ORDER
The narrow but important question confronting the court is whether, in light of two recent United States Supreme Court decisions,
Seminole Tribe of Fla. v. Florida,
I. BACKGROUND
These two consolidated race-discrimination lawsuits, Reynolds v. Alabama Dep’t of Transp., Civil Action no. 85-T-665-N, and United States v. Ballard, Civil Action no. 2709-N (previously styled United States v. Frazer, but -still commonly known today as Frazer or the Frazer litigation), 1 are now before the court on a motion, filed by the Reynolds defendants (hereinafter referred to as merely the defendants), requesting that the, court dismiss the disparate-impact claims asserted by the Reynolds plaintiffs (hereinafter referred to as merely the plaintiffs). 2 The defendants contend that Congress, in providing for the imposition of disparate-impact liability on the States and their officials under Title VII, exceeded its authority under the eleventh and fourteenth amendments to the United States Constitution.
Briefly, the history of
Frazer
and
Reynolds
is as follows.
Frazer
was an action brought in the late 1960s by the United States against the Alabama State Personnel Department and other. State agencies (which later included the Alabama Department of Transportation), in which the United States challenged personnel practices that it contended intentionally discriminated against African-American applicants and employees. The court entered orders prohibiting these practices.
See, e.g., United States v. Frazer,
In 1994, the
Reynolds
parties entered into a partial settlement that resolved all class-wide issues,
see Reynolds v. Alabama Dep’t of Transp.,
The court has previously denied, by order entered September 10, 1997, a motion filed by the defendants to stay the trial on the plaintiffs’ individual claims for relief pending resolution of the instant motion.
See Reynolds v. Alabama Department of Transportation,
II. DISCUSSION
A
In their motion to dismiss disparate-impact claims, the defendants seek dismissal of all claims in which the plaintiffs allege that the defendants’ various employment practices, policies, or procedures have had a disparate impact on black applicants and employees. As both parties correctly observe, the disparate-impact theory of discrimination pervades the Reynolds lawsuit, underlying both the class-based claims that were resolved by the entry of the 1994 consent decree and the individual claims that were the subject of the recently-completed, approximately six-month-long continuation of the trial.
The defendants agree, however, that because the orders and injunctions in
Frazer
were brought and prosecuted by the United States, their eleventh-amendment challenge does not affect them.
8
The eleventh amendment does not bar suit by the. United States against a State.
Blatchford v. Native Village of Noatak,
The plaintiffs, along with the United States in Frazer, oppose the defendants’ motion both ‘substantively,’ by contending that the defendants’ eleventh-amendment argument lacks substantive merit because it misconstrues Congress’s constitutional authority and ignores governing precedent that contradicts its basic premises, and ‘procedurally,’ by arguing that, based upon the following contentions, the court should not even reach the merits of the defendants’ argument: (1) the defendants have waived their right to raise an immunity defense based upon the eleventh amendment at this late stage of the proceedings because they have forsaken myriad opportunities to assert the defense at an earlier juncture; (2) although the defendants seek to portray their argument as ‘jurisdie- *1096 tional,’ and hence nnwaivable, because it is grounded on the federalism and comity principles that underlie the eleventh amendment, they in fact level a waivable, ‘substantive’ challenge that is focused exclusively on the scope of Congress’s authority under the fourteenth amendment; and (3) the defendants contractually agreed to refrain from raising their eleventh-amendment defense when they entered into the 1994 consent decree in the Reynolds litigation, and this court would deprive the plaintiffs of á property right without compensation if it permitted'the defendants to shirk their contractual duties.
Despite the potential merit of the procedural arguments advanced by the plaintiffs and the United States, the court declines to examine whether they militate in favor of denying the defendants’ motion, because, as explained more fully below, the court finds that the eleventh-amendment challenge lacks merit and the motion is due to be denied on that basis. Thus, the • court will limit its discussion in this order to the substance of the defendants’ eleventh-amendment argument.
B.
In support of their motion to dismiss on eleventh-amendment immunity grounds, the defendants rely primarily upon the United States Supreme Court’s decision in
Seminole Tribe v. Florida,
In 1972, Title VII was amended to extend its protections against employment discrimination to State and other governmental employees by revising various definitions in the original statute to include such employees, and by eliminating certain exemptions applicable to governmental employers.
See Fitzpatrick v. Bitzer,
To be sure, the defendants acknowledge that, even under the
Seminole
Tribe’s stringent two-part test, Congress successfully abrogated the States’ eleventh-amendment immunity as to
disparate-treatment
claims of discrimination under Title VII because it properly invoked its power pursuant to § 5 of the fourteenth amendment when it extended Title VII’s protections to State employees in the 1972 amendments.
See Fitzpatrick v. Bitzer,
1. The First Prong of the Seminole Tribe Test
The court will first address the defendants’ contention that Congress did not satisfy the first prong of Seminole Tribe as to disparate-impact claims when it enacted the 1972 amendments to Title VII because it did not expressly state that eleventh-amendment abrogation would extend to such claims. The eleventh amendment provides:
“The Judicial power of the United States shall not be construed to extend to any suit in law or equity, commenced or prosecuted against one of the United States by Citizens of another State, or by Citizens or Subjects of any Foreign State.”
U.S. Const, amend. XI. Eleventh-amendment sovereign immunity has been held to apply to suits brought by citizens against their own State and is likewise applicable to cases in which the court’s jurisdiction is grounded on the existence of a federal question.
See Idaho v. Coeur d’Alene Tribe,
— U.S. -, -,
As stated, the defendants concede that the Supreme Court held in
Fitzpatrick
that Congress had validly abrogated the States’ sovereign immunity in the 1972 amendments, when it concluded that the amendments authorized federal courts to award money damages against a State found liable for employment discrimination. In reaching this decision, the
Fitzpatrick
Court concluded that the 1972 amendments contained the requisite unequivocal expression of congressional intent to abrogate the States’ sovereign immunity as to Title VII claims generally.
See Fitzpatrick,
As the United States correctly observes, the defendants have .failed in their attempt to establish that the ‘unequivocal expression’ requirement demands more than a clear expression by Congress of its intent to abrogate the States’ immunity as to a statute as a whole, that is, also compels Congress to indicate explicitly that its abrogation is meant to encompass claims against States brought pursuant to all potential theories of liability available under the statute. The defendants do not cite, and the court is not aware of, any authority that supports their position that a general statement of intent to abrogate does not include all theories by which liability under the statute may be established.
Moreover, even if it is assumed for the sake of argument that Congress must unequivocally state its intent to abrogate as to specific liability theories, there is ample support for a conclusion that such a requirement would be satisfied here. First, there is nothing in
Fitzpatrick
to suggest that the Supreme Court’s conclusion regarding Congress’s clear expression of intent to abrogate should not be extended to encompass all theories of liability that are available under Title VII. Especially noteworthy is the fact that none of the numerous provisions that the
Fitzpatrick
Court examined in arriving at its conclusion make reference to a specific theory or theories of liability
(e.g.,
those grounded on disparate treatment, retaliation, or disparate impact), but each is instead a general-applicability provision pertaining to the definition of terms employed in the stat
*1098
ute or the scope of the right to sue under Title VII.
See Fitzpatrick,
In addition, the preceding observation regarding the
Fitzpatrick
Court’s analysis of the 1972 amendments must be assessed in conjunction with the fact that in
Griggs v. Duke Power Co.,
Finally, the court notes that this conclusion is not inconsistent with the Supreme Court’s rationale for insisting upon a clear and unequivocal statement of congressional intent to abrogate the eleventh amendment. The Court’s reasoning was summarized in
Dellmuth v. Muth,
“We have stressed ... that abrogation of sovereign immunity upsets the fundamental constitutional balance between the Federal Government and the States, placing a considerable strain on the principles of federalism that inform Eleventh Amendment doctrine. To temper Congress’ acknowledged powers of abrogation with due concern for the Eleventh Amendment’s role as an essential component of our constitutional structure, we have applied a simple but stringent test: Congress may abrogate the States’ constitutionally secured immunity from suit in federal court only by making its intention unmistakably clear in the language of the statute.”
Id.
at 227,
For the foregoing reasons, the court concludes that Congress satisfied the first prong of the Seminole Tribe test when it extended Title VII’s protections, including those against disparate-impact discrimination, to State employees in the 1972 amendments.
2. The Second Prong of the Seminole Tribe Test
Having concluded that the defendants’ argument regarding the first prong of the Seminole Tribe inquiry lacks merit, the court turns next to the second prong, under which it must ascertain whether Congress actually had the power to abrogate the States’ sovereign immunity from lawsuits *1099 brought on the basis of a disparate-impact theory. As explained below, although this question requires the court to traverse jurisprudential terrain that is subject to frequent and unpredictable tectonic shifts, the court concludes that Congress acted within its authority when it abrogated the States’ immunity from disparate-impact claims in the 1972 amendments to Title VII.
Both parties correctly observe that after Seminole Tribe Congress may now draw upon only one judicially-recognized source of constitutional authority to abrogate the States’ eleventh-amendment immunity, namely § 5 of the fourteenth amendment. Section 5, the enforcement provision of the fourteenth amendment, provides:
“The Congress shall have power to enforce, by appropriate legislation, the provisions of this article.”
U.S. Const, amend. XIV, § 5. And § 1, the substantive provision that underlies § 5, provides as follows:
“No State shall make or enforce any law which shall abridge the privileges or immunities of citizens of the United States; nor shall any State deprive any person of life, liberty, or property, without due process of law; nor deny to any person within its jurisdiction the equal protection of the laws.”
U.S. Const, amend. XIV, § 1. The parties’ dispute arises over the question of whether Congress exceeded its powers, under § 5, when it attempted to subject the States to liability for disparate-impact claims of discrimination, which, as both parties agree, do not require proof of intentional discrimination.
10
As primary support for their argument, the defendants cite
Washington v. Davis,
The plaintiffs and the United States counter by citing
Scott v. City of Anniston,
a.
An appropriate starting point for addressing the question of whether Congress acted within the bounds of its authority under § 5 when it attempted to subject the States to suit for Title VII disparate-impact claims is provided by
Scott v. City of Anniston, supra,
“The plaintiff in [Morgan ] argued ‘that an exercise of congressional power under § 5 of the Fourteenth Amendment that prohibits the enforcement of a state law can only be sustained if the judicial branch determines that the state law is prohibited by the provisions of the Amendment that Congress sought to enforce.’ In rejecting this argument, the Court noted that ‘[i]t would confine the legislative power in this context to the insignificant role of abrogating only those state laws that the judicial branch was prepared to adjudge unconstitutional, or of merely informing the judgment of the judiciary by particularizing the ‘majestic generalities’ of § 1 of the, Amendment.’ The judicial task is limited to. determining whether legislation enacted pursuant to the authority conferred by the fourteenth amendment is, as required by § 5, appropriate to enforce the equal protection clause.”
Id. at 899-900 (citations to Morgan omitted). Consistent with this reading of Morgan, and in view of its conclusion that Title VII— including the disparate-impact theory of discrimination enunciated in Griggs v. Duke Power Co. — is unquestionably appropriate legislation to enforce the equal protection clause, the Scott court held that plaintiffs need not prove purposeful discrimination to establish liability under the statute, “whether the employer be private or public.” Id. at 900. As a consequence, the Scott court ruled that the employees of the defendant city may prevail on their Title VII lawsuit under a disparate-impact theory without showing that they suffered from intentional discrimination.
In their briefs, the defendants do not specifically address the
Scott
decision or the question of whether it should control the outcome of the instant dispute, despite the obvious similarities between the' reasoning of the lower court that was reversed in
Scott
and the argument that the defendants press here. Instead, they rely upon
Larry,
in which, as previously stated, the district court held that Congress had not validly abrogated the States’ immunity in the Equal Pay Act because it had attempted to exceed the scope
*1101
of its authority under § 5.
12
The
Larry
court found that
Scott
was no impediment to its holding that, “In light of
Washington v.
Davis’s intent requirement, it makes no sense to say that Congress has the power to override the Eleventh Amendment and enforce the Equal Protection Clause against a state by applying to the state a cause of action under the Equal Pay Act which does not include the element of intent.”
Larry,
However, this court disagrees with the Larry court’s analysis, and finds instead that Scott does indeed govern the resolution of the instant dispute. It is indisputable that, in terms of the precise factual circumstances of the case, Scott involved a challenge brought against a city agency rather than a state agency or state officials. It is therefore also beyond dispute that the former Fifth Circuit was not confronted in Scott with a challenge based upon the States’ eleventh-amendment immunity. Nonetheless, this court concludes that the former Fifth Circuit’s analysis in Scott has controlling force that extends beyond its particular facts.
Even a cursory examination of the Scott decision reveals that, although the eleventh amendment played no role in the outcome of that case, the court addressed a question that was in all significant respects identical to the question currently before this court. Specifically, both here and in Scott the central inquiry is whether Congress was authorized under § 5 of the fourteenth amendment to proscribe employment practices that do not evince a discriminatory purpose, but instead result in a racially-dispiroportionate impact. Thus, the focal point of the analysis in both contexts is the scope of congressional power embodied in § 5, and the critical determination confronting the court is whether Congress has exceeded that scope in subjecting a defendant to liability for certain forms of unintentional discrimination. Put somewhat differently, the inquiry under the second prong of the Seminole Tribe test, the issue now before this court, is essentially coextensive with the inquiry made by the Scott court in determining whether a discriminatory purpose must be shown in order to hold public employers liable under Title VII. 13
The conclusion that Scott’s holding may be extended to State defendants is reinforced to
*1102
some degree by a careful examination of the language employed by the
Scott
court in explaining its -holding. For instance, the court did not couch its holding merely in terms of cities or municipalities, but instead spoke more broadly of disparate-impact claims against “government agencies,” and “public” or “governmental” -employers.
For the foregoing reasons, the court concludes that the Scott decision governs the instant dispute. However, béfore it may find that Congress did not exceed its power under § 5 of the fourteenth amendment when it provided for disparate-impact discrimination claims against state employers, such as the defendants here, the court must determine whether Scott’s holding remains intact in view of more recent pronouncements by the Supreme Court regarding the scope of Congress’s § 5 authority, which may call into question the analysis employed by the former Fifth Circuit. The court will devote the next section of this order to an analysis of this somewhat complicated question.
b.
As the above-quoted passages from
Scott
demonstrate, in determining the scope of congressional authority under § 5 of the fourteenth amendment, the former Fifth Circuit placed heavy reliance upon the Supreme Court’s decision in,
Katzenbach v. Morgan, supra.
In addition to
Morgan,
the
Scott
court also relied upon other Supreme Gourt decisions that, when read as a whole, established that “In addition to enacting a constitutional standard, the fourteenth and fifteenth amendments granted significant power to Congress.” Scott,
Scott
has not been overruled nor has its continued viability been called .into question by the Eleventh Circuit. However, in view of the Supreme Court’s recent decision in
City of Boerne v. Flores,
— U.S. -,
*1103
To resolve the question of whether
Boeme
has undermined the rationale relied upon by the former Fifth Circuit in
Scott,
this court must first examine the foundations of the
Morgan
decision, which as described above played a prominent role in the
Scott
court’s analysis. In
Morgan,
the Supreme Court was confronted with a challenge to the constitutionality of § 4(e) of the Voting Rights Act of 1965, as amended, 42 U.S.C.A. § 1973b(e), which invalidated an English literacy requirement imposed by a New York statute. Section 4(e) specified that the right to vote could not be denied to any person who had successfully completed the sixth grade in a public or accredited private school in Puerto Rico, in which the language of instruction was other than English, on the basis of the person’s inability to read and write English. The Court concluded that § 4(e) constituted a valid exercise of Congress’s authority under § 5 of the fourteenth amendment, even in the face of a prior decision,
Lassiter v. Northampton County Bd. of Elections,
In reaching its decision, the
Morgan
Court first rejected the New York attorney general’s assertion that an exercise of congressional power under § 5 aimed at blocking enforcement of a state law is invalid absent a judicial determination that the state law runs afoul of the equal protection clause.
See Id.
at 648-49,
The Court went on in
Morgan
to conclude that § 4(e) of the Voting Rights Act is a proper exercise of Congress’s § 5 power, because it may be regarded as an enactment that enforces the equal protection clause by “secur[ing] for the Puerto Rican community residing in New York nondiseriminatory treatment by government.”
The second rationale provided in
Morgan
for upholding § 4(e) was that this provision “was merely legislation aimed at the elimination of an invidious discrimination in establishing voter qualifications.”
Morgan,
It is the expansive interpretation of the second rationale in
Morgan
that the former Fifth Circuit relied upon in
Scott
to discredit the trial court’s assumption that, in view of the holdings in
Washington v. Davis
and other Supreme Court decisions that discriminatory intent must be shown in fourteenth-amendment actions against government agencies, § 5 authorized Congress to proscribe only purposeful discrimination and not discrimination based upon a finding of a racially-disproportionate impact. As discussed above, the
Scott
court, citing
Morgan
and other decisions, held instead that § 5 authorizes Congress to enact more.stringent standards than those provided by the fourteenth amendment in order to carry out the purpose of that amendment.
See Scott,
Thus, the question that must be asked of Boeme is whether that decision overruled, explicitly or implicitly, this expansive interpretation of the Morgan Court’s second rationale, as well as the other portion of the decision discussed above, in which the Court rejected the New York attorney general’s assertion that Congress cannot use its § 5 powers to block enforcement of a State law unless there is a judicial determination that the enactment violates the equal protection clause.- The court will now turn to this question.
In
Boerne,
the Supreme Court exploited the opportunity presented by the plaintiffs’ constitutional challenge to the Religious Freedom Restoration Act of 1993, 42 U.S.C.A. §§ 2000bb through 2000bb-4 (RFRA), to revisit and further elucidate the scope of its decision in
Morgan.
The defenders of RFRA in
Boerne
argued that, although the statute prohibited conduct that was
not
unconstitutional, it still constituted permissible- enforcement legislation under § 5 because Congress was “only protecting by legislation one of the liberties guaranteed by the Fourteenth Amendment’s Due Process Clause, the free exercise of religion, beyond what is necessary under
Employment Div., Dep’t of Human Resources v. Smith,
*1105
Thus, one of the central issues addressed in
Boerne
was whether Congress exceeded its authority under § 5 when it enacted RFRA, including its provisions that may be applied to invalidate State laws absent proof of intentional discrimination. In examining this issue, the Court first cited
Morgan
and other decisions to reaffirm Morgan’s second rationale: that “Legislation which deters or remedies constitutional violations can fall within the sweep of Congress’ enforcement power even if in the process it prohibits conduct which is not itself unconstitutional and intrudes into ‘legislative spheres -of autonomy previously reserved to the States.’ ”
Boerne,
— U.S. at -,
It is in this context that the
Boerne
Court turned its attention to
Morgan.
Specifically, the Court warned against a too-expansive reading of
Morgan
as follows: “There is language in our opinion in
Katzenbach v. Morgan ...
which could be interpreted as acknowledging a power in Congress to enact legislation that expands the rights contained in § 1 of the Fourteenth Amendment. This is not a necessary interpretation, however, or even the best one.”
Id.
at -,
The Court explained: “Congress’ power under § 5 ... extends only to ‘enforc [ing]’ the provisions of the Fourteenth Amendment. The Court has described this power as ‘remedial.’ The design of the Amendment and the text of § 5 are inconsistent with the suggestion that Congress has the power to decree the substance of the Fourteenth Amendment’s restrictions on the States.”
Id.
at —-,
Thus, on the one hand, Congress’s § 5 enforcement power includes “Legislation which ... prohibits conduct which is not itself unconstitutional and intrudes into ‘legislative spheres of autonomy previously re
*1106
served to the States, ”
id.
at -,
■Having recognized a broad but still cabined view of Congress’s § 5 power, the
Boerne
Court went on to consider whether the act at issue, RFRA, could be considered legitimate ‘enforcement legislation under § 5. The court, after analyzing RFRA under this standard, concluded: “Regardless of the state of the legislative record, RFRA cannot be considered remedial, preventive legislation, if those terms are to have any meaning. RFRA is so out of proportion to a supposed remedial or preventive object that it cannot be understood as responsive to, or designed to prevent, unconstitutional behavior. It appears, instead, to attempt a substantive change in constitutional protections.”
Id.
at -,
Unfortunately, assessing the precise impact that the pronouncements in
Boeme
discussed above have on
Morgan’s
interpretation of Congress’s authority under § 5, and, by extension, on the former Fifth Circuit’s analysis in
Scott,
is not a straightforward exercise; there is an obvious imprecision, and even an inner tension, if not logical conflict, in the notion that Congress can prohibit conduct which is not itself unconstitutional, but yet cannot make a substantive change in the law. Indeed, the Supreme Court recognized as much when it stated that “the line between measures that remedy or prevent unconstitutional, actions and measures that make a substantive change in the governing law is not easy to discern.”
Id.
at -,
This observation is also borne out by a very recent decision from the Eleventh Circuit,
Kimel v. State of Florida Bd. of Regents,
Of greatest significance to the instant dispute are the contradictory conclusions reached by Chief Judge Hatchett and Judge Cox regarding
Boerne
and its consequences.
17
Judge Cox interpreted
Boerne
as dismissing any language in
Morgan
that ar
*1107
guably recognizes “a congressional power not only to effectuate Supreme Court-identified rights but also to find Fourteenth Amendment rights not yet identified by the Supreme Court.”
Kimel,
“Only by respecting Supreme Court interpretations of the Fourteenth Amendment can Congress avoid impermissibly interpreting the Amendment itself. Congress nonetheless may, if circumstances warrant, tweak procedures, find certain facts to be presumptively true, and deem certain conduct presumptively unconstitutional in light of Supreme Court interpretation. Thus, legislation enacted pursuant to § 5 must hew to the contours of Supreme Court-defined Fourteenth Amendment rights unless the legislation is a proportional response to a documented pattern of constitutional violation.”
Id. at 1445-47 (internal citations omitted). Thus, Judge Cox appears to have concluded that an interpretation of Morgan that gives Congress open-ended, substantive authority is now foreclosed by Boerne, and that Congress may not proscribe conduct not deemed unconstitutional under the fourteenth amendment except where there is “a documented pattern of constitutional violation.” Id.
Chief Judge Hatchett concluded that
Boerne
does not upset the principle that “Congress does not merely ‘rubber stamp’ the constitutional violations that the Supreme Court has already found to exist ... nor does it have to legislate to remedy only that conduct that the Court would find unconstitutional, even though the Court has not yet so ruled.”
Id.
at 1438. Quoting the same passage from
Morgan
that was cited in
Scott,
in which the
Morgan
Court had rejected the State’s argument that a congressional enactment could not be sustained as a proper exercise of § 5 authority absent a judicial determination that the equal protection clause forbade the action proscribed by the enactment, Chief Judge Hatchett emphasized that he “decline[d] to read such a limitation of Congress’s power into the
Boerne
decision.”
Id.
at 1439. Moreover, Chief Judge Hatchett also cited
Scott
itself in support of his position, quoting its holding that “The fourteenth amendment empowers Congress to enact appropriate legislation establishing more exacting requirements than those minimum safeguards provided in the amend-. ment[,]” as long as Congress does so “to carry out the purpose of [the] amendment ].”
Id.
at 1438 (quoting
Scott,
However, when all the broad legal pronouncements are put aside, it appears that, at bottom, Chief Judge Hatchett and Judge Cox differ on whether the ÁDEA and ADA each reflected “ ‘a congruence and. proportionality between the injury to be prevented or remedied and the means adopted to that end.’”
Kimel,
Fortunately, it is possible to discern some additional guidance from the
manner
in which the
Boeme
Court applied the eongruence-and-proportionality standard to RFRA. First of all, the
Boeme
Court looked to the statute itself and observed, as stated, that it is “so out of proportion to a supposed remedial or preventive object that it cannot be •understood as responsive to, or designed to prevent, unconstitutional behavior.” -— U.S. at -,
In addition, the Court noted that, although Congress is not obligated to create a legislative record,
see Boerne,
— U.S. at -,
The teaching of Boeme is that there must be a substantial constitutional hook: The principal object of the legislation must be to address rights that are judicially recognized; Congress can prohibit conduct that is not unconstitutional, but such legislation must be nothing more than incidental to a primary effort of prohibiting conduct that is unconstitutional. To put it more metaphorically, with regard to the challenged congressional legislation, the prohibited constitutional conduct must be, at most, always a bridesmaid and never the bride; the bride must always be the unconstitutional conduct.
Secondly, the
Boeme
Court addressed how closely hewed RFRA was to addressing the “evil presented.”
Id.
at -,
-In conclusion, this court discerns from Boeme the following helpful guidelines: (1) Of course, Congress, in the exercise of its § 5 enforcement power, may pass laws that prohibit conduct that is judicially recognized as unconstitutional under the fourteenth amendment. (2) Congress may also pass laws that prohibit conduct which is not itself *1109 unconstitutional under the fourteenth amendment, so long as the laws are remedial; that is, there is a congruence and proportionality between the injury to be prevented or remedied and the means adopted to that end. Two of the factors that should inform the court in assessing whether there is congruence and proportionality are (a) whether the legislation that prohibits conduct that is not itself unconstitutional is incidental to a primary effort of prohibiting conduct that is unconstitutional; and (b) whether, assuming (a) is satisfied, Congress has adopted measures that correspond to the magnitude of the evil presented.
Here, obviously, the court is confronted with the question of whether Congress can prohibit conduct which is not itself unconstitutional: that is, disparate-impact discrimination. What was missing in Boerne is, however, present here. To understand why the court reaches this conclusion, one need only turn to the language and structure of Title VII. The centerpiece of the act is 42 U.S.C.A. § 2000e-2(a), which makes it “an unlawful employment practice for an employer” to “(1) to fail or refuse to hire or to discharge any individual, or otherwise to discriminate against any individual with respect to his compensation, terms, conditions, or privileges of employment, because of such individual’s race [or] color, ...; or (2) to limit, segregate, or classify his employees or applicants for employment in any way which would deprive or tend to deprive any individual of employment opportunities or otherwise adversely affect his status as an employee, because of such individual’s race [or] color_” (Emphasis added.) The central aim of the act is intentional discrimination, which is, of course, prohibited by the fourteenth amendment. Thus, the substantial constitutional hook is present here.
This conclusion is reinforced by the legislative history of Title VII and subsequent Supreme Court decisions interpreting this history. One would have to close one’s eyes to a century of this country’s history to not know that, before the enactment of Title VII in 1964 — and even for a long time thereafter, until the statute’s prohibitions were put into effect, or otherwise came to be honored, on a large scale — intentional discrimination against African-Americans was the way of life throughout much of this land and, indeed, was the rule of law at state and local levels in the South.
See, e.g.,
C. Van Woodward,
The Strange Career of Jim Crow
(3d rev. ed.1974):
see also, e.g., Dillard v. Crenshaw County,
Even prior to the enactment of Title VII, Congress had recognized that there exists an intimate relationship between the invidious racial discrimination just discussed and discrimination that results from conduct having a racially-disproportionate impact. As explained above, the Supreme Court in
Griggs v. Duke Power Co.,
The
Teal
Court therefore recognized that the devastating vestiges of this country’s longstanding and deep-rooted history of intentional racial discrimination would not, and could not, wither away of their own accord any time soon. The Court explained that the
Griggs
Court had recognized the close nexus between evidence of disparate racial impact and the invidious discrimination proscribed by the fourteenth amendment, as follows: “
‘Griggs
was rightly concerned that childhood deficiencies in the education and background of minority citizens, resulting from forces beyond their control, not be allowed to work a cumulative and invidious burden on such citizens for the remainder of their lives.’ ”
Teal,
As stated, the
Teal
Court did not stop here, however. The Court further observed that Congress had, in ■ enacting the 1972 amendments, “voiced its concern about the widespread use
by state and local governmental agencies
of ‘invalid selection techniques’ that had a discriminatory impact.”
Teal,
Finally, as
Boerne
requires, disparate-impact liability is a proportionate response to the evil presented. As previously stated; in
*1111
the 1972 amendments, Congress responded to a documented pattern of constitutional violations by including disparate-impact claims of discrimination within the ambit of Title VII, as applied against both private and governmental employers. That this legislative reaction is the type of proportional and congruent response demanded by the Supreme Court becomes manifestly clear when one recalls' that the theory of disparate-impact liability, as a means of counteracting practices that are fair in form, but discriminatory in operation, was first articulated
by the Supreme Court itself,
in
Griggs.
The Court has not subsequently questioned the propriety of the disparate-impact theory as a congressional response to the discriminatory practices it sought to eliminate by means of Title VII, but instead has continued to apply and refine the theory in the years after
Griggs. See, e.g., Wards Cove Packing Co., Inc. v. Atonio,
In any event, the treatment of disparate-impact claims of discrimination, as it has evolved in the Supreme Court’s Title VII jurisprudence, bears a strong resemblance to, and closely parallels, the treatment of claims of intentional discrimination under the statute. Specifically, disparate-impact claims are assessed by employing a three-step process similar to the one used in assessing a disparate-treatment claim. First, the employee must identify the specific employment practice challenged and, further, must show that the challenged practice falls significantly more harshly on one group than another, that is, that the practice under attack has created “adverse impact.”
Wards Cove,
It is evident that the foregoing approach to disparate-impact claims is based upon the Supreme Court’s perception that a close relationship exists between such claims and those alleging intentional discrimination. In fact, the Court’s approach, especially "with regard to its treatment of employers who refuse to adopt race-neutral alternative practices, evidences a recognition that a challenged practice’s racially-disproportionate impact may be a strong indication that the practice, though facially neutral, actually stemmed from discriminatory animus. Thus, there is no doubt that the disparate-impact and disparate-treatment theories of discrimination, as they have evolved in the years since Griggs, are parallel theories that in many instances rely upon identical or nearly-identical evidence and, therefore, are often to some extent intertwined.
In view of this close relationship between the two theories of discrimination, it is difficult to imagine that the Supreme Court, even if it had intended in
Boerne
to retreat — even more than this court has allowed — from its relatively expansive interpretation of Congress’s § 5 powers, sought to circumscribe these powers so dramatically that they no longer permit Congress to proscribe dispa
*1112
rate-impact discrimination as well as disparate-treatment discrimination. Such a judicial constriction of Congress’s authority to enact appropriate legislation under the fourteenth amendment would, as the Court recognized in
Morgan,
impermissibly relegate Congress’s role to “merely informing the judgment of the judiciary by particularizing the ‘majestic generalities’ of § 1 of the Amendment.”
Indeed, Congress’s imposition of disparate-impact liability on the States is in full syne with other measures it has imposed on the States, pursuant to its § 5 enforcement power, that did not rest on an underlying judicial finding of intentional discrimination.
See, e.g., Katzenbach v. Morgan, supra
(upholding ban on literacy tests that prohibited certain people schooled in Puerto Rico from voting);
Oregon v. Mitchell,
Based upon the foregoing analyses, this court concludes that, even if Boeme did undermine the holding in Scott by substantially constricting the expansive scope, as described in Morgan, of Congress’s powers under § 5, Congress nonetheless acted well within its post -Boerne § 5 powers when it imposed disparate-impact liability against employers in Title VII. Thus, the court would find that second prong of Seminole Tribe has been satisfied even if Scott were deemed no longer to constitute binding precedent in this circuit.
Indeed, the court must candidly admit that, if the theory of disparate-impact liability, as it has evolved in the Supreme Court’s Title VII jurisprudence, does not meet the Boeme test of when Congress can prohibit conduct that is not itself unconstitutional, then the test cannot be met in any meaningful way at all. It is a trick test.
III. CONCLUSION
Accordingly, the court rejects the defendants’ eleventh-amendment challenge to the plaintiffs’ disparate-impact claims of discrimination, because, as determined by application of the two-prong test articulated in Seminole Tribe, Congress validly abrogated the States’ sovereign immunity as to such claims brought pursuant to Title VII.
For the foregoing reasons, it ORDERED that the defendants’ motion to dismiss disparate impact claims, filed on August 27, 1997 (Doc. no. 2063), in Reynolds v. Alabama Dep’t of Transp., civil action no. 85-T-665-N, is denied.
Notes
. United States v. Frazer is currently styled United States v. Ballard because, after December 4, 1981, Halycon Vance Ballard replaced John S. Frazer as the named defendant in the case.
. See defendants’ motion to dismiss disparate impact claims, filed August 27, 1997 (Doc. no.2063).
. The plaintiffs also based their lawsuit on 42 U.S.C.A. § 1981 and the fourteenth amendment *1095 to the United States Constitution, as enforced by 42 U.S.C.A. § 1983.
. See order, entered July 31, 1992 (Doc. no. 434).
. Doc. no. 553.
. Doc. no. 2523.
. Doc. no. 2087.
. See defendants' brief in support of motion to dismiss disparate impact claims, filed September 30, 1997 (Doc. no. 2138), at 7-8.
. Cf. 28 U.S.C.A. § 2403(a) ("In any action, suit or proceeding in a court of the United States to which the United States or any agency, officer or employee thereof is not a party, wherein the constitutionality of any Act of Congress affecting the public interest is drawn in question, the court shall certify such fact to the Attorney General, and shall permit the United States to intervene for presentation of evidence, if evidence is otherwise admissible in the case, and for argument on the question of constitutionality. The United States shall, subject to the applicable provisions of law, have all the rights of a party and be subject to all liabilities of a party as to court costs to the extent necessary for a proper presentation of the facts and law relating to the question of constitutionality.").
. In
Seminole Tribe,
the Supreme Court noted that its prior decisions had recognized only two provisions of the Constitution, § 5 of the fourteenth amendment and the interstate commerce clause, as authorizing Congress to abrogate eleventh-amendment immunity. However, the Court in
Seminole Tribe
expressly overruled
Pennsylvania v. Union Gas Co.,
"In Fitzpatrick, we recognized that the Fourteenth Amendment, by expanding federal power at the expense of state autonomy, had fundamentally altered the balance of state and federal power struck by the Constitution. Id., at 455,96 S.Ct. at 2671 . We noted that § 1 of the Fourteenth Amendment contained prohibitions expressly directed at the States and that ' § 5 of the Amendment expressly provided that ‘The Congress shall have the power to enforce, by appropriate legislation, the provisions of this article. See id., at 453,96 S.Ct. at 2670 (internal quotation marks omitted). We held that through the Fourteenth Amendment, federal power extended to intrude upon the province of the Eleventh Amendment and therefore that § 5 of the Fourteenth Amendment allowed Congress to abrogate the immunity from suit guaranteed by that Amendment.”
Id.
at 58-60,
The Supreme Court has yet to address, however, whether the same logic applies to the thirteenth and fifteenth amendments, which contain enforcement provisions parallel to that of § 5 in the fourteenth amendment. See U.S. Const, amend. XIII, § 2; id. amend. XV, § 2.
. In
Bonner v. Prichard,
. The
Larry
court recently entered a second order concerning the eleventh-amendment question, in response to a motion for reconsideration filed by the United States as intervenor, that reaffirmed the holding in its prior decision.
See Larry v. Board of Trustees of the Univ. of Ala.,
. Commentators have remarked upon the correspondence between courts’ examination of the precise scope of Congress’s § 5 powers and the determination under Seminole Tribe of whether Congress has validly abrogated the States’ sovereign immunity. See, e.g., Erwin Chemerinsky, The Religious Freedom Restoration Act is a Constitutional Expansion of Rights, 39 Wm. & Mary L.Rev. 601, 604 n. 14 (1998) (noting that Seminole Tribe “increases the importance of the scope of Congress’s Section 5 powers,” because "the Court held that Congress, by statute, may override the Eleventh Amendment and authorize suits against state governments only when acting pursuant to Section 5 and not when acting under its Article I powers such as the Commerce Clause [making] the scope of Section 5 critical in determining the ability to sue states in federal court to enforce federal law”); Note, Section 5 and the Protection of Nonsuspect Classes After City of Boerne v. Flores, 111 Harv. L.Rev. 1542, 1543 (1998) ("Boeme’s [a decision discussed in detail below in this order] constriction of Section 5 may have its greatest impact when read in conjunction with Seminole Tribe v. Florida_ [I]f Congress is going to provide litigants with a federal forum for suits against states, it must do so pursuant to Section 5, as interpreted by the Boeme Court.”).
. Additionally, the Eleventh Circuit has described
Scott
as holding that "Congress may apply the discriminatory effects test of Title VII to the
states.” United States
v.
Marengo County Comm’n,
. In
Morgan,
the Court noted that Congress has the power only to expand, not "dilute[J equal . protection and due process decisions of [the] Court.”
. With this statement, the Boeme Court rejected the approach derived from Morgan that has been labeled the "ratchet,” or substantive, theory. See supra note 15.
. In the principal opinion, Judge Edmondson did not consider whether
Boeme
affected his conclusion that the ADA was properly enacted under Congress's § 5 enforcement powers.
See Kimel,
. In
Wards Cove,
the Court held that the employer’s burden was one of production only.
See
