffs allege systemic failures which, if remedied, would result in defendants providing plaintiffs with services appropriate to their individual situations and regardless of outcome. The Court fails to see how institutional reform such as this raises potential conflicts among class members such that certification should be denied.
B. Rule 23(b)(2)
The prerequisites of Rule 23(a) having been satisfied, plaintiffs now must show that the proposed class falls into one of the three categories of maintainable actions under Rule 23(b). To that end, plaintiffs rely on Rule 23(b)(2) which provides for certification if:
the party opposing the class has acted or refused to act on grounds generally applicable to the class, thereby making appropriate final injunctive relief or corresponding declaratory relief with respect to the class as a whole....
Fed.R.Civ.P. 23(b)(2).
Rule 23(b)(2) is designed to assist and is most commonly relied upon by litigants seeking institutional reform in the form of injunctive relief.
See Baby Neal ex rel. Kanter v. Casey,
The instant case poses exactly the situation contemplated by Rule 23(b)(2). An order requiring defendants to comply with federal and state law in order to remedy the systemic failures that are the source of plaintiffs’ claims constitutes relief that would serve the entire putative class. Certification of the proposed class, therefore, is both necessary and appropriate given the nature of the allegations and of the relief sought. Because plaintiffs have met all four prerequisites of Rule 23(a) and have set forth an action main- *693 tamable pursuant to Rule 23(b)(2), their motion to certify the class is hereby granted and the class is defined as:
[a]ll children who are or will be in the custody of the New York City Administration for Children’s Services (“ACS”), and those children who, while not in the custody of ACS, are or will be at risk of neglect or abuse and whose status is known or should be known to ACS.
III. Motion for Bifurcation
City defendants move for an order of this Court bifurcating this action into two phases for purposes of discovery and trial. Defendants ask the Court to conduct a Phase One trial “to determine whether or not any individual plaintiff can actually prove any violation of his or her legal rights by an employee of the institutional defendants.” Affirmation of Grace Goodman in Support of Defendants’ Motion to Bifurcate this Action and Stay Classwide Discovery Until Phase II at 2 [hereinafter “Goodman Affirmation”]. Defendants further ask the Court to conduct a Phase Two trial once certain violations are proven “to determine ... whether they are a result of a widespread policy or practice of defendants, such that the institutional defendants could be liable under federal law and such that system-wide injunctive relief could be appropriate.”' Goodman Affirmation at 2.
This Court is authorized to bifurcate a trial pursuant to Rule 42(b), Fed. R.Civ.P., which provides, in pertinent part:
[t]he court, in furtherance of convenience or to avoid prejudice, or when separate trials will be conducive to expedition and economy, may order a separate trial of any claim ... or of any separate issue or of any number of claims----
Fed.R.Civ.P. 42(b). Bifurcation, however, is a procedural device to be employed only in exceptional circumstances.
See Sunenblick v. Harrell,
In the instant opinion, this action has been certified as a class action pursuant to Rule 23, Fed.R.Civ.P., and will proceed on that basis. To bifurcate this matter in the manner proposed by defendants would undermine the class action status afforded plaintiffs by this Court. Additionally, this Court is not convinced that judicial economy would be served by a trial in two phases where, undoubtedly, there would be significant overlap in the evidence presented and, consequently, delay in reaching the merits of the elasswide claims. Finally, where in a class action context the only remedy sought is broad declaratory and injunctive relief applicable to the class as a whole, defendants’ claims of potential prejudice are unfounded. City defendants’ motion to bifurcate this action is, therefore, denied.
CONCLUSION
For the foregoing reasons, defendants’ motions to dismiss pursuant to Rule 12(b)(6), Fed.R.Civ.P., are denied to the extent that (1) custodial plaintiffs may pursue their substantive due process claims based on alleged violations of their right to be free from harm and all plaintiffs may pursue their procedural due process claims based on alleged violations of various provisions of New York’s Child Protective Services laws, codified at Title 6 of Article 6 of the New York Social Services Law; (2) plaintiffs may pursue their federal statutory claims based on the Adoption Assistance and Child Welfare Act, including the provision herein referred to as the Multiethnic Placement Act, the Child Abuse Prevention and Treatment Act, the Americans with Disabilities Act, and the Rehabilitation Act; and (3) plaintiffs may pursue their state law claims. Further, plaintiffs’ motion for class certification pursuant to Rule 23, Fed.R.Civ.P., is granted. Finally, City defendants’ motion to bifurcate this action is denied.
Settle order on notice.
Notes
. On February 12, 1996, Mayor Giuliani removed CWA from the Human Resources Administration ("HRA”) bureaucracy and, in its place, established ACS as an independent agency. Pursuant to an order signed by this Court on March 11, 1996, Nicholas Scoppetta, the newly-appointed ACS Commissioner, was substituted as a defendant for Kathryn Croft, formerly the Executive Deputy Commissioner of CWA. Further, all references either to CWA or ACS were deemed to refer to CWA up to and including February 11, 1996 and to ACS on February 12, 1996 and thereafter. This Court will refer, therefore, to ACS unless describing events which took place prior to that date.
. The parties disagree as to whether the claims represented by Lawrence B. survive his death for purposes of class certification. Counsel for City defendants summarily asserts that "all claims for injunctive relief asserted by 'Lawrence B’ are mooted, including his claim to act as a representative plaintiff for a class of persons asserting claims under the Rehabilitation Act and/or the Americans With Disabilities Act." Affirmation to Suggest on the Record the Death of a Plaintiff at 2. Counsel further argues that "it seems fruitless to speculate as to the survival of the claim in the absence of a substituted plaintiff.” Letter to the Court from Grace Goodman dated April 5, 1996. The Court is not persuaded by these unsupported and conclusory allegations.
Generally, a court cannot certify a class action unless there exists a named plaintiff with a live controversy both at the time the complaint is filed and at the time the class is certified. Swan v. Stoneman, 635.F.2d 97, 102 n. 6 (2d Cir.1980). The Supreme Court has recognized, however, that the doctrine of class certification is flexible and has noted that
[tjhere may be cases in which the controversy involving the named plaintiffs is such that it becomes moot as to them before the district court can reasonably be expected to rule on a certification motion. In such instances, whether the certification can be said to "relate back” to the filing of the complaint may depend upon the circumstances of the particular case....
Sosna v. Iowa,
Here, Lawrence B. died after the filing of the complaint and instant motions but several weeks prior to oral argument on those motions. It was, therefore, impossible for this Court to have adjudicated the class certification motion while Lawrence was alive. Nevertheless, the Court is persuaded that Lawrence's claims survive his death and that substitution of a new class representative is unnecessary.
. Plaintiffs purport to divide their federal constitutional claims into four categories: "(1) the right to protection from harm while in foster care; (2) the right to conditions and duration of foster care consistent with the purpose of their custody; (3) the right not to be deprived of entitlements created by New York State law without due process; and (4) the right to associate with their biological family members.” Plaintiffs' Memorandum of Law in Opposition to Defendants' Partial Motions to Dismiss at 12 [hereinafter "Pis.' Mem. in Opp'n”]. Plaintiffs’ brief, however, fails to conform to this outline. Indeed, the contours of plaintiffs' substantive due process claims are vague at best.
After careful consideration, however, this Court concludes that plaintiffs are in fact arguing that they were harmed impermissibly by, among other things, defendants’ alleged failure to provide appropriate foster care placements and their failure to preserve plaintiffs' right to family integrity. This Court is of the opinion that the asserted right to be free from harm encompasses the asserted rights to appropriate conditions and duration of placements and to associate with biological family members, and will address those alleged constitutional violations within the broader context of plaintiffs’ right to freedom from harm.
. Indeed, City defendants concede that "remaining portions of the First Cause of Action, which allege violations of the Fourteenth Amendment's substantive due process right to freedom from harm while in government custody, are adequately pled as to at least some plaintiffs and are not the subject of this motion.” City Defendants’ Memorandum of Law at 5 n. 2.
. The provision reads: “The department shall on its own initiative provide, within the limits of the appropriations made therefor, such medical service for children with physical disabilities as in the judgment of the commissioner is needed.” Public Health Law § 2582(1).
. Specifically, plaintiffs allege violations of 42 U.S.C. §§ 622(b)(9), 627(a)(2)(A), 627(a)(2)(C), and 627(b)(3).
. Specifically, plaintiffs allege violations of 42 U.S.C. §§ 671(a)(10) and 671(a)(16).
. It is undisputed that the Amendment reaffirms the Supreme Court's decision in Suter that no private right exists to enforce § 671(a)(15) and plaintiffs do not allege violations of that provision.
