Oрinion for the Court filed by Circuit Judge RUTH BADER GINSBURG.
We confront in this case, commenced in district court in 1970, a fundamental question of standing to sue. We hold that plaintiffs have satisfied that threshold requirement and order that remaining issues in the case be briefed and argued in this court pursuant to a schedule settled by the parties with the assistance of the court’s Chief Staff Counsel.
I.
This omnibus action opened in 1970 when black students attending racially segregated public schools in seventeen southern and border states complained of the dereliction of officers of the Department of Health, Education, and Welfare (HEW). The initiating plaintiffs alleged that, in violation of the fifth and fourteenth amendments and, most particularly, Title VI of the Civil Rights Act of 1964, 42 U.S.C. § 2000d (1982), HEW’s Office of Civil Rights (OCR) continued to countenance the chanheling of federal funds to racially discriminatory institutions. Plaintiffs’ complaint encompassed, in six claims for relief, schools from the primary level on through higher education.
Title VI prohibits exclusion from participation in, denial of benefits of, and discrimination under any federally-assisted program on the ground of race or national origin. The measure directs each federal agency empowered to disburse federal funds to “effectuate” the anti-discrimination command. If “compliance cannot be secured by voluntary means,” the agency may initiate a process leading to “the termination of or refusal to grant or to continue [federal financial] assistance.” Id. § 2000d-l. The 1970 complaint, titled Adams v. Richardson, charged that the Secretary of HEW and the Attorney General had embarked on a deliberate policy designed to remove “the teeth of Title VI.” This policy, the complaint alleged, comprised relaxed standards for compliance, reduced federal monitoring, and an “abandonment of HEW school aid terminations.” Indicative of the pattern, plaintiffs’ complaint noted that, “[i]n contrast to the cutoff of funds from forty-six segregated school districts between the summer of 1968 and the summer of 1969,” HEW had terminated “[b]ut a single school district during the 1969-70 school year, and only a few districts thereafter.”
Ruling on cross motions for summary judgment, and relying on an extensive record of depositions and documentary evidence, the district court granted plaintiffs’ prayer for declaratory and injunctive relief on each of the six claims they had stated. The district judge reasoned: “Having once determined that a school district [or state] is in violation of Title VI, and having failed during a substantial period of time to achieve voluntary compliance, defendants have a duty to commence enforcement proceedings.”
Adams v. Richardson,
This court, sitting
en banc,
unanimously affirmed, modifying only the injunction concerning higher educatiоn; we ruled that the ten states involved in that facet of the case should be given another chance to submit desegregation plans before HEW had to begin enforcement proceedings.
Adams v. Richardson,
[Tjhis suit is not brought to challenge HEW’s decisions with regard to a few school districts in the course of a generally effective enforcement program. To the сontrary, [plaintiffs] allege that HEW has adopted a general policy which is in effect an abdication of its statutory duty. We are asked to interpret the statute and determine whether HEW has correctly construed its enforcement obligations.
Id. at 1162. In accord with the district court, we read Title VI to say that the federal agency lacks discretion to desist when its request to a state or school district for voluntary compliance is disregarded, i.e., not met by appropriately responsive action on the part of the fund recipient within a reasonable time. Id. at 1163. Rather, we held, at that point, the agency is obliged affirmatively to enforce Title VI by effective means. We stressed that the district court did not endeavor to “resolve particular questions of compliance or noncompliance,” but “merely require[d] initiation of a process which, [once initiated and] excepting contemptuous conduct, will then pass beyond the District Court’s continuing control and supervision.” Id. at 1163 & n. 5 (emphasis added).
After our
en banc
affirmation of the statutory requirement that federal officers install and maintain an effective enforcement process, the litigation expanded, first within the confines of the
Adams
Title VI case, then into new — albeit related — domains. The
Adams
plaintiffs sought further relief in 1974, complaining that HEW continued to resist moving beyond voluntary negotiations, and delayed too long in determining whether a complaint showed a violation of Title VI. Grаnting plaintiffs’ application in March 1975, the district court extended its decree beyond districts or systems then presumptively in violation of Title VI. The district judge required HEW to process
all
complaints of racial discrimination barred by Title VI in the seventeen states then in question; he prescribed this timeframe: 90 days from receipt of a complaint to preliminary determination whether the school district is in or out of compliance with Title VI; absent a determination of comрliance, an additional 90 days to secure voluntary corrective action; failing correction within the allotted total of 180 days, 30 additional days to commence an enforcement proceeding.
Adams v. Weinberger,
By 1976, other classes of complainants were permitted to intervene. The Women’s Equity Action League (WEAL), which had initiated a separate action in 1974, became part of the enlarging litigation. WEAL, other women’s organizations, and individual women sought enforсement of Title IX of the Education Amendments of 1972, 20 U.S.C. §§ 1681-1686 (1982) (subsequently amended by the Civil Rights Restoration Act, Pub.L. No. 100-259, 102 Stat. 28 (1988)), which prohibits discrimination on the basis of sex in educational institutions receiving federal funds. The WEAL plaintiffs also sought enforcement of Exécutive Order No. 11,246, 3 C.F.R. 339 (1964-1965), as amended by Executive Order No. 11,375, 3 C.F.R. 684 (1966-1970),
reprinted in
42 U.S.C. § 2000e note (1982), proscribing discrimination by government contractors. Four Mexican-American students joined the case as intervenors to advance the claim that HEW was not enforcing Title VI with respеct to national origin.
See Adams v. Mathews,
Following this court’s allowance of the WEAL plaintiffs’ intervention — an allowance the district court had denied — the 1975 Adams timeframe order was altered and extended. Containing terms negotiat *883 ed with the defendants, a revised order issued in 1976 covering race, national origin, and sex discrimination under Title VI and Title IX; the order remained limited, however, to the seventeen southern and border states identified in the 1970 Adams complaint. Complementing the schedule already inaugurated for agency action on individual complaints, the 1976 order introduced a time schedule governing agency-initiated “compliance reviews” of entire educational institutions and school systems. That order continued and intensified the use of periodic reports to counsel for the plaintiffs as a monitoring device.
Completing the classes represented, the National Federation of the Blind (NFB) intervened in 1977. Relying on section 504 of the Rehabilitation Act of 1973, 29 U.S.C. § 794 (1982 & Supp. IV 1986), and section 904 of the Education Amendments of 1972, 20 U.S.C. § 1684 (1982), NFB complained of the failure of federal officers to process handicap discrimination complaints within a reasonable time and to conduct a reasonable number of handicap discrimination compliance reviews.
That same year, the parties reached an agreement which the district court entered on December 29, 1977 as a consent decree. The 1977 consent decree followed the pattern set in the 1976 order. It obligated federal officials to investigate non-frivolous complaints alleging discrimination in educational institutions receiving federal funds, and to conduct a reasonable number of compliance reviews; it set timeframes for individual complaint processing and agency-sparked compliance reviews, with leeway for situations in which witnesses were unavailable, or resources “inadequаte,” or circumstances “unusual.” The decree was framed with reference to Title VI, Title IX, the Executive Order, and section 504 (thus encompassing race, national origin, gender, and handicap), and it applied to the defendants’ enforcement obligations nationwide. 1
As the litigation acquired its omnibus character, one portion remained discrete: the part of the
Adams
complaint that concerned institutions of higher education in several southern and bordеr states and their desegregation plans.
See supra
p. 882. The district court revisited that complex matter in 1977 and supplemented its 1973 decree to prevent a relapse into lassitude or recalcitrance.
See Adams v. Califano,
While recognizing that enforcement proceedings, once initiated, fell outside his bailiwick, the district judge did not relax his surveillance of the enforcement-initiating process. He continued to entertain the Adams plaintiffs’ charges of federal agency inertia in the face of inadequate state plans for desegregating higher education facilities and programs. In a March 24, 1983 order, the district court dirеcted tight *884 ened federal agency oversight of state plans. Again as a check on the agency’s performance, the court required periodic reports to counsel for the Adams plaintiffs regarding those plans and their implementation. In June 1983, the parties stipulated to the dismissal of the appeal defendants had noticed from that higher education order.
As to the 1977 consent decree on time-frames and other specifications for complaint processing and compliance reviews, the district court observed that, for a time, progress was made “as a result of the parties getting together and working out their differences.” In 1981, however, plaintiffs again complained of defaults and undue protraction in administrative superintendence of the statutory antidiscrim-ination prescriptions; for the delay and inaction, plaintiffs sought contempt sanctions. The district judge instructed the parties to attempt to achieve agreement on a revised order. Negotiations ensued but proved unsuccessful. In August 1982, alleging changed circumstances, the federal officers moved to vacate the 1977 consent order. They objected, most urgently, to the individual complaint processing regime. Spending resources as the consent decree ordered, they maintained, was both unnecessary and improper. 2 On March 11, 1983, the district court denied the motion to vacate and simultaneously entered an order repeating, with some alterations, the terms of the 1977 consent decree. The federal officers appealed.
Our disposition of the appeal did not reach the principal matter raised and argued by the parties,
i.e.,
to what extent, if at all, did the 1977 agreement embodied in the consent decree bind an administration that had no hand in shaping the arrangement. Instead, we remanded with instructions to the district court tо decide whether plaintiffs possessed standing to carry the litigation forward.
Women’s Equity Action League v. Bell,
II.
As just set out, in remanding this case, we instructed the district court to consider, particularly, the standing of plaintiffs to maintain this action in light of the Supreme Court’s intervening decision in
Allen v. Wright,
Critically distinguishing this case from
Allen v. Wright,
plaintiffs here assert that they, or , the persons they represent, are enrolled or employed in educational institutions. that engage in proscribed discrimination; the federal executive, plaintiffs charge, in contravention of congressional commands, disburses federal funds to such institutions, thereby assisting in the perpetuation of the discrimination plaintiffs encounter. Plaintiffs in this ac
*885
tion thus claim a direct stake in the effective enforcement of the antidiscrimination laws they invoke, not a “mere interest” in the problem.
See Gladstone, Realtors v. Village of Bellwood,
The plaintiffs in
Allen
alleged harm occasioned by “thе mere fact of Government financial aid to discriminatory private schools,”
[Plaintiffs lack] standing to litigate their claims based on the stigmatizing injury often caused by racial discrimination. There can be no doubt that this sort of noneсonomic injury is one of the most serious consequences of discriminatory government action and is sufficient in some circumstances to support standing. ... Our cases make clear, however, that such injury accords a basis for standing only to “those persons who are personally denied equal treatment” by the challenged discriminatory conduct.
Id.
at 755,
The direct injury absent in Allen
3
is alleged and emphasized by the plaintiffs before us. They assert no “abstract denigration injury.”
Allen,
The district court recognized that the plaintiffs here asserted “not an abstract or generalized grievance,” but a right, currently denied them, to be educated “in an environment ... free from discrimination.”
Adams v. Bennett,
We have heretofore determined, however, that federal funding of facilities that engage in proscribed discrimination is in part causative of thе perpetuation of such discrimination, and that “initiating federal fund termination proceedings [is] highly effective in gaining compliance with federal antidiscrimination laws.”
Committee for
*886
Full Employment v. Blumenthal,
To establish standing, precedent confirms, a plaintiff need not show sure gain should he win in court; an enhanced probability of gain suffices.
See, e.g., Regents of the Univ. of Cal. v. Bakke,
Ultimately, the district court ruled, even if other standing obstacles were cleared, its orders would nonetheless “intrude on the functions of the Executive branch and violate the doctrine of separation of powers, which is the basic core of standing.”
Adams v. Bennett,
Plaintiffs in this action, beyond question, are the intended beneficiaries of the statutes under which they sue. See supra pp. 881, 882-83. If, as they charge, administrative action is legally inadequate under the legislation they invoke, judicial review would serve to “promote[ ] rather than undermine[ ] the separation of powers, for it helps to prevent the executive branch from ignoring congressional directives.” Sunstein, Reviewing Agency Inaction After Heckler v. Chaney, 52 U.Chi.L.Rev. 653, 670 (1985). As stаted in incisive commentary:
It would be ironic indeed if article III were interpreted to preclude federal courts from compelling regulatory agencies to adhere to the will of Congress by undertaking enforcement action to the degree or of the nature that statutes require.
Sunstein, Standing and the Privatization of Public Law, 88 Colum.L.Rev. 1432, 1480 (1988); see also id. at 1471-72. Standing doctrine homes in on the question of appropriate plaintiffs, i.e., who may sue. In our view, the matter of just what Congress willed and what it left to executive discretion in this case рresents a question of substantive law rather than an issue of standing.
III.
For the reasons just stated, we are satisfied that Allen v. Wright does not rule out standing for the plaintiffs in this litigation. We are also persuaded, in light of the prior history of the litigation, that a remand at this juncture is not in order. Several fundamental questions remain. They appear *887 to implicate no issues of unresolved fact. We direct that they be scheduled for briefing and routine assignment to a panel for argument in the court’s 1989-90 term. In this manner, the viability of the case can be fully aired and decided without undue protraction.
At the time of our 1984 decision remanding for district court consideration of Allen v. Wright, we left several matters unaddressed. The government officers, in their appeal from the district court’s March 11, 1983 orders, had emphasized that recent Supreme Court decisions notably limit judicial supervision of agency law enforcement processes at the behest of statutory beneficiaries. For commentary, see, e.g., Sunstein, Reviewing Agency Inaction After Heckler v. Chaney, 52 U.Chi.L.Rev. at 661 (calling the basic pattern “unmistakable”). We no longer defer the issues raised or suggested in the prior appeal.
To determine whether plaintiffs may proceed further in the district court, this court acknowledges the propriety of taking up, in view of current Supreme Court instruction, these previously tendered issues: 5
(1) Do the statutes plaintiffs invoke authorize an action directly against the federal funding/compliance-monitoring agency? See Cannon v. University of Chicago,441 U.S. 677 ,99 S.Ct. 1946 ,60 L.Ed.2d 560 (1979); cf. Council of and for the Blind of Delaware County Valley, Inc. v. Regan,709 F.2d 1521 , 1531 n. 69 (D.C.Cir.1983) (en banc).
(2) Does the district court have authority to impose procedural or enforcement requirements (timeframes, compliance monitoring, and reporting) supplementing those set out in the governing legislation? See Vermont Yankee Nuclear Power Corp. v. Natural Resources Defense Council, Inc.,435 U.S. 519 , 544-46,98 S.Ct. 1197 , 1211-13,55 L.Ed.2d 460 (1978); Heckler v. Chaney,470 U.S. 821 ,105 S.Ct. 1649 ,84 L.Ed.2d 714 (1985).
(3) Are current government officer defendants bound by provisions set out in a consent decree negotiated and agreed upon by prior administrations? If they are, what must they show if they wish to be released from, or obtain modification of, those provisions? Cf. Citizens for a Better Environment v. Gorsuch,718 F.2d 1117 (D.C.Cir.1983), cert. denied,467 U.S. 1219 ,104 S.Ct. 2668 ,81 L.Ed.2d 373 (1984). See generally Consent Decrees: Practical Problems and Legal Dilemmas, 1987 U.Chi.Legal F. 1.
In addition, as to the
Adams
litigation, and the Order in No. 3095-70 filed March 24, 1983, pressed by counsel at the April 11, 1989 argument: Are the states whose plans, reports, and compliance plaintiffs seek to review persons properly “regarded as indispensable” within the meaning of Fed.R.Civ.P. 19(b)?
Cf. Adams v. Bell,
The еxpansion of this case since its 1970 commencement to accommodate new parties, pleading new statutes and claims based thereon, has occasioned duplicative, overlapping, sometimes conflicting or confounding briefing. Our Handbook cautions:
Parties with common interests in consolidated or joint appeals must join in a single brief, where feasible. The Court has admonished counsel ... that it looks with extreme disfavor on the filing of duplicativе briefs in consolidated cases. As an alternative, a party may adopt or incorporate by reference all or any part of the brief of another.
D.C.Cir. Handbook of Practice and Internal Procedures 44-45 (1987). To assist the court in the further proceedings we hereby direct, the parties shall meet with Chief Staff Counsel to settle on a briefing schedule that closely guards against undue repetitive briefing.
Conclusion
For the reasons stated, we hold that plaintiffs have standing tо sue, and we *888 direct that remaining issues be briefed and argued in this court.
It is so ordered.
Notes
. The 1977 consent order covered three actions then pending in the district court: Adams v. Califano, No. 3095-70 (brought by representatives of racial minorities in 17 southern and border states; representatives of national origin minorities, women, and handicapped persons intervened); Women’s Equity Action League v. Califano, No. 74-1720 (brought by representatives of women); Brown v. Califano, No. 75-1068 (brought by representatives of racial minorities in the 33 other states).
. The federal officers featured,
inter alia,
the Supreme Court’s decision in
Cannon v. University of Chicago,
. The
Allen
plaintiffs additionally ran up against the well-established position that, ordinarily, one may not litigate the tax liability of another.
See Allen,
. Other cases in which standing was upheld in the face of objections that the causation component was too attenuated or the likelihood of redress, too speculative, include:
Heckler v. Mathews,
. Fresh and full briefing is in order because standing was the focus of the parties' presentations to this panel and because the law in point is still evolving and variously interpreted.
