SELYA, CYR and STAHL, Circuit Judges.
In 1965, Congress enacted the Voting Rights Act (the VRA), Pub.L. No. 89-110, 79 Stat. 437 (codified at 42 U.S.C. §§1973-1973o). Three decades later, the legislation remains a Serbonian bog in which plaintiffs and defendants, pundits and policymakers, judges and justices find themselves bemired.
The case before us opens yet another window on the conceptual complexity that has engulfed the VRA. It arises against the backdrop of the biennial elections that are held for city council in Holyoke, Massachusetts. The plaintiffs, two nonprofit organizations with ties to the Hispanic community and eight voters of Hispanic descent, complain that the electoral structure violates section 2 of the VRA by denying Hispanics equal opportunity to “participate in the political process and to elect representatives of their choice.” 42 U.S.C. § 1973(b). The district court found merit in the plaintiffs’ complaint with regard to councilmanie elections and granted relief.
See Vecinos De Barrio Uno v. City of Holyoke,
I. BACKGROUND
We sketch the background, reserving a more exegetie treatment of the facts pending our discussion of specific issues. We refer those readers who yearn for an immediate *978 rush of details to the district court’s informative opinion. See id. at 917-25.
Since 1963, the Holyoke city council has been composed of fifteen members, eight elected at large and seven elected by ward. Candidates run without party labels for two-year terms. Each voter is entitled to cast a ballot for a candidate in his or her ward, and to vote for up to eight at-large candidates.
The Hispanic community in Holyoke has grown dramatically over the past two decades. By 1990, persons of Hispanic origin accounted for 31.06% of the total population (compared to 13.8% in 1980). Under the current districting scheme—the ward lines were last redrawn in 1992—Hispanic voters comprise a clear majority in two wards and account for nearly one-third of the population in a third ward. Yet, while Hispanic-preferred city council candidates have prevailed in the two “Hispanic majority” wards, no person of Hispanic descent ever has been elected to an at-large seat. This discrepancy crystallizes into the nub of the plaintiffs’ case: their vote dilution claim is that, while Hispanics now constitute 21.89% of Holyoke’s voting age population, the electoral structure limits the Hispanic community’s ability to elect the candidates its members prefer to only 14% of the available city council seats (two of fifteen).
The district court agreed with the plaintiffs that the Hispanic vote had been imper-missibly diluted.
See id.
at 925-27. To remedy the perceived inequity, the court by separate order left the ward lines and representation intact, but cut back the number of at-large seats from eight to two (thus shrinking the council from fifteen to nine members, and making its electoral structure congruent with that of the school committee).
See Vecinos de Barrio Uno v. City of Holyoke,
The district court, striving to put its remedial order in place in time for the November 1995 municipal election cycle, see id. at 13, entered the order under pressure of time. The city appealed and simultaneously moved for a stay. By an unpublished order, we expedited the appeal and granted the stay. Hence, the November 1995 elections were held under the preexisting scheme.
II. STANDARD OF REVIEW
The bedrock on which the district court’s opinion rests is its conclusion that the at-large component of the electoral structure unlawfully dilutes the Hispanic community’s voting power. As a general matter, a finding of vote dilution made after a bench trial is a finding of fact subject to review under the “clearly erroneous” rubric.
See Thornburg v. Gingles,
Though the clear error standard is formidable, it is not a juggernaut that crushes everything in its path. One important qualification is that the jurisprudence of clear error “does not inhibit an appellate court’s power to correct errors of law, including those that may infect a so-called mixed finding of law and fact, or a finding of fact that is predicated on a misunderstanding of the governing rule of law.”
Gingles,
*979 III. PROVING VOTE DILUTION
In order to sharpen the focus of our inquiry, we first limn the- statutory framework and elucidate the requirements that attend a proper showing of vote dilution.
Section 2 of the VRA, as amended in 1982, prohibits any standard, practice, or procedure “which results in a denial or abridgement of the right of any citizen of the United States to vote on account of race or color.” 42 U.S.C. § 1978(a). A denial or abridgement of the right to vote is established when,
based on the totality of circumstances, it is shown that the political processes leading to nomination or election ... are not equally open to participation by all members of a [protected] class of citizens ... in that its members have less opportunity than other members of the electorate to participate in the political process and to elect representatives of their choice. The extent to which members of a protected class have been elected to office ... is one circumstance which may be considered: Provided, That nothing in this section establishes a right to have members of a protected class elected in numbers equal to their proportion in the population.
42 U.S.C. § 1973(b). While the statutory scheme does not provide an assurance of success at the polls for minority candidates,
see Johnson v. De Grandy,
— U.S. -, - n. 11,
The platform required to launch a vote dilution claim must contain three interleaved planks. First, the plaintiffs must prove that they are part of a minority group that is “sufficiently large and geographically compact to constitute a majority in a single-member district.”
Id.
at 50,
The first two
Gingles
preconditions look to whether, putting the challenged practice, procedure, or structure to one side, minority voters within a given constituency have the potential to elect representatives of their choice.
See Growe v. Emison,
Proof of all three preconditions creates an inference that members of the minority are in fact harmed by the challenged electoral practice, procedure, or structure. However, the inference is rebut-table. As a result, establishing the three
Gingles
preconditions is necessary, but not always in itself sufficient, to ensure success on a section 2 claim. That is to say, because the inference of vote dilution can be rebutted by the force of other evidence, proof of the three preconditions, without more, will not invariably carry the day.
See De Grandy,
— U.S. at -,
Consistent with this approach, courts must be careful not to wear blinders. The judge must sift the evidence produced at trial and gather enough information to paint a true picture of the attendant facts and circumstances. He or she must then make a realistic appraisal of what the picture discloses.
See Gingles,
One road that we believe remains open to a court called upon to examine the totality of the circumstances in a vote dilution case is to mull other factors, apart from racial bias, that may have caused the white bloc voting identified in the third
Gingles
precondition.
3
While the
Gingles
Court split on this question,
compare Gingles,
Even when the
Gingles
preconditions coalesce and thereby create an inference of discrimination, lack of equal electoral opportunity remains the central focus of the inquiry. Furthermore, that question “must still be addressed explicitly, and without isolating any other arguably relevant facts from the act of judgment.”
Be Grandy,
— U.S. at -,
By like token, however, sentiments unrelated to race also can be powerful stimuli. When it can be shown that, in a particular community, voters are moved primarily by causes unrelated to race, it is reasonable to assume that a minority-preferred candidate who embodies these values might equally be able to engender majoritarian (white) support.
See Gingles,
Evidence that a candidate preferred by the minority group in a particular election was rejected by white voters for reasons other than those which made that candidate the preferred choice of the minority group would seem clearly relevant in answering the question whether bloc voting by white voters will consistently defeat minority candidates.
Id.
at 100,
The upshot is that when racial antagonism is not the cause of an electoral defeat suffered by a minority candidate, the defeat does not prove a lack of electoral opportunity but a lack of whatever else it takes to be successful in politics (say, failure to support popular programmatic initiatives, or failure to reflect the majority’s ideological viewpoints, or failure to appreciate the popularity of an incumbent). Section 2 does not bridge that gap—nor should it.
See De Grandy,
— U.S. at - n. 11,
This holding draws sustenance from the language of section 2 itself, particularly the statute’s prohibition of electoral structures that result in a denial or abridgement of the right to vote “on account of race or color.” 42 U.S.C. § 1973(a). Other courts have found this language determinative of the question,
see, e.g., Nipper,
Those—including the present plaintiffs— who favor a more single-minded interpretation of section 2 marshal a regiment of coun
*982
terarguments. Their most serious objection questions the compatibility of our holding with Congress’s action in amending section 2 to scrap the “intent” test imposed by
City of Mobile v. Bolden,
We do not believe that the 1982 amendment lends itself to this restrictive conclusion. The now-discarded “intent” test specifically required plaintiffs to prove that government created or maintained the challenged electoral structure with a discriminatory purpose, actually intending that a structure would disadvantage minority voters.
See Mobile,
Properly conceived, the results test protects racial minorities against a stacked deck but does not guarantee that they will be dealt a winning hand.
Whitcomb
— an opinion purportedly codified in the 1982 amendment — illustrates the point. There, the Court discerned no denial of equal opportunity when a minority group’s failure to elect its preferred candidates “emerges more as a function of losing elections than of built-in bias” directed by the establishment majority against the minority group.
Whitcomb,
We recognize, of course, that permitting inquiry into the causes of white bloc voting potentially jeopardizes the remedial purposes of the VRA in the sense that it may make proof of vote dilution more difficult. Courts have expressed concern on this score,
see, e.g., id.
at 72,
Second, we suspect that at bottom the skeptics misapprehend the nature of the showing needed to support a section 2 claim. As amended, the statute allows plaintiffs to establish a prima facie case of vote dilution by proving the three
Gingles
preconditions.
*983
The second and third preconditions are designed to assay whether racial cleavages in voting patterns exist and, if so, whether those cleavages are deep enough to defeat minority-preferred candidates time and again. If proven, these preconditions give rise to an inference that racial bias is operating through the medium of the targeted electoral structure to impair minority political opportunities.
See De Grandy,
— U.S. at -,
The resultant inference is not immutable, but it is strong; it will endure
unless and until
the defendant adduces credible evidence tending to prove that detected voting patterns can most logically be explained by factors unconnected to the intersection of race with the electoral system.
4
See Nipper,
Even if such proof is forthcoming, the defendant does not automatically triumph. Instead, the court must determine whether, based on the totality of the circumstances (including the original inference and the factual predicate that undergirds it), the plaintiffs have proven that the minority group was denied meaningful access to the political system on account of race. The burden of proof at all times remains with the plaintiffs; defendant’s burden is an entry-level burden of production. Thus, once the defendant proffers enough evidence to raise a legitimate question in regard to whether nonracial factors adequately explain racial voting patterns, the ultimate burden of persuading the factfinder that the voting patterns were engendered by race rests with the plaintiffs.
Despite the allocation of the burden of proof, this framework imposes a high hurdle for those who seek to defend the existing system despite meaningful statistical evidence that suggests bloc voting along racial lines.
5
See Jenkins,
IV. THE ASSIGNMENTS OF ERROR
Having cemented into place the general framework for evaluating vote dilution claims, we shine the light of our gleaned understanding on the City’s objections to the decision below. We divide our discussion into four segments.
A. The Analytic Model.
In this case, the district court analyzed fifteen different races in six different election years spanning a ten-year period from 1983 through 1993. Taking this evidence as an undifferentiated whole, the court found a pattern of racially polarized voting sufficient to support the plaintiffs’ prayer for relief. The City assigns error, positing that racially polarized voting cannot be deduced from an overview which blends data from a series of separate elections, some suspect and some unexceptionable. The City’s point is that only evidence from “legally significant” elections can be relevant to, or can underbrace, a finding that VRA § 2 has been abridged. Warming to this theme, the City asserts that each of the three Gingles preconditions must be shown to exist vis-a-vis a particular election before a court may mull what transpired at that election as a link in the evidentiary chain that leads to a determination of vote dilution. If this approach were adopted, the court below, in considering whether the plaintiffs had established a pattern of racially polarized voting over the years, could not have relied upon evidence drawn from any discrete election unless the plaintiffs first proved a violation of the VRA in regard to that election. 6 We reject the City’s approach.
In this enlightened day and age, bigots rarely advertise an intention to engage in race-conscious politics. Not surprisingly, therefore, racially polarized voting tends to be a silent, shadowy thief of the minority’s rights. Where such activity is detected at all, the process of detection typically involves resort to a multifaceted array of evidence including demographics, election results, voting patterns, campaign conduct, and the like. Usually, such evidence is not neatly packaged but must be pieced together bit by bit from data accumulated in a series of elections.
See Gingles,
We think that this analysis exposes the principal flaw in Holyoke’s thesis. The requirement of “legal significance” is not a barometer for deciding what evidence of racially polarized voting may be considered; rather, it is the benchmark against which all the evidence, taken in sum, must be measured. And although weaknesses in plot lines siphoned from individual elections may well imperil an overall conclusion of legally significant racially polarized voting — the whole is frequently not greater than the sum of the parts — such weaknesses do not render evidence from those elections inadmissible. It follows that reliance on such evidence does not necessarily invalidate an overall conclusion that unlawful vote dilution exists.
See Gingles,
*985
This paradigm is fully consistent with the reality of events. One swallow does not a summer make, and the results of a single election are unlikely, without more, to prove the existence or nonexistence of embedded racial cleavages. Thus, race-conscious politics (or its absence, for that matter) can more readily be seen by producing a documentary that spans a series of elections than by taking an isolated snapshot of a single election. After all, to be legally significant, racially polarized voting in a specific community must be such that, over a period of years, whites vote sufficiently as a bloc to defeat minority candidates most of the time. See
id.
at 56,
On this basis, we reject the City’s contention that the failure to prove any one Gingles precondition in any one election eliminates that election from judicial consideration. The preconditions are necessary to prove an overall conclusion of vote dilution, not to demonstrate the relevance vel non of particular morsels of evidence. Hence, the court below had every right to analyze all the elections (suspect and non-suspect) in its effort to ascertain both whether (1) the Hispanic community usually coheres behind particular candidates, and (2) Holyoke’s white citizens usually vote against Hispanic-preferred candidates in sufficient numbers to prevent their election.
B. Compactness.
Holyoke’s city council model—seven ward seats and eight at-large seats—dates back more than three decades (to an era when few persons of Hispanic descent dwelt in the municipality). Currently, the Hispanic community effectively controls two of the fifteen city council seats (Wards 1 and 2). In addition, Hispanics constitute about 28% of the voting age population in Ward 4. Based on these population statistics, the City strives to persuade us that the plaintiffs cannot satisfy the Gingles preconditions because Hispanics, as a group, are insufficiently compact to constitute the majority in a third ward. We are unconvinced for two reasons.
First, the City failed to make this claim in its brief, asserting it for the first time at oral argument. Thinking on one’s feet is a useful tool of appellate advocacy only if the thinker has a suitable foothold in the record. Here, the thought was too little too late.
See United States v. Gertner,
In all events, the City’s spur-of-the-moment retort is founded on a faulty premise. It assumes that the relevant benchmarks for matching the Hispanic population and its opportunity for access are the seven single-member wards. This assumption is faulty because the litigation challenges Ho-lyoke’s electoral system as a whole, and, to the extent the challenge is seissile, its cynosure is not the wards but the system’s at-large component—-a component that allegedly dilutes the plaintiffs’ opportunity for full political participation in municipal affairs. Refined to bare essence, the plaintiffs’ theory is that, because of the combined impact of the at-large electoral structure and an incipient pattern of racially polarized voting, Hispanics can only hope to elect candidates to two of the fifteen city council seats (i.e., about 14% of the seats) even though they comprise at least 22% of Holyoke’s total population. Thus, the City’s emphasis on the seven wards misses the point.
This does not mean that the wards are an irrelevancy. A successful vote dilution challenge “must find a reasonable alternative practice as a benchmark against which to measure the existing voting practice.”
Holder v. Hall,
— U.S. -, -,
Bearing this in mind, we think that the lower court constructed a reasonable benchmark by comparing current Hispanic opportunities to potential opportunities that would exist if the municipality were divided into fifteen single-member councilmanic districts. And since we find no clear error in the court’s conclusion that, under its projected set of circumstances, Hispanics would constitute a majority of the votes in at least three of fifteen reconstituted wards, we cannot set aside its finding that Hispanics are a sufficiently compact group.
C. Low Voter Turnout.
The City also asserts that, given the consistently low turnout among Holyoke’s Hispanic voters,
see Holyoke,
We walk a middle path. A principal objective of the VRA is to provide a level playing field on which minority candidates— like all candidates—will be exposed only to the routine vicissitudes of the electoral process, not to special impediments arising out of the intersection of race and the electoral system. So, if a defeat at the polls (or even a string of defeats) is caused by, say, a candidate’s lack of merit or a campaign’s lack of focus, the Voting Rights Act is not infringed.
See Whitfield v. Democratic Party of State of Ark.,
In the case of low voter turnout, the electoral system may not always be so easily absolved. For one thing, even with a modest turnout, the actual votes cast may be probative of minority cohesion if a sufficiently strong pattern emerges.
See, e.g., United States v. Dallas County Comm’n,
This is not to say, as the plaintiffs would have it, either that low voter turnout is altogether irrelevant to a vote dilution inquiry, or that courts should look only to actual voting results. The cause of poor turnout is often difficult to detect. If minority voters have not made reasonable efforts to organize and participate in the electoral system, courts cannot accurately gauge the effects of the system on the minority group’s political aspirations.
See City of Columbia,
In the final analysis, the question of whether low minority voter turnout helps or hurts a claim of vote dilution, and the related question of whether actual votes cast provide a sufficient (or better) measure of minority political cohesion without regard to turnout, both depend on the facts and circumstances of the particular case. Consequently, courts cannot resort to the easy visibility of a bright-line rule. On this delicate, fact-sensitive issue, only a case-by-case approach satisfactorily permits courts to peel away the layers and conduct the functional vote dilution inquiry that the VRA requires.
In the case at hand, the district court made reasonably detailed findings concerning the relationship between depressed turnout among Hispanics and the structural attributes of Holyoke’s electoral system. The court determined that the City imposed—or neglected' to remove—a variety of obstacles to Hispanic political participation. The court mentioned,
inter alia,
the City’s niggardly deployment of bilingual registrars and poll workers, its removal from voter registration rolls of Hispanics who did not fill out English-language census forms, and its failure to print ballot information posters in Spanish.
See Holyoke,
We believe that these findings are supportable. In a vote dilution case characterized by meager turnout among minority voters, plaintiffs need not show, that the sole cause of low numbers is the interaction between racial divisions in the community and identifiable elements of the electoral system. It is sufficient if the plaintiffs persuade the trial court that considerations implicating race contributed substantially to repressing minority participation. In light of the aggregate facts and circumstances, coupled with the district court’s explicit findings, we believe that the plaintiffs satisfied this burden here. Thus, the evidence of low Hispanic turnout does not undercut the court’s ultimate conclusion that the plaintiffs established minority political cohesion. 7
D. Adequacy of the Findings.
The City’s most telling point involves the lower court’s application of rele
*988
vant legal principles to discerned facts. In condoning the necessary appraisal, we are mindful that a district judge sitting without a jury cannot paint with too broad a brush. Rule 52(a) requires the judge to make findings of fact and conclusions of law that are sufficiently detailed to permit a reviewing court to ascertain the factual core of, and the legal foundation for, the rulings below.
See Touch v. Master Unit Die Prods., Inc.,
This bedrock rule has particular force in cases of this genre. Vote dilution claims are often marked by a significant degree of complexity. Typically, the resolution of such claims demands a careful sifting of imbricated, highly ramified fact patterns. The legal principles that must be applied are convoluted, and they almost always touch upon constitutional precepts, together with important issues of federalism and the separation of powers. Accordingly, a trial court that decides a vote dilution case must be scrupulous in chronicling the relevant facts and delineating the linkages between those facts and the ultimate conclusion of vote dilution
vel non. See Cousin v. McWherter, 46
F.3d 568, 574-75 (6th Cir.1995);
Buckanaga,
In any claim brought under VRA § 2, the Gingles preconditions are central to the plaintiffs’ success. Here, the trial court sounded an uncertain trumpet in respect to both the second and third preconditions. This uncertainty stems from a lack of congruence between the court’s subsidiary findings anent the particular elections it studied and its overall findings of minority cohesion and white bloc voting in Holyoke. We explain briefly.
The lower court analyzed fifteen elections in which Hispanic candidates ran for office.
8
Of these, only four were at-large elections; the rest were ward elections for either city council or school committee seats. In four of the eleven ward elections, Hispanic candidates ran unopposed. These elections reveal little about either minority cohesion or white bloc voting.
9
The district court found neither minority cohesion behind Hispanic candidates nor racially polarized voting in seven of the eleven elections in which Hispanic candidates ran against non-Hispanic opponents. The court found minority cohesion in the four remaining elections,. and found white bloc voting only in the three that occurred before 1988.
10
See Holyoke,
*989
Viewed from a different angle, the court’s finding that so few elections exhibited telltale signs of minority cohesion and/or white bloc voting seems to be tantamount to a finding that those characteristics were absent from approximately two-thirds of the analyzed elections. The finding also seems to contradict the district court’s conclusion that the plaintiffs established the second and third
Gingles
preconditions. Of course, it is possible that the apparent contradiction can be explained away: we recognize that determining whether racial bloc voting exists is not merely an arithmetic exercise that consists of toting up columns of numbers, and nothing more. To the contrary, the district court should not confine itself to raw numbers, but must make a practical, eommonsense assay of all the evidence.
See Magnolia Bar Ass’n, Inc. v. Lee,
The district court, forced to juggle several issues at once, offered no explanation of this seeming contradiction. The court not only glossed over the raw numbers but also failed to clarify why evidence reflecting racially polarized voting in at most three or four elections (out of eleven) justified a finding of vote dilution. While we are unprepared to say, here and now, that such a finding is incorrect as a matter of law, we cannot accept it without a better articulated rationale. Thus, because we are unable to follow the district judge’s thought processes in this regard, we must return the case to him for a more detailed explication of his reasoning.
See Houston,
We take this step reluctantly, mindful that district courts have heavy workloads and that appellate tribunals should not stand unduly on ceremony, but should fill in blanks ' in the district court’s account when the record and the circumstances permit this to be done without short-changing the parties.
See Applewood Landscape & Nursery Co. v. Hollingsworth,
We are fortified in this cautious approach by what we envision as the distinct possibility that the district court may have undervalued the import of Holyoke’s rapidly changing political environment. During the decade analyzed by the court, 1983 to 1993, the embryonic Hispanic community grew to maturity, gathering both numbers and political muscle. Hispanic leaders mounted a “successful community-based voter registration drive” in the mid-1980s and boosted voter turnout dramatically.
Holyoke,
This rise in the Hispanic community’s political fortunes is significant. The ultimate question in any section 2 ease must be posed in the present tense, not the past tense. The court must determine whether the challenged electoral structure deprives a racial minority of equal opportunity to participate in the political process
at present.
Though past elections may be probative of racially polarized voting, they become less so as environmental change occurs. In particular, elections that provide insights into past history are less probative than those that mirror the current political reality.
See LULAC,
In this instance, the district court alluded to Holyoke’s political evolution,
see, e.g., Holyoke,
V. ADDITIONAL MATTERS
Because remand is required, we take this opportunity to comment briefly on two other areas of continuing interest.
First, the shortcomings we have cata-logued in the district court’s findings cloud the relationship between evidence of racially polarized voting in the ward elections and the trial court’s conclusion that the at-large component of the electoral system unlawfully dilutes the Hispanic vote. Though we do not quarrel with the court’s decision to consider evidence from the ward elections in analyzing racial polarization in the at-large elections— as we have indicated
supra,
a court has a duty to ponder all available evidence concerning racially polarized voting that promises to cast light on the factors at work in a particular electoral scheme,
see, e.g., Citizens for a Better Gretna v. City of Gretna,
Second, we think that the district court, which made no reference to Ward 4 in its initial assessment, must meet head-on the City’s contention that this ward (in which Hispanics comprise approximately 28% of the voting age population) constitutes a so-called influence district and therefore should be taken into account in evaluating whether Hispanic voting strength has been illegally diluted.
Although “society’s racial and ethnic cleavages sometimes necessitate majority-minority districts to ensure equal political and electoral opportunity, that should not obscure the fact that there are communities in which minority citizens are able to form coalitions with voters from other racial and ethnic groups, having no need to be a majority within a single district in order to elect candidates of their choice.”
De Grandy,
— U.S. at -, 114 S.Ct. at - 2661;
see also Chisom v. Roemer,
Although we are unwilling to prescribe any numerical floor above which a minority is automatically deemed large enough to convert a district into an influence district, we believe that when, as now, a minority group constitutes 28% of the voting age population, its potential influence is relevant to a determination of whether the group lacks a meaningful opportunity to participate in the electoral system.
Accord McWherter,
In requiring that influence districts be considered in section 2 cases, we are guided by the Court’s recent admonition that the VRA’s goals include “eradicating invidious discrimination from the electoral process and enhancing the legitimacy of our political institutions.”
Miller v. Johnson,
— U.S. -, -,
VI. CONCLUSION
To recapitulate, the district court’s opinion is well-considered and in many respects deftly navigates the marshy terrain of voting rights jurisprudence. Yet, at • the risk of seeming unappreciative of a job well done, we believe the court’s opinion lacks essential clarity in its factual findings. For one thing, the court neither acknowledges nor discusses critical evidence that appears to contradict *992 its ultimate conclusion of vote dilution. For another thing, it never adequately explains the relevance of some evidence upon which it relies quite heavily to support this conclusion. And, finally, it omits any meaningful mention of potentially salient factors (such as influence districts). Rather than guess at the missing elements, we think that the course of prudence is to vacate and remand.
We leave the procedure to be followed on remand to the lower court’s informed discretion, without endeavoring to set an outer limit on its range of options.
See Lussier v. Runyon,
We are mindful that, in addition to the assignments of error that we have discussed, the City strenuously objects to the remedy fashioned by the court below. We do not address this objection today. If the district court, after further consideration, again finds that Holyoke’s electoral structure violates section 2 of the VRA — and we do not intimate any expectancy in this regard — we anticipate that it will then revisit the question of how best to mold an appropriate remedy. Withal — and, perhaps, at the expense of remarking the obvious — we offer two brief bits of general guidance that may be helpful if this contingency materializes.
First, the court must be sure to analyze the question of remedy in light of any new findings that it makes on remand. Second, the court now has — and should take advantage of — the luxury of time. The court originally- attempted to craft a remedy in time for the 1995 municipal elections. That cycle has turned, and the next is well in the future. Given this window of opportunity, the option of choice (assuming that the court finds a section 2 transgression) is to give the defendant the first chance to assemble a remedial plan. We think it is a fundamental tenet of voting rights law that, time permitting, a federal court should defer in the first instance to an affected state’s or city’s choice among legally permissible remedies.
See Cane v. Worcester County,
If, and only if, the City fails to formulate a satisfactory remedial plan should the district court step in and fashion the appropriate anodyne
ex proprio vigore. See Miller,
— U.S. at -,
Vacated and remanded. All parties will bear their own costs on this appeal.
Notes
. The plaintiffs also challenged the way in which members of the school committee were elected. The district court repulsed that challenge,
see Holyoke,
. This precondition will have to be reconfigured to the extent that the courts eventually validate so-called influence dilution claims.
See Voinovich v. Quilter,
. We recognize that such widely used terms of art as "white bloc voting" and "racially polarized voting" may not always capture the subtleties of specific problems that arise in the political process. The case at bar, for example, involves the voting patterns of the majority (loosely termed "white”) and the specific minority symbolized by the plaintiffs (loosely termed "Hispanics”). Concededly, this taxonomy is imprecise; for example, not all people who are considered "Hispanic” necessarily consider themselves “non-white.” To that extent, then, the phrase "white bloc voting,” though used repeatedly throughout the decided cases, may be somewhat inaccurate or even slightly misleading. Similarly, VRA § 2 applies to denials of the right to vote on account of either race or color, yet the opinions harp on the phrase “racially polarized voting.” To that extent, the idiom of the case law may neglect potentially important distinctions between the concepts of "race” and "color.” While acknowledging these limitations, we can think of no universal solution, and, thus, take refuge in the pat terminology.
. Such factors might include, for example, organizational disarray, lack of funds, want of campaign experience, the unattractiveness of particular candidates, or the universal popularity of an opponent.
. The proceedings below illustrate this point. The district court acknowledged—but did not accept—the City's attribution of the Hispanic community's lack of electoral success to "factors other than the at-large system itself, including voter apathy, unattractive candidates, poor campaign organizations and the like—all evidenced by low voter turnout."
Holyoke,
. To give concrete examples, Holyoke contends that in 1983 Hispanics did not constitute a sufficiently compact group to satisfy the first Gingles precondition, thus rendering any evidence of white bloc voting in that year legally irrelevant. In the same vein, the City insists that the district court should have ignored evidence of racially polarized voting in any elections won by minority candidates or in which Hispanics did not sufficiently cohere.
. We leave open the possibility that especially low minority voter turnout in a particular election may be evidence that factors other than racially based politics (say, poor political organization or lack of minority community support) were the cause of the minority community's inability to elect its preferred candidate in that election.
. Although the VRA does not require for a successful section 2 showing that minority-preferred candidates be members of the minority group,
see Clarke v. City of Cincinnati,
. To be sure, the district court implied that blank ballots cast in three of these four elections (the 1989 and 1993 school committee elections in Ward 2, and the 1993 city council race in the same ward) evinced white bloc voting.
See Holyoke,
. The district court also found that the minority community had cohered behind a non-Hispanic candidate, Elaine Pluta, in her successful 1991 *989 bid for an at-large seat on the city council. In fact, Pluta ranked ahead of a Hispanic candidate on Hispanic voters' ballots. However, she received strong support from non-Hispanic voters as well; that segment of the electorate ranked her fifth (out of sixteen) among at-large candidates. Thus, while there may have been minority cohesion behind Pluta, the record reflects no evidence of white bloc voting against the candidate that minority voters preferred.
. Success is, of course, relative; the Hispanic candidate came close but nevertheless lost. While some might say that close only counts in horseshoes, hand grenades, and ballroom dancing, we think that progress of this sort, even short of an electoral win, is significant.
. Factoring influence districts into the calculus also helps ease the tension between Congress's desire to permit vote dilution claims to be brought under section 2 and its intent to avoid creating a right to proportional representation.
See Gingles,
. It is important to realize that influence districts serve these goals only to the extent that they reflect a meaningful opportunity for minority voters to participate in the political process. Consequently, before the existence of an influence district is given significant weight in the balance, the evidence must reveal that minority voters in the district have in fact joined with other voters to elect representatives of their choice. Moreover, the record must show that elected representatives from such a district serve, at least in part, the interests of the minority community and vie for its support.
