MIGRA v. WARREN CITY SCHOOL DISTRICT BOARD OF EDUCATION ET AL.
No. 82-738
Supreme Court of the United States
Argued October 11, 1983—Decided January 23, 1984
465 U.S. 75
James L. Messenger argued the cause for respondents. With him on the briefs were John C. Burkholder and Kimball H. Carey.*
*Briefs of amici curiae urging reversal were filed for the American Civil Liberties Union et al. by Charles S. Sims, Burt Neuborne, Gordon Beggs, and Barbara Besser; for the Edwin F. Mandel Legal Aid Clinic by Gary H. Palm; and for the National Education Association by Joy L. Koletsky and Robert H. Chanin.
Stephen H. Sachs, Attorney General of Maryland, Diana G. Motz and Frederick G. Savage, Assistant Attorneys General, and Sheldon Elliot Steinbach filed a brief for the State of Maryland et al. as amici curiae urging affirmance.
This case raises issues concerning the claim preclusive effect1 of a state-court judgment in the context of a subsequent suit, under
I
Petitioner, Dr. Ethel D. Migra, was employed by the Warren (Ohio) City School District Board of Education from August 1976 to June 1979. She served as supervisor of elementary education. Her employment was on an annual basis under written contracts for successive school years.
The Board, however, held a special meeting, called by its President, on the morning of April 24. Although there appear to have been some irregularities about the call, see Brief for Respondents 19, n., four of the five members of the Board werе present. The President first read Dr. Migra‘s acceptance letter. Then, after disposing of other business, a motion was made and adopted, by a vote of 3 to 1, not to renew petitioner‘s employment for the 1979-1980 school year. Dr. Migra was given written notice of this nonrenewal and never received a written contract of employment for that year. The Board‘s absent member, James Culver, learned of the speciаl meeting and of Dr. Migra‘s termination after he returned from Florida on April 25 where he had attended a National School Boards Convention.
Petitioner brought suit in the Court of Common Pleas of Trumbull County, Ohio, against the Board and its three members who had voted not to renew her employment. The complaint, although in five counts, presented what the parties now accept as essentially two causes of action, namely, breaсh of contract by the Board, and wrongful interference by the individual members with petitioner‘s contract of employment. The state court, after a bench trial, “reserved and continued” the “issue of conspiracy” and did not reach the question of the individual members’ liability. App. 39. It ruled that under Ohio law petitioner had accepted the employment proffered for 1979-1980, that this created a binding contract between her and the Board, and that the Board‘s subsequent action purporting not to renew the employment
In July 1980, Dr. Migra filed the present action in the United States District Court for the Northern District of Ohio against the Board, its then individual members, and the Superintendent of Schools. Id., at 3. Her complaint alleged that she had become the director of a commission appointed by the Board to fashion a voluntary plan for the desegregation of the District‘s elementary schools; that she had prepared a social studies curriculum; that the individual defendants objected to and opposed the curriculum and resisted the desegregation plan; that hostility and ill will toward petitioner developed; and that, as a consequence, the individual defendants determined not to renew petitioner‘s contract of employment. Id., at 5-6. Many of the alleged facts had been proved in the earlier state-court litigation. Dr. Migra claimed that the Board‘s actions were intended to punish her for the exercise of her First Amendment rights. She also claimed that the actions deprived her of property without due process and denied her equal protection. Her federal claim
The District Court granted summary judgment for the defendants and dismissed the complaint. App. to Pet. for Cert. C-17—C-31, D-32. The United States Court of Appeals for the Sixth Circuit, by a short unreported order, affirmed. Id., at A-15. See 703 F. 2d 564 (1982).3 Because of the importance of the issue, and because of differences among the Courts оf Appeals, see n. 6, infra, we granted certiorari. 459 U. S. 1102 (1983).
II
The Constitution‘s Full Faith and Credit Clause4 is implemented by the federal full faith and credit statute,
“Such Acts, records and judicial proceedings or copies thereof, so authenticated, shall have the same full faith and credit in every court within the United States and its Territories and Possessions as they have by law or usage in the courts of such State, Territory or Possession from which they are taken.”
“Indeed, though the federal courts may look to the common law or to the policies supporting res judicata and collateral estoppel in assessing the preclusive effect of decisions of other federal courts, Congress has specifically required all federal courts to givе preclusive effect to state-court judgments whenever the courts of the State from which the judgments emerged would do so. . . .” Id., at 96.
This principle was restated in Kremer v. Chemical Construction Corp., 456 U. S. 461 (1982):
“Section 1738 requires federal courts to give the same preclusive effect to state court judgments that those judgments would be given in the courts of the State from which the judgments emerged.” Id., at 466.
See also Haring v. Prosise, 462 U. S. 306 (1983). Accordingly, in the absence of federal law modifying the operation of
In Allen, the Court considered whether
“[N]othing in the language of § 1983 remotely expresses any congressional intent to contravene the common-law rules of preclusion or to repeal the express statutory requirements of the predecessor of 28 U. S. C. § 1738. . . . Section 1983 creates a new federal cause of action. It says nothing about the preclusive effect of state-court judgments.
. . . .
“Moreоver, the legislative history of § 1983 does not in any clear way suggest that Congress intended to repeal or restrict the traditional doctrines of preclusion. . . . [T]he legislative history as a whole . . . lends only the most equivocal support to any argument that, in cases where the state courts have recognized the constitutional claims asserted and provided fair procedures for determining them, Congress intended to override § 1738 or the common-law rules of collateral estoppel and res judicata. Since repeals by implication are disfavored . . . much clearer support than this would be required to hold that § 1738 and the traditional rules of preclusion are not applicable to § 1983 suits.” 449 U. S., at 97-99.
The Court in Allen left open the possibility, however, that the preclusive effect of a state-court judgment might be different as to a federal issue that a
It is difficult to see how the policy concerns underlying
Petitioner suggests that to give state-court judgments full issue preclusive effect but not claim preclusive effect would enable litigants to bring their state claims in state court and their federal claims in federal court, thereby taking advantage of the relative expertise of both forums. Although such a division may seem attractive from а plaintiff‘s perspective, it is not the system established by
In the present litigation, petitioner does nоt claim that the state court would not have adjudicated her federal claims had she presented them in her original suit in state court. Alternatively, petitioner could have obtained a federal forum for
III
It appears to us that preclusion law in Ohio has experienced a gradual evolution, and that Ohio courts recently have applied preclusion concepts morе broadly than in the past. For example, in Vasu v. Kohlers, Inc., 145 Ohio St. 321, 61 N. E. 2d 707 (1945), a plaintiff who suffered both personal injury and property damages in an automobile accident was held entitled to maintain a separate suit against the defendant for each type of injury. The theory was that “[i]njuries to both person and property suffered by the same person as a result of the same wrongful act are infringements of different rights and give rise to distinct causes of аction. . . .” Id., at 321, 61 N. E. 2d, at 709 (syllabus ¶ 4).8 In Rush v. Maple Heights, 167 Ohio St. 221, 147 N. E. 2d 599 (1958), however,
This holding, of course, did not fully solve for the Ohio law the question as to what constitutes a “cause of action” for claim preclusion purposes. The definition of “cause of action” or “claim” is critical in the present context because it seems that a basic rule of Ohio law is that a person is entitled to one lawsuit for each “cause of action” he possesses. Norwood v. McDonald, 142 Ohio St. 299, 52 N. E. 2d 67 (1943); Whitehead v. General Tel. Co., 20 Ohio St. 2d 108, 254 N. E. 2d 10 (1969).
In 1968, the Supreme Court of Ohio twice dealt with the question of what constitutes a cause of action for preclusion purposes. Henderson v. Ryan, 13 Ohio St. 2d 31, 233 N. E. 2d 506; Sharp v. Shelby Mut. Ins. Co., 15 Ohio St. 2d 134, 239 N. E. 2d 49. In each of these cases, although a second action against the defendant was permitted, the court clearly was developing a broader and more expansive attitude toward claim preclusion. See Henderson, 13 Ohio St. 2d, at 35, 38, 233 N. E. 2d, at 509-511; Sharp, 15 Ohio St. 2d, at 140, 239 N. E. 2d, at 54. In addition, the Ohio Supreme
Then, in 1982, the Supreme Court of Ohio adopted what appears to be a broad doctrine of preclusion indeed, although in a defensive, not offensive, context. Johnson‘s Island, Inc. v. Board of Township Trustees, 69 Ohio St. 2d 241, 431 N. E. 2d 672. The first syllabus by the court recites:
“When in a prior injunction action brought to enjoin the defendant landowner‘s violation of a zoning law, thе defendant asserts the affirmative defense of nonconforming use, but does not assert the unconstitutionality of the law, the landowner is, on the principle of res judicata, barred from later bringing a declaratory judgment action alleging such law to be unconstitutional.” Ibid., 431 N. E. 2d, at 673.
See also Stromberg v. Board of Ed. of Bratenahl, 64 Ohio St. 2d 98, 413 N. E. 2d 1184 (1980).
In reading the opinion of the District Court in the present litigation, we are unable to determine whether that court was applying what it thought was the Ohio law of preclusion. The opiniоn cites a Sixth Circuit opinion that purported to enunciate Ohio law, Coogan v. Cincinnati Bar Assn., 431 F. 2d 1209 (1970), and also relied on precedents from other Federal Courts of Appeals applying both federal and state law. Our holding today makes clear that Ohio state preclusion law is to be applied to this case. Prudence also dictates that it is the District Court, in the first instance, not this Court, that should interpret Ohio preclusion law and apply it.
The judgment оf the Court of Appeals, accordingly, is vacated, and the case is remanded to that court so that it may instruct the District Court to conduct such further proceedings as are required by, and are consistent with, this opinion.
It is so ordered.
In Union & Planters’ Bank v. Memphis, 189 U. S. 71, 75 (1903), this Court held that a federal court “can accord [a state judgment] no greater efficacy” than would the judgment-rendering State. That holding has been adhered to on at least three оccasions since that time. Oklahoma Packing Co. v. Oklahoma Gas & Electric Co., 309 U. S. 4, 7-8 (1940); Wright v. Georgia Railroad & Banking Co., 216 U. S. 420, 429 (1910); City of Covington v. First National Bank, 198 U. S. 100, 107-109 (1905). The Court has also indicated that the States are bound by a similar rule under the Full Faith and Credit Clause. Public Works v. Columbia College, 17 Wall. 521, 529 (1873). The Court is thus justified in this case to rule that preclusion must be determined under state law, even if there would be preclusion under federal standards.
This construction of
Accordingly, I join the opinion of the Court.
