Plaintiffs-appellants (the “Class Plaintiffs”) appeal from a September 29, 2000 judgment of the United States District Court for the Southern District of New York (Jed S. Rakoff, District Judge) that denied Class Plaintiffs’ motions for class certification and bifurcation, and that directed entry of judgment in favor of defendant-appellee Metro North Commuter Railroad (“Metro North”). See Robinson v. Metro-North Commuter R.R.,
The district court’s judgment dismissing the action is vacated. On remand, the district court is instructed to certify the Class Plaintiffs’ disparate impact claim for Rule 23(b)(2) class treatment, see Fed. R.Civ.P. 23(b)(2), and consider whether the pattern-or-practice disparate treatment claim is appropriate for (b)(2) certification in light of the standard we set forth herein. If the court determines that (b)(2) certification of the pattern-or-practice claim is inappropriate, it shall bifurcate the claim, see Fed.R.Civ.P. 42(b), and certify the liability stage of the claim for (b)(2) class treatment, see Fed.R.Civ.P. 23(c)(4)(A).
BACKGROUND
A. The Allegations
The background of this case is substantially detailed in Caridad v. Metro-North Commuter R.R.,
The Class Plaintiffs are present and former Metro North employees who are African American. They bring this putative class action against defendant Metro North on behalf of “all African American employees of Metro North for the period from 1985 through 1996 — an estimated 1,300 persons.” Caridad,
The Class Plaintiffs assert both pattern- or-practice disparate treatment and disparate impact claims pursuant to Title VII of the Civil Rights Act of 1964, as amended, 42 U.S.C. § 2000e et seq. Specifically, they challenge Metro North’s company-wide policy of delegating to department supervisors discretionary authority to make employment decisions related to discipline and promotion. Relying on statistical and anecdotal evidence, the Class Plaintiffs argue that this delegated authority has been “exercised in a racially discriminatory manner and has a disparate impact on African American employees.” Caridad,
B. The Earlier Appeal
In August 1997, the district court denied an earlier request for class certification because it held that the Class Plaintiffs had failed to satisfy the prerequisites for a class action set out in Rule 23(a)(2), (3).
“The commonality requirement is met if plaintiffs’ grievances share a common question of law or of fact.” Marisol A. v. Giuliani,
Central to the district court’s finding that the Class Plaintiffs had failed to demonstrate commonality and typicality were the following: (1) Metro North satisfied the district court that the “plaintiffs’ statistics are inadequate to carry their burden of establishing commonality as to the company-wide class” because “they fail to take
C. The District Court’s Ruling After Remand
Following remand, the Class Plaintiffs moved in the district court for (b)(2) class certifications of both the pattern-or-practice disparate treatment claim and the disparate impact claim. See Fed.R.Civ.P. 23(b)(2). As an alternative to class certification of the pattern-or-practice claim in its entirety, Class Plaintiffs sought bifurcation of the claim between the liability and remedial stages, and (b)(2) class certification of just the liability stage. See Fed. R.Civ.P. 23(c)(4)(A) (permitting class certification of “particular issues”).
The district court denied the motions. Relying on the Fifth Circuit’s recent decision in Allison v. Citgo Petroleum Corp.,
determination of the damages suffered by individual members of the class would require individualized proof and proceedings to determine whether each such member suffered intentional discrimination on the part of his or her department manager, what injuries each such member thereby suffered, what individualized damages were appropriate to redress such injuries, etc.
Id. at 88. “[The] multiple individual determinations of damages for the numerous members of the class,” the district court concluded, “would overwhelm classwide in-junctive issues, from both the standpoint of the individual plaintiffs and the standpoint of the Court.” Id.
With respect to the Class Plaintiffs’ alternative request that the pattern-or-prac
The district court did not set forth a basis for denying (b)(2) certification of the disparate impact claim.
DISCUSSION
At the outset, we observe that this appeal does not involve consideration of the merits of the case. See, e.g., Eisen v. Carlisle & Jacquelin,
To understand why, it is first necessary to consider the changes brought about by the 1991 Act and to review the elements and evidentiary requirements for pattern- or-practice disparate treatment claims and disparate impact claims.
I. THE 1991 ACT AND TITLE VII CLAIMS GENERALLY
A. The 1991 Act
Prior to the passage of the 1991 Act, a plaintiff seeking a monetary award for disparate treatment
The 1991 Act enhanced Title VU’s remedial scheme for disparate treatment claims. In addition to back pay and front pay, it authorized the recovery of compensatory and punitive damages in disparate treatment disputes, see 42 U.S.C. § 1981a(a)(l), and afforded a jury trial where these additional remedies are sought, see 42 U.S.C. § 1981a(e). The 1991 Act did not alter the remedial structure for disparate impact claims.
B. Proving Title VII Claims
1. Pattern or Practice Disparate Treatment Claims
Pattern-or-practice disparate treatment claims focus on allegations of widespread acts of intentional discrimination against individuals. To succeed on a pattern-or-practice claim, plaintiffs must prove more than sporadic acts of discrimination; rather, they must establish that intentional discrimination was the defendant’s “standard operating procedure.” Int’l Bhd. of Teamsters v. United States,
Generally, a pattern-or-practice suit is divided into two phases: liability and remedial.
Statistics alone can make out a prima facie case of discrimination if the statistics reveal “a gross disparity in [the] treatment of workers based on race.” Lopez v. Laborers Int’l Union, Local No. 18,
If the plaintiffs satisfy this prima facie requirement, “[t]he burden [of production] then shifts to the employer to defeat [it] ... by demonstrating that the [plaintiffs’] proof is either inaccurate or insignificant.” Teamsters,
Three basic avenues of attack are open to the defendant challenging the plaintiff[s’] statistics, namely assault on the source, accuracy, or probative force. The defendant can present its own statistical summary treatment of the protected class and try to convince the fact finder that these numbers present a more accurate, complete, or relevant picture than the plaintiff[s]’ statistical showing. Or the defendant can present anecdotal and other non-statistical evidence tending to rebut the inference of discrimination. The prudent defendant will follow all three routes if possible, presenting its own version of the numbers game, attempting to undermine the plaintiff[s]’ version with specific attacks on [the] validity of the plaintiff[s]’ statistics, and garnering non-statistical evi-dentiary support as well.
Larson, supra, § 9.03[2], at 9-23 to 9-24 (footnote omitted).
Once the defendant introduces evidence satisfying this burden of production, the trier of fact then must consider the evidence introduced by both sides to determine whether the plaintiffs have established by a preponderance of the evidence that the defendant engaged in a pattern or practice of intentional discrimination. See Teamsters,
If individual relief such as back pay, front pay, or compensatory recovery is sought in addition to class-wide injunctive relief, the court must conduct the “remedial” phase. Class members enter this second phase with a presumption in their favor “that any particular employment decision, during the period in which the discriminatory policy was in force, was made in pursuit of that policy.” Teamsters,
The effect of the presumption from the liability stage is to substantially lessen each class member’s evidentiary burden relative to that which would be required if the employee were proceeding separately with an individual disparate treatment claim under the McDonnell Douglas framework. Cf. Texas Dep’t of Cmty. Affairs v. Burdine,
If the employer is unable to establish a lawful reason for an adverse employment action, the employee is entitled to individualized equitable relief, which may include back pay and front pay. Class members who seek compensatory damages in addition to individualized equitable relief must then prove that the discrimination caused them “emotional pain, suffering, inconvenience, mental anguish, loss of enjoyment of life, [or] other nonpecuniary losses.” 42 U.S.C. § 1981a(b)(3).
2. Disparate Impact Claims
Like pattern-or-practice disparate treatment claims, disparate impact claims “are attacks on the systemic results of employment practices.” Segar v. Smith,
Disparate impact claims involve three stages of proof. The first is the prima facie showing of disparate impact. It requires plaintiffs to establish by a preponderance of the evidence that the employer “uses a particular employment practice that causes a disparate impact on the basis of race, color, religion, sex, or national origin.” 42 U.S.C. § 2000e-2(k)(l)(A)(i). To make this showing, a plaintiff must (1) identify a policy or practice, (2) demonstrate that a disparity exists, and (3) establish a causal relationship between the two. See Byrnie v. Town of Cromwell, Bd. of Educ.,
As with the liability phase of a pattern-or-practice disparate treatment claim, statistical proof almost always occupies center stage in a prima facie showing of a disparate impact claim. See Hill v. Miss. State Employment Serv.,
Assuming the employer is unable to successfully contest the plaintiffs’ statistics, a second route is for the employer to demonstrate that the challenged practice or policy is “job related for the position in question and consistent with business necessity.” 42 U.S.C. § 2000e-2(k)(l)(A)(i). For example, “[i]n order to sustain a subjective [promotion] practice” that is having a disparate effect on minorities, the defendant-employer would have to establish that “something about the [particular] position requires the selector to make a subjective evaluation of the applicant’s abilities.” Mozee,
If the employer fails to demonstrate a business justification for the policy or practice, see 42 U.S.C. §§ 2000e-2(k)(l)(A)(i), 2000e(m), then the plaintiffs prevail. If the employer succeeds in establishing a business justification, however, the disparate impact claim proceeds to a third stage. See Joe’s Stone Crab, Inc.,
Should the plaintiffs succeed in establishing a Title VII disparate impact violation, the court may order prospective class-wide injunctive relief. See In re Employment Discrimination Litig.,
II. STANDARD OF REVIEW
District courts are afforded substantial leeway in deciding issues of class certification. A class-certification decision will “only be overturned if it constitutes an abuse of discretion.” Lundquist v. Sec. Pac. Auto. Fin. Servs. Corp.,
Having now set forth the elements and evidentiary requirements for Title VII claims and our standard of review for the denial of class certification, we turn to the Class Plaintiffs’ contentions on appeal.
III. CERTIFICATION OF THE PATTERN OR PRACTICE CLAIM
With respect to the district court’s denial of class certification of the pattern-or-practice disparate treatment claim, the Class Plaintiffs argue that the court abused its discretion (1) by applying an erroneous standard to decide whether to certify the claim under Rule 23(b)(2) or, alternatively, (2) in failing to sever and certify under Rule 23(b)(2) at least the liability phase of the claim.
A. Claim Certification
The Class Plaintiffs contend that the district court utilized an unduly stringent standard in refusing (b)(2) certification of the pattern-or-practice claim. We agree.
1. Standards for Assessing Predominance: A Bright-line or Ad Hoc Approach?
The (b)(2) class action is intended for cases where broad, class-wide injunctive or declaratory relief is necessary to redress a group-wide injury. The text of Rule 23(b)(2) is silent as to what extent — if at all — monetary relief may also be sought. The advisory committee’s note to Rule 23 contemplates (b)(2) class certification of at least some claims for monetary recovery:
This subdivision is intended to reach situations where a party has taken action or refused to take action with respect to a class, and final relief of an injunctive nature or of a corresponding declaratory nature, settling the legality of the behavior with respect to the class as a whole, is appropriate.... The sub*163 division does not extend to cases in which the appropriate final relief relates exclusively or predominantly to money damages.
Fed.R.Civ.P. 23(b)(2), advisory committee note (1966) (emphasis added).
To date, our circuit precedent has provided no guidance to lower courts faced with assessing whether “final relief relates ... predominantly to money damages” to preclude (b)(2) class treatment. See Eisen v. Carlisle & Jacquelin,
[I]n any such action in which both in-junctive and monetary relief [are] sought, the inherently individualized nature of the determination of damages ... render[s] it predominant, and thereby make[s] class action status under Rule 23(b)(2) inappropriate, except in those rare incidences in which the request for monetary relief [is] wholly “incidental” to the requested injunctive relief.
Robinson II,
should at least be capable of computation by means of objective standards and not dependent in any significant way on the intangible, subjective differences of each class member’s circumstances. Liability for incidental damages should not require additional hearings to resolve the disparate merits of each individual’s case; it should neither introduce new and substantial legal or factual issues, nor entail complex individualized determinations.
Id. at 88 (quoting Allison,
By limiting (b)(2) certification to claims involving no more than incidental damages, the standard utilized by the district court forecloses (b)(2) class certification of all claims that include compensatory damages (or punitive damages) even if the class-wide injunctive relief is the “form of relief in which the plaintiffs are primarily interested.” Hoffman v. Honda of Am. Mfg., Inc.,
Thus, the question we must decide is whether this bright-line bar to (b)(2) class treatment of all claims for compensatory damages and other non-incidental damages (e.g., punitive damages) is appropriate. For the reasons we discuss below, we believe that it is not and therefore decline to adopt the incidental damages approach set out by the Fifth Circuit in Allison and followed by the district court below. Rather, we hold that when presented with a motion for (b)(2) class certification of a claim seeking both injunctive relief and non-incidental monetary damages, a district court must “considere ] the evidence presented at a class certification hearing and the arguments of counsel,” and then assess whether (b)(2) certification is appropriate in light of “the relative importance of the remedies sought, given all of the facts and circumstances of the case.” Hoffman,
Although the assessment of whether injunctive or declaratory relief predominates will require an ad hoc balancing that will vary from case to case, before allowing (b)(2) certification a district court should, at a minimum, satisfy itself of the following: (1) even in the absence of a possible monetary recovery, reasonable plaintiffs would bring the suit to obtain the injunctive or declaratory relief sought; and (2) the injunctivé or declaratory relief sought would be both reasonably necessary and appropriate were the plaintiffs to succeed on the merits. Insignificant or sham requests for injunctive relief should not provide cover for (b)(2) certification of claims that are brought essentially for monetary recovery. See, e.g., In re Sch. Asbestos Litig.,
2. Considerations Supporting the Ad Hoc Approach
Several considerations inform our decision to adopt this ad hoc approach over the incidental damages standard with its absolute bar to claims seeking compensatory and punitive damages.
Foremost among these is the fact that Rule 23 has historically been understood to vest district courts with the authority to determine whether, in them informed discretion, based on the particulars of the case, “the certification prerequisites have been satisfied.” Allison,
Additionally, we find that an ad hoc approach satisfies the very concerns that have led other courts to adopt the incidental damages standard — specifically, (1) achieving judicial efficiency, and (2) ensuring due process for absent class members. See Allison,
Where class-wide injunctive or declaratory relief is sought in a (b)(2) class action for an alleged group harm, there is a presumption of cohesion and unity between absent class members and the class representatives such that adequate representation will generally safeguard absent class members’ interests and thereby satisfy the strictures of due process. See, e.g., Johnson v. Gen. Motors Corp.,
In contrast, where non-incidental monetary relief such as compensatory damages are involved, due process may require the enhanced procedural protections of notice and opt out for absent class members. This is because entitlement to non-incidental damages may vary among class members depending on the circumstances and merits of each claim.
However, certification of a claim for non-incidental damages under Rule 23(b)(2) poses a due process risk because this provision does not expressly afford the procedural protections of notice and opt out. Compare Fed.R.Civ.P. 23(b)(2), with Fed.R.Civ.P. 23(b)(3); see also Fed.R.Civ.P. 23(c)(2), (3). The bright-line prohibition of (b)(2) class treatment for claims seeking non-incidental damages eliminates this risk. It ensures that claims presenting individual specific damage issues that might require heightened due process protections are not certified under (b)(2). But, any due process risk posed by (b)(2) class certification of a claim for non-incidental damages can be eliminated by the district court simply affording notice and opt out rights to absent class members for those portions of the proceedings where the presumption of class cohesion falters — i.e., the damages phase of the proceedings.
To recap, we hold that the district court erred in applying the incidental damages standard to deny the Class Plaintiffs’ request for (b)(2) certification of the pattern- or-practice disparate treatment claim. On remand, the district court should reconsider the propriety of (b)(2) certification in light of the standard that we adopt in this opinion. However, because we recognize that, even under the discretionary standard we endorse, the district court may still conclude that (b)(2) certification of the entire pattern-or-practice disparate treatment claim is inappropriate, we turn to consider the Class Plaintiffs’ alternate contention that the district court erred in denying partial certification of the claim.
B. Partial Certification
The Class Plaintiffs argue that the district court erred in refusing to bifurcate the pattern-or-practice claim and certify the liability stage of the claim for (b)(2) class treatment. See Fed.R.Civ.P. 23(c)(4). We agree.
Rule 23(c)(4)(A) provides that “an action may be brought or maintained as a class action with respect to particular issues....” Fed.R.Civ.P. 23(c)(4)(A). District courts should “ ‘take full advantage of th[is] provision’ ” to certify separate issues “in order ... ‘to reduce the range of disputed issues’ in complex litigation” and achieve judicial efficiencies. Cent. Wesley
Here, litigating the pattern-or-practice liability phase for the class as a whole would both reduce the range of issues in dispute and promote judicial economy. For example, if the class should succeed and, even assuming that the remedial stage is ultimately resolved on a non-class basis, the issues and evidence relevant to these individual adjudications would be substantially narrowed:
By proving that the defendant engaged in a pattern or practice of discrimination, not only is the plaintiff class’s eligibility for appropriate prospective relief established, a prima facie case with regard to the remedial phase of the suit, in which relief for individuals is considered, is also made out. Thus, the court presumes that the employer unlawfully discriminated against individual class members. In pattern or practice cases, however, the presumption shifts to the employer not only the burden of production, but also the burden of persuading the trier of fact that it is more likely than not that the employer did not unlawfully discriminate against the individual.
Craik v. Minn. State Univ. Bd.,
In denying partial certification, the district court apparently did not appreciate these potential benefits because the court had misapprehended the nature of the proof required at the liability stage. Specifically, the district court believed that “discriminatory acts of particular department managers in particular individual situations” would have to be tried and that this would “overwhelm the liability phase.” Robinson II,
However, as we have discussed, see supra Part 1(B)(1), the liability phase is largely preoccupied with class-wide statistical evidence directed at establishing an overall pattern or practice of intentional discrimination. See Allison,
IV. CERTIFICATION OF THE DISPARATE IMPACT CLAIM
The Class Plaintiffs contend that the district court abused its discretion in declining to certify the disparate impact claim for (b)(2) class treatment. Here again, we agree.
In considering the propriety of the district court’s decision to deny (b)(2) certification, we are mindful that, prior to the enactment of the Civil Rights Act of 1991, Title VII discrimination claims seeking both injunctive and equitable monetary relief, like the disparate impact claim here, were routinely certified as (b)(2) classes. See, e.g., Eubanks,
Given that the 1991 Act did not alter the general remedial structure of disparate impact claims, we think it plain that (b)(2) certification of disparate impact
Metro-North argues that in the instant case we should depart from this general practice because (b)(2) class certification of the disparate impact claim would violate the Seventh Amendment’s Trial by Jury Clause. We are unpersuaded.
The Trial by Jury Clause provides that “[i]n Suits at common law, where the value in controversy shall exceed twenty dollars, the right of trial by jury shall be preserved.” U.S. Const, amend. VII. It requires that “when an issue is common to both legal and equitable claims in the same proceeding, [the legal claim] must be tried first to a jury.”
We believe Class Plaintiffs’ opportunity to proceed to a jury trial first on the liability phase of the pattern-or-practice claim avoids the possibility of an infringement of the trial-by-jury guarantee. Should the Class Plaintiffs prevail at the liability stage of the pattern-or-practice claim, the court can order class-wide in-junctive relief and proceed to the remedial phase. Trial of the disparate impact claim could then be put off until the remedial phase is resolved, thus ensuring that any overlapping factual issues between the two claims will have first been tried to a jury in accordance with the Seventh Amendment. If, however, the Class Plaintiffs should prove unsuccessful at the liability stage with respect to the pattern-or-practice disparate treatment claim, the district court can proceed with a bench trial of the disparate impact claim, relying on answers to special interrogatories from the pattern- or-practice jury for any common factual issues.
V. ADEQUACY OF REPRESENTATION
As a final challenge to class certification, Metro-North argues that the Class Plaintiffs are unlikely to “fairly and adequately protect the interests of the class” as required by Rule 23(a)(4). See Fed.R.Civ.P. 23(a)(4).
Two factors generally inform whether class representatives satisfy the Rule 23(a)(4) requirement: “(1) absence of conflict and (2) assurance of vigorous prosecution.” 1 Newberg & Conte, supra, § 3.22, at 3-126; cf. Amchem Prods., Inc. v.
Metro-North bases this contention on the fact that, as part of a settlement and stipulation with Metro-North, the Class Plaintiffs agreed only to “participate as named plaintiffs and/or class representatives ... in support of the class claims and/or [to] receive any class-wide injunc-tive relief,” “but not [to seek] individual relief of any kind,” including monetary relief. Robinson II,
We think it significant that Metro-North has not suggested, nor did the district court find, that the Class Plaintiffs are inadequate representatives to pursue class-wide injunctive relief. Indeed, the settlement stipulation makes clear that the Class Plaintiffs stand to benefit from any class-wide injunctive relief that may be ordered. The Class Plaintiffs, therefore, plainly have an interest in fairly and vigorously pursuing the liability stage of the pattern-or-practice claim and the class-wide aspects of the disparate impact claim because the successful prosecution of one of these portions is a prerequisite for the issuance of class-wide injunctive relief.
Metro-North’s contention that the Class Plaintiffs may thereafter fail to “vigorously” pursue the individual relief stages is both speculative and premature, and, we believe, is an insufficient basis for rejecting class certification at this juncture. Rather, the preferable course is for the district court to revisit the question of the Class Plaintiffs’ “fitness” to represent the class if and when the individual-relief stages of the claims occur. Then, if the district court deems it appropriate, it can direct that class members who are entitled to seek individual relief be named as additional class representatives. See Heit v. Van Ochten,
VI. ADDITIONAL OBSERVATIONS
Some additional observations are warranted. First, the district court retains discretion to modify the certification structure on remand as warranted by the progression of the case. See generally Federal Judicial Center, Manual for Complex Litigation § 20.13, at 14-15 (3d ed.1995). This includes the discretion to sub-class the claims by department or otherwise. See Marisol A.,
Second, we emphasize again that today’s decision does not relate to the underlying merits of the class claims, as to which we express no opinion.
CONCLUSION
We vacate the district court’s judgment dismissing the Class Plaintiffs’ suit. The district court is instructed to certify the disparate impact claim under Rule 23(b)(2). The district court is also instructed to reconsider the propriety of certifying the entire pattern-or-practice disparate treatment claim in light of the standard set out herein. If the court determines in its discretion that (b)(2) certification of the entire claim is still inappropriate, then the district court shall bifurcate the pattern-or-practice claim and certify the liability stage under Rule 23(b)(2).
Each side to bear its own costs for this appeal.
Notes
. Rule 23(a) provides:
One or more members of a class may sue or be sued as representative parties on behalf of all only if (1) the class is so numerous that joinder of all members is impracticable [numerosity], (2) there are questions of law or fact common to the class [commonality], (3) the claims or defenses of the representative parties are typical of the claims or defenses of the class [typicality], and (4) the representative parties will fairly and adequately protect the interests of the class [adequacy of representation].
Fed.R.Civ.P. 23(a).
. I dissented in part. My disagreement with the Caridad majority was not with that portion of the opinion holding that consideration of the dueling expert reports was error, but with that portion that held that Metro North’s practice of delegating personnel decisions constitutes a policy or practice sufficient to satisfy the commonality requirement of Rule 23(a). See Caridad,
. Disparate treatment claims under Title VII generally are of two types: (1) individual disparate treatment claims, which primarily follow the burden-shifting framework set out in McDonnell Douglas Corp. v. Green,
. Referring to the first phase of a pattern-or-practice disparate treatment suit as the "liability phase” is something of a misnomer because, as we discuss, the remedial phase also implicates questions of liability, albeit liability to each individual class member rather than to the class as a whole. See Dillon v. Coles,
. The heavy reliance on statistical evidence in a pattern-or-practice disparate treatment claim distinguishes such a claim from an individual disparate treatment claim proceeding under the McDonnell Douglas framework. See Bell v. EPA,
. Both parties correctly note that some cases may require class-wide, rather than individualized, assessments of monetary relief. See, e.g., Catlett v. Mo. Highway & Transp. Comm’n,
. See generally 1 Herbert B. Newberg & Alba Conte, Newberg on Class Actions § 4.14, at 4-51 to 4-52 (3d ed.1992) (noting four alternatives utilized by courts in Rule 23(b)(2) class actions seeking injunctive relief coupled with individual damage claims: (l) limit certification to certain issues; (2) certify the claims for injunctive relief under Rule 23(b)(2) and the damages claims under Rule 23(b)(3); (3) certify the entire class under Rule 23(b)(2) and reconsider the certification category if the class is successful at the liability stage; and (4) certify certain issues and treat other issues as incidental ones to be determined separately after liability to the class has been resolved).
. This approach has been the subject of much discussion by other courts, practitioners and academic commentators. See, e.g., Warnell v. Ford Motor Co.,
. See generally George Rutherglen, Notice, Scope, and Preclusion in Title VII Class Actions, 69 Va. L.Rev. 11, 26 (1983) (noting that some individual class members may have damage claims "stronger than [those] of most other class members, or worth more, or in other respects sufficiently distinctive” such that "[n]otice and the right to opt out” may be warranted); Steve Baughman, Note, Class Actions in the Asbestos Context: Balancing the Due Process Considerations Implicated by the Right to Opt Out, 70 Tex. L.Rev. 211, 222-25 (1991) (discussing "reasons why the right to assert individual claims may be very important to those opt-out plaintiffs who have disproportionately' larger damage claims than most members of the class”).
. For example, it appears to us that, for those stages of this case where the interests of the class members are essentially identical (i.e., the liability phase of the pattern-or-practice suit and the class-wide phases of the disparate impact claim), the due process rights of absent class members are ensured by adequate class representation alone. See Ortiz,
. What due process requires by way of notice in any particular case may vary. Generally, however, notice should: (1) describe succinctly and simply the substance of the action and the positions of the parties; (2) identify the opposing parties, class representatives, and counsel; (3) indicate the relief sought; (4) explain any special risks of being a class member, such as being bound by the judgment; (5) describe clearly the procedures and deadlines for opting out; and (6) note the right of any class member to appear in the action through counsel. See Federal Judicial Center, Manual for Complex Litigation § 30.211, at 225 (3d ed.1995).
. Because we hold that the liability phase of the pattern-or-practice claim is appropriate for (b)(2) class treatment, we are not required to respond to Class Plaintiffs’ contention that the liability phase is also appropriate for (b)(3) class certification.
When faced with the question in Allison, the Fifth Circuit rejected (b)(3) certification of the liability phase. The Allison court reached this conclusion after applying the (b)(3) predominance requirement to the pattern-or-practice claim “as a whole” and finding that the "individual-specific issues” predominated. Allison,
Allhough we do not decide the question, we note that it would be an issue of first impression in this circuit and caution that an alternative understanding of the interaction of (b)(3) and (c)(4) to that set forth in Castano has been advanced elsewhere. See, e.g., Valentino v. Carter-Wallace, Inc.,
. The Equal Employment Advisory Council, as amicus curiae on behalf of Metro North, advances an additional argument against partial class certification which, though speculative at this stage, nonetheless warrants mention: that partial certification would risk violating the Re-examination Clause of the Seventh Amendment. The Re-examination Clause provides in relevant part that "no fact tried by a jury shall be otherwise reexamined in any Court of the United States." U.S. Const, amend. VII. Amicus curiae contends that given the number of members in the putative class, the district court is likely to try the remedial phase of each class member's claim before a separate jury from the one that considers the liability phase, and that, should this occur, overlapping factual issues would be presented to the liability-phase and remedial-phase juries in violation of the Re-examination Clause. We disagree.
Trying a bifurcated claim before separate juries does not run afoul of the Seventh Amendment,-but a "given [factual] issue may not be tried by different, successive juries.” Blyden,
calls for sound case management, not [outright] avoidance of the procedure.... First, the court needs to carefully define the roles of the two juries so that the first jury does not decide issues within the prerogative of the second jury. Second, the court must carefully craft the verdict form for the first jury so that the second jury knows what has been decided already. If the first jury makes sufficiently detailed findings, those findings are then akin to instructions for the second jury to follow.
Steven S. Gensler, Bifurcation Unbound, 75 Wash. L.Rev. 705, 736-37 (2000) (footnotes omitted); see Simon v. Philip Morris Inc.,
. As the Fifth Circuit noted in Allison,
The existence of common factual issues is to be distinguished from the existence' of overlapping evidence. For purposes of the Seventh Amendment, the question is whether factual issues overlap, thus requiring one trier-of-fact to decide a disputed issue that must be decided by a subsequent jury, not whether the two fact-finders will merely have to consider similar evidence in deciding distinct issues.
Id. at 423 n. 21 (citing Ala. v. Blue Bird Body Co.,
. However, speaking only for myself and recognizing the intense pressures to settle that often follow a class certification decision, see In re Rhone Poulenc Rorer Inc.,
