J. MICHAEL SEABRIGHT, District Judge.
This Individuals with Disabilities Education Act (the "IDEA"), 20 U.S.C. § 1400 et seq., action reviews November 18, 2010 Findings of Fact and Conclusions of Law (the "November 2010 Decision") of Administrative Hearings Officer Richard A. Young. The November 2010 Decision addressed two consolidated requests for impartial hearing brought against Plaintiff State of Hawaii, Department of Education (the "State" or "DOE") by Defendant M.F., by and through her parents R.F. and W.F. (the "Student" or "M.F."). The Hearings Officer, incorporating a ruling he made in a prior August 26, 2010 Order, found denials of a right to a Free Appropriate Public Education ("FAPE"). He awarded (1) reimbursement for tuition and certain related services for private placement at the Loveland Academy ("Loveland") for the Student's School Year ("SY") 2009-2010 and 2010-2011, and for extended school years ("ESY") 2010 and 2011; and (2) compensatory education at Loveland for SY 2011-2012 to remedy a denial of FAPE from the beginning of the Student's SY 2008-2009 until February 11, 2010. He found, however, that the State's offer of FAPE for SY 2009-2010 was appropriate as to certain related services (occupational and physical therapy, and speech-language services).
Having primarily lost at the administrative level, the State filed this action pursuant to 20 U.S.C. § 1415(i)(2)(A), challenging particular findings of fact and conclusions of law encompassed in the November 2010 Decision. Doc. No. 1-1. The State denies that it failed to offer FAPE for the years in question, and, regardless, contends the Hearings Officer erred in the scope of the remedies awarded. In turn, the Student filed a corresponding Motion in this court seeking (1) to supplement the record, (2) partial summary judgment "to enforce" the November 2010 Decision, and (3) "to enforce Stay Put." Doc. No. 24.
Based on the following, the court (1) AFFIRMS the November 2010 Decision IN PART, and VACATES and REMANDS the action for further proceedings, and (2) GRANTS in part and DENIES in part the Student's corresponding Motion.
No one disputes that now-fourteen year old M.F. is disabled for purposes of the IDEA. Her parents adopted her from an orphanage in China when she was thirteen months old. AR 338, Nov. 2010 Dec. at 5.
The record indicates M.F. was receiving special education benefits since pre-school and at her DOE home school since at least 2006. AR 6; Pet. 210-37, 253-83. She had a "skills trainer" throughout her time at the home school, Tr. 206-07, and received special education services under an individualized education program ("IEP") for her SY 2007-2008. Pet. 198-209. Thus, near the end of her fourth grade year, the DOE had in place a May 28, 2008 IEP (the "May 2008 IEP"). Pet. 136-46. This offer of FAPE was to expire on August 29, 2008. Pet. 143; AR 336.
M.F.'s IEP team, including M.F.'s parents, met on May 29, 2008 to discuss the May 2008 IEP. M.F.'s parents did not object to that IEP, and they did not challenge it as an inadequate offer of FAPE — the "written notice of department action" states that "the team proposed that the program and placement remain the same," and "[t]here were no concerns about program." The notice continues:
AR 62. And so, after her fourth grade year, M.F. attended the private Variety School for the 2008 summer. AR 62; Pet. 289; Tr. 210.
By all accounts, M.F.'s 2008 summer went well. On July 11, 2008, M.F.'s mother called the DOE home school to notify it that M.F. would be attending Variety School for the upcoming SY 2008-2009. The home school's Student Services Coordinator ("SSC") wrote in an event log of July 11, 2008 that "[M.F.'s] mother called and said that [M.F.] enjoyed attending Variety School without the paraprofessional support and requested a release from [the home school.]" AR 64. The SSC continued:
Id. Similarly, M.F.'s mother wrote in a July 9, 2008 email to a provider at Hawaii Behavioral Health:
Pet. 289.
Given M.F.'s move to Variety School, the May 2008 IEP expired on August 29, 2008. Nevertheless, the DOE provided periodic notices to M.F.'s parents indicating that M.F. was entitled to a FAPE and that if they wanted special education services they should contact the DOE to enroll in a public school. The DOE, however, did not prepare another IEP at the start of M.F.'s SY 2008-2009 or SY 2009-2010, and did not review the May 2008 IEP in 2009.
Specifically, on July 31, 2008, the DOE provided by certified mail a notice to M.F.'s parents, stating in part that:
AR 66. The letter references a "Procedural Safeguards Notice for Parents and Students" as an attachment. Id. Although M.F.'s parents received the letter on August 4, 2008, they did not respond. AR 68.
A similar letter was mailed to M.F.'s parents on November 3, 2008, stating in part:
AR 71. The letter also references a "Procedural Safeguards Notice for Parents and Students" and a "Private School Participation Project Information" as attachments. Id. Although M.F.'s parents received the letter on November 8, 2008, no response was received by the DOE. AR 74.
The DOE mailed a similar letter to M.F.'s parents the following summer, by notice dated August 25, 2009. In addition to referencing eligibility for a FAPE as before, this notice also referred to a "reevaluation" as follows:
AR 76. Like prior notices, this letter references a "Procedural Safeguards Notice" as an attachment. Id. As before, this letter was sent by certified mail to M.F.'s parents' address of record (the same address that was used the year before). AR 78. The notice, however, was returned as "unclaimed," with delivery apparently attempted on August 28, 2009, September 4, 2009, and September 14, 2009. AR 79.
On November 2, 2009, the DOE mailed another notice. This notice was similar to prior notices, except all three criteria (FAPE, "Private School Participation," and "Reevaluation") were marked. This notice provided that:
AR 81. This letter was sent to the same address as before, and was received on
On November 26, 2009, the DOE scheduled a conference for December 10, 2009 (subsequently rescheduled to December 17, 2009) to "determine what additional data, if any, is needed to define the needs of [M.F.]" and "determine if a 504 or IDEA initial evaluation or reevaluation is warranted." Pet. 128-29. After that conference, various tests were scheduled and reports were prepared as necessary for a new or revised IEP. E.g., Pet. 71-117; MF 070, 074, 076, 082, 086. The DOE performed several new psychological and educational evaluations in January 2010, and prepared a February 11, 2010 IEP ("the February 2010 IEP") for the remainder of SY 2009-10 and for part of SY 2010-11 (until February 2011). Pet. 33-47. It offered, among other things, to place the Student at an "Intensive Learning Center" ("ILC") with "integrated therapeutic supports" for SY 2010-11. Pet. 45-46. The IEP provided that the Student "will not participate with non-disabled peers," "will receive specialized instruction ... in the special education setting for the whole school day and will not participate in the general education setting," and "will receive specialized instruction in a public separate facility." Pet. 46. It also offered no speech or language services, and limited occupational/physical therapy (consultation one time per quarter, thirty minutes per semester). Pet. 45.
An IEP meeting was held on February 11, 2010. Pet. 31, 62. M.F.'s parents, however, disagreed with that offer of FAPE. Pet. 285-86. The parents disagreed with the DOE's proposed placement in an ILC at a middle school, and instead sought for M.F. to remain in her private school. (M.F. was now attending Loveland, having enrolled there in December of 2009, as explained below.)
On February 26, 2010, the DOE scheduled another IEP meeting for March 25, 2010. Pet. 284. That meeting apparently focused on ESY services for 2010. Pet. 13. The team considered additional reports from M.F.'s providers regarding the need for ESY in 2010. See Pet. 244, 245, 246. After the March 25, 2010 meeting, the DOE proposed that M.F. receive ESY services for the upcoming summer (the end of SY 2009-2010), but retained the proposed placement at the ILC. Pet. 13. M.F.'s parents again disagreed and, on April 6, 2010 filed their first Request for Impartial Due Process Hearing against the DOE. Pet. 8.
In rejecting the February 2010 IEP's offer of placement at an ILC, M.F.'s parents wanted M.F. to remain at her then-current private placement at Loveland, which she had begun attending in December 2009. M.F. had moved to Loveland during her sixth grade year (SY 2009-2010), after spending her prior year (SY 2008-2009) at Variety School — where her fifth grade year had ended rather abruptly.
Despite M.F.'s enjoyable 2008 summer at Variety School, she began to develop a "gender identity issue" during her fifth grade year, although her father testified at the administrative hearing that she was doing fine academically. Tr. 211-12. At some point, she began dressing and acting like a male, and she stated she wanted to be a boy. AR 338. She changed her identity to "D." Variety School teachers and professionals accommodated M.F.'s
After about a year, M.F. was expelled from Variety School. Tr. 212. Apparently, M.F.'s disability-related issues caused problems with incidents of "inappropriate touching." As was explained at the administrative hearing, students were not sure if M.F. was a girl or a boy and "they wanted to verify" and there was "a touching incident where she touched one of the girls." Tr. 212. Her father explained that, after "increasing[] problems," Tr. 212, "[M.F.] was basically told, `Pick up your things tomorrow and you're gone.'" Tr. 214. "[S]he loved Variety School, had developed a lot of friends, and so it was a pretty devastating thing for her." Id.
After Variety School expelled her, M.F. sought to attend the Academy of the Pacific ("AOP") beginning in September 2009. Tr. 214-15. After a two-week trial period, however, M.F. was not accepted because of "behavioral issues." Tr. 215-16. She apparently was not in school for much of the Fall of 2009 (the beginning of her SY 2009-10). Pet. 73. It was during this period (November 2009) that M.F.'s parents responded to the latest notice from the DOE. AR 81.
In December 2009, M.F. began a trial period at Loveland, Tr. 217; AR 7, and began attending Loveland full-time from January 2010. Tr. 218-22; Pet. 530, Ex. 45.
M.F.'s April 6, 2010 Request for Impartial Due Process challenged the substance of both the May 2008 IEP, and the February 2010 IEP. AR 7-8 (case number "DOE SY0910-124"). It focused on SY 2009-2010, seeking, among other relief,
Pet. 8.
On July 27, 2010, M.F. filed a Motion for Partial Summary Judgment with the hearings officer. AR 27. M.F. argued that it was undisputed that the DOE violated the
On July 30, 2010, M.F. filed a second Request for Due Process Hearing. AR 206 (case number "DOE SY1011-015"). This request focused on the February 2010 IEP — which was also at issue in the April 6, 2010 request — and challenged its offer of placement at an ILC for SY 2010-2011. AR 206, 210. It also asserted that M.F. "needs direct speech services to address her pragmatic language deficits and direct PT/[OT] services to address her deficits." AR 210. Although this due process request partially duplicated the April 6, 2010 request, this request asked for an additional remedy — reimbursement and compensatory education for the following year (SY 2010-2011 and ESY 2011). Id. The two due process requests were consolidated on August 25, 2010. AR 222.
Meanwhile, on August 24, 2010, the Hearings Officer heard M.F.'s Motion for Partial Summary Judgment. The hearing was limited to whether the DOE violated the IDEA by failing to have an IEP in place before M.F.'s SY 2009-2010 year and by not reviewing the May 2008 IEP annually. Tr. 8/24/2010 at 4. In defense, the DOE argued that, once M.F. unilaterally withdrew from public school, it no longer had any obligation to prepare an IEP. Because M.F.'s parents did not respond to its notices of July 31, 2008, November 3, 2008, and August 25, 2009, the DOE contended that the parents no longer sought DOE special education and related services. AR 56-57.
On August 26, 2010, the Hearings Officer granted M.F.'s Motion, finding it undisputed that the DOE violated the IDEA on both grounds. AR 86. In a three-page Order, the Hearings Officer simply ruled that the lack of responses from M.F.'s parents "does not remove the DOE's obligations under HAR Section 8-56-31(a) and 20 U.S.C. Section 1414(d)(2)(A), and 20 U.S.C. Section 1414(d)(4)(A)." AR 87. Without further discussion, he thus concluded that
Id. (emphases added). Because this ruling was made at a summary judgment stage, no proceedings were conducted as to the
Following that ruling, a three-day hearing began on September 20, 2010 addressing the appropriate remedy for the denials of FAPE, and reviewing the February 2010 IEP. This proceeding incorporated the August 26, 2010 Order, and thus began with M.F. having already established that the DOE had "denied Student a FAPE" for SY 2009-2010 "by failing to have an IEP in place" and "by failing to conduct an annual review" of the May 2008 IEP. AR 192, 344. Accordingly, the hearing focused on (1) the appropriateness of M.F.'s placement at Loveland prior to the February 2010 IEP; (2) whether the February 2010 IEP offered M.F. "an appropriate program" (i.e., "speech and language services, and direct [physical/occupational therapy] services to meet Student's needs"); (3) whether the February 2010 IEP's offer of placement at an ILC was appropriate; and (4) whether Loveland is an appropriate placement after February 2010. AR 193,345.
On November 18, 2010, the Hearings Officer issued his Findings of Fact and Conclusions of Law (the November 2010 Decision). AR 182-202; 334-354. The November 2010 Decision concluded that (1) Loveland was an appropriate placement for M.F. prior to February 11, 2010; (2) the February 2010 IEP offered an appropriate "program" (in terms of thirty minutes of physical and occupational therapy a semester, and with speech services provided in a regular classroom setting); but (3) the State's offer of placement at an ILC was inappropriate because it "did not meet [M.F.'s] needs for interaction with non-disabled peers and socialization opportunities"; and (4) Loveland was an appropriate then-current placement. AR 201-202, 353-354. As to the State's offer of FAPE, the Hearing Officer decided:
AR 201, 334. The Hearings Officer then made the following awards:
AR 201-202, 353-54.
On December 14, 2010, the State appealed the Hearings Officer's November 2010 Decision to the First Circuit Court, State of Hawaii, under 20 U.S.C. § 1415(i). M.F. then timely removed the action to this court. Doc. No. 1-1. The State filed its Opening Brief on April 15, 2011. M.F.
Meanwhile, on June 17, 2011, M.F. filed a Motion for Partial Summary Judgment seeking, among other matters, "stay put" relief under 20 U.S.C. § 1415(j). Doc. No. 14. That Motion was deemed moot as the State was not contesting whether it owed such relief, although there was (and still is) some disagreement regarding the exact amounts owed. On July 14, 2011, the State paid Loveland $121,446.16, representing amounts it believed it owed from November 18, 2010 until that date, with certain reductions for therapy and speech services it contends it is not obligated to pay (given the portions of the November 2010 Decision in the State's favor). See, e.g., Doc. No. 24-33, Defs.' Mot. Ex. BB.
Arguing that the amount was insufficient, on July 20, 2011, M.F. filed a "Motion to Amend/Supplement Record on Appeal; Motion for Partial Summary Judgment to Enforce 11/18/2010 HO Decision; and to Enforce `Stay Put'" (the "Stay Put Motion"). Doc. No. 24. The State filed its Opposition to the Stay Put Motion on August 15, 2011, and M.F. filed a Reply on August 22, 2011.
The court heard both matters (the substantive review of the November 2010 Decision, and the relief sought in the Stay Put Motion) on September 12, 2011. On September 15, 2011, the court issued inclinations and requested supplemental briefing from the parties, Doc. No. 40, and the parties submitted corresponding memoranda. See Doc. No. 41, 42. Additional supplemental memoranda were filed on November 17, 2011, and November 30, 2011. See Doc. Nos. 48-51.
The IDEA provides that "[a]ny party aggrieved by the findings and decision" of the hearings officer "shall have the right to bring a civil action with respect to the complaint presented pursuant to this section, which action may be brought in any State court of competent jurisdiction or in a district court of the United States, without regard to the amount in controversy." 20 U.S.C. § 1415(i)(2)(A).
The IDEA requires the following of the court:
20 U.S.C. § 1415(i)(2)(C). In Board of Education of Hendrick Hudson Central School District v. Rowley, 458 U.S. 176, 206-07, 102 S.Ct. 3034, 73 L.Ed.2d 690 (1982), the Supreme Court explained the court's role in reviewing an administrative decision in an IDEA case:
See also City of Chicago v. Int'l Coll. of Surgeons, 522 U.S. 156, 171, 118 S.Ct. 523, 139 L.Ed.2d 525 (1997) (citing Rowley for the proposition that the IDEA "contemplates deferential review of state administrative action"). The "fact-intensive nature" of IDEA proceedings "coupled with considerations of judicial economy render a more deferential approach appropriate." Hood v. Encinitas Union Sch. Dist., 486 F.3d 1099, 1104 n. 4 (9th Cir.2007).
The Ninth Circuit has explained that despite this deferential approach, the court has discretion in reviewing the hearings officer's decision:
Capistrano Unified Sch. Dist. v. Wartenberg, 59 F.3d 884, 891 (9th Cir.1995) (citations omitted; alterations in original); see also Ms. S. ex rel. G. v. Vashon Island Sch. Dist., 337 F.3d 1115, 1126 (9th Cir. 2003) ("The `due weight' to be given is within the discretion of the appellate court." (superseded on other grounds by 20 U.S.C. § 1414(d)(1)(B))).
The burden in this proceeding is on the party challenging the administrative ruling. Schaffer ex rel. Schaffer v. Weast, 546 U.S. 49, 62, 126 S.Ct. 528, 163 L.Ed.2d 387 (2005) ("The burden of proof in an administrative hearing challenging an IEP is properly placed upon the party seeking relief."); Seattle Sch. Dist., No. 1 v. B.S., 82 F.3d 1493, 1498 (9th Cir. 1996) ("As the party challenging the administrative ruling, the School District ... had the burden of proof in district court.").
The court first details the applicable legal framework under the IDEA, and then addresses (1) whether the Hearings Officer erred in determining that M.F. was denied FAPE for any of the periods in question, and if so, (2) whether the Hearings Officer erred in determining that M.F. was entitled to reimbursement and compensatory education. Finally, the court considers the Stay Put Motion and addresses whether M.F. is entitled to "stay put" pending resolution of the State's challenges and, if so, to what extent.
A basic three-step analysis applies in determining whether a qualified disabled student is entitled to reimbursement for, or payment of, a private placement from the State under the IDEA.
Second, if the IDEA'S procedures are violated, the next question is whether that violation denied that student a FAPE — for not all procedural violations are actionable. See, e.g., L.M. v. Capistrano Unified Sch. Dist., 556 F.3d 900, 909 (9th Cir.2009); 20 U.S.C. § 1415(f)(3)(E)(ii).
The third stage is the remedy — and this stage itself includes several steps. If an IDEA violation results in denial of a FAPE, a district court has discretion to "grant such relief as the court determines is appropriate." 20 U.S.C. § 1415(i)(2)(C)(iii). Such relief could include reimbursement for a private placement. See 20 U.S.C. § 1412(a)(10)(C)(ii); Sch. Comm. of Burlington v. Dep't of Ed. of Mass., 471 U.S. 359, 370, 105 S.Ct. 1996, 85 L.Ed.2d 385 (1985). It can also include compensatory education as "appropriate equitable relief." Park v. Anaheim Union High Sch. Dist., 464 F.3d 1025, 1033 (9th Cir.2006). The parent or guardian, however, must also establish that the particular private placement is itself "appropriate." See, e.g., Ashland Sch. Dist. v. Parents of Student E.H., 587 F.3d 1175, 1183 (9th Cir.2009). That is, "where Parents seek reimbursement for private school expenses, they `are entitled to reimbursement only if a federal court concludes both that the public placement violated IDEA and that the private school placement was proper under the Act.'" Id. (quoting Florence Cnty. Sch. Dist. Four v. Carter ex rel. Carter, 510 U.S. 7, 15, 114 S.Ct. 361, 126 L.Ed.2d 284 (1993)). "The latter requirement
Moreover, "even [if private placement is appropriate] courts [also] retain discretion to reduce the amount of a reimbursement award if the equities so warrant — for instance, if the parents failed to give the school district adequate notice of their intent to enroll the child in private school." Id. at 2496; see also 20 U.S.C. § 1412(a)(10)(C)(iii)(I)(aa) & (bb) (allowing reduction or denial if "the parents did not inform the IEP Team that they were rejecting the placement proposed by the public agency" or "10 business days ... prior to the removal ... the parents did not give written notice to the public agency").
Applying these principles, the court finds that the Hearings Officer erred in deciding at a summary judgment stage that the State denied M.F. a FAPE (even given that the State committed procedural violations of the IDEA). He omitted the second step by not analyzing whether the procedural violations resulted in the "loss of an educational opportunity or seriously infringe[d] the parents' opportunity to participate in the IEP formation process." L.M., 556 F.3d at 909. He also erred at the third step by making awards of reimbursement and compensatory education without weighing necessary equitable factors.
It is undisputed that the State did not have an IEP for M.F. in place at the beginning of M.F.'s SY 2008-2009 or SY 2009-2010, and did not review the May 2008 IEP in 2009. M.F. contends, and the Hearings Officer found, that the State thereby violated the IDEA, 20 U.S.C. §§ 1414(d)(2)(A) & 1414(d)(4).
The State, however, argues that M.F.'s unilateral withdrawal from public education in July 2008 excused it from preparing further IEPs until M.F.'s parents requested public services in December 2009. The State makes a seemingly logical assertion: The IDEA does not require parents to accept public special education services, and if parents unilaterally choose a private placement it makes little sense for the State to continue to go through the process of preparing an IEP as if a student is in a public placement. And, in fact, the IDEA'S statutory and regulatory scheme contemplates such a scenario in two ways.
First, by regulation, a public agency "[i]s not required to convene an IEP Team meeting or develop an IEP ... for the child for further provision of special education and related services," 34 C.F.R. § 300.300(b)(4)(iv), "[i]f, at any time subsequent to the initial provision of special education and related services, the parent of a child revokes consent in writing for the continued provision of special education and related services[.]" 34 C.F.R. § 300.300(b)(4).
Second, the IDEA directly addresses at the remedial stage whether a student can receive costs for a unilateral private placement, absent a challenge to an offer of FAPE. As noted above, the IDEA allows reduction or denial of the costs of a unilateral placement if "the parents did not inform the IEP Team that they were rejecting the placement proposed by the public agency," 20 U.S.C. § 1412(a)(10)(C)(iii)(I)(aa), or "prior to the removal of the child from the public school, the parents did not give written notice to the public agency of the information described in [§ ](aa)." 20 U.S.C. § 1412(a)(10)(C)(iii)(I)(bb); see also 34 C.F.R. § 300.148(c).
But the State has not cited, and the court has not found, a statutory or regulatory provision that specifically relieves a public agency of a duty to comply with the IEP provisions (§§ 1414(d)(2)(A) and 1414(d)(4)) where — as here — the student withdraws orally, and where the public agency does not then obtain confirmation in writing and assure that the parents are doing so in an informed manner. Rather, the State simply re-asserts the general notion that parents must consent before accepting public services. It cites 34 C.F.R. §§ 300.300(b)(1)
While parents certainly are free to reject public services and choose a private placement, the IDEA'S mandate centers on the concept that parents be given proper notice so that their consent (or withdrawal of consent) and corresponding educational decisions are informed ones. See, e.g., JG v. Douglas Cnty. Sch. Dist., 552 F.3d 786, 793 n. 4 (9th Cir.2008) (reasoning the IDEA'S procedural requirements are "[t]o guarantee parents the ability to make informed decisions about their child's education"); Amanda J. v. Clark County School Dist., 267 F.3d 877, 891 (9th Cir. 2001) (indicating the purpose of the IDEA'S notice procedures is to assure parents are "fully inform[ed]"); see also 34 C.F.R. § 300.9(a) (defining "consent" to mean "[t]he parent has been fully informed of all information relevant to the activity for which consent is sought") & (b) (further defining "consent" to mean "[t]he parent understands and agrees in writing to the carrying out of the activity for which his or her consent is sought"). Fundamentally, the State has an obligation to "ensure that the rights of children with disabilities and parents of such children are protected." 20 U.S.C. § 1400(d)(1)(B).
Notwithstanding the periodic notices sent months later, the State appears to have taken no affirmative steps (e.g., written notices under 20 U.S.C. § 1415 and 34 C.F.R. § 300.503) when M.F. was orally withdrawn in July 2008 so as to confirm that her parents were informed of their rights at that important time. As noted above, before services are terminated, the IDEA'S current regulations require prior written notice consistent with 34 C.F.R. § 300.503 to parents if a student withdraws in writing from a public placement, 34 C.F.R. § 300.300(b)(4)(i) — and so certainly a revocation done orally would require no less. The fundamental IDEA principle of informed consent existed long before § 300.300(b)(4)(i) took effect. Thus, the State's logic (that — automatically — an IEP is not required whenever a student receiving special education services withdraws from public education) is flawed.
Because there is no authority excusing the State under these circumstances (verbal withdrawal with no written follow-up) from the clear direction in sections 1414(d)(2)(A) & 1414(d)(4) to prepare and review IEPs, the court agrees with the Hearings Officer that the State violated the IDEA by not at least attempting to prepare an IEP at the beginning of M.F.'s SY 2008-2009 and SY 2009-2010.
Even given procedural violations, however, the Hearings Officer erred in summarily concluding that those violations necessarily denied M.F. a FAPE without first addressing whether those violations actually resulted in the "loss of an educational opportunity." See, e.g., L.M., 556 F.3d at 909; 20 U.S.C. § 1415(f)(3)(E)(ii). That is, the Hearings Officer omitted the relevant "harmless error" inquiry, and simply found that denials of FAPE follow the absence of an IEP and its annual review.
Although an educational opportunity may certainly be lost if there is no IEP, M.F.'s parents appear not to have desired an IEP — much less a public placement — at all. M.F.'s parents did not respond to multiple notices from the DOE, and did not challenge the DOE's offer of a FAPE in May 2008 before choosing to enroll M.F. at Variety School in July/August 2008 and at Loveland in December 2009.
Although on the present record, it certainly appears that no educational opportunity was lost, the court recognizes that the record was not developed at the administrative level in this regard, especially as to whether M.F.'s parents would have accepted a public placement (i.e., a "lost educational opportunity") during this period. See, e.g., MM v. Sch. Dist. of Greenville Cnty., 303 F.3d 523, 535 (4th Cir.2002) (reasoning that there was no evidence that student suffered an educational loss because her parents "would [not] have accepted any FAPE offered by the District"); C.H. v. Cape Henlopen Sch. Dist., 606 F.3d 59, 67-70 (3d Cir.2010) (concluding there was no "loss of educational opportunity" in a situation where an IEP was not in place at the beginning of school year, due in part to lack of "cooperation" by parents); Ashland, 587 F.3d at 1185-86 (similar); see also P.P. v. West Chester Area Sch. Dist., 585 F.3d 727, 738 (3d Cir.2009) (adopting a hearings officer's reasoning, in denying compensatory education, that "there was no way [student] would have gone to public school until the 2005-2006 school year, and compensatory education should only have been awarded if the record showed that, if the evaluation had been timely, the parents would have transferred him to the District."). But if M.F.'s parents would not have accepted a public placement for SY 2008-2009 or SY 2009-2010, there would be no "loss of educational opportunity" from the failure to comply with §§ 1414(d)(2)(A) and 1414(d)(4) (i.e., the failure to have an IEP in place for SY 2009-2010 or failure to review the May 2008 IEP annually).
Because the Hearings Officer's finding of denials of FAPE was made at the summary judgment stage, no hearing was conducted as to the circumstances and nature of M.F.'s withdrawal. No fact finding was done as to whether there was a loss of educational opportunity. No fact finding was done regarding the reasons M.F.'s parents apparently ignored the State's notices of July 31, 2008, November 3, 2008, and August 25, 2009. No fact finding addressed whether the parents' lack of responses constituted a "lack of cooperation." (Moreover, the Hearings Officer then awarded reimbursement and compensatory education without weighing any of these types of factors.) In short, remand is necessary for a proper and complete determination of whether M.F. was denied a FAPE based on the procedural violations.
The Hearings Officer also erred in awarding reimbursement and compensatory education for denials of FAPE without addressing 20 U.S.C. 1412(a)(10)(C)(iii), and its requirement to consider the parents' failure to challenge the May 2008 offer of FAPE and failure to
Schoenbach v. Dist. of Columbia, 309 F.Supp.2d 71, 84 (D.D.C.2004) (quoting Greenland Sch. Dist. v. Amy N., 358 F.3d 150, 159, 160 (1st Cir.2004)); see also Ashland, 587 F.3d at 1184 (permitting court to deny reimbursement because of parents' failure to give school notice of objections to IEP); Berger v. Medina City Sch. Dist., 348 F.3d 513, 524 (6th Cir.2003) (upholding decision to deny reimbursement for failure to provide notice as required under § 1412(a)(10)(C)(iii)(I)(aa)). Whether "the parents failed to give the school district adequate notice of their intent to enroll the child in private school" is a key equitable factor in deciding whether to award costs of a private placement. See Forest Grove, 129 S.Ct. at 2496 (explaining that the court "must consider all relevant factors, including the notice provided by the parents and the school district's opportunities for evaluating the child, in determining whether reimbursement for some or all of the cost of the child's private education is warranted"). The analysis requires a decisionmaker "to weigh the equitable factors." Forest Grove III, 638 F.3d at 1239. The Hearings Officer did none of this in either his August 26, 2010 Summary Judgment Order, or his November 2010 Decision — and proper weighing requires fact finding.
Although the court remands for necessary fact finding, the court nevertheless upholds the findings in the November 2010 Decision regarding the State's offer of placement at an ILC, and M.F.'s corresponding unilateral placement at Loveland. That is, the court agrees with the Hearings Officer's findings that (1) the State's February 11, 2010 offer of placement at an ILC was inappropriate (a finding that the State did not challenge on appeal to this court, and it is now deeded admitted by the State); and (2) M.F.'s corresponding placement at Loveland was appropriate, both before and after February 11, 2010.
The evidence regarding the February 2010 IEP as summarized by the Hearings Officer was mixed. Ultimately, however, he determined that the State's offer of placement at an ILC was inappropriate because it was segregated. It offered the Student no opportunity to interact with peers. When it was offered, the ILC only had two other students, both male (one in sixth grade and one in seventh). It would have isolated Student. The goal was therapeutic so that Student could eventually return to a general education setting. AR 342, Nov. 2010 Decl. at 9, ¶ 32. Nevertheless, it did not meet her needs of "interaction with non-disabled peers and socialization opportunities." Id. at 18.
The State conceded at oral argument that it did not appeal the finding that its offer at an ILC was inappropriate. See Warren G. v. Cumberland Cnty. Sch. Dist., 190 F.3d 80, 84 (3d Cir.1999) (stating principle in an IDEA setting that "[a]n issue is waived unless a party raises it in its opening brief"); see also Blanchard v. Morton Sch. Dist., 509 F.3d 934, 938 (9th Cir.2007) (reasoning that "[Student] abandoned that claim by failing to raise it in her brief on appeal"). Rather, the State argues that, while Loveland might have been an appropriate setting for M.F. initially, Loveland does not "continue[] to be an appropriate placement for the 2010-11 school year." Doc. No. 11, Pl.'s Opening Br. at 18. It contends Loveland does not offer interaction with non-disabled peers and "interaction with peers who can be role models," id., or does not offer other opportunities for socialization.
Giving credit to the Hearings Officer's assessment of the live testimony of experts and witnesses, the court upholds the thorough and careful findings that Loveland was an appropriate placement at all relevant times. See, e.g., J.W., 626 F.3d at 439 ("[W]e look to the [IEP's] goals and goal achieving methods at the time the plan was implemented and ask whether these methods were reasonably calculated to confer [Student] with a meaningful benefit.... In striving for `appropriateness,' an IEP must take into account what was, and what was not, objectively reasonable ... at the time the IEP was drafted.") (quoting Adams v. State of Oregon, 195 F.3d 1141, 1149 (9th Cir.1999)). The record contains ample evidence that M.F. improved markedly
The court thus vacates the November 2010 Decision in part (to the extent it incorporated the prior summary judgment rulings) and upholds it in part. With this mixed decision, the court explains the appropriate remedy as follows.
Because the court vacates the August 26, 2010 Summary Judgment Order and remands for a full analysis of whether procedural errors led to a denial of FAPE (and, if so, what remedy applies), the court necessarily must vacate (without reference to "stay put" relief) the portions of M.F.'s reimbursement and compensatory education awards that were based on that summary judgment decision. If M.F. was not denied FAPE there would be no predicate for reimbursement of private placement at Loveland (at least until February 11, 2010, when the new IEP was offered), and no basis for the compensatory award for SY 2011-2012.
Thus, an important dispute — and one the court ultimately remands to the Hearings Officer for resolution — is whether the November 2010 Decision meant to address and find that the February 2010 IEP was a denial of FAPE separate and divorced from those based solely on procedural violations. The Hearings Officer's decision does not mention Rowley's "meaningful benefit" standard in relationship to the February 2010 IEP. Indeed, he appears to have found that M.F. did not prove that the IEP's "program" was a denial of FAPE. AR 201, 353, Nov. 2010 Dec. at 20. But he did find that the proposed "placement" at an ILC was not appropriate. As explained earlier — from a full reading of the November 2010 Decision — it appears the Hearings Officer started the September 22, 2010 hearing with it already having been established that M.F. had been denied FAPE. The Decision reads:
AR 193, 344-45, Nov. 2010 Dec. at 11-12. But the Hearings Officer also based his awards on a failure of the February 2010 IEP, in addressing M.F.'s claims for relief, as follows:
AR 201, 353, Nov. 2010 Dec. at 20.
It thus appears that the Hearings Officer made his awards in reliance on both his summary judgment decision and his review of the February 2010 IEP.
If the Hearings Officer found the February 2010 IEP was a separate denial of FAPE, then this court would have a basis to uphold the SY 2009-2010 reimbursement award (regardless of whether FAPE was denied at the beginning of SY 2009-2010 for prior procedural violations) from February 11, 2010 until February 10, 2011 (the date the February 2010 IEP offer would end, which would be well into SY 2010-2011). If, however, the Hearings Officer meant not to decide whether the February 2010 IEP was a denial of FAPE by itself — because he believed that it was not necessary, given his earlier Summary Judgment Order then that basis for reimbursement awards for SY 2009-2010 and SY 2010-2011 would not exist. Without resolving this question, it is not possible to apportion and uphold an award stemming solely from the February 2010 IEP. The November 2010 Decision is ambiguous in this regard, and the court deems it appropriate to remand the question to the Hearings Officer for clarification.
Upon remand, the Hearings Officer should also address other aspects of the remedy if he finds a loss of educational opportunity. As set forth above, a proper analysis must examine relevant equitable factors in deciding whether reimbursement should be restricted. See Forest Grove, 129 S.Ct. at 2496 (indicating a decision "must consider all relevant factors, including the notice provided by the parents and the school district's opportunities for evaluating the child, in determining whether reimbursement for some or all of the cost of the child's private education is warranted"); Forest Grove III, 638 F.3d at 1239 (requiring weighing of equitable factors in determining both whether to award reimbursement and, if so, in what amount).
The Hearings Officer must also weigh these equitable factors before making a compensatory award, where the award was based solely on procedural error. That is, a compensatory award should also take into account equitable factors, including whether a procedural error was prejudicial. See, e.g., P.P. v. West Chester Area Sch. Dist., 585 F.3d 727, 738 (3d Cir.2009) ("[A] procedural violation alone cannot
Finally, on remand the Hearings Officer can also consider and document the proper amount of reimbursement. In the November 2010 Decision, he awarded reimbursement for the costs of Loveland for SY 2010-2011, only three months into the school year — thus there was no evidence in the record as to Loveland's charges from October 2010 through the end of SY 2010-11. Pet. Ex. at 530.
The court thus remands for the Hearings Officer to consider the remedy for all aspects of the action (with "stay put" relief being considered separately, as analyzed below).
The court next addresses M.F.'s July 20, 2011 Stay Put Motion. Doc. No. 24.
The Stay Put Motion first seeks under 20 U.S.C. § 1415(i)(2)(C)(ii) to supplement the record to add evidence regarding (1) the nature and costs of Loveland's services (additional billing statements, and Affidavits of Maurolyn Guritza and Patricia Dukes), Doc. Nos. 24-3 to 24-22, and (2) correspondence between the parties regarding payment of "stay put" during these proceedings. Doc. Nos. 24-23 to 24-35. As discussed at the hearing in this matter, the State does not object to supplementation (and a party plainly has a right to submit relevant additional evidence in these proceedings). The court thus GRANTS the portion of the Stay Put Motion seeking additional evidence be made part of the record.
The Stay Put Motion also seeks partial summary judgment on the State's liability for reimbursement beginning from February 11, 2010 forward because the State did not appeal the finding that its proposed placement at an ILC was inappropriate. This aspect of the Motion essentially duplicates part of the administrative review proceeding. As analyzed above, it is ambiguous whether the Hearings Officer's reimbursement award for SY 2010-2011 was based solely on the February 2010 IEP's inappropriate offer of placement (or whether that finding was meant to be a finding of denial of FAPE). That is, it is unclear whether the SY 2010-2011 reimbursement award was based in part on the prior denials of FAPE (which the court is remanding). Because the court is remanding for the Hearings Officer to clarify the intent of his November 2010 Decision, it is premature to enter summary judgment in favor of M.F. on this issue. At present, disputed issues of material fact remain.
The third request in the Stay Put Motion seeks relief under 20 U.S.C. § 1415(j), primarily in the form of payment to Loveland for M.F.'s past placement from December 2009 through August 2011.
Section 1415(j) provides, in pertinent part:
The Ninth Circuit has interpreted this provision as making "the school district and the state responsible for the costs of [a student's] placement during the court review proceedings regardless of which party prevails in this appeal." Clovis Unified Sch. Dist. v. Cal. Office of Admin. Hearings, 903 F.2d 635, 641 (9th Cir. 1990). "[O]nce the [Hearings Officer] decided that the parents' [private] placement was the appropriate placement, it became the `then current educational placement' within the meaning of section [1415(j) ]." Id. (citing Sch. Comm. of Burlington, 471 U.S. at 372-73, 105 S.Ct. 1996). A school district's "consent to the private placement is implied by law." L.M., 556 F.3d at 912 (quoting Mackey v. Bd. of Educ. for Arlington Cent., 386 F.3d 158, 163 (2d Cir. 2004)). At that point, under § 1415(j), "the school district is responsible for appropriate private education costs regardless of the outcome of an appeal." Id. (citing Clovis, 903 F.2d at 641). A contrary reading "would force parents to leave a child in what they feel may be an inappropriate educational placement, or act at their peril in keeping a child in their chosen placement, after a successful administrative ruling." Clovis, 903 F.2d at 641 (citing Sch. Comm. of Burlington, 471 U.S. at 372-73, 105 S.Ct. 1996). In short, a ruling in favor of a student's private placement transforms a placement from unilateral to "bilateral." See, e.g., D.C. v. Dep't of Educ., 550 F.Supp.2d 1238, 1249 (D.Haw.2008) ("[A] favorable administrative ruling constituted the State's agreement to the private placement, thus transforming a once-unilateral private placement into the child's `then-current educational placement' for the purposes of the stay-put provision").
M.F. argues that the State "agreed" to placement at Loveland as of either December 2009 (when M.F. enrolled at Loveland) or February 2010 (when the State offered an inappropriate placement at an ILC). That is, M.F. asserts that the State's concession in this proceeding should be construed as a bilateral "agreement" that M.F.'s "then-current educational placement" under § 1415(j) was Loveland effective in December 2009 or February 2010. M.F. thus contends that Loveland became her stay put placement as early as December 2009, such that the State must pay as stay put relief Loveland's tuition incurred from one of those dates until August 2011 when she enrolled by consent at AOP. The court disagrees.
When M.F. withdrew from public school in July 2008, in favor of Variety School, she did so "unilaterally." Her parents did not challenge the May 2008 IEP as a denial of FAPE. Likewise, when she began at Loveland in December 2009, it too constituted a unilateral placement. Later, after requesting services, the State made an offer of FAPE in its February 2010 IEP, which M.F. then challenged. Meanwhile, she remained at Loveland in her unilateral placement. It was not until the November 2010 Decision that the Hearings Officer determined that the February 2010 IEP offered an inappropriate placement, and that private placement at Loveland was appropriate. At that point, placement at Loveland became "bilateral" — it became the "then current educational placement" within the meaning of § 1415(j). See Clovis Unified Sch. Dist., 903 F.2d at 641; D.C., 550 F.Supp.2d at 1248-49.
The court finds no basis for deeming the stay put period to have begun earlier. Under M.F.'s theory, the State "agreed" that placement at Loveland was appropriate in December 2009 or February 2010 when it chose not to challenge those findings of the Hearings Officer (and chose not to challenge the finding that its offered placement at an ILC was inappropriate). But even if such a concession could constitute the necessary "consent" to the private placement, the State only "agreed" when it chose not to appeal those particular findings — which occurred at the earliest on December 14, 2010 when it filed its appeal to the First Circuit Court, State of Hawaii. See Doc. No. 1-1, Notice of Admin. Appeal at 6. Its "agreement" could also have occurred when its opening brief failed to raise the issues. Either way, the "agreement" was after the November 2010 Decision, when the placement at Loveland had became bilateral.
The remaining question is whether Loveland's expenses should or can be reduced to reflect those aspects of the Hearings Officer's decision in favor of the DOE regarding occupational/physical therapy and speech services.
Loveland's Executive Director, Patricia Dukes, explains that services to M.F. were delivered "through a fully integrated, inter and intra dependent, trans-disciplinary team approach." Doc. No. 24-3, Dukes Aff. ¶ 5. Dukes reviewed M.F.'s particular billings, and attests that any separately billed charges "do not include any charges for group or individual speech language occupational therapy and/or physical therapy." Id. ¶ 8. Thus, M.F.'s argument appears to be either (1) Loveland cannot segregate charges for individual speech language and occupational/physical therapy (as any such services are integrated into their day treatment program), or (2) Loveland provided no such services to M.F. at all.
On July 11, 2011, the State paid Loveland $121,446.16, representing its stay put payment for Loveland's services from November 18, 2010 until May 31, 2011.
As analyzed above, the November 2010 Decision is now the bilateral, current, educational placement. The prior placement at Loveland, including the services provided in that placement, was unilateral. And the bilateral placement — and the particulars of it as found to be proper by the Hearings Officer — cannot be changed without consent under § 1415(j). See Susquenita Sch. Dist. v. Raelee S., 96 F.3d 78, 86 n. 9 (3rd Cir.1996) ("The `new' ["stay-put"] placement created here by agreement is, by the terms of the agreement — i.e., the appeals panel decision, — effective "unless [the decision] is overturned in a Commonwealth or federal district court.""); see also K.D. v. Hawaii Dep't of Educ., 665 F.3d 1110, 1118 (D.Haw.2011) ("Where a parent unilaterally changes the placement of a child, but a subsequent administrative or judicial decision confirms that the parental placement is appropriate, the decision `constitute[s] an agreement by the State to the change of placement' and the placement becomes the `current educational placement' for the purposes of the stay put provision.") (citations omitted) (emphasis added). Thus, the State's position (that it should not be required to pay for services that were unilateral before the November 2010 Decision) has some validity.
The matter, however, is not as simple as the State has argued. If M.F. did not actually receive any services that the Hearings Officer found were not required, then the State should not have reduced Loveland's billings. Further, if the nature of Loveland's program is truly such that it is impossible to segregate costs for any speech/language and occupational/physical therapy services that it might have provided to M.F., then as an equitable matter it appears improper for the State to deduct amounts it estimated (on its own) for such services.
"Stay put" relief need not duplicate exactly what was previously in place. See, e.g., Johnson, 287 F.3d at 1181 (reasoning that school district "can meet the requirements of the `stay put' provision by providing comparable educational placement"); Makiko D., 2007 WL 1153811, at *10 (citing numerous cases indicating that "a stay-put placement must be comparable to [the student's] placement under the [hearings officer's] Order and must approximate his
Here, for example, if Loveland's services are not subject to being segregated, Loveland could still hold M.F.'s parents responsible for amounts not paid by the State (i.e., approximately $12,500) for services that the parents had no ability (especially in hindsight) to decline as part of the "stay put" placement at Loveland. The court can easily envision scenarios where parents and a disabled student would be put in an untenable situation of having to decide whether to continue at a bilateral placement (and still incur significant and potentially prohibitive expenses — such as the $12,500 at issue here — for extra services), or to accept an inappropriate public placement, but at no cost. This would be contrary to the purpose of the IDEA. See, e.g., Clovis, 903 F.2d at 641 (recognizing that the Supreme Court "refused to give the stay put provisions a reading that would force parents to ... act at their peril in keeping a child in their chosen placement, after a successful administrative ruling").
Ultimately, however, making this decision requires further fact-finding. It is unclear whether M.F. actually received services that the Hearings Officer found were not necessary. It is also unclear whether the nature of Loveland's program is such that it is not possible to segregate payment for individual occupational/physical therapy and speech/language services from its otherwise integrated program. These are questions that State Hearings Officers (who have particular familiarity with Loveland's programs and practices) can address at an evidentiary hearing, and that the Hearings Officer here can consider along with other matters that the court is remanding. See, e.g., Makiko D., 2007 WL 1153811, at *10 (remanding factual issue regarding placement to determine appropriate stay put relief).
Based on the above, the court AFFIRMS in Part and REMANDS in Part the Hearings Officer's November 18, 2010 Decision.
The court also GRANTS in part and DENIES in part Defendant's Stay Put Motion, Doc. No. 24, and REMANDS for further findings relevant to "stay put" relief.
The Clerk of Court shall close this case. If, after the Hearings Officer issues a new decision, either party subsequently appeals under 20 U.S.C. § 1415(i)(2)(A), the court shall waive the filing fee and the matter will be assigned to this court under Local Rule 40.2.
IT IS SO ORDERED.
The Hearings Officer also cited Hawaii Administrative Rule ("HAR") § 8-56-31(a) (repealed Nov. 23, 2009), which provided that "[a]t the beginning of each school year the [DOE] shall have an IEP in effect, for each student with a disability within its jurisdiction." See also HAR § 8-60-47(a) (effective Nov. 23, 2009) ("At the beginning of each school year, the [DOE] shall have in effect, for each student with a disability within its jurisdiction, an IEP[.]").
See also 34 C.F.R. § 300.148 (same).
Of particular importance, however, the Secretary of Education required the regulation "to specify that prior written notice consistent with [34 C.F.R.] § 300.503 be provided to parents before a public agency discontinues special education and related services to their child." Id. at 73008. Thus, even after receiving written notice of withdrawal, § 300.300(b)(4)(i) does not allow agencies to discontinue services without "prior written notice to the parent regarding the change in educational placement and services that will result from the revocation of consent." Id. And so, even if a written withdrawal was not required when M.F. withdrew in July 2008 (as it would be currently), the current regulation is grounded in, and reflects, the fundamental IDEA principle of parental participation with informed consent that existed well before July 2008.
Likewise, the court has considered a ruling in Moorestown Township Board of Education v. S.D., 811 F.Supp.2d 1057, 1067-68 (D.N.J. 2011), indicating that a public agency need not have an IEP in place for a child who has unilaterally enrolled in private school and thus rejected a public offer of FAPE. Moorestown primarily addressed whether a student in a private placement must actually be "enrolled" in public school before a school district is required to evaluate the student, prepare an IEP, and offer FAPE. It ultimately answered the question "no," reasoning that the evaluation and IEP obligations derive from residence in the school district, not actual enrollment in a public school. 811 F.Supp.2d at 1068-69. In so doing, it indicated that it was enough that a parent of a privately-enrolled student requested an evaluation, and thus requested an IEP — and in that context observed that a school district need not otherwise annually evaluate a privately-enrolled student and develop a corresponding IEP. Id. at 1072-74.
Moorestown looked to statutory and regulatory provisions requiring public agencies to have an IEP in effect at the beginning of a school year for each disabled child "in the agency's jurisdiction," and thus stated that "[t]he statutory framework logically suggests that [a local educational agency] need not have in place an IEP for a child who has unilaterally enrolled in private school and thereby rejected the district's offer of a FAPE." Id. at 1068. This particular reasoning implies (misleadingly) that an agency's "jurisdiction" refers to students receiving public services, either in public school or in an agency-placed private school (and not including unilaterally-placed private school students). Read in context, however, and considering regulatory commentary, it is apparent that "jurisdiction" refers to geography — that is, it refers to a student's residence as the criteria for which local agency is responsible for IDEA compliance. See, e.g., 71 Fed. Reg. 46540-01, 46593 (Aug. 14, 2006) (reasoning that "[34 C.F.R.] § 300.201 [which refers to "children with disabilities within its jurisdiction"]... clarifies that the district of residence is responsible for making FAPE available to the child.").
Moorestown also relied, in part, on question-and-answer commentary to regulations promulgated under an older version of the IDEA, where the Office of Special Education and Rehabilitative Services ("OSERS") considered whether a public agency must evaluate a privately enrolled student annually to avoid potential reimbursement claims. 811 F.Supp.2d at 1071-74. OSERS answered that under "[t]he new statutory provisions, incorporated in the regulations [20 U.S.C. § 1412(a)(10)(C)(iii)(I) and the current 34 C.F.R. § 300.148(c)]," a claim for reimbursement "must be made before a child is removed from a public agency placement." Id. at 1073 n. 12 (quoting 64 Fed. Reg. 12406-01, 12601 (Mar. 12, 1999)). Accordingly, "[i]t would not be necessary for a public agency to develop an IEP that assumes a public placement for each private school each year." Id. It also noted that "since [public agencies] must make FAPE available to all children with disabilities in their jurisdiction ... public agencies must be prepared to develop an IEP and to provide FAPE to a private school child if the child's parents [actually] re-enroll the child in public school." Id. The OSERS commentary — although it addressed a prior version of IDEA's regulations — thus also indicates (as discussed below) that parents might not be entitled to private placement costs if they do not challenge an offer of FAPE before removing the child from a public school.
Ultimately, however, even if Moorestown supports the State's position, its reasoning is not dispositive as to whether IEP requirements continue to apply where — as here — a student only withdraws orally and without written notice having been given by the State at that time. Indeed, Moorestown's rulings make complete sense, but only if parents are fully informed. As with Amann, the court will not apply Moorestown here, where M.F.'s withdrawal was oral and where there is no indication that the withdrawal was done on an informed basis (such as in compliance with notice provisions in 20 U.S.C. § 1415 and 34 C.F.R. § 300.503).