Filed: Dec. 29, 1999
Latest Update: Feb. 21, 2020
Summary: [PUBLISH] IN THE UNITED STATES COURT OF APPEALS FOR THE ELEVENTH CIRCUIT No. 98-6600 D. C. Docket No. 94-00356-CV-T-N IN RE: EMPLOYMENT DISCRIMINATION LITIGATION AGAINST THE STATE OF ALABAMA, et al., EUGENE CRUM, JR., individually and on behalf of a class of similarly situated individuals, ROBERT L. SMITH, et al., Plaintiffs-Appellees, versus STATE OF ALABAMA, HALYCON VANCE BALLARD, individually and in her official capacity as Director, Alabama Department of Personnel, et al., Defendants-Appella
Summary: [PUBLISH] IN THE UNITED STATES COURT OF APPEALS FOR THE ELEVENTH CIRCUIT No. 98-6600 D. C. Docket No. 94-00356-CV-T-N IN RE: EMPLOYMENT DISCRIMINATION LITIGATION AGAINST THE STATE OF ALABAMA, et al., EUGENE CRUM, JR., individually and on behalf of a class of similarly situated individuals, ROBERT L. SMITH, et al., Plaintiffs-Appellees, versus STATE OF ALABAMA, HALYCON VANCE BALLARD, individually and in her official capacity as Director, Alabama Department of Personnel, et al., Defendants-Appellan..
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[PUBLISH]
IN THE UNITED STATES COURT OF APPEALS
FOR THE ELEVENTH CIRCUIT
No. 98-6600
D. C. Docket No. 94-00356-CV-T-N
IN RE: EMPLOYMENT DISCRIMINATION LITIGATION
AGAINST THE STATE OF ALABAMA, et al.,
EUGENE CRUM, JR., individually and on behalf of
a class of similarly situated individuals,
ROBERT L. SMITH, et al.,
Plaintiffs-Appellees,
versus
STATE OF ALABAMA, HALYCON VANCE BALLARD,
individually and in her official capacity as
Director, Alabama Department of Personnel, et
al.,
Defendants-Appellants,
UNITED STATES OF AMERICA,
Intervenor.
Appeal from the United States District Court
for the Middle District of Alabama
(December 29, 1999)
Before ANDERSON, Chief Judge, TJOFLAT, Circuit Judge, and FAY, Senior
Circuit Judge.
TJOFLAT, Circuit Judge:
The question presented in this appeal is whether Congress validly abrogated
the states’ Eleventh Amendment sovereign immunity from claims arising under the
disparate impact provisions of Title VII of the Civil Rights Act of 1964, as
amended, 42 U.S.C. § 2000e, et seq. We answer in the affirmative.
I.
On March 24, 1994, the United States District Court for the Middle District
of Alabama consolidated several race discrimination cases1 brought by African-
Americans against the State of Alabama, and several of its boards, departments,
and agencies;2 they also sued the Governor of Alabama and other state officials in
1
Federal Rule of Civil Procedure 42(a) provides that, “[w]hen actions involving a
common question of law or fact are pending before the court, it may order a joint hearing or trial
of any or all the matters in issue in the actions; it may order all the actions consolidated; and it
may make such orders concerning proceedings therein as may tend to avoid unnecessary costs or
delay.”
2
The named defendants in this case include the following boards, departments, and
agencies of the State of Alabama: the Personnel Board, the Department of Corrections, the
Alcoholic Beverage Control Board, the Emergency Management Agency, the Department of
Economics and Community Affairs, the Industrial Development Training Agency, the Bureau of
Tourism and Travel, the Department of Agriculture and Industries, the Department of Education,
the Department of Revenue, the Department of Public Health, the Development Office, the
Retirement System of Alabama, Voters Registration, the Department of Human Resources, the
Department of Mental Health, the Medicaid Agency, the Board of Public Accounting, the
2
both their individual and official capacities.3 Some of the cases were class actions
in which plaintiffs sued on behalf of themselves and all other black persons who
are employed, have been employed, or who may in the future be employed by the
defendants.4 Plaintiffs claimed, inter alia, discrimination against African-
Americans
in layoffs, recalls from layoffs, terminations, discipline, hiring,
rehiring, evaluations, compensation, transfers, job duty assignments,
recruitment, screening, selection procedures, denial of promotions,
demotions, rollbacks, sick leave, subjective decision-making
practices, and other terms and conditions of employment which have
resulted in disparate impact and treatment of the plaintiff-intervenors
and the plaintiff class.
They sought declaratory, injunctive, and compensatory relief under Title VII of the
Civil Rights Act of 1964, as amended, 42 U.S.C. §§ 2000(e), et seq., and 42 U.S.C.
§§ 1981 and 1983 (1994).
Commission on Physical Fitness, the Labor Board, the State Docks Department, and the
Department of Transportation.
3
In this case, we are concerned only with the disparate impact provisions of Title VII.
We are aware that Title VII “provides relief only against ‘employers’ as defined under the
statute.” Llampallas v. Mini-Circuits, Lab, Inc.,
163 F.3d 1236, 1243 (11th Cir. 1998), cert.
denied,
120 S. Ct. 327 (1999). We note the individual defendants only as background.
4
The issue of class certification is currently pending before the district court.
3
On October 7, 1997, the State of Alabama and all parties named as
defendants moved the court, under Federal Rule of Civil Procedure 12(b)(1),5 to
dismiss any and all claims arising under Title VII that were
predicated upon a disparate impact theory of discrimination[,] on the
separate grounds that (a) the assertion of such claims against the State
is barred by the doctrine of sovereign immunity embodied in the
Eleventh Amendment to the United States Constitution and (b)
Congress did not express an unequivocal intent to waive immunity
from such claims.
The district court denied defendants’ motion without prejudice, citing its recent
decision in Reynolds v. Alabama Department of Transportation,
4 F. Supp. 2d
1092 (M.D. Ala. 1998).6 Defendants moved the court to issue a final, appealable
order under Federal Rule 54(b), and the court granted defendants’ motion, vacating
its earlier order, and denying defendants’ motion for dismissal on the merits.
Again citing its decision in Reynolds, the district court held that the Eleventh
5
Rule 12(b)(1) provides that the defendant may assert the defense that the court lacks
jurisdiction over the subject matter of the case.
6
The court denied the motion without prejudice because the identical issue was raised in
Reynolds, and the court assumed that the state defendants in Reynolds would appeal the court’s
decision that the Eleventh Amendment was not a bar to private suits under Title VII predicated
on a disparate impact theory of liability. The defendants in Reynolds did appeal to this court,
and a resolution of their appeal has been stayed pending the disposition of this appeal.
4
Amendment did not bar private suits against states under Title VII, which are
predicated on a disparate impact theory of liability. Defendants timely appealed.7
II.
A district court’s order denying or granting a motion to dismiss a complaint
against a state based on the Eleventh Amendment’s grant of sovereign immunity is
reviewed by this court de novo. See Seminole Tribe v. Florida,
11 F.3d 1016,
1021 (11th Cir. 1994), aff’d on other grounds,
517 U.S. 44,
116 S. Ct. 1114, 134 L.
Ed. 2d 252 (1996).
III.
In resolving the issues presented on this appeal, it is helpful to look first at
the anatomy of a Title VII discrimination case that employs disparate impact
7
Although states can waive their sovereign immunity, the Eleventh Amendment has been
interpreted as a jurisdictional barrier to the power of the federal courts. See Hans v. Louisiana,
134 U.S. 1, 15,
10 S. Ct. 504, 507,
33 L. Ed. 842 (1890) (“The truth is that the cognizance of
suits and actions unknown to the law, and forbidden by the law, was not contemplated by the
constitution when establishing the judicial power of the United States.”). As such, the Supreme
Court has held that a district court order denying a claim by a state or a state entity to Eleventh
Amendment immunity from suit in federal court may be appealed under the collateral order
doctrine of Cohen v. Beneficial Industrial Loan Corp.,
337 U.S. 541,
69 S. Ct. 1221,
93 L. Ed.
1528 (1949). See Puerto Rico Aqueduct and Sewer Auth. v. Metcalf & Eddy, Inc.,
506 U.S.
139,
113 S. Ct. 684,
121 L. Ed. 2d 605 (1993).
5
methodology.8 The genesis of the disparate impact theory lies in the Supreme
Court’s decision in Griggs v. Duke Power Co.,
401 U.S. 424,
91 S. Ct. 849, 28 L.
Ed. 2d 158 (1971). The question presented in Griggs was
whether an employer is prohibited by the Civil Rights Act of 1964,
Title VII, from requiring a high school education or passing of a
standardized general intelligence test as a condition of employment in
or transfer to jobs when (a) neither standard is shown to be
significantly related to successful job performance, (b) both
requirements operate to disqualify Negroes at a substantially higher
rate than white applicants, and (c) the jobs in question formerly had
been filled only by white employees as part of a longstanding practice
of giving preference to whites.
8
We use the term “disparate impact” to distinguish from cases brought under the
“disparate treatment” rationale. See, e.g., McDonnell Douglas Corp. v. Green,
411 U.S. 792,
93
S. Ct. 1817,
36 L. Ed. 2d 668 (1973) (discussing burdens of proof in a disparate treatment case).
Also, whenever the Attorney General “has reasonable cause to believe that any person or group
of persons is engaged in a pattern or practice” of discrimination, he or she may bring an
appropriate lawsuit. 42 U.S.C. § 2000e-6(a) (1994); see, e.g., Hazelwood Sch. Dist. v. United
States,
433 U.S. 299,
97 S. Ct. 2736,
53 L. Ed. 2d 768 (1977); International Bhd. of Teamsters v.
United States,
431 U.S. 324,
97 S. Ct. 1843, 52 L. Ed. 2d (1977). In both disparate treatment and
pattern or practice cases, the plaintiffs are ultimately required to demonstrate discriminatory
intent on the part of the employer.
6
Id. at 425-26, 91 S. Ct. at 851.9 Prior to the date of Title VII’s enactment, the
defendant company in Griggs had openly discriminated on the basis of race in the
hiring and assignment of its employees. When the company abandoned its policy
of de jure discrimination, it made the completion of high school a prerequisite for
employees who wanted to transfer from the company’s labor department (the only
department previously employing African-Americans) to any other department in
the company (all of which formerly hired only whites). The Court found that the
high school requirement, as well as other standardized tests used by the defendant,
had a disparate impact on African-Americans because “[i]n North Carolina . . .,
while 34% of white males had completed high school, only 12 % of Negro males
had done so.”
Id. at 430 n.6, 91 S. Ct. at 853 n.6. Similarly, “with respect to
standardized tests, the EEOC in one case found that use of a battery of tests,
9
The particular provisions of Title VII interpreted by the Supreme Court in Griggs were
42 U.S.C. § 2000e-2(a)(2) and (h):
(a) It shall be an unlawful employment practice for an employer–
....
(2) to limit, segregate, or classify his employees in any way which would
deprive or tend to deprive any individual of employment opportunities or
otherwise adversely affect his status as an employee, because of such individual’s
race, color, religion, sex, or national origin.
....
(h) Notwithstanding any other provision of this title, it shall not be an unlawful
employment practice for an employer . . . to give and to act upon the results of
any professionally developed ability test provided that such test, its administration
or action upon the results is not designed, intended or used to discriminate
because of race, color, religion, sex or national origin . . . .
See
Griggs, 401 U.S. at 426 n.1, 91 S Ct. at 851 n.1.
7
including the Wonderlic and Bennett tests used by the Company in the instant case,
resulted in 58% of whites passing the tests, as compared with only 6% of the
blacks.”
Id. Despite this showing of disparate impact, the company continued to
utilize the tests even though “neither the high school completion requirement nor
the general intelligence test [was] shown to bear a demonstrable relationship to
successful performance of the jobs for which it was used.”
Id. at 431, 91 S. Ct. at
853. Given these facts, the Supreme Court reversed the Fourth Circuit’s holding
that “a subjective test of the employer’s intent should govern” Title VII analysis,
id. at 428, 91 S. Ct. at 852, and concluded that “[u]nder the Act, practices,
procedures, or tests neutral on their face, and even neutral in terms of intent, cannot
be maintained if they operate to ‘freeze’ the status quo of prior discriminatory
employment practices,”
id. at 430, 91 S. Ct. at 853. From Griggs, therefore,
emerges the now familiar formulation of the core of a disparate impact analysis:
The Act proscribes not only overt discrimination but also practices
that are fair in form, but discriminatory in operation. The touchstone
is business necessity. If an employment practice which operates to
exclude Negroes cannot be shown to be related to job performance,
the practice is prohibited.
Id. at 431, 91 S. Ct. at 853.
Since Griggs, Congress has codified the appropriate burdens of proof in a
disparate impact case in 42 U.S.C. § 2000e-2(k) (1994), and a settled jurisprudence
8
has arisen to implement the methodology. In the first stage of a disparate impact
case, the “complaining party [must] demonstrate[] that a respondent 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)(1)(A)(i).10 To
“demonstrate” means to “meet[] the burdens of production and persuasion.” 42
U.S.C. § 2000e(m) (1994). In other words, in order to surmount the first hurdle in
a disparate impact race discrimination case, the plaintiff must make out a prima
facie case “that [a] facially neutral employment practice ha[s] a significantly
discriminatory impact.” Connecticut v. Teal,
457 U.S. 440, 446,
102 S. Ct. 2525,
2530,
73 L. Ed. 2d 130 (1982). Demonstrating disparate impact in the first
instance can be tricky business; it often involves ominous-sounding methods of
statistical inquiry like “multiple regression analysis,” see Eastland v. TVA,
704
F.2d 613, 621 (11th Cir. 1983), “standard deviation,” see Watson v. Fort Worth
Bank & Trust,
487 U.S. 977, 995 n.3,
108 S. Ct. 2777, 2789 n.3,
101 L. Ed. 2d 827
(1988) (plurality), and the EEOC’s “four-fifths rule,” see
id. But what the plaintiff
must attempt to do is show that there is a legally significant disparity between (a)
the racial composition, caused by the challenged employment practice, of the pool
10
The statute also provides that “if the complaining party can demonstrate to the court
that the elements of a respondent’s decisionmaking process are not capable of separation for
analysis, the decisionmaking process may be analyzed as one employment practice.” 42 U.S.C.
§ 2000e-2(k)(1)(B)(i).
9
of those enjoying a job or job benefit; and (b) the racial composition of the
qualified applicant pool.11 See Wards Cove Packing Co., Inc. v. Atonio,
490 U.S.
642, 650-51,
109 S. Ct. 2115, 2121,
104 L. Ed. 2d 733 (1989); Edwards v. Wallace
Community College,
49 F.3d 1517, 1520 (11th Cir. 1995).
The focus during this first stage of the inquiry, and indeed during the whole
of the disparate impact analysis, is on defining the qualified applicant pool. In
order to determine whether an employment practice causes a “disparate” impact,
the court must gain some handle on the baseline racial composition that the impact
is “disparate” from; that is, what should the racial composition of the job force
look like absent the offending employment practice. “[S]tatistics based on an
applicant pool containing individuals lacking minimal qualifications for the job
would be of little probative value.”
Watson, 487 U.S. at 997, 108 S. Ct. at 2790
(plurality). The Supreme Court has described as “nonsensical” comparisons to a
baseline pool that is not adequately tailored to reflect only those potential
applicants who are actually qualified for the job or job benefit at issue. Wards
11
We include the term “job benefit” to indicate that the disparate impact analysis can be
used to challenge employment practices that have a disparate impact at any level of the
employment structure, from hiring to promotions to levels of compensation.
We use the term “qualified applicant pool” to indicate that the pool of potential
employees from which employers should choose, absent any discrimination, may include
persons who are not actual applicants for the job or job benefit at issue; by “qualified applicant
pool” we mean the pool from which potential qualified applicants might come.
10
Cove, 490 U.S. at 651, 109 S. Ct. at 2122; see also New York Transit Auth. v.
Beazer,
440 U.S. 568, 585-86,
99 S. Ct. 1355, 1365-66,
59 L. Ed. 2d 587 (1979)
(where plaintiffs challenged city’s policy of not employing persons using
methadone as having a disparate impact on blacks and Hispanics, statistics
indicating the racial composition of methadone users throughout the whole city
“tells us nothing about the class of otherwise-qualified applicants and
employees[,]” in part because “a substantial portion of the persons included in [the
city-wide figures] are either unqualified for other reasons – such as the illicit use of
drugs and alcohol – or have received successful assistance in finding jobs with
employers other than [the defendant]”); Maddox v. Claytor,
764 F.2d 1539, 1549-
50 (11th Cir. 1985) (holding that plaintiff’s statistics did not “shed any light on the
legally relevant issue” because they did not indicate “the group of applicants who
were interviewed, or even the group of applicants found qualified or the group of
all applicants”). “To adequately assess statistical data, there must be evidence
identifying the basic qualifications [for the job or job benefit at issue] and a
determination, based upon these qualifications, of the relevant statistical pool with
which to make the appropriate comparisons.” Peightal v. Metropolitan Dade
County,
26 F.3d 1545, 1553-54 (11th Cir. 1994) (discussing statistical comparison
11
evidence in the context of county’s attempt to establish compelling interest for
affirmative action plan because of past discrimination).
The contest between the plaintiff and defendant is one in which both seek to
answer the question of who is qualified, and thus to define the qualified applicant
pool on their own terms. Definition of a qualified applicant pool will shift with the
nature of the job or job benefit, and the nature of the challenged employment
practice at issue. At different times, courts have found qualified applicant pools to
be adequately represented by regional populations, see International Bhd. of
Teamsters v. United States,
431 U.S. 324, 337 n.17,
97 S. Ct. 1843, 1855-56 n.17,
52 L. Ed. 2d 396 (1977) (finding regional population figures to be probative in a
pattern or practice discrimination suit), or even national population statistics, see
Dothard v. Rawlinson,
433 U.S. 321, 329-30,
97 S. Ct. 2720, 2727,
53 L. Ed. 2d
786 (1977); Kilgo v. Bowman Transp., Inc.,
789 F.2d 859, 870 (11th Cir. 1986).
Using population figures as a proxy for the qualified applicant pool becomes
troublesome, however, “[w]hen special qualifications are required to fill particular
jobs.” Hazelwood Sch. Dist. v. United States,
433 U.S. 299, 308 n.13,
97 S. Ct.
2736, 2742 n.13
53 L. Ed. 2d 768 (1977) (discussing statistical comparisons in the
context of a pattern or practice case); see also
Teamsters, 431 U.S. at 339-40 n.20,
97 S. Ct. at 1856-57 n.20 (“[E]vidence showing that the figures for the general
12
population might not accurately reflect the pool of qualified job applicants would .
. . be relevant.”);
Peightal, 26 F.3d at 1554 (“[F]or positions requiring minimal
training or for certain entry level positions, statistical comparison to the racial
composition of the relevant population suffices, whereas positions requiring
special skills necessitate a determination of the number of minorities qualified to
undertake the particular task.”). Courts have thus sometimes found helpful a
showing of the racial composition of the pool of those who actually applied for a
particular job or job benefit, see
Teal, 457 U.S. at 443, 102 S. Ct. at 2528-29
(analyzing racial composition of the pool of persons who actually took written
examination administered by employer); Nash v. Jacksonville,
905 F.2d 355, 358
(11th Cir. 1990) (same), or those who were found to be actually qualified in a
given geographic area, see
Hazelwood, 433 U.S. at 308, 97 S. Ct. at 2742. But
even actual applicant statistics may “not adequately reflect the actual potential
applicant pool, since otherwise qualified people might be discouraged from
applying because of a self-recognized inability to meet the very standards
challenged as being discriminatory.”
Dothard, 433 U.S. at 330, 97 S. Ct. at 2727;
see also Wards
Cove, 490 U.S. at 651 n.7, 109 S. Ct. at 2122 n.7;
Kilgo, 789 F.2d
at 868.
13
“If the employer discerns fallacies or deficiencies in the data offered by the
plaintiff, he is free to adduce countervailing evidence of his own.”
Dothard, 433
U.S. at 331, 97 S. Ct. at 2727-28. This includes evidence that the plaintiffs have
simply erred in their calculations or evidence that the plaintiffs have failed
sufficiently to tailor their qualified applicant pool. See
id. at 338-39, 97 S. Ct. at
2731 (Rehnquist, J., concurring in result and concurring in part) (“If the defendants
in a Title VII suit believe there to be any reason to discredit plaintiffs’ statistics
that does not appear on their face, the opportunity to challenge them is available to
the defendants just as in any other lawsuit. They may endeavor to impeach the
reliability of the statistical evidence, they may offer rebutting evidence, or they
may disparage in arguments or in briefs the probative weight which the plaintiffs’
evidence should be accorded.”);
Peightal, 26 F.3d at 1556-57.
The key to this first stage is to understand that the concept of a “disparate
impact” on one racial group over another only makes sense if we tailor the
qualified applicant pool to reflect only those applicants or potential applicants who
are “otherwise qualified,”
Beazer, 440 U.S. at 585, 99 S. Ct. at 1366, (that is,
qualified but for their failure to meet the challenged employment requirement) for
the job or job benefit at issue. If the court fails to define the qualified applicant
pool in an appropriately specific manner, then the challenged employment practice
14
has not actually been shown to be “causing” any “disparate impact.” Something
else, unrelated to the employer’s practices and procedures, may be holding back a
particular racial group. An example might help clarify our rationale. Consider a
community composed of equal numbers of African-Americans and whites. There
are, let us say, 1,000 blacks and 1,000 whites. Now, imagine that within this
community, an employer announces that it is going to hire eighty new employees,
all for identical labor positions, and that it will only consider applicants who have a
high school diploma. The correlation between educational attainment and race in
the community breaks down as follows: 30% of the African-American segment has
a high school diploma (70% does not), whereas 50% of the white segment has a
high school diploma (50% does not). Now assume that 100 blacks and 100 whites
apply for the eighty jobs. Their educational attainment corresponds in all respects
to that of the community at large; that is, thirty of the African-Americans have a
high school education, as do fifty of the whites. Citing its high school degree
requirement, the employer hires the thirty blacks and the fifty whites with high
school degrees.
When the seventy rejected black applicants file suit against the employer,
claiming that the high school degree requirement has a disparate impact on
African-Americans in violation of Title VII, the employer responds by introducing
15
evidence that, due to unexplained population trends, 40% of the black segment of
the community is under the age of 18, but all 1000 whites are age 18 or over.
Further, this population figure corresponds positively with the pool of applicants
for the jobs at issue; forty of the 100 black applicants were under 18 years of age,
but all of the whites were 18 or over. Therefore, even if the employer discontinued
its high school diploma requirement, the forty black applicants under age 18 would
not have been hired because the relevant labor laws preclude hiring underage
persons.
If the African-American plaintiffs continue to assert their claim of disparate
impact, they would in one sense be correct. The high school education
requirement certainly does have a disparate impact on blacks because more than
1.65 times as many whites as blacks have high school diplomas; therefore, 1.65
times as many whites will be hired, in a community composed of equal numbers of
blacks and whites. A finding of disparate impact is only plausible in this situation,
however, if one neglects to consider the qualified applicant pool. The unstated
premise to the conclusion that disparate impact has reared its ugly head in this
hypothetical is that because the community as a whole is composed of equal
numbers of blacks and whites, the eighty employment positions should also be
filled with equal numbers of blacks and whites; but this is not the case. If the
16
employer’s population evidence is credible, then the qualified applicant pool
includes only 60% of the blacks (because 40% are underage), but all of the whites.
What we would expect, given these facts, is that the employment outcome absent
the high school requirement would mimic that produced when a high school
diploma is required – over 1.65 times as many whites as blacks will be hired
because over 1.65 times as many are of working age. Under these facts, it is clear
that the plaintiffs have not demonstrated that the high school diploma requirement
has a disparate impact in the first instance.
Once the plaintiffs have met their burden of demonstrating that a challenged
employment practice causes a disparate impact, the burden shifts to the defendant
employer “to demonstrate that the challenged practice is job related for the position
in question and consistent with business necessity.” 42 U.S.C. § 2000e-
2(k)(1)(A)(i).12 Alternatively, the complaining party can demonstrate “that other
tests or selection devices, without a similarly undesirable racial effect, would also
serve the employer’s legitimate interest in ‘efficient and trustworthy
12
The 1991 amendments to Title VII, inter alia, reversed the Supreme Court’s
interpretation in Wards
Cove, 490 U.S. at 659, 109 S. Ct. at 2126, where the Court held that
defendants only need to meet the burden of production, but not persuasion, during the second
stage of a disparate impact case. Section 2000e-2(k)(1)(A)(i) requires an employer to
“demonstrate” that the challenged practice is a job related business necessity, and as
noted,
supra, to “demonstrate” means to “meet[] the burdens of production and persuasion.” 42 U.S.C.
§ 2000e(m).
17
workmanship.’ ” Albermarle Paper Co. v. Moody,
422 U.S. 405, 425,
95 S. Ct.
2362, 2375,
45 L. Ed. 2d 280 (1975) (quoting McDonnell
Douglas, 411 U.S. at 81,
93 S. Ct. at 1823); see 42 U.S.C. § 2000e-2(k)(1)(A)(ii). Though this second stage
shifts the burden of demonstration to the defendant, the ultimate focus of the
inquiry remains on the question of who should be included in the qualified
applicant pool. If the employer can demonstrate that the practice at issue is a job
related business necessity, then the employer has shown that there is no ultimate
disparate impact; this is because the qualified applicant pool would only include
those persons who could meet the employer’s challenged criteria. For instance, in
the above hypothetical, if we relax the assumptions with regard to age and race in
the community, and posit that equal numbers of blacks and whites (say 80% of
each) are of working age, then the African-American plaintiffs might be successful
in carrying their prima facie burden of demonstrating that the high school diploma
requirement has a disparate impact on blacks (because only 30% of blacks, as
opposed to 50% of whites, have a high school education). If the employer is
successful in demonstrating that a high school education is a job related business
necessity for the job at issue, then what the employer has done, in effect, is to
demonstrate that the requirement does not actually cause a disparate impact. A
finding of business necessity is equivalent to a finding that the qualified applicant
18
pool only includes those persons who have attained a high school degree.
Likewise, if the employer failed to demonstrate business necessity, then the
plaintiffs would have succeeded in proving disparate impact in the ultimate sense;
this is because the qualified applicant pool would include those persons of working
age who did not posses the required education.
If the court ultimately finds that the employer has violated the disparate
impact provisions of Title VII, and is therefore engaged in an unlawful
employment practice, the court may order a wide range of equitable relief under 42
U.S.C. § 2000e-5(g)(1) (1994).13 Principally, the court should enjoin the employer
13
42 U.S.C. § 2000e-5(g)(1) provides:
If the court finds that the respondent has intentionally engaged in or is
intentionally engaging in an unlawful employment practice charged in the
complaint, the court may enjoin the respondent from engaging in such unlawful
employment practice, and order such affirmative action as may be appropriate,
which may include, but is not limited to, reinstatement or hiring of employees,
with or without back pay (payable by the employer, employment agency, or labor
organization, as the case may be, responsible for the unlawful employment
practice), or any other equitable relief as the court deems appropriate. Back pay
liability shall not accrue from a date more than two years prior to the filing of a
charge with the Commission. Interim earnings or amounts earnable with
reasonable diligence by the person or persons discriminated against shall operate
to reduce the back pay otherwise allowable.
The statutory requirement that the court find that the employer has “intentionally
engaged” in the unlawful employment practice does not mean that this remedial provision is only
applicable in disparate treatment or pattern or practice cases. “[Section 2000e-5(g)] requires
only that the defendant meant to do what he did, that is, his employment practice was not
accidental.” Local 189, United Papermakers and Paperworkers, AFL-CIO, CLC v. United
States,
416 F.2d 980, 996 (5th Cir. 1969); see also Robinson v. Lorillard Corp.,
444 F.2d 791,
796 (4th Cir. 1971). The full range of equitable remedies are available in disparate impact cases
as well.
19
from continuing the use of the challenged practice. As for individual relief, if an
individual plaintiff has shown that he or she was within the class of persons
negatively impacted by the unlawful employment practice, then the employer must
be given an opportunity to demonstrate a legitimate nondiscriminatory reason why,
absent the offending practice, the individual plaintiff would not have been awarded
the job or job benefit at issue anyway. See Stephen v. PGA Sheraton Resort, Ltd.,
873 F.2d 276, 278-79 (11th Cir. 1989); Ross v. Buckeye Cellulose Corp., 733 F.
Supp. 363, 377 (M.D. Ga. 1990), rev’d on other grounds,
980 F.2d 648 (11th Cir.
1993). If the employer cannot so demonstrate, then individual relief may be
merited.
IV.
The Eleventh Amendment to the United States Constitution states that “[t]he Judicial
power of the United States shall not be construed to extend to any suit in law or equity
commenced or prosecuted against one of the United States by Citizens of another State, or by
Citizens or Subjects of any Foreign State.” The Amendment has been interpreted as a
jurisdictional bar on the federal courts from hearing suits brought against states by
their own citizens, or by citizens of other states. See Hans v. Louisiana,
134 U.S. 1, 15,
10 S. Ct. 504, 507,
33 L. Ed. 842 (1890). Under Seminole Tribe v. Florida,
517 U.S. 44,
20
116 S. Ct. 1114, 134 L. Ed. 2d (1996), Congress may abrogate a state’s sovereign
immunity, but it can only do so if: (a) Congress “unequivocally expressed its intent
to abrogate the immunity,” through “a clear legislative statement;” and (b)
Congress has acted “pursuant to a valid exercise of power.”
Id. at 55, 116 S. Ct. at
1123 (quoting Green v. Mansour,
474 U.S. 64, 68,
106 S. Ct. 423, 426,
88 L. Ed.
2d 371 (1985) ). Defendants claim that neither prong is satisfied with regard to the
disparate impact provisions of Title VII. We now address their arguments in turn.
A.
Defendants first argue that in enacting the disparate impact provisions of
Title VII, Congress failed to express a clear legislative statement of its intent to
abrogate the states’ sovereign immunity. We need address this contention only
briefly. When Title VII was first enacted in 1964, its coverage was not extended to
state and local governments. In 1972, the statute was amended to include
“governments, governmental agencies, [and] political subdivisions.” 42 U.S.C. §
2000e(a).14
14
In Fitzpatrick v. Bitzer,
427 U.S. 445, 449 n.2,
96 S. Ct. 2666, 2668 n.2,
49 L. Ed. 2d
614 (1976), the Supreme Court described the statutory change as follows:
[T]he definition of ‘person’ in § 701(a) of the 1964 Act, 78 Stat. 253, 42 U.S.C. §
2000e(a), was amended by § 2(1) of the Equal Employment Opportunity Act of
1972 (hereinafter the 1972 Amendments), 86 Stat. 103, 42 U.S.C. § 2000e(a)
(1970 ed., Supp. IV), to include ‘governments, governmental agencies, [and]
21
Seminole Tribe reaffirmed the principle that Congress may abrogate the
states’ sovereign immunity when acting pursuant to its Fourteenth Amendment
enforcement power.
See 517 U.S. at 65-66, 116 S. Ct. at 1128. The Fourteenth
Amendment states, in relevant part:
Section 1. . . . No State shall make or enforce any law which shall
abridge the privileges or immunities of citizens of the United States;
nor shall any State deprive any person of life, liberty, or property,
without due process of law; nor deny to any person within its
jurisdiction the equal protection of the laws.
....
Section 5. The Congress shall have the power to enforce, by
appropriate legislation, the provisions of this article.
In Fitzpatrick v. Bitzer, the Supreme Court concluded that,
[i]n the 1972 Amendments to Title VII of the Civil Rights Act of
1964, Congress, acting under § 5 of the Fourteenth Amendment,
authorized federal courts to award money damages in favor of a
private individual against a state government found to have subjected
political subdivisions.’
The express exclusion of ‘a State or political subdivision thereof’ provided
in § 701(b) of the former was stricken by § 2(2) of the latter, 86 Stat. 103, 42
U.S.C. § 2000e(b) (1970 ed., Supp. IV). Section 2(5) of the 1972 Amendments,
86 Stat. 103, 42 U.S.C. § 2000e(f) (1970 ed., Supp. IV), amended § 701(f) of the
1964 Act, 42 U.S.C. § 2000e(f), to include wihin the definition of ‘employee’
those individuals ‘subject to the civil service laws of a State government,
governmental agency or political subdivision.’
The 1972 Amendments retained the right of an individual aggrieved by an
employer’s unlawful employment practice to sue on his or her own behalf, upon
satisfaction of the statutory procedural prerequisites, and made clear that that right
was being extended to persons aggrieved by public employers. See 1972
Amendments, § 4(a), 86 Stat. 104, 42 U.S.C. §§ 2000e-5(a)-(g) (1970 ed., Supp.
IV).
22
that person to employment discrimination on the basis of ‘race, color,
religion, sex, or national
origin.’
427 U.S. at 447-48, 96 S. Ct. at 2667. The Court also stated that “[t]here is no
dispute that in enacting the 1972 Amendments to Title VII to extend coverage to
the States as employers, Congress exercised its power under § 5 of the Fourteenth
Amendment.”
Id. at 453 n.9, 96 S. Ct. at 2670 n.9. Given this clear precedential
guidance, we have no hesitation in concluding that Congress unequivocally
expressed its intent to abrogate the states’ Eleventh Amendment immunity when it
amended Title VII to cover state and local governments.
Defendants argue that subsequent Supreme Court decisions dealing with the
clarity with which Congress must express its intent to abrogate, such as Dellmuth
v. Muth,
491 U.S. 223, 228,
109 S. Ct. 2397, 2400,
105 L. Ed. 2d 181 (1989), and
Atascadero State Hospital v. Scanlon,
473 U.S. 234, 239-40,
105 S. Ct. 3142,
3146,
87 L. Ed. 2d 171 (1985), compel a reconsideration of Fitzpatrick. We are
unable to reconsider Fitzpatrick since the Supreme Court has clearly held that “if a
precedent of this Court has direct application in a case, yet appears to rest on
reasons rejected in some other line of decisions, the Court of Appeals should
follow the case which directly controls, leaving to this Court the prerogative of
overruling its own decisions.” Agostini v. Felton,
521 U.S. 203, 237,
117 S. Ct.
1997, 2017,
138 L. Ed. 2d 391 (1997) (quoting Rodriguez de Quijas v.
23
Shearson/American Express, Inc.,
490 U.S. 477, 484,
109 S. Ct. 1917, 1921-22,
104 L. Ed. 2d 526 (1989)). In light of the fact that Seminole Tribe cited Fitzpatrick
approvingly, we do not even think tenable the suggestion that the Supreme Court
has “rejected” the reasoning in Fitzpatrick;15 even if we did think defendants’
contention had some merit, however, it is for the Supreme Court, and not us, to
reconsider its own precedent.
Defendants next make the somewhat novel argument that since Congress did
not codify the burdens of proof in disparate impact cases until 1991, see Pub. L.
No. 102-166, § 105, 105 Stat. 1071, 1074 (codified at 42 U.S.C. § 2000e-2(k)), it
could not have meant to subject states to disparate impact suits (as opposed to
disparate treatment, or pattern or practice suits) when it amended Title VII to cover
state and local governments in 1972. This argument misunderstands the evolution
of the disparate impact theory. Disparate impact analysis did not spring forth anew
15
See Seminole
Tribe, 517 U.S. at 59, 116 S. Ct. at 1125 (internal citations omitted),
where the Supreme Court stated:
In Fitzpatrick, we recognized that the Fourteenth Amendment, by expanding
federal power at the expense of state autonomy, had fundamentally altered the
balance of state and federal power struck by the Constitution. We noted that § 1
of the Fourteenth Amendment contained prohibitions expressly directed at the
States and that § 5 of the Amendment expressly provided that “The Congress
shall have the power to enforce, by appropriate legislation, the provisions of this
article.’ We held that through the Fourteenth Amendment, federal power
extended to intrude upon the province of the Eleventh Amendment and therefore
that § 5 of the Fourteenth Amendment allowed Congress to abrogate the
immunity from suit guaranteed by that Amendment.
24
in 1991; as discussed, supra, in 1971 the Supreme Court interpreted the original
Civil Rights Act of 1964, particularly sections 2000e-2(a)(2) and (h),
see, supra,
n.9, to prohibit “practices that are fair in form, but discriminatory in operation.”
Griggs, 401 U.S. at
431, 91 S. Ct. at 853. The Supreme Court has explicitly found
that “Congress recognized and endorsed the disparate-impact analysis employed by
the Court in Griggs,”
Teal, 457 U.S. at 447 n.8, 102 S. Ct. at 2531 n.8, and that
“Congress indicated [in the 1972 amendments] the intent that the same Title VII
principles be applied to governmental and private employers alike.”
Dothard, 433
U.S. at 331 n.14, 97 S. Ct. at 2728 n.14. There is no indication that, by enacting
the 1991 amendments, Congress sought to do anything more than reaffirm and
strengthen the disparate impact analysis,
see supra, n.12 and part II. Therefore,
defendants’ argument, while interesting, is meritless because it is clear that
Congress has, indeed, sought to subject states to disparate impact lability under
Title VII.
B.
The state next contends that even if Congress has expressed its intent to
abrogate the states’ Eleventh Amendment immunity, it has not acted “pursuant to a
valid exercise of power.” Seminole Tribe, 517 U.S. at
55, 116 S. Ct. at 1123
25
(internal quotations omitted). Specifically, the state contends that the disparate
impact provisions of Title VII are not a valid exercise of Congress’ Fourteenth
Amendment enforcement power.
i.
Our adjudication of this issue would seem to be largely foreclosed by the
former Fifth Circuit’s decision in Scott v. City of Anniston,
597 F.2d 897, 900 (5th
Cir. 1979),16 in which the court held that “Title VII is unquestionably appropriate
legislation to enforce the equal protection clause” and that “the ‘disproportionate
impact’ standard [articulated in Griggs] [is] an appropriate means of fulfilling
those objectives.” See also Allen v. Alabama State Bd. of Educ.,
816 F.2d 575,
577 (11th Cir. 1987) (holding that “in civil actions invoking Title VII, state
defendants lack eleventh amendment protection”). In Scott, black employees of
the Public Works Department of the City of Anniston, Alabama, sued their
employer claiming that certain of the city’s employment practices had a disparate
impact on African-Americans. The City argued, and the district court ruled, that
government entities could not be made subject to disparate impact claims under
16
In Bonner v. City of Prichard,
661 F.2d 1206, 1209 (11th Cir. 1981) (en banc), this
court adopted as binding precedent all of the decisions of the former Fifth Circuit handed down
prior to the close of business on September 30, 1981.
26
Title VII because “the legislature could not by statute create a right of action
subject to less stringent requirements than those imposed by that amendment
alone.”
Scott, 597 F.2d at 899. Because Supreme Court decisions like Washington
v. Davis,
426 U.S. 229,
96 S. Ct. 2040,
48 L. Ed. 2d 597 (1976), require plaintiffs
to show that a government entity acted with discriminatory intent in order to
demonstrate a Fourteenth Amendment violation, the district court in Scott reasoned
that subjecting government agencies to disparate impact claims (which do not
require a showing of discriminatory intent) was not within the congressional
prerogative. The former Fifth Circuit reversed, finding that Title VII disparate
impact analysis rested squarely within Congress’ Section 5, Fourteenth
Amendment power. See
Scott, 597 F.2d at 900.
Defendants argue, first, that Scott is inapposite because the plaintiffs in Scott
sued a municipality, a government entity not entitled to Eleventh Amendment
sovereign immunity. This argument is wholly unconvincing. The question in
Scott was essentially the same as the question of whether Congress has the power
to abrogate a state’s sovereign immunity under Seminole Tribe – that is, has
Congress acted within the confines of its Section 5 power “to enforce, by
appropriate legislation, the provisions” of the Fourteenth Amendment. In Scott,
the court answered this question in the affirmative. Because we have already
27
found that in amending Title VII to apply to state and local governments, Congress
expressed its clear intent to abrogate the states’ Eleventh Amendment immunity,
the court’s holding in Scott that Congress acted validly under Section 5 would
seem to end our inquiry.
Perhaps sensing the tenuousness of their first argument, defendants next
contend that the Supreme Court’s decision in City of Boerne v. Flores,
521 U.S.
507,
117 S. Ct. 2157,
138 L. Ed. 2d 624 (1997), has so altered the constitutional
landscape of what congressional acts can properly be classified as falling within
Congress’ Section 5, Fourteenth Amendment power, that the former Fifth Circuit’s
decision in Scott has effectively been overruled. Where precedent binding upon
this court cannot be reconciled with a subsequent Supreme Court decision, we
must defer to the Supreme Court. Cottrell v. Caldwell,
85 F.3d 1480, 1485 (11th
Cir. 1996); United States v. Shenberg,
89 F.3d 1461, 1480 n.23 (11th Cir. 1996).
Therefore, we now address defendants’ City of Boerne claim.
ii.
The question presented by defendants is whether the disparate impact
scheme, as we have described it in part
III, supra, goes so far beyond the
constitutional command – that no state deny to any person the equal protection of
the law – that it cannot fit within Congress’ Section 5 enforcement power. In order
28
to make out a claim of status-based discrimination in violation of the constitutional
guarantee of equal protection, a plaintiff must prove that a government agent acted
with “discriminatory purpose,”
Davis, 426 U.S. at 239, 96 S. Ct. at 2047;17 the
requirement of discriminatory motive “implies more than intent as volition or
intent as awareness of consequences. It implies that the decisionmaker . . . selected
or reaffirmed a particular course of action at least in part ‘because of,’ not merely
‘in spite of,’ its adverse effects upon an identifiable group.” Personnel Adm’r v.
Feeney,
442 U.S. 256, 279,
99 S. Ct. 2282, 2296,
60 L. Ed. 2d 870 (1979) (internal
citations omitted). The Supreme Court has explained that “[d]etermining whether
invidious discriminatory purpose was a motivating factor demands a sensitive
inquiry into such circumstantial and direct evidence of intent as may be available.”
Village of Arlington Heights v. Metropolitan Housing Dev. Corp.,
429 U.S. 252,
266,
97 S. Ct. 555, 564,
50 L. Ed. 2d 450 (1977). Factors a court may consider in
17
Davis was the first case in which the Supreme Court expressly stated, “We have never
held that the constitutional standard for adjudicating claims of invidious racial discrimination is
identical to the standards applicable under Title VII, and we decline to do so today.”
Davis, 426
U.S. at 239, 96 S. Ct. at 2047. The plaintiffs in Davis, black applicants for employment as police
officers by the District of Columbia, brought suit under the equal protection component of the
Due Process Clause of the Fifth Amendment; they claimed that a written personnel test
administered by the District of Columbia police department had a racially disparate impact on
African-Americans. Had the Supreme Court held that plaintiffs using constitutional equal
protection analysis to attack allegedly discriminatory state action need not demonstrate a
discriminatory purpose, but only a disparate impact, then every state action having a disparate
impact on a particular racial group would have become subject to the Court’s strict scrutiny, “the
most demanding test known to constitutional law.” City of
Boerne, 521 U.S. at 534, 117 S. Ct.
at 2171.
29
determining whether state action was motivated by discriminatory animus include:
(1) the disparate impact of the official action; (2) the historical background of the
decision; (3) the specific sequence of events leading up to the challenged decision;
and (4) the legislative or administrative history. See
id. at 266-68, 97 S. Ct. at 564-
65.
Under City of Boerne, it is clear that when Congress is acting pursuant to its
Section 5 enforcement authority, it does not have the power to alter the “substance
of the Fourteenth Amendment’s restrictions on the States.” City of
Boerne, 521
U.S. at 519, 117 S. Ct. at 2164. In the equal protection context, this means that the
core congressional motivation must remain consistent with the notion that what the
Constitution prohibits is intentional discrimination on the part of state actors (and
not state action that leads to a merely discriminatory result). In City of Boerne,
Congress had enacted the Religious Freedom Restoration Act (RFRA) in direct
response to the Court’s decision in Employment Division, Department of Human
Resources v. Smith,
494 U.S. 872,
110 S. Ct. 1595,
108 L. Ed. 2d 876 (1990). In
Smith, the Court concluded that consistent with the Free Exercise Clause, a state
may apply neutral, generally applicable laws to religious practices even when those
laws are not supported by a compelling government interest. With RFRA,
Congress sought to supplant the Court’s interpretation with one more favorable to
30
religious interests. The Act attempted to “overrule” Smith by mandating that
neutral laws that substantially burden religious exercise must be justified under the
compelling government interest test. See City of
Boerne, 521 U.S. at 512-15, 117
S. Ct. at 2160-62.
The Court concluded that Congress had acted beyond the scope of its
Fourteenth Amendment enforcement power:
Congress’ power under § 5 . . . extends only to enforcing the
provisions of the Fourteenth Amendment. The Court has described
this power as ‘remedial.’ The design of the Amendment and the text
of § 5 are inconsistent with the suggestion that Congress has the
power to decree the substance of the Fourteenth Amendment’s
restrictions on the States. Legislation which alters the meaning of the
Free Exercise Clause cannot be said to be enforcing the Clause.
Congress does not enforce a constitutional right by changing what the
right is. It has been given the power ‘to enforce,’ not the power to
determine what constitutes a constitutional violation. Were it not so,
what Congress would be enforcing would no longer be, in any
meaningful sense, the ‘provisions of the Fourteenth Amendment.’
City of
Boerne, 521 U.S. at 519, 117 S. Ct. at 2164 (internal citations omitted).
The Court emphasized that “[l]egislation which deters or remedies constitutional
violations can fall within the sweep of Congress’ enforcement power even if in the
process it prohibits conduct which is not itself unconstitutional,”
id. at 518, 117 S.
Ct. at 2163, but “[t]here must be a congruence and proportionality between the
injury to be prevented or remedied and the means adopted to that end. Lacking
31
such a connection, legislation may become substantive in operation and effect,”
id.
at 520, 117 S. Ct. at 2164.
With RFRA, Congress overstepped its bounds with regard to both the
“injury” it sought to prevent, and the “means” it adopted to that end. As for the
“injury” to be prevented, the legislature failed to demonstrate any recent history of
an injury to the free exercise rights of religious practitioners that rose to the level
of a constitutional violation. See
id. at 530, 117 S. Ct. at 2169 (“RFRA’s
legislative record lacks examples of modern instances of generally applicable laws
passed because of religious bigotry. The history of persecution in this country
detailed in the hearings mentions no episodes occurring in the past 40 years.”).
With regard to the “means” adopted, Congress prohibited government interference
with religious exercise in such a sweeping and drastic manner that the Act simply
“[could] not be considered remedial, preventive legislation, if those terms are to
have any meaning.”
Id. at 532, 117 S. Ct. at 2170. As to what a plaintiff class of
religious observers would have to prove in a case brought under the Act, “RFRA’s
substantial burden test . . . [was] not even a discriminatory effects or disparate
impact test.”
Id. at 535, 117 S. Ct. at 2171. Plaintiffs might be able to bring suit
“[w]hen the exercise of religion ha[d] been burdened in an incidental way by a law
of general application.”
Id. Once substantial burden was shown, “the State must
32
demonstrate a compelling governmental interest and show that the law is the least
restrictive means of furthering its interest. . . . Requiring a State to demonstrate a
compelling interest and show that it has adopted the least restrictive means of
achieving that interest is the most demanding test known to constitutional law.” Id.
at
534, 117 S. Ct. at 2171.
Defendants contend that, like RFRA, the disparate impact provisions of Title
VII are so out of line with the constitutional harm to be remedied that they cannot
be sustained under Congress’ Fourteenth Amendment enforcement power. They
point out that demonstrating disparate impact does not require a plaintiff to show
that the employer was motivated by a discriminatory purpose. In order to prove an
equal protection violation, however, a plaintiff must demonstrate discriminatory
intent, “that the decisionmaker . . . selected or reaffirmed a particular course of
action at least in part ‘because of,’ not merely ‘in spite of,’ its adverse effects upon
an identifiable group.”
Feeney, 422 U.S. at 279, 99 S. Ct. at 2296. It is true that
the disparate impact analysis does not require plaintiffs to demonstrate a subjective
discriminatory motive on the part of the decisionmaker; but neither this court, nor
the Supreme Court, has ever held that the issue of intent is wholly irrelevant to a
claim of disparate impact. “The distinguishing features of the factual issues that
typically dominate in disparate impact cases do not imply that the ultimate legal
33
issue is different than in cases where disparate treatment analysis is used.”
Watson, 487 U.S. at 987, 108 S. Ct. at 2785. This is because the disparate impact
analysis was designed as a “prophylactic” measure,
Teal, 457 U.S. at 449, 102 S.
Ct. at 2531; Albemarle
Paper, 422 U.S. at 417, 95 S. Ct. at 2371, to get at
“[d]iscrimination [that] could actually exist under the guise of compliance with
[Title VII].”
Griggs, 401 U.S. at 435, 91 S. Ct. at 855-56 (quoting 110 Cong. Rec.
13504 (remarks of Sen. Case) ) (internal quotations omitted); see also
Watson, 487
U.S. at 990, 108 S. Ct. at 2786-87 (finding that “even if one assumed that
[discrimination through subjective employment criteria] can be adequately policed
through disparate treatment analysis, the problem of subconscious stereotypes and
prejudices would remain”); Charles R. Lawrence III, “The Id, the Ego, and Equal
Protection: Reckoning With Unconscious Racism,” 39 Stan. L. Rev. 317 (1987).
In a Title VII race discrimination disparate impact case, the plaintiff carries
the prima facie burden of demonstrating to a court that a particular employment
practice disproportionately burdens one racial group over another. As we
described in our analysis in part
III, supra, making out the prima facie case is not
always such an easy thing to do. The plaintiff is forced to tailor her qualified
applicant pool to represent only those applicants or potential applicants who are
otherwise-qualified (but for the challenged employer practice) for the job or job
34
benefit at issue. We emphasize the importance of this tailoring function because if
the qualified applicant pool is adequately narrowed by the interaction between the
plaintiff and defendant during the first stage of the analysis, then a prima facie
finding of disparate impact by the court means that the plaintiff has demonstrated
that the challenged practice (and not something else) actually causes the
discriminatory impact at issue. Though the plaintiff is never explicitly required to
demonstrate discriminatory motive, a genuine finding of disparate impact can be
highly probative of the employer’s motive since a racial “imbalance is often a
telltale sign of purposeful discrimination.”
Teamsters, 431 U.S. at 339-40 n.20, 97
S. Ct. at 1856-57 n.20; see also
Davis, 426 U.S. at 253, 96 S. Ct. at 2054 (Stevens,
J., concurring) (“Frequently the most probative evidence of intent will be objective
evidence of what actually happened rather than evidence describing the subjective
state of mind of the actor. For normally the actor is presumed to have intended the
natural consequences of his deeds.”). If, after a prima facie demonstration of
discriminatory impact, the employer cannot demonstrate that the challenged
practice is a job related business necessity, what explanation can there be for the
employer’s continued use of the discriminatory practice other than that some
invidious purpose is probably at work? In our race hypothetical in part
III, supra,
if the court found that the employer could not demonstrate that its high school
35
diploma requirement was a job related business necessity, why would the employer
continue to require a high school education when it is aware of the practice’s
discriminatory impact on African-Americans?18 In the context of the plaintiff’s
further option of demonstrating an alternative employment practice that has a less
discriminatory impact, the Supreme Court has been even more unambiguous in
characterizing an employer’s refusal to adopt the alternative practice as “evidence
that the employer was using its tests merely as a ‘pretext’ for discrimination.”
Albemarle
Paper, 422 U.S. at 425, 95 S. Ct. at 2375; see also
Teal, 457 U.S. at 447,
102 S. Ct. at 2530 (even where employer demonstrates that a challenged practice is
a job related business necessity, “the plaintiff may prevail, if he shows that the
employer was using the practice as a mere pretext for discrimination”).
All of this is not to say that the plaintiff is ever required to prove
discriminatory intent in a disparate impact case; it is clear that what plaintiffs must
demonstrate is a discriminatory result, coupled with a finding that the employer has
18
In our hypothetical, the employer’s continuing use of the high school education
requirement would seem particularly probative of discriminatory intent, since the wages for an
employee who did not have a high school degree would, necessarily, be lower; such an employee
would possess less human capital with which to bargain. If the employer could not demonstrate
that the high school diploma requirement was a job related business necessity, then retention of
the requirement would be inefficient since this non-necessary employee attribute will cost more
in terms of higher wages that the employer will have to pay to employees holding a high school
diploma. The employer in this scenario, therefore, would appear to be indulging his “taste” for
discrimination. See Gary S. Becker, The Economics of Discrimination 153-54 (2d ed. 1971).
36
no explanation as to why the challenged practice should be sustained as a job
related business necessity. What our analysis does show, however, is that the
disparate impact provisions of Title VII can reasonably be characterized as
“preventive rules” that evidence a “congruence between the means used and the
ends to be achieved.” Id. at
530, 117 S. Ct. at 2169. Congress has not sought to
alter the “substance of the Fourteenth Amendment’s restrictions on the States” with
the disparate impact provisions of Title VII. City of
Boerne, 521 U.S. at 519, 117
S. Ct. at 2164. Our analysis of the mechanics of a disparate impact claim has led
us unavoidably to the conclusion that although the form of the disparate impact
inquiry differs from that used in a case challenging state action directly under the
Fourteenth Amendment, the core injury targeted by both methods of analysis
remains the same: intentional discrimination.
Further, as to the “means” used, we note that the Supreme Court found in
Boerne that RFRA’s substantial burden test was “not even a discriminatory effects
or disparate impact test.”
Id. at 535, 117 S. Ct. at 2171. And if a complainant
could demonstrate a substantial burden on a religious practice, then the government
was automatically saddled with the responsibility of demonstrating that the
challenged government act was justified by a compelling interest, and that it was
the least restrictive means of furthering that interest. Under the disparate impact
37
provisions of Title VII, by contrast, plaintiffs are required to demonstrate that a
particular employment practice has an actual discriminatory impact; and even then,
employers are not required to show that they have some “compelling interest” in
continuing to use the practice, or that they have adopted the “least restrictive
means” of furthering their “compelling interest.” They must merely “demonstrate
that the challenged practice is job related for the position in question and consistent
with business necessity.” 42 U.S.C. § 2000e-2(k)(1)(A)(i). However difficult this
may have proven to be in some cases, demonstrating business necessity is certainly
on an entirely different evidentiary planet than demonstrating a compelling
interest; it is a rare day, indeed, that courts find government actors to have
adequately demonstrated a compelling interest, and a rarer one still that courts find
no less restrictive alternatives to be available.
Finally, we need not dredge up this nation’s sad history of racial domination
and subordination to take notice of the fact that the “injury” targeted by Title VII,
intentional discrimination against racial minorities, has since our inception
constituted one of the most tormenting and vexing issues facing this country.
There can be little doubt that the core motivation animating the Fourteenth
Amendment’s Equal Protection Clause was a concern for protecting the rights of
racial minorities subject to historical discrimination, see Alexander Bickel, “The
38
Original Understanding and the Segregation Decision,” 69 Harv. L. Rev. 1 (1955),
and that Congress is acting most comfortably under the Amendment when it is
acting to cure racial prejudice. See Strauder v. West Virginia, 100 U.S. (10 Otto)
303, 306-07,
25 L. Ed. 664 (1880). The House Report accompanying the 1972
amendments to Title VII, extending coverage to state and local governments,
documented the troubling persistence of race discrimination in public employment:
In a report released in 1969, the U.S. Commission on Civil Rights
examined equal employment opportunity in public employment in
seven urban areas located throughout the country – North as well as
South. The report’s findings indicate that widespread discrimination
against minorities exists in State and local government employment,
and that the existence of this discrimination is perpetuated by the
presence of both institutional and overt discriminatory practices. The
report cites widespread perpetuation of past discriminatory practices
through de facto segregated job ladders, invalid selection techniques,
and stereotyped misconceptions by supervisors regarding minority
group capabilities. The study also indicates that employment
discrimination in State and local governments is more pervasive than
in the private sector. The report found that in six of the seven areas
studied, Negroes constitute over 70 percent of the common laborers,
but that most white-collar jobs were found to be largely inaccessible
to minority persons. For example, in Atlanta and Baton Rouge, there
were no blacks in city managerial positions.
In another report issued by the U.S. Commission on Civil
Rights in 1970, Mexican Americans and the Administration of Justice
in the Southwest, the Commission found, on the basis of a 1968
survey, that in the law enforcement agencies and district attorneys’
offices in the five Southwestern States, Mexican Americans were
generally underrepresented in proportion to their demographic
distribution. The statistics in this report show that in the Southwestern
States Mexican Americans, who constitute approximately 12 percent
of the population, account for only 5.2 percent of police officers and
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6.11 percent of civilian employers [sic] with law enforcement
agencies.
The problem of employment discrimination is particularly acute
and has the most deleterious effect in these governmental activities
which are most visible to the minority communities (notably
education, law enforcement, and the administration of justice) with the
result that the credibility of the government’s claim to represent all the
people equally is negated.
H.R. Rep. No. 92-238 (1972), reprinted in 1972 U.S.C.C.A.N. 2137, 2152-53. The
means used by Congress in the disparate impact provisions of Title VII, so closely
aligned to the constitutional equal protection analysis, are neither incongruent with
the purpose of preventing intentional discrimination in public employment, nor
disproportionate to the injury to be avoided.
V.
For the foregoing reasons, we conclude that in enacting the disparate impact
provisions of Title VII, Congress has unequivocally expressed its intent to abrogate
the states’ Eleventh Amendment sovereign immunity, and that Congress has acted
pursuant to a valid exercise of its Fourteenth Amendment enforcement power. We,
therefore, AFFIRM the district court’s denial of defendants’ Rule 12(b)(1) motion
to dismiss all disparate impact claims against the State of Alabama, based on the
state’s claim to sovereign immunity under the Eleventh Amendment.
AFFIRMED.
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