[PUBLISH]
IN THE UNITED STATES COURT OF APPEALS
FILED
FOR THE ELEVENTH CIRCUIT U.S. COURT OF APPEALS
________________________ ELEVENTH CIRCUIT
MAR 16 2001
THOMAS K. KAHN
No. 99-2049 CLERK
________________________
D. C. Docket No. 58-03554-CIV-T-17C
ANDREW L. MANNING, a minor, by his
father and next friend, Willie Manning,
SHAYRON R. REED, by her father and next
friend, Sanders B. Reed, SANDRA E. REED, et al.,
Plaintiffs-Appellees,
versus
THE SCHOOL BOARD OF
HILLSBOROUGH COUNTY, FLORIDA
(formerly Board of Public Instruction of
Hillsborough County, Florida), CLYDE
MCLEOD, et al.,
Defendants-Appellants.
________________________
Appeal from the United States District Court
for the Middle District of Florida
_________________________
(March 16, 2001)
Before BLACK, FAY and COX Circuit Judges.
BLACK, Circuit Judge:
Appellants, the School Board of Hillsborough County, Florida, and its officials,
appeal two orders of the district court which subject them to continued supervision
under a federal desegregation decree. See Manning v. Sch. Bd. of Hillsborough
County, Fla., 24 F.Supp.2d 1277 (M.D. Fla.), mot. to alter or amend den., mot. for
clarification granted in part, 28 F.Supp.2d 1353 (M.D. Fla. 1998). Appellants argue
that they have eliminated the vestiges of past discrimination to the extent practicable
and have fully complied in good faith with the desegregation decree. Accordingly,
Appellants claim their school district should be declared unitary and federal judicial
supervision should cease. Conversely, Appellees, a class of African-American
schoolchildren, contend the school district is not unitary and federal judicial oversight
of Appellants remains necessary. We hold that Appellants have achieved unitary
status. We reverse and remand for the district court to enter judgment, in accordance
with this opinion, declaring the Hillsborough County school system to be unitary.
I. BACKGROUND
A. Procedural History
Appellants for many years operated a racially-segregated, dual school system.
As a result of the Supreme Court’s landmark decision in Brown v. Board of Education
of Topeka, 347 U.S. 483, 74 S. Ct. 686 (1954) (Brown I), Appellees in 1958 filed this
2
class-action lawsuit on behalf of all “minor Negro children and their parents” residing
in Appellants’ school district.1 In 1962, the district court found that Appellants, by
operating a segregated school system, had violated the Fourteenth Amendment. For
the next eight and half years, the district court issued various orders as part of its
efforts to remedy the harm caused by Appellants’ unconstitutional conduct. See, e.g.,
Mannings v. Bd. of Pub. Instruction of Hillsborough County, Fla., 306 F. Supp. 497
(M.D. Fla. 1969).
1
The lawsuit was filed in the Southern District of Florida. In 1962, the Middle District
of Florida was created, and the case was transferred to that court’s docket on November 2, 1962.
In a May 1971 order, the presiding district judge noted that this case was — in 1971 — the
oldest active case on the docket of the Middle District of Florida. Of course, the same holds true
today.
The Honorable Thurgood Marshall, prior to his appointment to the Supreme Court,
served as one of the attorneys for Appellees. The lead plaintiff was, and still is, Andrew L.
Manning; through the many years of litigation, his surname has frequently, and incorrectly, been
spelled “Mannings.” The institutional defendant was formerly known as the Board of Public
Instruction of Hillsborough County.
The following are the published opinions arising from this case: Mannings v. Bd. of Pub.
Instruction of Hillsborough County, Fla. 277 F.2d 370 (5th Cir. 1960); Mannings v. Bd. of Pub.
Instruction of Hillsborough County, Fla., 306 F. Supp. 497 (M.D. Fla. 1969); Mannings v. Bd. of
Pub. Instruction of Hillsborough County, Fla., 427 F.2d 874 (5th Cir. 1970); Mannings v. Sch.
Bd. of Hillsborough County, Fla., 796 F.Supp. 1491 (M.D. Fla. 1992); Mannings v. Sch. Bd. of
Hillsborough County, Fla., 816 F.Supp. 714 (M.D. Fla. 1993); Mannings v. Sch. Bd. of
Hillsborough County, Fla., 149 F.R.D. 235 (M.D. Fla. 1993); Mannings v. Sch. Bd. of
Hillsborough County, Fla., 149 F.R.D. 237 (M.D. Fla. 1993); Mannings v. Sch. Bd. of
Hillsborough County, Fla., 1994 WL 151045 (M.D. Fla. 1994); Mannings v. Sch. Bd. of
Hillsborough County, Fla., 851 F.Supp. 436 (M.D. Fla. 1994); Mannings v. Sch. Bd. of
Hillsborough County, Fla., 1994 WL 361994 (M.D. Fla. 1994); Mannings v. Sch. Bd. of
Hillsborough County, Fla., 1995 WL 689341 (M.D. Fla. 1995); Mannings v. Sch. Bd. of
Hillsborough County, Fla., 1995 WL 689348 (M.D. Fla. 1995); Manning v. Sch. Bd. of
Hillsborough County, Fla., 1999 WL 786373 (M.D. Fla. 1999). Additionally, a law review
article is devoted exclusively to this litigation. See Drew S. Days, III, The Other Desegregation
Story: Eradicating the Dual School System in Hillsborough County, Florida, 61 Fordham L.
Rev. 33 (1992).
3
In 1970, our predecessor court examined whether Appellants had sufficiently
eradicated the illegal dual school system such that it could be found “unitary.” See
Mannings v. Bd. of Pub. Instruction of Hillsborough County, Fla., 427 F.2d 874 (5th
Cir. 1970). Relying upon the six so-called Green2 factors, the former Fifth Circuit
concluded that, with regard to three factors (transportation, extracurricular activities,
and facilities), Appellants had indeed achieved a unitary school district. See
Mannings, 427 F.2d at 878. Nonetheless, based on its examination of three other
factors (faculty desegregation, staff desegregation, and student assignments), the court
found Appellants had fallen short and had not attained unitary status. See id. The
case was remanded to the district court with instructions to remedy the deficiencies.
See id.
After remand, the Supreme Court, in Swann v. Charlotte-Mecklenburg Board
of Education, 402 U.S. 1, 91 S. Ct. 1267 (1971), gave firm guidance on a district
court’s equitable power to remedy illegal segregation. On May 11, 1971, just 21 days
after Swann was decided, the district court directed Appellants to submit a
comprehensive desegregation plan that conformed with the requirements of Swann.
Thereafter, Appellants submitted such a plan, and the district court adopted the plan
in its order dated July 2, 1971 (the July 1971 Order). From 1971 to 1991, the district
2
Green v. County Sch. Bd. of New Kent County, 391 U.S. 430, 88 S. Ct. 1689 (1968).
4
court’s supervision of Appellants was governed, with some minor modifications,
exclusively by the July 1971 Order.3
In 1991, Appellants and Appellees entered into a consent decree (1991 Consent
Order). The primary reason for the 1991 Consent Order was to enable Appellants to
reorganize the school district, so as to eliminate single grade centers and to create
middle schools. The 1991 Consent Order, which was to be implemented over a 7-year
period, did not annul the July 1971 Order, but merely modified it.
Appellee moved in 1994 to enforce the 1991 Consent Order. The matter was
referred to the magistrate judge who recommended denying the motion. The district
judge, however, deferred ruling on the motion and sua sponte recommitted the matter
to the magistrate judge to consider whether the school district had become unitary,
thereby removing the need for federal judicial oversight.
In October 1996, the magistrate judge conducted a 7-day hearing, at which both
sides presented considerable evidence. In August 1997, the magistrate judge issued
a detailed report and recommendation wherein she recommended the district court
find that Appellants had achieved unitary status and thus should be released from
federal judicial supervision. Without holding an evidentiary hearing, the district judge
in a 110-page order dated October 26, 1998, rejected in part and adopted in part the
3
For a summary of the minor modifications, see infra note 6.
5
magistrate judge’s report and recommendation. See Manning, 24 F.Supp.2d at 1277-
1335. The district judge concluded that Appellants had not attained unitary status and
therefore federal judicial supervision was still warranted.4 See Manning, 24 F.Supp.
2d at 1335. Within ten days of the order dated October 26, 1998, Appellants filed a
motion to alter or amend judgment pursuant to Fed. R. Civ. P. 59(e). The district
court, in a 13-page order, denied the motion on December 4, 1998. See Manning, 28
F.Supp.2d at 1361. Within 30 days, Appellants filed a notice of appeal as to the
district judge’s orders of October 26, 1998, and December 4, 1998.
B. Facts
To analyze this case that has endured for over 40 years, we first summarize the
contents of the July 1971 Order and the 1991 Consent Order, which, with minor
modifications, have served as the guideposts for Appellants’ journey toward a unitary
school district. Then, we set forth the district court’s most recent factual findings with
respect to Appellants’ unitary status.
1. July 1971 Order
4
Before the district court, Appellees also argued that, even if the school district were
unitary, this status would not constitute a “changed circumstance” warranting a modification or
vacation of the 1991 Consent Order. See Manning, 24 F.Supp.2d at 1287-88 (citing Rufo v.
Inmates of Suffolk County Jail, 502 U.S. 367, 112 S. Ct. 748 (1992)). The district court rejected
Appellees’ argument. See id. at 1288. Since Appellees do not contest this ruling on appeal, we
do not address it.
6
As previously discussed, the district court ordered Appellants in May of 1971
to submit a comprehensive desegregation plan. The district court stated that the
“primary objective” of the plan should be the abolition of segregation. In particular,
the district court sought to eliminate, at every school, racial balances where black
students comprised more than 50% of the student population. The district court
further stated that the “most acceptable and desirable” result would be a white/black
ratio of 86%/14% in senior high schools, 80%/20% in junior high schools, and
79%/21% in elementary schools.
The July 1971 Order, which ratified Appellants’ proposed desegregation plan,
dealt primarily with student assignments in grades one through twelve. For
elementary schools, the plan clustered each predominately black school with two to
five predominantly white schools. The white schools would be used for grades one
through five and would be integrated with black children from “satellite zones”5 who
had previously attended the black school in the cluster. The black school in each
cluster would be used as a sixth-grade center and would be integrated with white
children who had previously attended the white schools in the cluster.
For junior high schools, each black school would be clustered with one to three
white schools. The black schools would be used for seventh grade, and the white
5
A satellite zone is an area not contiguous with the main attendance zone for the school.
7
schools would be used for eighth and ninth grades. Again, the schools would be
integrated with students from satellite zones. For senior high schools, the two black
schools would be closed, but their facilities would be used for junior high schools.
Through a series of re-zoning and satellite busing measures, the white high schools
would be integrated.
With regard to faculty and staff, the district court had previously entered an
order on August 25, 1970. In the July 1971 Order, the court found that no additional
measures were necessary, and it directed Appellants to continue to abide by the
August 25, 1970, order. With respect to transportation, facilities, and extracurricular
activities, the July 1971 Order directed Appellants to comply with all previous orders.
The order also mandated that all operations relating to these areas should be conducted
in a non-discriminatory manner and should be regularly re-examined by Appellants.
The July 1971 Order also remarked on four other topics: (1) majority to
minority transfers, (2) other transfer rules, (3) the bi-racial committee, and
(4) approval of site locations. Specifically, the district court stated, “Each of these has
been required by previous orders of this Court. Some of them may not be required if
[Appellants’] plan is effectuated and accomplished.” Nevertheless, the district court
stated that it was “retaining jurisdiction and [would] require the continuation of all of
these procedures to be available and used as necessary.”
8
Attached to the July 1971 Order were two exhibits which explained the bi-racial
committee, majority-to-minority transfers, and other transfer rules. The bi-racial
committee was to serve as an advisory body on a number of issues and was to consist
of ten members, with Appellants and Appellees each selecting five members. In some
instances, the committee was to receive reports about students transferring from their
assigned schools. In other instances, Appellants were barred from approving student
transfers before considering a recommendation from the committee.
Concerning majority-to-minority transfers, the attached exhibits stated the
following:
Majority to minority transfer – Any student shall be permitted to transfer
from a school in which his race is in the majority in order to attend the
closest school to his residence in which his race is in the minority.
....
The transfer forms shall be available at each public school in
Hillsborough County and the County School offices.
....
The transferee is to be given priority for space and thus the transfer is not
to be dependent on space being available.
Transportation will be provided by the School Board in service or in
kind to the school to which the transfer is made if that school is more
than two miles from the home.
In conclusion, the July 1971 Order stated that Appellants’ desegregation plan
“fully complie[d] with the [district] [c]ourt’s order of May 11, 1971," and that it
would “result in the establishment of a unitary school system in Hillsborough County,
9
Florida.” The July 1971 Order noted, however, that Appellants had a “continuing
responsibility” to ensure the plan would be effectuated. Moreover, each year
following the implementation of the July 1971 Order, Appellants filed two reports per
year with the district court and provided copies to Appellees. Lastly, the July 1971
Order retained jurisdiction in the district court for “such further action as may be
necessary and required.”
2. 1991 Consent Order
Between 1971 and 1991, the modifications to the July 1971 Order were minor.6
By 1991, however, Appellants had determined, based upon a comprehensive study,
that the school district would benefit if middle schools (grades 6-8) were established.
To accomplish this, the July 1971 Order had to be modified, because that order had
relied extensively on single-grade centers (grades 6 and 7) to desegregate the school
district. Thus, Appellants entered into negotiations with Appellees, and the product
of those negotiations was the 1991 Consent Order.
6
The modifications included, inter alia: changes in transfer rules for children of school
employees; approval of a new high school site; changes in academic transfer rules; the closure of
certain schools; and the creation of magnet schools. Perhaps, the most significant modification
dealt with Lee Elementary School, which by 1974 had a black population in excess of 50%. To
correct this imbalance, Appellants, pursuant to the district court’s order, converted Lee to a
sixth-grade center and transferred the former Lee students (first through fifth graders) to seven
other elementary schools.
10
The centerpiece of the 1991 Consent Order was the Middle School Task Force
Report 3 of July 1991 (hereinafter “Task Force Report”), which the district court
incorporated into the consent order.7 The Task Force Report was presented to the
school board by a 12-person committee. This committee included Mr. Henry Carley,
President of the Tampa Branch of the NAACP. In addition, a legal committee,
consisting of, inter alia, Mr. Al Davis of the NAACP, reviewed the Task Force
Report, and Appellees’ own desegregation expert, Dr. Leonard Stevens, was involved
in shaping the Task Force Report. Furthermore, the Task Force Report included two
separate position statements prepared by various African-American community
groups (Howard W. Blake Alumni Group, Coalition of African American
Organizations, Greater Tampa Urban League, Inc., and Beta Sigma Zeta Chapter of
Zeta Phi Beta Sorority). In sum, as the 1991 Consent Order explained, the Task Force
Report was the result of “extensive discussions” between Appellants and Appellees,
and the discussions were designed to “to ensure . . . that plans for the implementation
of the [Task Force Report] were formulated in a manner that addressed the interests
and concerns of [Appellees].”
7
The parties and the district court use interchangeably the terms “Task Force Report”
and “Middle School Plan.” For the sake of simplicity, we use solely the term Task Force Report.
11
The Task Force Report proposed substantial changes to the structure of the
school system. Under the July 1971 Order, the school system generally had consisted
of five tiers: elementary schools (grades K-5), sixth-grade centers, seventh-grade
centers, junior high schools (grades 8-9), and high schools (grades 10-12). In contrast,
the Task Force Report called for a three-tier school system: elementary schools
(grades K-5); middle schools (grades 6-8); and high schools (grades 9-12). This new
structure would be achieved through a so-called “cluster model,” under which 17
clusters would be formed. For each cluster, the high school would serve as the “basic
unit” and its students would be drawn from “feeder” middle and elementary schools.
The Task Force Report estimated that it would take five to seven years to implement
the cluster model.
The cluster model proposed by Task Force Report was undoubtedly the most
substantial change to the structure of the school system since the July 1971 Order.
The objective of July 1971 Order had been to desegregate the school system. By
contrast, one of the primary objectives of the Task Force Report was “to maintain a
desegregated school system.” (emphasis added). In an apparent attempt to meet this
objective, the 1991 Consent Order directed Appellants “to minimize (to the extent
practicable) the number of schools which deviate from the system-wide student
enrollment [race] ratios.” Moreover, the 1991 Consent Order assumed that
12
intervening demographic changes might necessitate future modifications in student
assignments in order to maintain a desegregated school district.8
To further the goal of maintaining desired race ratios, the Task Force Report
attempted to project the race ratios at each school after the cluster plan’s
implementation. In summary, the Task Force Report predicted:
The number of schools reflecting a ten or higher percent race ratio
variance [from the recommended ratio of 20/80%] will increase from 36
to 46. The plan also increases the number of schools from 56 to 72 that
will have an almost perfectly balanced race ratio with a student variance
of five percent or less from the recommended ratio of 20/80% ratio.
Appendix 1 of the Task Force Report provided more detail as to the projected racial
balance at each school. Fourteen schools were projected to have a 40% or greater
black population,9 and an additional four schools were projected to have a 39% black
population.10 These projections, as part of the Task Force Report, were incorporated
into the 1991 Consent Order — a consent decree to which Appellees were parties.
8
This assumption was wrong as a matter of law. External factors which are not the
result of segregation and are beyond a school board’s control should not be part of the remedial
calculus when shaping a federal desegregation decree. See Missouri v. Jenkins, 515 U.S. 70,
102, 115 S. Ct. 2038, 2055-56 (1995) (citing Pasadena City Bd. of Educ. v. Spangler, 427 U.S.
424, 434, 96 S. Ct. 2697, 2703-04 (1976)); infra Part II.B.1.
9
The 14 schools, with their projected race ratios, were as follows: Lomax (94%),
Edison (64%), Sulphur Springs (59%), Graham (58%), Oak Park (58%), Cleveland (50%),
Franklin (47%), Sligh (46%), Lockhart (45%), Palm River (41%), West Tampa (41%), Shaw
(41%), B.T. Washington (40%), Witter (40%).
10
The four schools were Foster, Bing, Dowdell, and Just.
13
Along with projecting race ratios, the Task Force Report instituted a variety of
programs designed to maintain a desegregated school system. For example, the report
implemented magnet programs,11 which were designed in part “to reduce minority
isolation” and “to promote desegregation in schools.”12 The report also suggested a
multi-cultural curriculum for students in all grades and instructional sessions to enable
staff to deal with diverse populations.
One omission in the Task Force Report, however, is particularly noteworthy in
light of subsequent events: majority-to-minority transfers. Although they had been
discussed briefly in the July 1971 Order, majority-to-minority transfers were not
mentioned once in the 37-page Task Force Report, nor in the 8 attached appendices,
nor in the 1991 Consent Order. Dr. Stevens — Appellees’ desegregation expert who
helped shape the Task Force Report — admitted at the 1996 evidentiary hearing that
majority-to-minority transfers would have been insignificant in alleviating the racial
imbalances in the school district.
3. Factual Findings
11
The magnet programs were intended to supplement a traditional curriculum with a
focus on special “themes”, such as computers and technology or visual and performing arts.
12
In addition, the “racial composition targets for magnet school populations [was] not
[to] exceed 40% black.”
14
The magistrate judge, in her 1997 report and recommendation, structured her
factual findings around the six Green factors,13 plus a seventh factor, quality of
education, which has been used by some courts to evaluate a school district’s unitary
status. See, e.g., Mills v. Freeman, 942 F.Supp. 1449, 1460 (N.D. Ga. 1996), aff’d,
118 F.3d 727 (11th Cir. 1997). In addition, the magistrate judge made factual findings
regarding Appellants’ good-faith compliance with past desegregation decrees, as
required by Board of Education of Oklahoma City v. Dowell, 498 U.S. 237, 250, 111
S. Ct. 630, 638 (1991), and its progeny. Based on all of these findings, the magistrate
judge recommended the school district be declared unitary in all respects and that
federal judicial supervision of the school district be terminated.
The district judge found that the magistrate judge’s report and recommendation
was “comprehensive” and “agree[d] with a majority of the [m]agistrate [j]udge’s
analysis.” Manning, 24 F.Supp.2d at 1287. For six of the seven factors (faculty, staff,
transportation, extracurricular activities, facilities and resource allocation, and quality
of education), the district judge adopted most, if not all, of the magistrate judge’s
findings.14 See id. at 1316-34. In their brief to this Court, Appellees do not contest
13
Those six factors are student assignments, faculty, staff, transportation, extracurricular
activities, and facilities and resource allocation. See Green, 391 U.S. at 435, 88 S. Ct. at 1693.
14
Regarding these six factors, the district judge’s order is less than clear. After a
thorough review, however, we are convinced that the district judge overruled most, and possibly
all, of Appellees’ objections to the magistrate judge’s report and recommendation. The
15
the findings related to these six factors, and thus further elaboration is unnecessary
except to emphasize that the findings support a declaration of unitary status.
With regard to the remaining Green factor (student assignments), the district
judge expressed some disagreement with the magistrate judge. The district judge also
differed with the magistrate judge’s finding on Appellants’ good-faith compliance.
As we discuss in Part II, the district judge used an incorrect legal standard. As a
result, the district judge’s legal conclusion, though based mostly upon the magistrate
judge’s factual findings, was erroneous. To help illuminate our discussion in Part II,
we narrate below the magistrate judge’s factual findings related to student assignments
and Appellants’ good faith, and we highlight, when necessary, particular findings
adopted by the district judge. We also note those few areas where the district judge
rejected the factual findings of the magistrate judge.
a. Student Assignments
As of the 1995-96 school year, the Hillsborough County school district
consisted of approximately 120,000 students, 108 elementary schools, 27 junior high
schools, and 15 senior high schools. Relying on a standard proposed by Appellees’
and Appellants’ experts, the magistrate judge designated any school with a
objections sustained by the district judge, if any, are inconsequential to our ultimate holding in
this case.
16
black/white ratio varying plus or minus 20 points from a 20/80 ratio as being “racially
identifiable” or “racially imbalanced.”15 It was undisputed that, by the 1971-72 school
year, all schools were desegregated. Furthermore, the evidence showed that, at the
time of the 1996 evidentiary hearing, approximately 90% of the schools were not
racially identifiable. Appellees, however, identified 17 schools as racially identifiable
15
Since the parties agree on what constitutes a racially identifiable school, we shall
accept their definition for purposes of this case and this case only. We pass no judgment on the
correctness of this definition.
17
and made these schools the focus of the 1996 evidentiary hearing.16 Ironically, of
these 17 schools, 9 were among the 14 schools that the Task Force Report projected
16
Both the district judge and the magistrate judge referred to 16 schools. A review of
the Joint Pre-Evidentiary Hearing Statement and the report by Appellees’ expert reveals that
Appellees challenged the racial identifiability of 17 schools. Both the district judge and the
magistrate judge omitted Mort Elementary from their findings. This oversight, however, is of no
significance. The following are the percentages of black students at each of these 17 challenged
schools during the 1972-73 and 1995-96 school years:
School Percentage of Black Percentage of Black
Students, 1972-73 Students, 1995-96
Robles 24% 91%
Edison 36% 77%
Sulphur Springs 19% 74%
Oak Park 23% 69%
Graham 35% 67%
Foster 21% 61%
Cleveland 26% 58%
Shaw 15% 57%
Witter 18% 54%
Cahoon 21% 53%
Clair Mel 18% 49%
West Tampa 14% 47%
DeSoto 35% 43%
Mort N/A 43%
Van Buren 17% 53%
Sligh 20% 50%
Dowdell 14% 48%
18
would have a 40% or greater black population, and two were among the four schools
that the Task Force Report projected would have a 39% black population.17
Immediately after the July 1971 Order was implemented, all of these schools became
racially balanced.18
The critical factual question at the evidentiary hearing was whether the racial
imbalances at the 17 schools were caused by Appellants’ past de jure segregation (or
other discriminatory conduct), or whether, instead, the racial imbalances were caused
by nondiscriminatory factors and circumstances. In a joint statement submitted prior
to the evidentiary hearing, Appellants contended that demographic shifts had caused
the schools to become racially identifiable. In the same joint statement, Appellees did
not directly rebut Appellants’ contention, but instead argued that “[d]emographic
change alone does not account for the racial identifiability in the Hillsborough County
school system.” (emphasis added).
To resolve their factual dispute, the parties presented considerable evidence to
the magistrate judge, including, inter alia, reports on attendance boundaries,
demographic reports, and expert testimony. We need not repeat all this evidence here,
as it is fully set forth in the opinion of the district court. See Manning, 24 F.Supp.2d
17
Compare supra notes 9, 10 with supra note 16.
18
One school, Mort, was not listed in the 1971 report submitted by Appellants and thus
presumably did not exist at that time.
19
at 1290-1312. Instead, we compare the findings of the magistrate judge to those of
the district judge.
The magistrate judge, in her report and recommendation, recounted the expert
testimony of Dr. David Armor, one of Appellants’ experts — testimony that the
magistrate judge personally observed. Dr. Armor explained that he reviewed the
extensive demographic data contained in a report by Dr. W.A.V. Clark, another of
Appellants’ experts. Based on this evidence, Dr. Armor opined on the witness stand
that “none of the schools that were currently imbalanced . . . were caused by
[Appellants’] action[s,]” but rather such imbalances “were caused by demographics.”
The magistrate judge also reviewed the testimony of Dr. Fred Shelley, Appellees’
demographic expert — once again, testimony that the magistrate judge personally
observed. Dr. Shelley did not conduct his own demographic study, but rather relied
on the data supplied by Dr. Clark (Appellants’ expert). Dr. Shelley opined “that it is
perhaps difficult to conclude that [the] increase in racial imbalance is attributable
solely to the processes of natural demographic change.” In the end, the magistrate
judge agreed with Dr. Armor and found that demographic change is the “most likely
20
explanation” for the racial imbalances. The magistrate judge faulted Dr. Shelley for
not providing an alternative explanation for the racial imbalances.19
The district judge, though not observing any of the testimony, agreed for the
most part with the findings of the magistrate judge. In conformity with Dr. Armor’s
opinion (and the magistrate judge’s finding), the district judge found that “[t]here
[was] no indication that the racial identity of the schools in Hillsborough County has
been deliberately caused by segregative policies or practices by [Appellants]” and that
“based on the totality of the evidence, a shift in demographics [was] a substantial
cause of the racial identifiability in Hillsborough County’s schools.” Manning, 24
F.Supp.2d at 1303, 1310. The district judge likewise was unable to cite, in either of
her two orders, any independent demographic evidence put forward by Appellees or
an alternative explanation proffered by Dr. Shelley as to the cause of the racial
imbalances.
19
In his report, Dr. Shelley did not attempt to link the present racial imbalances with past
de jure segregation, but rather merely tried to prove that demographics alone did not cause the
upsurge in racially identifiable schools. At the evidentiary hearing, when asked how his report
differed from Dr. Clark’s report, Dr. Shelley responded:
My reaction to the report was that, while I thought the demographic analysis was
very good, what I felt was missing in the report was how to reason from the
analysis of the demographic change that was undertaken to a conclusion that
demographic change was the sole cause of the observed racial imbalance in the
public schools in Hillsborough County.
Tr. of Evidentiary Hearing on October 24, 1996, Vol. 4, at 66 (emphasis added). Dr. Shelley
expressed doubts that “one can conclude without ambiguity that [the racial] imbalance is caused
only by natural demographic changes.” Id. at 66-67 (emphasis added).
21
The district judge seemed to have adopted in toto Appellants’ theory of the case
(and the magistrate judge’s finding). As the district judge stated time and time again,
a shift in demographics was a substantial or significant cause of the racial imbalances,
and Appellants did not deliberately cause the racial imbalances. See id. at 1293
(stating “that the racial imbalances in the schools [were] not the result of a deliberate
attempt by [Appellants] to affect or alter demographic patterns to affect the racial
composition of the schools”); id. at 1311 (finding “the evidence presented by the
parties establishes that a shift in demographics played a significant role in the racial
compositions of the schools” and that Appellants had “not ‘affirmatively’ exacerbated
racial imbalances”); Manning, 28 F.Supp.2d at 1356 (stating that “demographics have
played a significant role in Hillsborough County”). The district judge even agreed
that “[i]t [was] probable that” the 17 challenged “schools would have become racially
imbalanced regardless of [Appellants’] efforts.” Manning, 24 F.Supp.2d at 1303.
Even Appellees’ own expert, according to the district judge, “agreed that
demographics have played a significant role in Hillsborough County.” Id. Despite
all of the evidence showing that demographics, and not de jure segregation, caused
the racial imbalances, the district judge ultimately declined to find the school district
unitary as to student assignments. The district judge declined to so find because she
could not conclude that demographics were the sole cause of the racial imbalances.
22
See id. at 1302. In the district judge’s view, therefore, the legal presumption remained
that any racial imbalances were the result of the prior de jure segregation. See
Manning, 28 F.Supp.2d at 1357.
Finally, we note that the district judge’s findings were inconsistent and
difficult to follow. For example, the district judge was concerned by Dr. Clark’s data,
especially with regard to its reliability.20 See Manning, 24 F. Supp.2d at 1298-1300.
Nevertheless, the district judge never stated that the data — which both sides relied
upon — was so unreliable so as to undermine her finding that “a shift in
demographics [was] a substantial cause of the racial identifiability in Hillsborough
County’s schools.” Id. at 1303. Additionally, the district judge remarked that she was
“not convinced that a shift in demographics explain[ed] the racial imbalance in the
Hillsborough County school system.” Manning, 28 F.Supp.2d at 1356; see also
20
In particular, the district judge noted the following:
[Appellants’] statistics encompass a larger segment of the population than is
useful to explain the deviations in the racial compositions of the unbalanced
schools. Specifically, [Appellants] rely on Dr. Clark’s use of school-aged children
from ages 0-17 to explain enrollment ratios at the elementary schools; however,
almost one-half of the children included in this group would not, in fact, be
attending an elementary school. Moreover, while a few blocks in an attendance
zone may reflect black school-age populations as high as 95%, those few blocks
only represent a small proportion of the entire attendance zone. Finally, Dr.
Clark's analysis does not address [Appellants'] initial decisions to draw attendance
zones, decisions not to act when it was apparent that those zones were
inappropriate, or other School Board decisions, such as, location of new schools,
or implementation (or lack thereof) of desegregation tools.
Manning, 24 F.Supp.2d at 1298.
23
Manning, 24 F.Supp.2d at 1293. Yet, in the very same sentence, the district judge also
stated that “demographics have played a significant role in Hillsborough County.”
Manning, 28 F.Supp.2d at 1356. In spite of these inconsistencies, we are convinced
that the district judge agreed with the magistrate judge and found that shifting
demographics was a substantial cause of the racial imbalances in Appellants’ student
assignments and that Appellants did not deliberately cause the racial imbalances.
b. Good-Faith Compliance
The magistrate judge concluded that Appellants had complied in good faith
with past federal desegregation decrees, as required by Dowell and its progeny. 498
U.S. at 249-50, 111 S. Ct. at 638. The magistrate judge’s conclusion was based
largely on the testimony given during the 7-day evidentiary hearing by a variety of
witnesses, including inter alia: Dr. Walter Sickles, the school superintendent from
1989 to 1996; Dr. Earl Lennard, the school superintendent as of 1996; five members
of the school board; Doris Reddick, the chair of the school board; Andrew Manning,
the lead plaintiff in the case since its inception; and Joanna Tokley, the president and
CEO of the Urban League.
Dr. Sickles, who had been an employee of the school board since 1969, testified
that he believed the school district was unitary in the early 1990's. Dr. Sickles did not
seek a declaration of unitary status at that time because he believed Appellees would
24
have opposed and impeded his effort to establish middle schools, which was his top
priority. Instead, Dr. Sickles sought Appellees’ cooperation in establishing middle
schools via the Task Force Report and the 1991 Consent Order. Dr. Lennard, an
employee of the school board since 1964, testified that he felt a “moral and legal
obligation on the school system to continue a desegregated school system.” Five
school board members “expressed no misgivings about . . . the intent and ability of the
School Board to continue a desegregated school system while receiving input from all
members of the community.”
Some witnesses “voice[d] concern about what might happen in the future if
[c]ourt supervision ended.” For instance, Ms. Reddick, the chair of the school board,
testified against a finding of unitary status. Nevertheless, when asked by Appellees’
counsel what would happen if the school district were found unitary, Ms. Reddick
asserted, “[W]e’re going to guarantee that students will receive equal education.”
The magistrate judge found that for more than 25 years Appellants had
complied with the court’s orders to desegregate and that not once had Appellants been
found in violation of any court order. In addition, the magistrate judge noted that
Appellants had “regularly conferred [with Appellees] . . . to ensure that the school
system was moving forwards, not backwards, toward compliance with the [c]ourt’s
orders.” Accordingly, “the long history of compliance with the [c]ourt’s orders”
25
outweighed the “opinions and the anecdotal evidence offered by [Appellees].” In
sum, the magistrate judge concluded, “The testimony of . . . most School Board
members, as well as the current superintendent and those responsible for various
facets of school operation[,] demonstrates that [Appellants] have accepted the
principle of racial equality and will not revert back to a dual school system.”
The district judge, however, did not adopt this finding of good faith. Since the
district judge did not observe any of the testimony from the evidentiary hearing,
naturally she could not evaluate the credibility of the witnesses. Instead, the district
judge’s finding of bad faith centered upon two interrelated areas of concern:
26
Appellants’ “apathy” and the lack of a majority-to-minority (MTM) transfer
program.21 See Manning, 24 F.Supp.2d at 1293, 1312-14.
With regard to Appellants’ “apathy,” the district judge faulted Appellants for
not “utiliz[ing] all available techniques [to desegregate] to the maximum extent
practicable” and for not demonstrating “that they [were] willing to aggressively
desegregate the school district to the maximum extent practicable.” Id. at 1312, 1335.
Additionally, the district judge spoke of missed opportunities and a failure to take
“affirmative steps . . . to be released from the [c]ourt’s supervision.” Id. at 1312;
21
The district judge and the magistrate judge also extensively discussed some ex parte
communications between a previous presiding judge and school officials . During the
evidentiary hearing, Dr. John Heur, a retired school board official who had been responsible for
implementing the July 1971 Order, testified that such communications occurred between 1972
and 1974. The magistrate judge found that “[t]hese ex parte conversations, while unfortunate,
were not initiated by [Appellants] and do not demonstrate a lack of good faith.” The district
judge agreed, finding that, “standing alone, the ex parte communications [did] not evidence bad
faith.” Manning, 24 F.Supp.2d at 1315.
Additionally, Part II of the October 26, 1998, opinion is titled “Good-Faith” and
discusses Appellants’ magnet programs. See id. at 1314-15. This portion of the opinion is very
confusing. It lists the arguments advanced by Appellees regarding magnet schools, but the
opinion never states whether it is adopting those arguments. In the opinion of December 4,
1998, the district judge faults Appellants for their failure to develop magnet schools and
programs, except for one program at Tampa Bay Technical High School. See Manning, 28
F.Supp.2d at 1359. But neither opinion ever explains how Appellants’ actions with respect to
magnet programs demonstrated bad faith.
We therefore conclude that the district judge did not base her finding of bad faith upon
Appellants’ magnet programs. Even if the district judge did, in fact, base her finding of bad faith
on Appellants’ magnet programs, such a finding would be clearly erroneous. In 1990,
Appellants moved to designate a magnet school, but Appellees opposed the motion. In
successfully opposing the motion, Appellees argued that “[t]he basic structure of desegregation
in [Appellants’] school system has remained constant and effective since 1971," and that a
magnet program would “introduce more uncertainty about whether schools will remain
desegregated.”
27
Manning 28 F.Supp.2d at 1359 (citing Lockett v. Bd. of Educ. of Muscogee Sch. Dist.,
92 F.3d 1092, 1099 (11th Cir. 1996) (Lockett I)). Nevertheless, after a request by
Appellants to clarify exactly what steps should be taken to desegregate to the
maximum extent practicable, see id. at 1355, the district judge declined to give any
specifics.
Related to the issue of apathy is the inaction demonstrated by Appellants in
their MTM program. As previously noted, the July 1971 Order directed the
establishment of an MTM program. See supra Part I.B.1. Under this program, a
student who attended a school where his race was the majority would be permitted to
transfer to a school where his race was the minority. At the evidentiary hearing, Dr.
John Miliziano, who was Appellants’ “in-house desegregation expert,” expressed
ignorance about the requirement to implement an MTM program:
I dealt with the Biracial Committee for many years, and no member of
the committee ever brought that up. And to tell you the truth, I thought
it was one of those things that was considered by the court and it was
never meant to apply. It wasn't until recently that I, a person who has
spent many, many years in dealing with the court order, maybe it's
stupidity on my part, but I didn't even know that this hidden clause —
this clause, not hidden, but this clause in the [July 1971 Order] meant
really anything.
Manning, 24 F. Supp.2d at 1313. The evidence also showed that, from 1977 to 1996,
no student had ever applied for an MTM transfer, and Appellants had not made any
28
effort to publicize or market the MTM program. See id. at 1314; Manning, 28
F.Supp.2d at 1359.
While faulting Appellants on the MTM program, the district judge
acknowledged that the July 1971 Order “did not specifically direct [Appellants] to
market the [MTM] program.” Manning, 24 F.Supp.2d at 1314. Furthermore, the
district judge noted (and did not dispute) that no member of the Bi-Racial Committee
and no representative of Appellees had complained, prior to the mid-1990's, about the
non-availability of an MTM program. See id. at 1313 (quoting testimony of Dr.
Miliziano). The district judge also found that when Appellees did raise the lack of an
effective MTM program, Appellants announced the program “to the [school] district
as a whole and . . . took action to publish information about the program.” Id. at 1312.
Although the district judge stated that an MTM program is an “indispensable
remedy” and a “useful part of every desegregation plan,”22 id. at 1314, the district
judge did not explain why this particular MTM program was needed to desegregate
the Hillsborough County school district. In fact, as previously mentioned, Dr. Stevens
— Appellees’ expert who was involved in the negotiations that led to the 1991
Consent Order — conceded that an MTM program would not significantly impact the
22
The district judge lifted this language from the Supreme Court’s opinion in Swann,
402 U.S. at 26-27, 91 S. Ct. at 1281. In the very same opinion, however, the Supreme Court
warned that “[n]o per se rule can adequately embrace all the difficulties of reconciling the
competing interests involved [in desegregating schools].” Id. at 26, 91 S. Ct. at 1281.
29
race ratios at the schools Appellees were challenging as racially imbalanced.
Furthermore, the Task Force Report and the 1991 Consent Order (both of which were
approved by the district judge) failed to even mention the MTM program. Lastly,
notwithstanding the criticism of the MTM program, the district judge spoke favorably
of Appellants’ overall desegregation efforts. See, e.g., id. at 1287 (stating that
“[u]ndoubtedly, [Appellants’] desegregation efforts demonstrate significant success”);
id. at 1311 (stating Appellants “deserve acknowledgment for their desegregation
efforts thus far”); id. at 1312 (noting Appellants “have been relatively successful in
implementing desegregation techniques”); id. at 1325 (finding Appellants had acted
in good faith with respect to faculty desegregation and commending Appellants for
taking recommendations from the Minority Recruitment Task Force).
II. DISCUSSION
A. Standard of Review
Where the relief sought in the district court is the dissolution of an injunction,
the order of the district court is subject to a mixed standard of review.23 We review
23
We raised sua sponte whether appellate jurisdiction existed in this case and requested
briefs from the parties. Since this is an appeal of an interlocutory order of the district court
refusing to dissolve an injunction, we do possess jurisdiction. See 28 U.S.C. § 1292(a)(1). We
also raised sua sponte whether the notice of appeal was timely filed. Appellants timely filed in
the district court a motion to alter or amend judgment under Fed. R. Civ. P. 59(e). As such,
Appellants could file their appeal until 30 days after the district court ruled on the Rule 59(e)
motion. See Fed. R. App. P. 4(a)(4)(iv). Since the Appellants complied with this time limit, we
conclude Appellants timely filed their notice of appeal. Thus, we may hear this appeal.
30
for abuse of discretion the failure to dissolve an injunction as required by law. See
Wilson v. Minor, 220 F.3d 1297, 1301 (11th Cir. 2000). The district court’s
application of law is subject to de novo review, while its findings of fact are subject
to a clearly erroneous standard of review under Fed. R. Civ. P. 52(a). See Sierra Club
v. Martin, 110 F.3d 1551, 1554 (11th Cir. 1997) (quoting SunAmerica Corp. v. Sun
Life Assurance Co. of Can., 77 F.3d 1325, 1333) (11th Cir. 1996)). A declaration of
a school system’s unitary status is a finding of fact and thus falls under the clearly
erroneous standard of Rule 52(a). See Lockett v. Bd. of Educ. of Muscogee County
Sch. Dist., 111 F.3d 839, 841-42 (11th Cir. 1997) (Lockett II); Jacksonville Branch,
NAACP v. Duval County Sch. Bd., 883 F.2d 945, 952 n.3 (11th Cir. 1989). Under this
standard of review, “[w]here there are two permissible views of the evidence, the
[district court]’s choice between them cannot be clearly erroneous.” Lockett II, 111
F.3d at 842; accord Anderson v. City of Bessemer City, 470 U.S. 564, 574, 105 S. Ct.
1504, 1511 (1985). But where a district court applies an incorrect legal standard
which “taints” or “infects” its findings of facts, such findings “lose the insulation of
[Rule] 52(a) and judgment based thereon cannot stand.” Corley v. Jackson Police
Dept., 566 F.2d 994, 1001 (5th Cir. 1978) (internal quotations and citation omitted);24
24
In Bonner v. City of Prichard, 661 F.2d 1206, 1209 (11th Cir. 1981) (en banc), this
Court adopted as binding precedent all decisions of the former Fifth Circuit handed down prior
to the close of business on September 30, 1981.
31
accord Bigge v. Albertsons, Inc., 894 F.2d 1497, 1502-03 (11th Cir. 1990); Harris v.
Birmingham Bd. of Educ., 712 F.2d 1377, 1381 (11th Cir. 1983); Lincoln v. Bd. of
Regents of Univ. Sys. of Ga., 697 F.2d 928, 938-39 (11th Cir. 1983); see also Solomon
v. Liberty County Comm’rs, 221 F.3d 1218, 1227 (11th Cir. 2000) (en banc) (stating
“Rule 52(a) does not inhibit an appellate court’s power to correct errors of law”).
B. Analysis
1. General Principles
Before analyzing the case before us, it is important to recall some general
principles. In Brown I, the Supreme Court held that de jure racial segregation
practiced by school districts violates the Fourteenth Amendment. See Lockett II, 111
F.3d at 842 (citing Brown I, 347 U.S. at 495, 74 S. Ct. at 692). To remedy the illegal
conduct, the Supreme Court ordered federal district courts to supervise local officials
in desegregating school systems. See id. (citing Brown v. Bd. of Educ., 349 U.S. 294,
301, 75 S. Ct. 753, 757 (1955) (Brown II)). Federal judicial supervision of local
officials, however, was intended to be a temporary measure. See id. (citing Bd. of
Educ. v. Dowell, 498 U.S. 237, 247, 111 S. Ct. 630, 637 (1991)).
A desegregation order is remedial in nature, for it is the means by which victims
of discriminatory conduct are restored to the position they would have occupied in the
absence of such conduct. See Missouri v. Jenkins, 515 U.S. 70, 87, 115 S. Ct. 2038,
32
2048 (1995) (citing Milliken v. Bradley, 418 U.S. 717, 746-47, 94 S. Ct. 3112, 3128
(1974)). The purpose of federal supervision is not to maintain a desired racial mix at
a school. See Pasadena City Bd. of Educ. v. Spangler, 427 U.S. 424, 434-37, 96 S.
Ct. 2697, 2704-05 (1976); see also Freeman v. Pitts, 503 U.S. 467, 494, 112 S. Ct.
1430, 1447 (1992) (noting that “[r]acial balance is not to be achieved for its own
sake”). Rather, a federal court may insist upon a racially balanced school only in
those situations where a constitutional violation has caused the school to become
racially imbalanced. See id. at 494, 112 S. Ct. at 1447. As the Supreme Court
instructed 30 years ago, “[I]n the absence of a showing that either the school
authorities or some other agency of the State has deliberately attempted to fix or alter
demographic patterns to affect the racial composition of the schools, further
intervention by a district court should not be necessary.” Swann, 402 U.S. at 31-32,
91 S. Ct. at 1283-83. Put simply, a school board has no obligation to remedy racial
imbalances caused by external factors, such as demographic shifts, which are not the
result of segregation and are beyond the board’s control. See Jenkins, 515 U.S. at 102,
115 S. Ct. at 2055-56 (citing Spangler, 427 U.S. at 434, 96 S. Ct. at 2703-04; Swann,
402 U.S. at 22, 91 S. Ct. at 1279).
The ultimate objective of any desegregation order is the “restoration of state and
local authorities to the control of a school system that is operating in compliance with
33
the Constitution.”25 Id. at 89, 115 S. Ct. at 2049 (internal quotations and citation
omitted). To guide district courts in assessing when it is appropriate to restore local
control, the concept of a “unitary” school system has evolved in federal jurisprudence.
See generally Freeman, 503 U.S. at 485-92, 112 S. Ct. at 1443-46 (1992). In
evaluating whether a school system is “unitary,” a district court must carefully assess
the facts and utilize its sound discretion to determine (1) whether local authorities
have eliminated the vestiges of past discrimination to the extent practicable, and (2)
whether local authorities have in good faith fully and satisfactorily complied with, and
shown a commitment to, the desegregation plan. See Lockett II, 111 F.3d at 842
(quoting Lee v. Etowah County Bd. of Educ., 963 F.2d 1416, 1425 (11th Cir. 1992)
(citing Dowell, 498 U.S. at 249-50, 111 S. Ct. at 638)). For a district court to
determine whether the vestiges of discrimination have been eliminated to the extent
25
Local control is complementary, not contradictory, to the goal of eradicating illegal
discrimination from our nation’s schools. The Supreme Court has spoken to this principle:
Returning schools to the control of local authorities at the earliest practicable date
is essential to restore their true accountability in our governmental system. When
the school district and all state entities participating with it in operating the
schools make decisions in the absence of judicial supervision, they can be held
accountable to the citizenry, to the political process, and to the courts in the
ordinary course. . . . [I]t must be acknowledged that the potential for
discrimination and racial hostility is still present in our country, and its
manifestations may emerge in new and subtle forms after the effects of de jure
segregation have been eliminated. It is the duty of the State and its subdivisions
to ensure that such forces do not shape or control the policies of its school
systems. Where control lies, so too does responsibility.
Freeman, 503 U.S. at 490, 112 S. Ct. at 1445.
34
practicable, it must examine the six facets of school operation, the so-called Green
factors: student assignments, faculty assignments, staff assignments, transportation,
extra-curricular activities, and facilities. See id. (citing Dowell, 498 U.S. at 245, 111
S. Ct. at 636 (quoting Green, 391 U.S. at 435, 88 S. Ct. at 1693)). Using its
discretion, a court may also consider other facets. See id. (citing Freeman, 503 U.S.
at 492, 112 S. Ct. at 1446).
It is not uncommon for plaintiffs in school desegregation cases to allege, as
Appellees did here, that racial imbalances in student assignments, are a “vestige of
discrimination.” Until unitary status is attained, the defendant school board has the
burden of showing that any racial imbalance in the school system is not traceable, in
a proximate way, to the prior de jure segregation. See Freeman, 503 U.S. at 494, 112
S. Ct. at 1447. Stated differently, once a plaintiff shows de jure segregation (as
Appellees did here in 1962, see supra Part I.A), a presumption arises that all racial
imbalances in a school district are the result of the de jure segregation. See Keyes v.
Sch. Dist. No. 1, Denver, Colo., 413 U.S. 189, 208, 93 S. Ct. 2688, 2697 (1973). To
rebut this presumption, “a school board must prove that the imbalances are not the
result of present or past discrimination on its part.” Lockett II, 111 F.3d at 843 (citing
Swann, 402 U.S. at 25, 91 S. Ct. at 1281); accord Keyes, 413 U.S. at 211; 93 S. Ct. at
2699.
35
2. District Court’s Reliance on Lockett I
a. Wrong Legal Standard
With the foregoing principles and standards in mind, we turn to the case before
us. Appellants argue, inter alia,26 that the district court committed reversible error by
relying upon our opinion in Lockett v. Board of Education of Muscogee County, 92
F.3d 1092 (11th Cir. 1996) (Lockett I).27 In Lockett I, a panel of this Court reversed
a district court’s finding of unitary status and ordered the district court to “retain
jurisdiction . . . to monitor the progress of the school district’s desegregation efforts”
until the school district could show that it “ha[d] desegregated its schools to the
maximum extent practicable.” Id. at 1101 (emphasis added). Lockett I was
subsequently vacated by the same panel. See Lockett II, 111 F.3d at 840-45.
26
We need not address every argument advanced by Appellants with which we agree.
We pause, however, to highlight Appellants’ contention that the district court must provide them
with a “precise statement” of their obligations under a consent decree. See, e.g., Jenkins, 515
U.S. at 101, 115 S. Ct. at 2055. The district judge avoided this requirement and held that she
would not “tell [Appellants] which specific means to employ” for achieving unitary status.
Manning, 28 F.Supp.2d at 1360; see also id. at 1355 (refusing to describe “specific action” for
Appellants to take). Even if we were to hold that Appellants’ school district was not unitary, we
would nonetheless remand this case with instructions that the district court provide specific
guidance on what steps Appellants must take to achieve unitary status. But since we conclude
the school district is unitary, see infra Part III, there is no need for the district judge to issue a
statement, precise or otherwise, on Appellants’ obligations.
27
The district judge was aware that Lockett I had been superseded by Lockett II, but she
justified her reliance on Lockett I upon the belief that “Lockett I reiterated established principles
of law.” Manning, 24 F.Supp.2d at 1311. District judges in this circuit, however, are required
to adhere to the decisions of this Court and the Supreme Court. See Fishman & Tobin, Inc. v.
Tropical Shipping & Constr. Co., ___ F.3d ___, Slip Op. No. 99-4375, at 1299 n.14 (11th Cir.
2001).
36
The district judge, in relying on Lockett I, applied the wrong legal standard.
The law does not require, as stated in Lockett I, that a school board eliminate the
vestiges of past discrimination “to the maximum extent practicable.” 92 F.3d at 1101
(emphasis added). Rather, the law merely requires that the vestiges of past
discrimination be eliminated “to the extent practicable.” Lockett II, 111 F.3d at 842
(emphasis added); accord Jenkins, 515 U.S. at 90, 115 S. Ct. at 2050;28 Freeman, 503
U.S. at 492, 112 S. Ct. at 1446; Dowell, 498 U.S. at 250, 111 S. Ct. at 638; United
States v. Georgia, 171 F.3d 1344, 1347 (11th Cir. 1999); Lee, 963 F.2d at 1425. The
district judge incorrectly referred to the “maximum extent practicable (or possible)”
standard at least 12 times in her opinion of October 24, 1998, and four times in her
order of December 4, 1998. See Manning, 24 F.Supp.2d at 1287, 1289, 1290, 1292,
1293, 1301, 1312, 1326, 1334, 1335; Manning, 28 F.Supp.2d at 1356, 1359, 1360.
Accordingly, the critical issue is whether the district judge’s repeated use of the
wrong legal standard sufficiently tainted or infected the findings of fact so as to strip
those findings of the insulation normally accorded under Rule 52(a). See supra Part
II.A; Corley, 566 F.2d at 1001. We would not permit an inadvertent use of language
28
The district court in Jenkins stated that its goal was to integrate the school district to
the “maximum extent practicable” and to the “maximum potential.” 515 U.S. at 81, 101, 115
S. Ct. at 2045, 2055. The Supreme Court expressly rejected this test and held that the proper test
was whether the deficiencies “attributable to prior de jure segregation had been remedied to the
extent practicable.” Id. at 101, 115 S. Ct. at 2055.
37
by a district court to constitute reversible error. Here, however, we are persuaded that
the district judge’s mistake is more than mere inadvertence.29 As we discuss
immediately below, the district judge’s findings on student assignments and good faith
were tainted (and thus stripped of Rule 52(a) protection) because the district judge
held Appellants to a higher standard than the law requires.
b. Application of Wrong Legal Standard to Finding on Student
Assignments
In Lockett, the critical issue was, as it is here, whether the racial imbalances in
student assignments precluded a finding of unitary status. See Lockett II, 111 F.3d at
842, 843. Lockett II held that, for a school board to rebut the presumption of de jure
segregation, the school board had to prove “the [racial] imbalances [were] not the
result of present or past discrimination on its part.” Id. at 843; see also supra Part
II.B.1. The district court in Lockett II found the school board rebutted the
presumption by presenting expert demographic evidence showing the imbalances to
be the result of voluntary housing patterns and demographic change. See id. The
school board’s demographic evidence was not contradicted by plaintiffs’ experts. See
29
The phrase “to the extent practicable” is not meaningless surplusage. As the Third
Circuit has noted, “[T]he phrase ‘to the extent practicable’ implies a reasonable limit on the
duration of [the] federal supervision” because “extend[ing] federal court supervision indefinitely
is neither practicable, desirable, nor proper.” Coalition to Save our Children v. State Bd. of
Educ. of Del., 90 F.3d 752, 760 (3d Cir. 1996).
38
id. The Lockett II majority affirmed the district court’s finding as not being clearly
erroneous. See id. at 844.
By contrast, Lockett I staked out a position on the law under which school
boards would have been held to a higher standard. Instead of affirming, the Lockett I
panel would have remanded, so the district court could have continued supervising the
school board “until such time as a reliable body of data exist[ed] to assure . . . that the
school district ha[d] desegregated its schools to the maximum extent practicable.”
Lockett I, 92 F.3d at 1101 (emphasis added); accord Lockett II, 111 F.3d at 844
(Barkett, J. dissenting). Under Lockett I, a school board would have been required to
remedy racial imbalances even when “the imbalances [were] caused by circumstances
over which the school district has no control.” Lockett I, 92 F.2d at 1099 (quoted in
Manning, 24 F.Supp.2d at 1310). Moreover, according to Lockett I, to be declared
unitary, it is not enough for a school board to show demographic shifts as the cause
of the racial imbalances, as “demographic shifts are not necessarily independent of
prior unconstitutional practices.”30 Id. at 1099 (cited in Manning, 28 F.Supp.2d at
1359).
30
Judge Barkett, the author of Lockett I, further elaborated on this view in her Lockett II
dissent. In particular, Judge Barkett wrote that it was erroneous to “assume[] that as long as a
school district can point to some force not directly related to a school district’s overt actions
which is causing or exacerbating racial imbalances, then the resulting imbalance is not traceable
to past practices.” Lockett II, 111 F.3d at 845 (Barkett, J. dissenting).
39
Lockett I, however, is not the law of this circuit. Rather, the law of the circuit
must be distilled from Lockett II. We reiterate that, to overcome the presumption that
racial imbalances are constitutionally violative, “a school board must prove that the
imbalances are not the result of present or past discrimination on its part.” Lockett II,
111 F.3d at 843. Lockett II stands for the proposition that a school board overcomes
this presumption when it shows that some external force, which is not the result of
segregation and is beyond the school board’s control, substantially caused the racial
imbalances. See id. (upholding declaration of unitary status when district court found
demographic shifts caused racial imbalances); see also Jenkins, 515 U.S. at 102, 115
S. Ct. at 2055-56; contra Lockett II, 111 F.3d at 845 (Barkett, J. dissenting)
(advocating contrary proposition). Where a defendant school board shows that
demographic shifts are a substantial cause of the racial imbalances, the defendant has
overcome the presumption of de jure segregation. See Lockett II, 111 F.3d at 843.
Courts shall not assume that demographic shifts are a result of the past de jure
segregation. Contra Lockett I, 92 F.3d at 1099 (advocating contrary proposition);
Lockett II, 111 F.3d at 845 (Barkett, J. dissenting) (same). Such an assumption is
improper because “[i]t is simply not always the case that demographic forces causing
population change bear any real and substantial relation to a de jure violation, and the
40
law need not proceed on that premise.”31 Lockett II, 111 F.3d at 843 (internal
alterations omitted) (quoting Freeman, 503 U.S. at 496, 112 S. Ct. at 1448). Lastly,
a plaintiff does not undermine the strength of a defendant’s demographic evidence by
merely asserting that demographics alone do not explain the racial imbalances.32
Rather, for a plaintiff to preserve the presumption of de jure segregation, the plaintiff
must show that the demographic shifts are the result of the prior de jure segregation
or some other discriminatory conduct.
If the district judge had applied Lockett II, rather than Lockett I, her findings of
fact would have led her to the same conclusion as the magistrate judge with respect
to student assignments. The district judge, like the magistrate judge, found that
demographic shifts were a “substantial” or “significant” reason for the racial
imbalances and that the racial imbalances were inevitable, irrespective of Appellants’
efforts. See supra Part I.B.3.a; Manning, 24 F.Supp.2d at 1303, 1311; Manning, 28
F.Supp.2d at 1356. With this finding of fact, Appellants overcame the presumption
that the racial imbalances in student assignments were the result of de jure
31
In addition, “[a]s the de jure violation becomes more remote in time and . . .
demographic changes intervene, it becomes less likely that a current racial imbalance in a school
district is a vestige of the prior de jure system.” Lockett II, 111 F.3d at 843 (quoting Freeman,
503 U.S. at 496, 112 S. Ct. at 1448) (internal alterations included).
32
It is elementary that one may not rebut extensive evidence with a scintilla of evidence.
See, e.g., 2 McCormick on Evidence § 338, at 416 (John W. Strong et al. eds., 5th ed. 1999).
41
segregation. To preserve the presumption, Appellees were required to show that the
demographic shifts were the result of the past segregative practices or some other
discriminatory conduct. Appellees made no such showing. The district judge never
found that the racial imbalances at the 17 challenged schools were caused by the past
de jure segregation or other discriminatory acts. In fact, the district judge found the
exact opposite. That is, the district judge found that Appellants did not deliberately
cause the racial imbalances through segregative policies or practices. See supra Part
I.B.3.a; Manning, 24 F.Supp.2d at 1310. Appellees merely persuaded the district
judge that demographics alone did not account for the racial imbalances. See id. at
1302 (refusing to find that a “shift in demography [was] the sole cause [of] the [racial]
imbalance[s]” in the school system). Such a finding is insufficient to deny Appellants
a declaration of unitary status.
Accordingly, by applying the correct legal standard from Lockett II to the
district judge’s findings of fact, we reach the same conclusion as the magistrate judge:
Appellants have achieved unitary status with respect to student assignments.
c. Application of Wrong Legal Standard to Finding on Good Faith
As discussed previously, the district judge had two interrelated areas of concern
which precluded, in her view, a finding of good faith: Appellants’ apathy and the lack
of an effective MTM program. See supra Part I.B.3.b. The district judge’s reliance
42
on Lockett I undoubtedly infected her finding with regard to Appellants’ alleged
apathy. The district judge, as noted above, expected Appellants to “desegregate the
public schools in Hillsborough County to the maximum extent practicable.” E.g.,
Manning, 24 F.Supp.2d at 1287; supra Part I.B.3.b. Such an expectation was
erroneous, for the law does not require a defendant school board to take every
conceivable step in attempting to desegregate. See, e.g., Freeman, 503 U.S. at 493,
112 S. Ct. at 1447 (expressly rejecting premise that “heroic measures must be taken
to ensure racial balance”). Thus, the district judge’s concern about Appellants’
alleged “apathy” was an error of law directly traceable to her reliance upon Lockett
I.
Further, Appellants’ lack of an effective MTM program does not necessarily
amount to a finding of bad faith. For instance, in Lockett, the school board did not
implement its MTM program until years after the desegregation decree was entered
and ignored other requirements of the desegregation decree. See Lockett II, 111 F.3d
at 844; Lockett I, 92 F.3d at 1100, 1101. Nonetheless, we affirmed a finding of good
faith based in part on the district court’s finding that the school board had never
violated a court order, had never been enjoined or sanctioned, and had consulted with
African-American members of community before modifying the student assignment
plan. See Lockett II, 111 F.3d at 843-44; contra Lockett I, 92 F.3d at 1100, 1101.
43
Likewise, in the case sub judice, Appellants never violated a court order, never were
sanctioned, In and consulted extensively with the African-American community,
including Appellees, prior to implementing new student assignments under the 1991
Task Force Report. See supra Parts I.B.2 & I.B.3.b. Therefore, based on Lockett II,
the district judge clearly could have found the Appellants acted in good faith,
notwithstanding the lack of a viable MTM program.
Additionally, we are persuaded that, if the district judge had followed the law
as set forth in Lockett II, she would have concluded that Appellants have acted in good
faith. As we explained in Lockett II, in determining whether a school board has acted
in good faith, a court should not dwell on isolated discrepancies, but rather should
“consider whether the school board’s policies form a consistent pattern of lawful
conduct directed to eliminating earlier violations.”33 Lockett II, 111 F.3d at 843
(internal quotations omitted); see also Freeman, 503 U.S. at 491, 112 S. Ct. at 1446
(holding that “a court should give particular attention to the school system’s record
of compliance”). Repeatedly in the October 26, 1998, opinion, the district judge
commended Appellants for their desegregation efforts. See, e.g., Manning, 24
33
The focus is on the school board’s pattern of conduct, and not isolated events, because
the purpose of the good-faith finding is to ensure that a school board has accepted racial equality
and will abstain from intentional discrimination in the future. See Lockett II, 111 F.3d at 843
(citing Freeman, 503 U.S. at 498, 112 S. Ct. at 1449). Focusing on isolated aberrations blurs a
court’s long-term vision.
44
F.Supp.2d at 1287, 1311, 1312, 1325; supra Part I.B.3.b. At the end of the opinion,
the district judge further commented:
After evaluating the voluminous record in this case, the Court is
convinced that [Appellants] have a short road to travel [to attain unitary
status]. Essentially, Defendants need to demonstrate that they are willing
to aggressively desegregate the school district to the maximum extent
practicable.34
Manning, 24 F.Supp.2d at 1335. Based on the foregoing statement, we are convinced
that, if the district judge had applied the correct standard, she would have found (as
the magistrate judge did) that Appellants acted in good faith, notwithstanding the
absence of an effective MTM program and other possible discrepancies.
Our conclusion is buttressed by two other points. First, the MTM program, as
conceded by Appellees’ expert, would have been ineffective in desegregating the 17
challenged schools.35 As such, the MTM program should have had only marginal
relevance in analyzing whether Appellants’ “policies form[ed] a consistent pattern of
lawful conduct directed to eliminating earlier violations.” Lockett II, 111 F.3d at 843
(emphasis added) (internal quotations and citation omitted).
34
In contrast to the district judge, the magistrate judge recognized that “[a] school
board’s affirmative duty to desegregate does not require adoption of the most desegregative
alternative available.”
35
We are by no means suggesting that a desegregation plan cannot, or should not,
include an MTM program. The Supreme Court has spoken favorably of MTM programs. See
Swann, 402 U.S. at 26-27, 91 S. Ct. at 1281.
45
Second, discerning a school board’s good faith is in some respects a subjective
finding. Thus, such a finding depends in part on the judge’s personal observation of
the witnesses. The magistrate judge, not the district judge, observed all of the
witnesses at the evidentiary hearing. Granted, the district judge was free under 28
U.S.C. § 636 to make a de novo determination of the magistrate judge’s findings. In
other contexts, however, we have cautioned district judges from overruling a
magistrate judge’s finding where credibility determinations are dispositive. See, e.g.,
Proffitt v. Wainwright, 685 F.2d 1227, 1237 (11th Cir. 1982) (noting that, in criminal
or habeas corpus cases, a district judge’s reasons for rejecting a report and
recommendation must be consistent with the credibility choices made by a
magistrate). In addition, the rationale for deferring to a district court’s finding of fact
is that a trial judge is aware of the variations in demeanor which bear so heavily in
making a subjective determination. See Anderson, 470 U.S. at 575, 105 S. Ct. at 1512.
Where, as here, a district judge does not personally observe the witnesses in making
a subjective finding of fact, we view such a finding with skepticism, especially where,
as here, the finding is contrary to the one recommended by the judicial official who
observed the witnesses.
46
III. CONCLUSION
The district judge’s finding that Appellants have not achieved unitary status was
tainted and infected by reliance on an incorrect legal standard. As such, we reverse
the district judge’s orders of October 26, 1998, and December 4, 1998. Upon remand,
the district court shall enter judgment declaring the Hillsborough County school
system unitary. Therefore, federal judicial supervision of the Hillsborough County
school system shall cease.
REVERSED and REMANDED.
47