[PUBLISH]
IN THE UNITED STATES COURT OF APPEALS
FOR THE ELEVENTH CIRCUIT FILED
________________________ U.S. COURT OF APPEALS
ELEVENTH CIRCUIT
AUGUST 20, 2007
No. 06-14950
THOMAS K. KAHN
________________________
CLERK
D. C. Docket No. 87-01179-CV-T-N
JOHN DILLARD,
DAMASCUS CRITTENDEN, JR., et al.,
Plaintiffs-Appellants,
ROBERT R. BINION,
JOHN WRIGHT,
Intervenor-Plaintiffs-Appellants,
GILBERT GREEN, et al.,
Intervenor-Plaintiffs-Appellees,
versus
CHILTON COUNTY COMMISSION,
ROBERT B. MARTIN, Probate Judge,
Defendants-Appellees,
________________________
No. 06-15354
________________________
D. C. Docket No. 87-01179-CV-T-N
GILBERT GREEN,
CALVIN JONES, JR.,
Intervenor-Plaintiffs-Appellants,
versus
CHILTON COUNTY COMMISSION
ROBERT B. MARTIN, Probate Judge,
Defendants-Appellees,
________________________
Appeals from the United States District Court
for the Middle District of Alabama
_________________________
(August 20, 2007)
Before TJOFLAT, BLACK and EBEL,* Circuit Judges.
PER CURIAM:
*
Honorable David M. Ebel, United States Circuit Judge for the Tenth Circuit, sitting by
designation.
2
In these appeals, this court is confronted again by a third-party attempt to
intervene in a long-pending case to vacate injunctive relief entered below. Here,
the challenged consent decree was obtained by a class of African-American
plaintiffs as part of the landmark Dillard litigation that restructured much of
Alabama’s county-level governance in accordance with the then-prevailing
understanding of the Voting Rights Act. We recognize that the intervenors raise
significant questions about the ongoing vitality of the remedy approved by the
district court nearly twenty years ago. However, we determine that, in light of
recent Supreme Court precedent, they lack the standing necessary to challenge that
remedy. Accordingly, we must VACATE the district court’s orders and
REMAND to the district court with instructions to DISMISS the intervenors’
complaint without prejudice.
BACKGROUND
We need not provide yet another extensive recapitulation of the Dillard
litigation’s lengthy history. See Dillard v. Baldwin County Comm’rs (Baldwin V),
376 F.3d 1260, 1262-63 (11th Cir. 2004). Suffice it to say that in 1988 the Chilton
County Commission, by consent decree, settled claims raised by the class of
African-American voters in Chilton County represented by John Dillard
(collectively, “Dillard”) under § 2 of the Voting Rights Act, 42 U.S.C. § 1973, and
3
the Equal Protection Clause of the Fourteenth Amendment. See Dillard v. Chilton
County Bd. of Educ., 699 F. Supp. 870, 872 (M.D. Ala. 1988). The parties agreed,
inter alia, to increase the number of commissioners from four to seven, to abolish
the numbered-post system of electing commissioners and replace it with a
cumulative voting system, and to institute a system by which the rotating
Commission chairmanship would occasionally be offered to an African-American
commissioner, if one had been elected. (Rec. Doc. 5 at ¶¶ 1, 4.) Subsequent
decisions of the Supreme Court and this circuit cast this remedy into some doubt.
See Holder v. Hall, 512 U.S. 874 (1994); Nipper v. Smith, 39 F.3d 1494 (11th Cir.
1994) (en banc); Dillard v. Baldwin County Comm’rs (Baldwin III), 225 F.3d
1271 (11th Cir. 2000).1 In 2003, Gilbert Green and Calvin Jones, Jr., (“the
Intervenors”) moved to intervene in the instant case seeking to vacate the district
court’s order approving the 1988 settlement. (Motion for Post-Judgment
Intervention filed Feb. 21, 2003.)
In response to this Motion to Intervene, the County Commission filed a
“Motion for Status Conference” in the district court. (Motion for Status
1
One of the issues presented by the merits of this appeal is whether the restrictions of
Holder and Nipper apply to consent decrees where the form of the relief has been agreed to by
the parties, in addition to consent to liability. Because we dismiss this appeal for lack of
jurisdiction, we do not address this merits issue.
4
Conference filed Feb. 28, 2003.) In its motion, the Commission observed that
“[r]ecent case law indicates that the seven-member, cumulative-voting remedy was
not appropriate” and requested the district court “set this case for a status
conference, and at that time . . . discuss with the parties whether and to what extent
the settlement agreement remains viable . . . .” (Id. ¶¶ 2-3.) The district court
denied the motion, explaining that it would decide whether a status conference
was appropriate after resolving the pending motion for post-judgment
intervention. (Order filed Mar. 7, 2003.)
Dillard filed a response on March 6, 2003, opposing both the proposed
intervention and the request for a status conference. (Plaintiff’s Response to
Green Motion to Intervene and to Defendant’s Motion for Status Conference filed
Mar. 6, 2003.) Citing Baldwin III and conceding that the district court was
“bound by Eleventh Circuit precedent to allow Green and Jones to intervene,”2
Dillard argued that the motion to intervene should be denied because the proposed
intervenors sought to intervene as plaintiffs. (Id. ¶ 3.) Intervention was granted
2
In light of this concession, questions of timeliness and adequacy of representation are not
before this court. Accordingly, we offer no view on the propriety of the Green intervention under
the standards imposed by Fed. R. Civ. P. 24(a). We clarify, however, that Baldwin III did not
address these questions either. See 225 F.3d at 1274 (“Neither party opposed the Intervenors’
motion, but both reserved the right to challenge the legal sufficiency of the Intervenors’
complaint.”). Accordingly, it provides little, if any, analytical assistance for district courts
addressing questions about the propriety of a proposed intervention under Rule 24.
5
by the district court in a brief order that did not give explicit consideration to
either the Intervenors’ standing to intervene nor the propriety of intervention
under the standards of Fed. R. Civ. P. 24. (Order filed Mar. 20, 2003.)
Upon the district court’s granting of the motion to intervene, the
Intervenors’ complaint-in-intervention was filed in the district court on the same
day. (See Rec. Doc. 7 (Complaint-in-Intervention).) In five counts, the complaint
argued that continued enforcement of the consent decree, both in specific respects
and in toto, was unlawful. Specifically, Counts I and II contended (1) that, by
altering the size of the Commission and by replacing the probate judge as its ex
officio chair, the district court had exceeded its authority under the Voting Rights
Act and violated the Tenth and Eleventh Amendments; (2) that the “parties’
consent to the entry of the relief provided in the Consent Decree does not provide
a sufficient basis for a court to require structural alterations in the form of
government for Chilton County”; and (3) that conducting elections pursuant to the
consent decree’s terms “violates the Green Intervenors’ constitutional rights.” (Id.
at 8-9 (¶¶ 16-17, 19-20).) Counts III and IV, denominated as seeking relief under
Fed. R. Civ. P. 60(b)(5), stated that further prospective application of the consent
decree was inequitable based on a change in law disavowing cumulative voting as
a Voting Rights Act remedy and on an alleged lack of standing by Dillard, as well
6
as arguing that conducting elections pursuant to the consent decree “violates the
Green Intervenors’ voting rights.” (Id. at 10-11 (¶¶ 22-23, 25-26).) Count V,
finally, argued (1) that, by instituting the rotating Commission chairmanship
system and “direct[ing] the Commission members to engage in conduct which
violates the Equal Protection Clause of the Fourteenth Amendment,” the district
court had exceeded its authority under the Voting Rights Act and violated the
Fifth Amendment; and (2) that conducting elections pursuant to the consent
decree’s terms “violates the Green Intervenors’ constitutional and voting rights.”
(Id. at 11 (¶¶ 28-29).)
The Commission, acting under the threat of a motion for entry of default,
answered the Intervenors’ complaint by admitting virtually all allegations that the
consent decree exceeded the district court’s authority and violated federal law,
though it denied all allegations that elections conducted pursuant to the decree’s
terms violated the Intervenors’ constitutional or voting rights. (Rec. Doc. 8
(Answer) at 3-5.) The answer, however, did not join in the Intervenors’ request
for relief, nor did it pray independently for relief from continued application of the
consent decree. (See id.) So far as the record reveals, the Commission took no
action on its own behalf to invalidate the consent decree. Importantly, the
Commission never filed any claim, cross-claim, or counterclaim asserting its own
7
rights and seeking to vacate the consent decree, nor did it file any claims of any
nature against Dillard which would have revived the prior adversarial conflict
between the original parties. Dillard subsequently filed briefs in opposition to the
Intervenors, but filed no pleading responsive to the complaint-in-intervention,
apparently because the complaint-in-intervention sought relief only against the
Commission and codefendant Probate Judge Martin.
Following oral argument, the district court, believing itself bound by this
court’s decisions in Baldwin III and Baldwin V, agreed with the Intervenors’
arguments and vacated the consent decree. Dillard v. Chilton County Comm’n,
447 F. Supp. 2d 1273, 1276-79 (M.D. Ala. Aug. 14, 2006). In a later order, it
rejected the Intervenors’ call for a prompt special election or, alternatively, prompt
gubernatorial appointment of new commissioners. Dillard v. Chilton County
Comm’n, 452 F. Supp. 2d 1193, 1202 (M.D. Ala. Sept. 21, 2006). It instead
ordered the Commission to formulate via public hearings an election system to be
used at the next regularly scheduled election and to present the plan to the
Alabama Legislature for its approval. Id. at 1197, 1202.
After entry of the order vacating the consent decree, Dillard, as the original
plaintiff, appealed, challenging the vacatur and further alleging that the
Intervenors lacked standing to intervene in the first instance. In a separate appeal
8
consolidated with Dillard’s, the Intervenors appealed the order setting forth the
court’s proposed mechanism and timeframe for unwinding the effects of the
vacated consent decree. The Commission filed a brief only in the second of these
appeals, omitting any consideration of the merits of Dillard’s appeal. Instead, it
limited its arguments to defending the district court’s September 21, 2006, order
that gave the Commission until the next regularly scheduled election to design and
receive approval for a new governmental structure. Interestingly, the
Commission’s brief on appeal adopted Dillard’s statement of the case, including
Dillard’s allegations that the Intervenors had suffered no personal injury and
lacked standing. (Comm’n Br. at 2; see Dillard Br. at 7-9.)
The district court’s order of August 14, 2006, vacating the consent decree
and its order of September 21, 2006, establishing the timetable for unwinding the
consent decree and enjoining the Commission to implement it, are each appealable
interlocutory orders. We thus have jurisdiction over both of the instant appeals
pursuant to 28 U.S.C. § 1292(a)(1).
DISCUSSION
Any party, whether original or intervening, that seeks relief from a federal
court must have standing to pursue its claims. Intervening parties, however, need
not in every instance demonstrate that they independently fulfill the familiar
9
requisites of injury-in-fact, causation, and redressability. Because of lessened
justiciability concerns in the context of an ongoing Article III case or controversy,
intervenors in this circuit may in some cases be permitted to “piggyback” upon the
standing of original parties to satisfy the standing requirement. This rule is not
without limits: Intervenors must show independent standing to continue a suit if
the original parties on whose behalf intervention was sought settle or otherwise do
not remain adverse parties in the litigation. Similarly, “piggyback” standing
requires the existence of a justiciable case or controversy at the point at which
intervention is sought.
In the appeals now before us, we first address whether the Intervenors can
establish independent standing. The Intervenors’ claims that application of the
consent decree violates their “constitutional and voting rights” rests upon this
circuit’s prior holdings that a voter’s assertion of his or her interest in a
democratically selected form of government describes a concrete and
particularized injury sufficient to confer standing. However, in light of
intervening Supreme Court precedent, we conclude this must now be labeled a
generalized grievance, and we thus hold that these Intervenors have not
independently met the standing requirement.
10
We then turn to the alternative issue of “piggyback” standing. The entry of
the original consent decree resolved the underlying controversy between the
original parties. And the long dormancy of this case on the district court’s docket
reveals nothing prior to the attempted intervention that resuscitated its adversarial
character. Although the Commission’s actions subsequent to the attempted
intervention are at least ambiguous, the critical moment at which the Intervenors
needed to establish the existence of a case or controversy upon which they could
piggyback standing was at the time intervention was sought. Because we find no
continuing adversarial controversy between the original parties at this point, the
Intervenors could not piggyback on the standing of any of the original parties.
Indeed, at no time during the district court proceedings following the motion to
intervene did any original party assert a claim for further judicial relief against any
other original party. Nor, on appeal, is there any adversity between the original
parties to this action. Instead, all original parties seem united on the position that
the Intervenors lacked standing to intervene.
Thus, these Intervenors cannot demonstrate that they had standing under
either of the avenues available to them for doing so. Accordingly, we conclude
the district court lacked jurisdiction over their claims.
11
I. Under Lance v. Coffman, the Intervenors have no independent standing to
bring the generalized claims in the Complaint-in-Intervention.
Although the district court below concluded under the logic of Baldwin III
that the Intervenors had sufficiently alleged an individualized injury, 447 F. Supp.
2d at 1278-79, standing is “a threshold jurisdictional question which must be
addressed prior to and independent of the merits of a party’s claims,” and we
review the district court’s conclusion on this question de novo, Baldwin III, 225
F.3d at 1275. Among the three requirements of this “irreducible constitutional
minimum,” first and foremost is an allegation of “an injury in fact — an invasion
of a legally protected interest which is concrete and particularized and actual or
imminent, not conjectural or hypothetical.” Lujan v. Defenders of Wildlife, 504
U.S. 555, 560 (1992) (quotations omitted). “An interest shared generally with the
public at large in the proper application of the Constitution and laws will not do.”
Arizonans for Official English v. Arizona, 520 U.S. 43, 65 (1997). Federal courts,
bound by Article III, are “not empowered to seek out and strike down any
governmental act that they deem to be repugnant to the Constitution.” Hein v.
Freedom From Religion Found., Inc., 127 S. Ct. 2553, 2562 (2007). And “a
plaintiff raising only a generally available grievance about government —
claiming only harm to his and every citizen's interest in proper application of the
12
Constitution and laws, and seeking relief that no more directly and tangibly
benefits him than it does the public at large — does not state an Article III case or
controversy.” Id. at 2563-64 (quoting Lujan, 504 U.S. at 573-74).
Baldwin III analyzed jurisdictional facts essentially identical to those in this
case and determined that intervening citizen voters had standing to challenge
another Dillard consent decree. 225 F.3d at 1277. In doing so, it relied on our
prior conclusions in an earlier case that citizens’ interests in challenging a newly
imposed election scheme to which they are subject were sufficiently concrete and
particularized to confer standing. Id. Specifically, Baldwin III relied heavily on
our decision in Meek v. Metropolitan Dade County, in which we held that voters
who attempted to intervene as appellants to defend an election system against a
Voting Rights Act challenge had standing. See 985 F.2d 1471, 1480 (11th Cir.
1993) (per curiam). In Meek,
[t]he intervenors sought to vindicate important personal interests in
maintaining the election system that governed their exercise of political
power, a democratically established system that the district court's order
had altered. As such, they alleged a tangible actual or prospective injury
and did not merely challenge unlawful conduct in the abstract. See
generally, e.g., Lujan v. Defenders of Wildlife, 504 U.S. 555, [574-76],
112 S.Ct. 2130, 2144, 119 L.Ed.2d 351 (1992). Moreover, we reject
appellees' contention that the intervenors had only nonjusticiable
generalized grievances simply because they asserted interests widely
shared by others. Allen v. Wright, 468 U.S. 737, 756-60, 104 S.Ct.
3315, 3327-29, 82 L.Ed.2d 556 (1984).
13
Id.
We subsequently upheld Meek’s reasoning against repeated challenges that
it was wrongly decided in light of the Supreme Court’s later decisions in
Arizonans for Official English, 520 U.S. at 43, Raines v. Byrd, 521 U.S. 811
14
(1997), and United States v. Hays, 515 U.S. 737 (1995).3 See Baldwin III, 225
3
In Arizonans for Official English, sponsors of a state ballot provision that amended the
state constitution to make English the official state language intervened to appeal a district
court’s decision declaring the amendment unconstitutional, after the state defendants decided not
to appeal. Though the Supreme Court doubted that initiative sponsors had “legislative standing”
to defend the amendment’s constitutionality, it did not reach the question, instead finding their
claims moot. But as we noted in Baldwin III, “[t]he question of whether [the intervenors] had
standing as the sponsors of particular legislation . . . provides no guidance on whether voters who
live within the governing unit have standing to challenge an allegedly illegal voting scheme to
which they are subject by virtue of their residence.” 225 F.3d at 1278-79.
Similarly, in Raines, members of Congress challenged the constitutionality of the Line
Item Veto Act, but their claims were dismissed for lack of standing. Baldwin III again found this
ruling made no impact on the vitality of Meek, stating that
the fact that the Congressmembers in Raines did not have standing to challenge the
Act because they had not been harmed as individuals, but only as members of an
institution which they were not authorized to represent, sheds no light on whether the
voters in this case, who are individually subject to and affected by the election
scheme they challenge, have standing.
Id. at 1279.
In Hays, voters challenged a state legislative redistricting plan, arguing that an adjacent
district’s boundaries had been unlawfully influenced by considerations of the racial makeup of
that district’s voters. The Supreme Court rejected their claims, but emphasized “that voters who
lived in the allegedly gerrymandered district would have suffered an injury sufficient to establish
standing.” Id. We again held in Baldwin III that Hays did not diminish the precedential value of
Meek:
Hays set forth a bright-line standing rule for a particular class of cases alleging illegal
racial gerrymandering with respect to voting districts: if the plaintiff lives in the
racially gerrymandered district, she has standing; if she does not, she must produce
specific evidence of harm other than the fact that the composition of her district
might have been different were it not for the gerrymandering of the other district.
Hays’ narrow holding regarding standing in the gerrymandering context is entirely
consistent with our broader holding in Meek that respondents had standing to defend
the election scheme to which they were subject when that entire election scheme had
been challenged as illegal. In both cases, the essential point remains that one who
resides in the area directly affected by the allegedly illegal voting scheme has
standing to challenge that scheme. Hays is in no way inconsistent with our holding
in Meek.
Id. at 1279-80.
15
F.3d at 1278-80; Wilson v. Minor, 220 F.3d 1297, 1303 n.11 (11th Cir. 2000).
But it is clear that we can no longer do so in light of the Supreme Court’s
most recent pronouncement on voter standing in Lance v. Coffman, 127 S. Ct.
1194 (2007) (per curiam).4 In Lance, voter plaintiffs filed suit in federal district
court to challenge a court-ordered redistricting plan, arguing that the Elections
Clause of Art. I, § 4, required a legislatively drawn plan and that elections held
under the court-drawn plan were unlawful. Id. at 1195-96. Their asserted interest
was as citizen voters in the district that they alleged should have been
legislatively, rather than judicially, drawn. They claimed that judicial drawing of
the district violated the right of all citizens in the district to have the district drawn
by the state legislature as prescribed by the Elections Clause of Art. I, § 4 of the
United States Constitution. Id. The Supreme Court unanimously held that the
Lance plaintiffs should be dismissed for lack of standing and their claim dismissed
as a generalized grievance. Id. at 1198. The Court noted that
4
Baldwin III’s distinctions of prior Supreme Court precedents do not save Meek in light
of Lance. In contrast to Arizonans for Official English, Raines, and Hays, the claims at issue in
Lance, which the Court held did not satisfy standing requirements, are directly analogous to those
that we held sufficient to establish standing in Meek. Like Hays, Lance considers voter, not
legislator, standing. 127 S. Ct. at 1195-96. But Lance dismissed for lack of standing the claims
of voter plaintiffs even though they voted in the district where the governmental structure was
being challenged as unconstitutional. Id. at 1198. Thus, Meek can no longer carry the weight
attributed to it by the Intervenors, the district court, and our prior precedents.
16
the problem with [the plaintiffs’] allegation should be obvious: The
only injury plaintiffs allege is that the law—specifically the Elections
Clause—has not been followed. This injury is precisely the kind of
undifferentiated, generalized grievance about the conduct of government
that we have refused to countenance in the past. It is quite different
from the sorts of injuries alleged by plaintiffs in voting rights cases
where we have found standing. See, e.g., Baker v. Carr, 369 U.S. 186,
207-208, 82 S. Ct. 691, 7 L. Ed. 2d 663 (1962).
Id.
The distinction referenced in Lance refers to the difference between
plaintiffs such as those in Baker and Whitcomb v. Chavis, 403 U.S. 124 (1971),
who alleged concrete and personalized injuries in the form of denials of equal
treatment or of vote dilution, and plaintiffs like those in the instant case, Baldwin
III, or Lance itself, who merely seek to protect an asserted interest in being free of
an allegedly illegal electoral system. This properly denominates as cognizable, for
instance, the injuries of plaintiffs who are subject to racial classification in voting
systems, see e.g., Shaw v. Reno, 509 U.S. 630 (1993), and to vote dilution,
whether motivated by race or other factors, see, e.g., Thornburg v. Gingles, 478
U.S. 30 (1986) (racially motivated vote dilution); Baker, 369 U.S. at 186 (non-
racially motivated vote dilution); Leser v. Garnett, 258 U.S. 130 (1922) (gender-
based vote dilution).5 But the mere generalized grievances asserted by the
5
In supplemental briefing to this court addressing the impact of Lance upon our analysis
of the Green Intervenors’ standing, the Green Intervenors argue that the Supreme Court’s citation
17
Intervenors here do not assert a concrete and personalized injury, and accordingly
they lack personal standing to bring them for judicial resolution.
The Intervenors assert only the generalized incompatibility of the consent
decree with the rights of all citizens in the county to be free of judicial
interference, unauthorized by § 2 of the Voting Rights Act, with the
democratically selected form of local governance.6 This is not a form of injury
particularized to the Intervenors, but is rather an undifferentiated harm suffered in
common by all citizens of the county.
The Intervenors themselves have consistently described their claims in
terms that underscore the lack of particularized harm, and they echo the
in Lance to Fairchild v. Hughes, 258 U.S. 126 (1922), and the contrasting absence of a citation to
Leser suggest another category of particularized injuries in voting rights cases which remain
cognizable under Lance. Namely, they contend that “[w]hen State law allows a private claim
about law and a particular voter if focused on a particular place, instead of the public at-large
[sic], Article III does not preclude relief to a voter.” We read this as an argument that state law
may, in some instances, confer a judicially cognizable and particularized interest, the invasion of
which may constitute an injury for purposes of Article III standing analysis. See Warth v. Seldin,
422 U.S. 490, 500 (1975).
Even accepting this general point, however, we conclude it provides no benefit to the
Green Intervenors here. The state law upon which their claims appear to be founded is one
which merely defines the structure of county governance; they do not suggest any state law that
provides them with a particularized cognizable interest. The interest created by a structural law
of this type is necessarily generalized to all voters in the county. In that regard, it is an interest
that is legally indistinguishable from that rejected in Lance.
6
The Intervenors did not claim, of course, that the Commission could not on its own and
following the procedures of Alabama law decide to have seven commissioners elected by
cumulative voting. Their objection is only that this form of government could not be imposed by
judicial decree.
18
allegations found to be insufficient in Lance. In their initial motion to intervene,
they framed their claims not as personal ones, but rather as citizens’ claims
seeking to force the district court and the County Commission to follow federal
law:
Movants seek to challenge certain aspects of the remedial order of [the
district court] entered on or about June 23, 1988 . . . . In particular,
Movants believe that the remedial order is not in conformity with recent
judicial rulings which prohibit a federal court from ordering an increase
in the size of local elected bodies, as a part of its remedy for a violation
of the Voting Rights Act.
(Motion for Post-Judgment Intervention filed Feb. 21, 2003.) On appeal, the
Intervenors expressed their claim as follows: “Fundamentally, the 1988 order
provided relief[] which was not authorized by the Voting Rights Act. Because it
also impaired the interests of Alabama and its citizens in their chosen form of local
government . . . , it was inconsistent with a proper construction of the Act.”7
7
The Green Intervenors, in their supplemental briefing, attempt to inflate this argument
and transform their claims as citizens into “actions ‘on behalf of the state.’” In so doing, they
contend that they are indistinguishable from relators pursuing causes of action belonging to the
state, not merely “private citizens acting on their own behalf.” See Lance, 127 S. Ct. at 1198
(citing Smiley v. Holm, 285 U.S. 355 (1932) and Ohio ex rel. Davis v. Hildebrant, 241 U.S. 565
(1916), as examples of relator standing accruing under the Elections Clause). However, the
Green Intervenors have never purported to be suing as relators, even if they were asserting
interests of the State of Alabama. Their Complaint-in-Intervention and their briefs before this
court have consistently made clear that the Green Intervenors are asserting their interests as
private citizens. These interests, as we describe, are not particularized to the Green Intervenors
and are thus too generalized to support standing. Moreover, they provide us with no citations to
state or federal statutes giving private citizens authority as relators to maintain an action on
behalf of the State or the county commission.
19
(Aple. Br. at 13.) According to the Intervenors’ conception of the rights and
interests at issue here,
[v]acating the 1988 order reflects proper respect for the right of local
governments to constitute themselves in the manner provided by their
States. Further, the district court’s [vacatur] order preserves Tenth
Amendment rights, a proper understanding of sovereignty in a federal
system, and the limits of Congress’s authority under the Reconstruction
Era Amendments.
(Id. at 15-16.) And, the Intervenors contend, because the consent decree “exceeds
[the district court’s] authority granted by Congress in the Voting Rights Act, and
violates the Tenth and Eleventh Amendments,” elections conducted under the
consent decree’s terms “violate [their] constitutional rights.” (Rec. Doc. 7 at 8-9
(Complaint ¶¶ 16-17).) The only “constitutional right[]” to which they advert,
however, is the putative right shared by all citizens to be governed by their
“democratically chosen form of local government.”8 (Aple. Br. at 29.)
8
Count V of the Complaint-in-Intervention, addressing the rotation of the Commission
chairmanship, does not purport to state a claim of violation of the Intervenors’ personally held
rights under the Equal Protection Clause of the Fourteenth Amendment. Rather, it merely raises
the same allegations as elsewhere that the district court, by imposing unauthorized injunctive
relief, exceeded its authority and violated legal rights held by the Commission members. In that
count, the Intervenors allege that the consent decree “directs the Commission members to engage
in conduct which violates the Equal Protection Clause of the Fourteenth Amendment . . . to the
extent it provides for commissioners to be offered the chair of [the] Commission . . . on the basis
of the race of the commissioner.” (Rec. Doc. 7 at 11 (Complaint ¶ 28).) The gravamen of this
claim is that Commission members’ rights against invidious racial classification are being
violated by the consent decree provision, as enforced by the district court. And, like the other
claimed violations of the Intervenors’ “constitutional and voting rights” (id. at ¶ 29), this is a
generalized grievance shared in common by all voters in Chilton County based on the
Intervenors’ asserted interest in seeing that the law is followed. Accordingly, it too falls under
20
As already noted, the Intervenors do not seriously argue that either the
addition of Commission members or the use of cumulative voting inherently
constitutes an affirmative violation of § 2 of the Voting Rights Act. Rather, they
argue only that such measures are not authorized by § 2 as forms of remedial relief
against antecedent violations. (Id. at 21, 30.) Moreover, they expressly disclaim
any injury based on vote dilution or other, more concrete harms. “The district
court was correct that Green did not complain of vote dilution, but § 2 [of the
Voting Rights Act] and the precedents of this Court do not require him to do so.”
(Id. at 27.) Their assertion of rights purportedly secured under § 2 and the Tenth
and Eleventh Amendments is grounded entirely in the injury analysis of Baldwin
III. (Id. at 26-27, 29.) Under this analysis, the Intervenors assert they “ha[ve]
standing to seek to restore [their] democratically chosen form of government.” (Id.
at 45.)
the rule of Lance.
Count V suffers from the further defect that it fails to allege that the provision has ever
been invoked to offer an African-American commissioner the chairmanship, that any such offer
has been accepted, or that any potential offer is likely to be accepted in the future. (See id. at ¶¶
28-29.) Absent such allegations of “actual or imminent, not conjectural or hypothetical” harm,
Lujan, 504 U.S. at 560, the Intervenors have failed to allege a cognizable, actual or imminent
injury-in-fact. The allegation that “Probate Judge Martin has conducted elections for members of
the Chilton County Commission in a manner that violates the Green Intervenors’ constitutional
and voting rights” bears no obvious connection to equal protection violations occurring among
the Commission members at an unspecified later time. Thus, the Intervenors fail to allege a
cognizable injury for standing purposes under Count V as well.
21
The Intervenors’ claims thus can be easily summarized. Aggrieved by the
changes in the structure of their county government wrought by the 1988 consent
decree, they sought to vacate it. The decree was unlawful, according to the
Intervenors, not because it affected their voting power or subjected them to
invidious racial classification or otherwise injured them directly. Rather, the
decree was unlawful because the district court, which approved the consent
decree, exceeded its statutory remedial authority, violated the Tenth and Eleventh
Amendments, and forced the County Commission to violate the Fourteenth
Amendment by rotating its chairmanship to include African-American
commissioners. The Intervenors allege the district court could neither enter such a
decree nor enforce it once entered. And they allege the County Commission and
the Probate Judge could not legally conduct elections pursuant to its terms.
But in light of Lance v. Coffman, “the problem with [these] allegation[s]
should be obvious.” 127 S. Ct. at 1198. “The only injury [the Intervenors] allege
is that the law” — specifically, § 2 of the Voting Rights Act and the Fifth, Tenth,
and Eleventh Amendments — “has not been followed. This injury is precisely the
kind of undifferentiated, generalized grievance” that the Supreme Court has
warned must not be countenanced. Id. And the Intervenors’ interest in “restor[ing
their] democratically chosen form of government” (Aple Br. at 45) is no more
22
individualized than the Lance plaintiffs’ interest in overturning judicially drawn
electoral districts in favor of legislatively drawn ones.9
“The decision to seek review ‘is not to be placed in the hands of concerned
bystanders,’ persons who would seize it ‘as a vehicle for the vindication of value
interests.’” Arizonans for Official English, 520 U.S. at 64-65 (quoting Diamond v.
Charles, 476 U.S. 54, 62 (1986)). Neither the injury nor the interest asserted by
the Intervenors here can be distinguished from those dismissed in Lance.
Therefore, we hold that the Intervenors fail to allege a particularized injury-in-fact
sufficient to confer Article III standing independent of the original parties to this
action.
II. The Intervenors cannot piggyback on the standing of the original parties.
Having determined that the Intervenors cannot establish Article III standing
of their own account, we turn now to the alternative mechanism available to them
for doing so: piggybacking upon the standing of the original parties. However,
9
In their supplemental briefing, the Green Intervenors attempt to distinguish their claims
from those at issue in Lance by arguing that they seek only to defend, not overturn, the manner of
elections established by state law. They are, of course, actively seeking to change the status quo,
and they have requested affirmative relief from the 1988 consent decree. Regardless, then, of
whether they are defending or attacking the state-sanctioned election system, they have an
obligation as post-judgment intervenors, similar to that placed on plaintiffs, to show that they
have standing to bring their claims before a federal court. And the interests they have asserted
are too generalized to support their own independent standing under Lance.
23
doing so requires the existence of an ongoing adversarial case or controversy
among existing parties, and the lack of any adversarial character in the relations
between the original parties when the motion to intervene was filed indicates no
sufficiently adversarial case or controversy was ongoing into which the
Intervenors could inject themselves without making an independent showing of
Article III standing. Neither the mere existence of a consent decree nor the
continuation of the district court’s jurisdiction for enforcement purposes is enough
to support piggyback standing absent an existing dispute between the original
parties for which they seek a judicial resolution.
Commonly, intervenors “ride ‘piggyback’ on the . . . undoubted standing” of
original parties to an ongoing case or controversy. Diamond, 476 U.S. at 64.
Indeed, we have formalized this rule, stating that “a party seeking to intervene
need not demonstrate that he has standing in addition to meeting the requirements
of Rule 24 as long as there exists a justiciable case or controversy between the
parties already in the lawsuit.” Chiles v. Thornburgh, 865 F.2d 1197, 1213 (11th
Cir. 1989). This general policy, however, “presumes that there is a justiciable case
into which an individual wants to intervene.” Id. at 1212.
However, when the original parties have settled the claims between them,
and the intervenor wishes to challenge the settlement, we have required the
24
intervenor to have independent standing. E.g., Cox Cable Commc’ns, Inc. v.
United States, 992 F.2d 1178, 1181 (11th Cir. 1993) (requiring intervenor to
demonstrate standing to appeal entry of permanent injunction settling claims
between original parties). Diamond itself dismissed a defendant-intervenor’s
appeal for lack of standing to appeal where none of the original defendants
pursued the appeal alongside him. 476 U.S. at 68. The rule was stated: “[A]n
intervenor’s right to continue a suit in the absence of the party on whose side
intervention was permitted is contingent upon a showing by the intervenor that he
fulfills the requirements of Art. III.” Id. “Generally, an intervenor must have
independent standing if the intervenor would be the only party litigating a case.”
United States v. One-Sixth Share of James J. Bulger In All Present And Future
Proceeds Of Mass Millions Lottery Ticket No. M246233, 326 F.3d 36, 40 (1st Cir.
2003).
We believe this rule extends to the situation presented here. So long as an
original party on the intervenor’s side remains party to the action and maintains an
adversarial litigating position vis-a-vis the opposing parties, at least in this circuit
an intervenor need not make an independent showing that he or she meets the
standing condition of Article III. Chiles, 865 F.2d at 1213; see also Diamond, 476
25
U.S. at 68-69 (leaving undecided the question whether every intervenor must
demonstrate standing in addition to the requirements of Fed. R. Civ. P. 24(a)).10
Here, however, there are no unsettled adverse claims in litigation between
the original parties, either in the district court or on appeal. The settlement of
Dillard’s claims by entry of the consent decree ended the adversarial character of
the original controversy between Dillard and the Commission. See Lambert v.
Turner, 525 F.2d 1101, 1102 (6th Cir. 1975) (per curiam) (“Upon entry of the
consent decree . . . there was before the district court no extant case or controversy
between the defendant and any plaintiff.”).
The entry of the consent decree, with the full support of all the settling
parties, changed the calculus. While the parties to the decree are still
parties to the action and to the appeal, they are now opponents in name
only; in practical effect, the plaintiffs and the settling defendants no
longer represent opposing interests. The underlying controversy
between them has been resolved. Hence, given the case's current
posture, there is no longer any extraneous support to which [the
10
Other circuit courts have split in answering the question that the Supreme Court left
open in Diamond. The Second, Fifth, Sixth, Ninth, and Tenth Circuits have joined this circuit’s
general rule that proposed intervenors need not demonstrate standing to intervene in an ongoing
controversy. See San Juan County v. United States, 420 F.3d 1197, 1204-05 (10th Cir. 2005)
(permitting intervention without an independent showing of standing); United States v.
Tennessee, 260 F.3d 587, 595 (6th Cir. 2001) (same); Ruiz v. Estelle, 161 F.3d 814, 829-30 (5th
Cir. 1998) (same); Yniguez v. Arizona, 939 F.2d 727, 731 (9th Cir. 1991) (same); U.S. Postal
Serv. v. Brennan, 579 F.2d 188, 190 (2d Cir. 1978) (same). The Seventh, Eighth, and D.C.
Circuits, on the other hand, require a demonstration of intervenor standing in all cases. See Jones
v. Prince George’s County, 348 F.3d 1014, 1017 (D.C. Cir. 2003) (requiring intervenors
demonstrate standing in addition to Rule 24 requirements); South Dakota v. Ubbelohde, 330 F.3d
1014, 1023 (8th Cir. 2003) (same); Solid Waste Agency v. U.S. Army Corps of Eng’rs, 101 F.3d
503, 507 (7th Cir. 1996) (same).
26
Intervenors] may cling [for purposes of the piggyback standing
analysis].
United States v. AVX Corp., 962 F.2d 108, 112 (1st Cir. 1992). The mere
existence of a permanent injunction or consent decree thus is insufficient to
provide an ongoing case or controversy upon which an intervenor may “ride
‘piggyback,’” in Diamond’s phrase. See 476 U.S. at 64 (requiring intervening
doctor independently to demonstrate standing to appeal injunction enjoining
enforcement of abortion law where original state defendants declined to appeal);
Cox Cable Commc’ns, 992 F.2d at 1181 (inquiring into intervenor’s standing,
independent of original parties, in order to appeal entry of an injunctive decree
that settled claims between original parties).
The district court’s perpetuation of its jurisdiction for purposes of
enforcement of a consent decree is insufficient, by itself, to justify piggybacking.
See United States v. Accra Pac, Inc., 173 F.3d 630, 633 (7th Cir. 1999) (“Like
many another decree, this one reserved to the court the power of enforcement. But
general language about continuing jurisdiction must be limited to enforcement of
the decree when the parties are at loggerheads about some concrete subject, lest it
condone a violation of Article III.”).
27
The test of whether there is an ongoing litigation claim or controversy
between the original parties to a consent decree must be whether one party or the
other to the decree is seeking “judicial resolution of [the] dispute.” See Diamond,
476 U.S. at 62. “The presence of a disagreement, however sharp and acrimonious
it may be, is insufficient by itself to meet Art. III’s requirements” of a case or
controversy, id., unless one party is actually seeking judicial relief against another.
Here, although the Commission, in its answer to the complaint-in-intervention,
could be viewed as being supportive of the Intervenors’ claim for relief, the fact
remains that it was the Intervenors’ claim. The Commission itself never made any
claim of its own for judicial relief against Dillard following entry of the consent
decree. Thus, there was no existing case or controversy between the Commission
and Dillard as to which the Intervenors could ride piggyback to establish
standing.11
Though not cited to us by either party, we have considered whether the
result we reach is inconsistent with our prior decision in Loyd v. Alabama
Department of Corrections, 176 F.3d 1336 (11th Cir. 1999). Upon close
11
Of course, nothing in this opinion would preclude one of the original parties from
bringing an additional claim against another existing party, under the district court’s retained
jurisdiction, to vacate, amend, or enforce the consent decree. However, no such effort was made
or was outstanding in this case.
28
examination, we find that Loyd is inapposite. In Loyd, the Alabama Attorney
General, acting, along with the Commissioner of the Alabama Department of
Corrections, as the Department’s representative, intervened in federal district court
after entry of a consent decree in order to seek termination of the decree under the
Prison Litigation Reform Act (“PLRA”), 18 U.S.C. § 3626. Id. at 1338-39.
Following the district court’s decision to terminate the decree, the original
prisoner plaintiffs appealed, opposed by the intervenor, while several original
defendants, “[w]hile ambivalent about their position, . . . remained active in
opposing the appeal of the district court’s order.” Id. at 1338-39 & 1339 n.2.
Addressing first the Attorney General’s intervention in the district court, we
dismissed the appellants’ claim that the intervenor was required to demonstrate
standing because “a party seeking to intervene need not demonstrate that he has
standing in addition to meeting the requirements of Rule 24 as long as there exists
a justiciable case or controversy between the parties already in the lawsuit.” Id. at
1339 (quoting Chiles, 865 F.2d at 1213). We thus refused to dismiss the Attorney
General’s claim for lack of standing to intervene in the district court. Id. Turning
to the question of standing to appeal, we noted that the intervenor was the
appellee, not the appellant, and that the original defendants continued to oppose
the appeal of the consent decree’s termination. Id. at 1339 n.2. Accordingly, we
29
found an extant case or controversy in this court that also allowed the appeal to
proceed. Id.
Loyd did not expressly address the jurisdictional issue before us. Any
precedent one might attempt to draw from Loyd on the instant issue would have to
be from inferences based on sub silentio jurisdictional conclusions in that case.12
“But it is well-established circuit law that ‘we are not bound by a prior decision’s
sub silentio treatment of a jurisdictional question.’” Main Drug, Inc. v. Aetna U.S.
Healthcare, Inc., 475 F.3d 1228, 1231 (11th Cir. 2007) (quoting Okongwu v.
Reno, 229 F.3d 1327, 1330 (11th Cir. 2000)).
The long period of quiescence which followed the entry of the consent
decree indicates that the parties considered the controversy underlying the decree
to have been resolved. The Commission has not sought judicial relief from the
consent decree, notwithstanding its apparent sympathies supportive of the
Intervenors’ claim. We thus conclude that, at the time intervention was sought,
there was no basis upon which the Intervenors could justify piggyback standing.
12
We further note that, in filing its motion to terminate the consent decree there, “[t]he
Attorney General claimed status as an intervenor under 18 U.S.C. § 3626(b)(2) of the PLRA and
as a representative of the Alabama Department of Corrections,” an original defendant and party
to the consent decree. 176 F.3d at 1338-39 (emphasis added). The district court could have
taken jurisdiction of the motion to terminate its earlier consent decree on this alternative basis,
which would have obviated the need for any inquiry into the Attorney General’s separate
standing in the district court.
30
The standing of a prospective intervenor, whether independent or
piggyback, is properly measured at the time intervention is sought in the district
court. See Comer v. Cisneros, 37 F.3d 775, 801 (2d Cir. 1994) (“[T]he intervenors
certainly had standing at the time they filed their motions to intervene.”). In a case
involving a class action seeking to remedy delays in processing of welfare-benefits
applications, the Second Circuit provided a useful illustration of the timing of the
standing evaluation for intervenors:
In the present case, the original plaintiff at the time the complaint was
filed, and each intervenor at the time of her motion to intervene, was
suffering from a delay beyond the period provided by federal law for the
processing of her application for Food Stamp or ANFC benefits. Thus,
at the material time, each plaintiff was suffering injury capable of being
redressed by declaratory or injunctive relief. Accordingly, the district
court erred in ruling that Appellants did not have standing . . . .
Robidoux v. Celani, 987 F.2d 931, 938 (2d Cir. 1993) (emphases added); see also
Enzo APA & Son, Inc. v. Geapag A.G., 134 F.3d 1090, 1093 (Fed. Cir. 1998) (“As
a general matter, parties should possess rights before seeking to have them
vindicated in court.”); cf. Focus on the Family v. Pinellas Suncoast Transit Auth.,
344 F.3d 1263, 1275 (11th Cir. 2003) (“[A plaintiff’s] Article III standing must be
determined as of the time at which the . . . complaint is filed.”); Johnson v. Bd. of
Regents, 263 F.3d 1234, 1267 (11th Cir. 2001) (“[A] party's standing to sue is
generally measured at the time of the complaint, with the effect of subsequent
31
events generally analyzed under mootness principles.”); Lujan, 504 U.S. at 570 n.5
(“[S]tanding is to be determined as of the commencement of suit . . . .”).
Here, at the time the Intervenors filed their motion to intervene, there was
no extant controversy or pending legal claim between the original parties —
Dillard and the Commission. Even if we look at events subsequent to the motion
to intervene, we find no ongoing extant judicial case or controversy between the
Commission and Dillard to which the Intervenors could assert piggyback standing.
Subsequent to the motion to intervene, the Commission never filed any claim,
cross-claim, or counterclaim asserting any claim for judicial relief against Dillard.
Notwithstanding the Commission’s apparent sympathy with the Intervenors’
claim, the Commission itself asserted no renewed claim for legal relief against
Dillard.
Even on appeal, the Commission has scrupulously avoided arguing that the
district court order vacating the consent decree should be upheld. On the merits of
the district court order vacating the consent decree, the Commission is silent. The
only position the Commission argues on appeal is that, if the consent decree is set
aside, the district court was correct in not ordering immediate restructuring but
rather allowing the Commission time to accomplish an orderly restructuring.
Dillard does not take issue with that position of the Commission on appeal. So,
32
even on appeal, we have no extant judicial controversy between the original
parties to which the Intervenors could assert piggyback standing. In fact, it is
telling that on appeal when Dillard asserted in his brief that the Intervenors lacked
standing to assert their claims, the Commission adopted and agreed with that
portion of Dillard’s brief.
We, therefore, conclude that there was no ongoing case or controversy
between the original parties to this litigation, either at the time the motion to
intervene was filed or at any later time in the district court, nor is there any case or
controversy between the original parties that is presented to this court on appeal.
Thus, there is no dispute upon which the Intervenors can seek to piggyback
standing.
CONCLUSION
These Intervenors are unable to establish individualized standing under
Lance v. Coffman, because they present only generalized grievances seeking to
force the County Commission to follow federal constitutional and statutory law.
They are unable to establish “piggyback” standing based on an ongoing legal
claim and dispute between the original parties to the litigation, because neither in
the district court nor on appeal is there any ongoing legal claim for relief asserted
by one of the original parties against the other. The Intervenors therefore lack
33
standing on either of the bases available to them as intervenors, and their claims
must be dismissed. Accordingly, we VACATE the orders of the district court
terminating the consent decree and REMAND to the district court with
instructions to DISMISS the Intervenors’ claims, without prejudice, for lack of
standing.
34