Petitioners, recipients of public assistance under the
federal-state Aid to Families with Dependent Children (AFDC)
program, brought this action under 42 U.S.C. § 1983 and 28 U.S.C. §
2201 challenging a New York regulation permitting the State to
recoup prior unscheduled payments for rent from subsequent grants
under the AFDC program, on the ground that the regulation violated
the Equal Protection Clause of the Fourteenth Amendment and
conflicted with the Social Security Act and implementing
regulations of the Department of Health, Education, and Welfare
(HEW). Injunctive and declaratory relief was sought, and
jurisdiction was invoked under 28 U.S.C. §§ 1343(3) and (4). The
District Court declared the recoupment regulation contrary to the
Social Security Act and HEW regulations, and enjoined its
implementation or enforcement. The Court of Appeals reversed,
holding that, because petitioners had failed to present a
substantial constitutional claim, the District Court lacked
jurisdiction to entertain either the equal protection or the
statutory claim.
Held:
1. The District Court had jurisdiction under 28 U.S.C. §
1343(3). Pp.
415 U. S.
534-543.
(a) Section 1343(3) conferred jurisdiction to entertain the
constitutional claim if it was of sufficient substance to support
federal jurisdiction, in which case, the District Court could hear
as a matter of pendent jurisdiction the claim of conflict between
federal and state law without determining that the latter claim in
its own right was encompassed with § 1343. P.
415 U. S.
536.
(b) Within the accepted substantiality doctrine, petitioners'
complaint alleged a constitutional claim sufficient to confer
jurisdiction on the District Court to pass on the controversy,
since (1) the complaint alleged a deprivation, under color of state
law, of constitutional rights within the meaning of §§ 1343(3)
and
Page 415 U. S. 529
1983; (2) the equal protection issue was neither frivolous nor
so insubstantial as to be beyond the District Court's jurisdiction,
and the challenged regulation was not so clearly rational as to
require no meaningful consideration; and (3) the cause of action
alleged was not so patently without merit s to justify a dismissal
for want of jurisdiction,
Bell v Hood, 327 U.
S. 678, whatever may be the ultimate resolution of the
federal issues on the merits. Pp.
415 U. S.
536-543.
2. Given a constitutional question over which the District Court
had jurisdiction, it also had jurisdiction over the "statutory"
claim. The latter claim was to be decided first, and could be
decided by the single district judge, while the constitutional
claim could be adjudicated only by a three-judge court, and only if
the statutory claim was previously rejected. Pp.
415 U. S.
543-545.
3. State law claims pendent to federal constitutional claims
conferring jurisdiction on a district court generally are not to be
dismissed. Given advantages of economy and convenience and no
unfairness to litigants, they are to be adjudicated, particularly
where they may be dispositive and their decision would avoid
adjudication of federal constitutional questions. There are special
reasons to adjudicate the pendent claim where, as here, the claim,
although called "statutory," is in reality a constitutional claim
arising under the Supremacy Clause, since "federal courts are
particularly appropriate bodies for the application of preemption
principles."
Mine Workers v. Gibbs, 383 U.
S. 715,
383 U. S. 729.
Pp.
415 U. S.
545-550.
471 F.2d 347, reversed and remanded.
WHITE, J., delivered the opinion of the Court, in which DOUGLAS,
BRENNAN, STEWART, MARSHALL, and BLACKMUN, JJ., joined. POWELL, J.,
filed a dissenting opinion, in which BURGER, C.J., and REHNQUIST,
J., joined,
post, p.
415 U. S. 550.
REHNQUIST, J., filed dissenting opinion, in which BURGER, C.J., and
POWELL, J., joined,
post, p.
415 U. S.
552.
Page 415 U. S. 530
MR. JUSTICE WHITE delivered the opinion of the Court.
Petitioners, recipients of public assistance under the
cooperative federal-state Aid to Families With Dependent Children
(AFDC) program, [
Footnote 1]
brought this action in the District Court for themselves and their
infant children and as representatives of other similarly situated
AFDC recipients. Their suit challenged a provision of
Page 415 U. S. 531
the New York Code of Rules and Regulations permitting the State
to recoup prior unscheduled payments for rent from subsequent
grants under the AFDC program. [
Footnote 2] They alleged that the recoupment regulation
violated the Equal Protection Clause of the Fourteenth Amendment
and contravened the pertinent provisions of the Social Security Act
governing AFDC and the regulations promulgated thereunder by the
administering federal agency, the Department of Health, Education,
and Welfare (HEW). [
Footnote 3]
The action sought injunctive and declaratory
Page 415 U. S. 532
relief pursuant to 42 U.S.C. § 1983 and 28 U.S.C. § 2201, and
jurisdiction was invoked under 28 U.S.C. §§ 1343(3) and (4). The
District Court found that the equal protection claim was
substantial, and provided a basis for pendent jurisdiction to
adjudicate the so-called "statutory" claim -- the alleged conflict
between state and federal law. After hearing, the trial court
declared the recoupment regulation contrary to the Social Security
Act and HEW regulations, and enjoined its implementation
Page 415 U. S. 533
or enforcement. Following a remand, [
Footnote 4] the Court of Appeals reversed, holding that,
because petitioners had failed to present a substantial
constitutional claim, the District Court lacked jurisdiction to
entertain either the equal protection or the statutory claim. 471
F.2d 347 (CA2 1973). The jurisdictional question being an important
one, we granted certiorari. 412 U.S. 938 (1973). For reasons set
forth below, we hold that the District Court had jurisdiction under
28 U.S.C. § 1343(3) to consider petitioners' attack on the
recoupment regulation. [
Footnote
5]
Page 415 U. S. 534
I
Petitioners brought this action under 42 U.S.C. § 1983, which
provides:
"Every person who, under color of any statute, ordinance,
regulation, custom, or usage, of any State
Page 415 U. S. 535
or Territory, subjects, or causes to be subjected, any citizen
of the United States or other person within the jurisdiction
thereof to the deprivation of any rights, privileges, or immunities
secured by the Constitution and laws, hall be liable to the party
injured in an action at law, suit in equity, or other proper
proceeding for redress."
By its terms, § 1983 embraces petitioners' claims that the
challenged regulation enforced by respondent state and county
welfare officials deprives them of a right "secured by the
Constitution and laws,"
viz., the equal protection of the
laws. But the federal cause of action created by the section does
not, by itself, confer jurisdiction upon the federal district
courts to adjudicate these claims. Accordingly, petitioners relied
principally upon 28 U.S.C. § 1343(3):
"The district courts shall have original jurisdiction
Page 415 U. S. 536
of any civil action authorized by law to be commenced by any
person:"
"
* * * *"
"(3) To redress the deprivation, under color of any State law,
statute, ordinance, regulation, custom or usage, of any right,
privilege or immunity secured by the Constitution of the United
States or by any Act of Congress providing for equal rights of
citizens or of all persons within the jurisdiction of the United
States. . . ."
Concededly, § 1343 authorizes a civil action to "redress the
deprivation, under color of any State . . . regulation . . . of any
right . . . secured by the Constitution of the United States."
Section 1343(3) therefore conferred jurisdiction upon the District
Court to entertain the constitutional claim if it was of sufficient
substance to support federal jurisdiction. If it was, it is also
clear that the District Court could hear as a matter of pendent
jurisdiction the claim of conflict between federal and state law,
without determining that the latter claim in its own right was
encompassed within § 1343.
Rosado v. Wyman, 397 U.
S. 397,
397 U. S.
402-405 (1970);
see also N.Y. Dept. of Social
Services v. Dublino, 413 U. S. 405,
413 U. S. 412
n. 11 (1973).
The Court of Appeals ruled that petitioners had not tendered a
substantial constitutional claim and ordered dismissal of the
entire action for want of subject matter jurisdiction. The
principle applied by the Court of Appeals -- that a "substantial"
question was necessary to support jurisdiction -- was
unexceptionable under prior cases. Over the years, this Court has
repeatedly held that the federal courts are without power to
entertain claims otherwise within their jurisdiction if they are
"so attenuated and unsubstantial as to be absolutely devoid of
merit,"
Newburyport Water Co. v.
Newburyport, 193
Page 415 U. S. 537
U.S. 561,
193 U. S. 579
(1904); "wholly insubstantial,"
Bailey v. Patterson,
369 U. S. 31,
369 U. S. 33
(1962); "obviously frivolous,"
Hannis Distilling Co. v.
Baltimore, 216 U. S. 285,
216 U. S. 288
(1910); "plainly unsubstantial,"
Levering & Garrigues Co.
v. Morrin, 289 U. S. 103,
289 U. S. 105
(1933); or "no longer open to discussion,"
McGilvra v.
Ross, 215 U. S. 70,
215 U. S. 80
(1909). One of the principal decisions on the subject,
Ex parte
Poresky, 290 U. S. 30,
290 U. S. 31-32
(1933), held, first, that "[i]n the absence of diversity of
citizenship, it is essential to jurisdiction that a substantial
federal question should be presented"; second, that a three-judge
court was not necessary to pass upon this initial question of
jurisdiction; and third, that
"[t]he question may be plainly unsubstantial, either because it
is 'obviously without merit' or because 'its unsoundness so clearly
results from the previous decisions of this court as to foreclose
the subject and leave no room for the inference that the question
sought to be raised can be the subject of controversy.'
Levering & Garrigues Co. v. Morrin, supra; Hannis
Distilling Co. v. Baltimore, 216 U. S. 285,
216 U. S.
288;
McGilvra v. Ross, 215 U. S.
70,
215 U. S. 80."
Only recently this Court again reviewed this general question
where it arose in the context of convening a three-judge court
under 28 U.S.C. § 2281:
"'Constitutional insubstantiality,' for this purpose, has been
equated with such concepts as 'essentially fictitious,'
Bailey
v. Patterson, 369 U.S. at
369 U. S.
33; 'wholly insubstantial,'
ibid.; 'obviously
frivolous,'
Hannis Distilling Co. v. Baltimore,
216 U. S.
285,
216 U. S. 288 (1910); and
'obviously without merit,'
Ex parte Poresky, 290 U. S.
30,
290 U. S. 32 (1933). The
limiting words 'wholly' and 'obviously' have cogent legal
significance. In the context of the effect of prior decisions upon
the substantiality of constitutional claims, those words import
that claims are constitutionally
Page 415 U. S. 538
insubstantial only if the prior decisions inescapably render the
claims frivolous; previous decisions that merely render claims of
doubtful or questionable merit do not render them insubstantial for
the purposes of 28 U.S.C. § 2281. A claim is insubstantial only
if"
"'its unsoundness so clearly results from the previous decisions
of this court as to foreclose the subject and leave no room for the
inference that the questions sought to be raised can be the subject
of controversy.'"
"
Ex parte Poresky, supra, at
290 U. S.
32, quoting from
Hannis Distilling Co. v. Baltimore,
supra, at
216 U. S. 288;
see also
Levering Garrigues Co. v. Morrin, 289 U. S.
103,
289 U. S. 105-106 (1933);
McGilvra v. Ross, 215 U. S. 70,
215 U. S.
80 (1909)."
Goosby v. Osser, 409 U. S. 512,
409 U. S. 518
(1973).
The substantiality doctrine as a statement of jurisdictional
principles affecting the power of a federal court to adjudicate
constitutional claims has been questioned,
Bell v. Hood,
327 U. S. 678,
327 U. S. 683
(1946), and characterized as "more ancient than analytically
sound,"
Rosado v. Wyman, supra, at
397 U. S. 404.
But it remains the federal rule, and needs no reexamination here,
for we are convinced that, within accepted doctrine, petitioners'
complaint alleged a constitutional claim sufficient to confer
jurisdiction on the District Court to pass on the controversy.
Jurisdiction is essentially the authority conferred by Congress
to decide a given type of case one way or the other.
The Fair
v. Kohler Die Co., 228 U. S. 22,
228 U. S. 25
(1913). Here, §§ 1343(3) and 1983 unquestionably authorized federal
courts to entertain suits to redress the deprivation, under color
of state law, of constitutional rights. It is also plain that the
complaint formally alleged such a deprivation. The District Court's
jurisdiction, a matter for threshold determination, turned
Page 415 U. S. 539
on whether the question was too insubstantial for
consideration.
In
Dandridge v. Williams, 397 U.
S. 471 (1970), AFDC recipients challenged the Maryland
maximum grant regulation on equal protection grounds. We held that
the issue should be resolved by inquiring whether the
classification had a rational basis. Finding that it did, we
sustained the regulation. But
Dandridge evinced no
intention to suspend the operation of the Equal Protection Clause
in the field of social welfare law. State laws and regulations must
still "be rationally based and free from invidious discrimination."
Id. at
397 U. S. 487.
See Jefferson v. Hackney, 406 U.
S. 535,
406 U. S. 546
(1972);
Carter v. Stanton, 405 U.
S. 669,
405 U. S. 671
(1972);
cf. San Antonio School District v. Rodriguez,
411 U. S. 1
(1973).
Judged by this standard, we cannot say that the equal protection
issue tendered by the complaint was either frivolous or so
insubstantial as to be beyond the jurisdiction of the District
Court. We are unaware of any cases in this Court specifically
dealing with this or any similar regulation and settling the matter
one way or the other. [
Footnote
6] Nor is it immediately obvious to us from the
Page 415 U. S. 540
face of the complaint that recouping emergency rent payments
from future welfare disbursements, which petitioners argue deprived
needy children because of parental
Page 415 U. S. 541
default, was so patently rational as to require no meaningful
consideration.
The Court of Appeals rightly felt obliged to measure
petitioners' complaint that the challenged regulation violated the
Equal Protection Clause "by discriminating irrationally and
invidiously between different classes of recipients" [
Footnote 7] against the standard prescribed
by
Dandridge. The Court of Appeals then reasoned that,
without the recoupment regulation, those who were subject to it
would be preferred over those who had paid their full rent out of
their normal monthly grant. The court further reasoned that the
regulation provided an incentive for welfare recipients to properly
manage their grants and not become delinquent in their rent.
[
Footnote 8] It concluded
that
Page 415 U. S. 542
the regulation was rationally based and that no substantial
constitutional question within the jurisdiction of the District
Court had been presented.
This reasoning with respect to the rationality of the regulation
and its propriety under the Equal Protection Clause may ultimately
prove correct, but it is not immediately obvious from the decided
cases or so "very plain" [
Footnote
9] under the Equal Protection Clause. We think the admonition
of
Bell v. Hood, 327 U. S. 678
(1946), should be followed here:
"Jurisdiction . . . is not defeated, as respondents seem to
contend, by the possibility that the averments might fail to state
a cause of action on which petitioners could actually recover. For
it is well settled that the failure to state a proper cause of
action calls for a judgment on the merits, and not for a dismissal
for want of jurisdiction. Whether the complaint states a cause of
action on which relief could be granted is a question of law, and,
just as issues of fact, it must be decided after, and not before,
the court has assumed jurisdiction over the controversy. If the
court does later exercise its jurisdiction to determine that the
allegations in the complaint do not state a ground for relief, then
dismissal of the case would be on the merits, not for want of
jurisdiction."
Id. at
327 U. S. 682
(citations omitted). [
Footnote
10]
As was the case in
Bell v. Hood, we cannot "say that
the cause of action alleged is so patently without merit
Page 415 U. S. 543
as to justify, even under the qualifications noted, the court's
dismissal for want of jurisdiction."
Id. at
327 U. S. 683.
Nor can we say that petitioners' claim is
"so insubstantial, implausible, foreclosed by prior decisions of
this Court or otherwise completely devoid of merit as not to
involve a federal controversy within the jurisdiction of the
District Court, whatever may be the ultimate resolution of the
federal issues on the merits."
Oneida Indian Nation v. County of Oneida, 414 U.
S. 661,
414 U. S.
666-667 (1974). (Citations omitted.)
II
Given a constitutional question over which the District Court
had jurisdiction, it also had jurisdiction over the "statutory"
claim.
See supra at
415 U. S. 536.
The latter was to be decided first, and the former not reached, if
the statutory claim was dispositive.
California Human Resources
Dept. v. Java, 402 U. S. 121,
402 U. S. 124
(1971);
Dandridge v. Williams, 397 U.S. at
397 U. S.
475-476;
Rosado v. Wyman, 397 U.S. at
397 U. S. 402;
King v. Smith, 392 U. S. 309
(1968). The constitutional claim could be adjudicated only by a
three-judge court, but the statutory claim was within the
jurisdiction of a single district judge.
Swift & Co. v.
Wickham, 382 U. S. 111
(1965);
Rosado v. Wyman, supra, at
397 U. S. 403.
Thus, the District Judge, sitting alone, moved directly to the
statutory claim. His decision was appealed to the Court of Appeals,
although, had a three-judge court been convened, an injunction
issued, and the statutory ground alone decided, the appeal would be
only to this Court under 28 U.S.C. § 1253.
The procedure followed by the District Court -- initial
determination of substantiality and then adjudication of the
"statutory" claim without convening a three-judge court -- may
appear at odds with some of our prior decisions.
See, e.g.,
Engineers v. Chicago, R.I. & P. R. Co., 382 U.
S. 423 (1966);
Florida Lime & Avocado
Growers
Page 415 U. S. 544
v. Jacobsen, 362 U. S. 73
(1960). But we think it accurately reflects the recent evolution of
three-judge court jurisprudence, "this Court's concern for
efficient operation of the lower federal courts," and "the
constrictive view of the three-judge [court] jurisdiction which
this Court has traditionally taken."
Swift & Co. v.
Wickham, supra, at
382 U. S. 128,
382 U. S. 129
(citations omitted). In
Rosado v. Wyman, supra, at
397 U. S. 403,
we suggested that
"[e]ven had the constitutional claim not been declared moot, the
most appropriate course may well have been to remand to the single
district judge for findings and the determination of the statutory
claim, rather than encumber the district court, at a time when
district court calendars are overburdened, by consuming the time of
three federal judges in a matter that was not required to be
determined by a three-judge court.
See Swift & Co. v.
Wickham, 382 U. S. 111 (1965)."
It is true that the constitutional claim would warrant convening
a three-judge court, and that, if a single judge rejects the
statutory claim, a three-judge court must be called to consider the
constitutional issue. Nevertheless, the coincidence of a
constitutional and statutory claim should not automatically require
a single-judge district court to defer to a three-judge panel,
which, in view of what we have said in
Rosado v. Wyman,
supra, could then merely pass the statutory claim back to the
single judge.
See Kelly v. Illinois Bell Telephone Co.,
325 F.2d 148, 151 (CA7 1963);
Chicago, Duluth Georgian Bay
Transit Co. v. Nims, 252 F.2d 317, 319-320 (CA6 1958);
Doe
v. Lavine, 347 F.
Supp. 357, 359-360 (SDNY 1972);
cf. Bryant v.
Carleson, 444 F.2d 353, 358-359 (CA9 1971).
"In fact, it would be grossly inefficient to send a three-judge
court a claim which will only be sent immediately back. This
inefficiency is especially
Page 415 U. S. 545
apparent if the single judge's decision resolves the case, for
there is then no need to convene the three-judge court."
Norton v. Richardson 352 F.
Supp. 596, 599 (Md.1972) (citations omitted). Section 2281 does
not forbid this practice, and we are not inclined to read that
statute "in isolation with mutilating literalness. . . ."
Florida Lime & Avocado Growers v. Jacobsen, supra, at
362 U. S. 94
(Frankfurter, J., dissenting).
III
Taking a jaundiced view of the constitutional claim, the
dissenters would have the District Court dismiss the Supremacy
Clause ("statutory") issue, convene a three-judge court, and reject
the constitutional claim, all of this, apparently, as an exercise
of the discretion which the District Court, under
Mine Workers
v. Gibbs, 383 U. S. 715
(1966), is claimed to have over the pendent federal claim. But
Gibbs was oriented to state law claims pendent to federal
claims conferring jurisdiction on the District Court. Pendent
jurisdiction over state claims was described as a doctrine of
discretion not to be routinely exercised without considering the
advantages of judicial economy, convenience, and fairness to
litigants. For,
"[n]eedless decisions of state law should be avoided both as a
matter of comity and to promote justice between the parties, by
procuring for them a surer-footed reading of applicable law."
Id. at
383 U. S. 726
(footnote omitted). [
Footnote
11]
In light of the dissent's treatment of
Gibbs, several
observations are appropriate. First, it is evident from
Gibbs that pendent state law claims are not always, or
even almost always, to be dismissed and not adjudicated.
Page 415 U. S. 546
On the contrary, given advantages of economy and convenience and
no unfairness to litigants,
Gibbs contemplates
adjudication of these claims.
Second, it would reasonably follow that other considerations may
warrant adjudication, rather than dismissal of pendent state
claims. In
Siler v. Louisville & Nashville R. Co.,
213 U. S. 175
(1909), the Court held that the state issues should be decided
first, and, because these claims were dispositive, federal
questions need not be reached:
"Where a case in this court can be decided without reference to
questions arising under the Federal Constitution, that course is
usually pursued, and is not departed from without important
reasons. In this case, we think it much better to decide it with
regard to the question of a local nature, involving the
construction of the state statute and the authority therein given
to the commission to make the order in question, rather than to
unnecessarily decide the various constitutional questions appearing
in the record."
Id. at
213 U. S. 193.
Siler is not an oddity. The Court has characteristically
dealt first with possibly dispositive state law claims pendent to
federal constitutional claims.
See, e.g., Louisville &
Nashville R. Co. v. Garrett, 231 U. S. 298,
231 U. S.
303-304,
231 U. S. 310
(1913);
Ohio Tax Cases, 232 U. S. 576,
232 U. S.
586-587 (1914);
Greene v. Louisville &
Interurban R. Co., 244 U. S. 499,
244 U. S.
508-509 (1917);
Louisville & Nashville R. Co. v.
Greene, 244 U. S. 522,
244 U. S. 527
(1917);
Davis v. Wallace, 257 U.
S. 478,
257 U. S. 482,
257 U. S. 485
(1922);
Chicago G. W. R. Co. v. Kendall, 266 U. S.
94,
266 U. S. 97-98
(1924);
Cincinnati v. Vester, 281 U.
S. 439,
281 U. S.
448-449 (1930);
Hillsborough v. Cromwell,
326 U. S. 620,
326 U. S. 629
(1946). The doctrine is not ironclad,
see Sterling v.
Constantin, 287 U. S. 378,
287 U. S.
393-394,
287 U. S. 396
(1932), but it is recurringly applied, [
Footnote 12]
Page 415 U. S. 547
and, at the very least, it presumes the advisability of deciding
first the pendent, nonconstitutional issue.
Gibbs did not cite
Siler or like cases, nor
did it purport to change the ordinary rule that a federal court
should not decide federal constitutional questions where a
dispositive nonconstitutional ground is available. The dissent
uncritically relies on
Siler but ignores the preference
stated in that case for deciding nonconstitutional claims even
though they are pendent and, standing alone, are beyond the
jurisdiction of the federal court. [
Footnote 13]
Page 415 U. S. 548
Third, the rationale of
Gibbs centers upon
considerations of comity and the desirability of having a reliable
and final determination of the state claim by state courts having
more familiarity with the controlling principles and the authority
to render a final judgment. These considerations favoring state
adjudication are wholly irrelevant where the pendent claim is
federal but is itself beyond the jurisdiction of the District Court
for failure to satisfy the amount in controversy. In such cases,
the federal court's rendition of federal law will be at least as
sure-footed and lasting as any judgment from the state courts.
[
Footnote 14]
Page 415 U. S. 549
The most relevant cases for our purposes, of course, are those
decisions such as
King v. Smith, 392 U.
S. 309 (1968),
Rosado v. Wyman, 397 U.
S. 397 (1970), and
Dandridge v. Williams,
397 U. S. 471
(1970), where the jurisdictional claim arises under the Federal
Constitution and the pendent claim, although denominated
"statutory," is in reality a constitutional claim arising under the
Supremacy Clause. In these cases the Court has characteristically
dealt with the "statutory" claim first
"because, if the appellees' position on this question is
correct, there is no occasion to reach the constitutional issues.
Ashwander v. TVA, 297 U. S. 288,
297 U. S.
346-347 (Brandeis, J., concurring);
Rosenberg v.
Fleuti, 374 U. S. 449."
Dandridge v. Williams, supra, at
397 U. S.
475-476.
In none of these cases did the Court think that, with
jurisdiction fairly established, a federal court,
Page 415 U. S. 550
under
Gibbs, must nevertheless decide the
constitutional issue and avoid the statutory claim if, upon
weighing the two claims, the statutory claim is strong and the
constitutional claim weak. On the contrary, Mr. Justice Harlan,
writing for the Court in
Rosado v. Wyman, and with the
principles of
Gibbs well in mind, noted that the pendent
statutory question was essentially one of federal policy, and that
the argument for the exercise of pendent jurisdiction was
"
particularly strong.'" 397 U.S. at 397 U. S. 404.
And Gibbs itself observed the "special reason for the
exercise of pendent jurisdiction" where the Supremacy Clause is
implicated: "the federal courts are particularly appropriate bodies
for the application of preemption principles." 383 U.S. at
383 U. S.
729.
The judgment of the Court of Appeals is reversed, and the case
remanded to that court for further proceedings consistent with this
opinion.
So ordered.
[
Footnote 1]
AFDC is one of several major categorical public assistance
programs established by the Social Security Act of 1935, and, as we
described in
King v. Smith, 392 U.
S. 309,
392 U. S.
316-317 (1968), it is founded on a scheme of cooperative
federalism:
"It is financed largely by the Federal Government on a matching
fund basis, and is administered by the States. States are not
required to participate in the program, but those which desire to
take advantage of the substantial federal funds available for
distribution to needy children are required to submit an AFDC plan
for the approval of the Secretary of Health, Education, and Welfare
(HEW). 49 Stat. 627, 42 U.S.C. §§ 601, 602, 603, and 604.
See [U.S. Advisory Commission Report on Intergovernmental
Relations, Statutory and Administrative Controls Associated with
Federal Grants for Public Assistance 21-23 (1964)]. The plan must
conform with several requirements of the Social Security Act and
with rules and regulations promulgated by HEW. 49 Stat. 627, as
amended, 42 U.S.C. § 602 (1964 ed., Supp. II).
See also
HEW, Handbook of Public Assistance Administration, pt. IV, §§ 2200,
2300. . . ."
See also Rosado v. Wyman, 397 U.
S. 397,
397 U. S.
407-409 (1970).
Under the Social Security Act, HEW withholds federal funds for
implementation of a state AFDC plan until compliance with the Act
and the Department's regulations. HEW may also terminate partially
or entirely federal payments if,
"in the administration of the [state] plan there is a failure to
comply substantially with any provision required by section 602(a)
of [the Act] to be included in the plan."
42 U.S.C. § 604.
See King v. Smith, supra, at
392 U. S. 317
n. 12;
Rosado v. Wyman, supra, at
397 U. S.
420-422.
[
Footnote 2]
The challenged regulation provides, in pertinent part:
"(g)
Payment for services and supplies already
received. Assistance grants shall be made to meet only current
needs. Under the following specified circumstances payment for
services or supplies already received is deemed a current
need:"
"
* * * *"
"(7) For a recipient of public assistance who is being evicted
for nonpayment of rent for which a grant has been previously
issued, an advance allowance may be provided to prevent such
eviction or rehouse the family; and such advance shall be deducted
from subsequent grants in equal amounts over not more than the next
six months. When there is a rent advance for more than one month,
or more than one rent advance in a 12-month period, subsequent
grants for rent shall be provided as restricted payments in
accordance with Part 381 of this Title."
18 N.Y.C.R.R. § 352.7(g)(7).
As AFDC recipients, petitioners receive monthly grants
calculated to provide 90% of their family needs for shelter, fuel,
and other basic necessities. For one reason or another, each
petitioner was unable to pay her rent, and, faced with imminent
eviction, she received emergency rent payments from the Nassau
County Department of Social Services. Because the State
characterized these payments as "advances," the amount of these
disbursements was deducted or recouped from petitioners' subsequent
monthly familial assistance grants pursuant to § 352.7(g)(7).
[
Footnote 3]
Petitioners alleged that the New York State recoupment
regulation was contrary to the following provisions of the federal
statute and regulations because it assumed, contrary to fact, that
those funds, extended to a recipient to satisfy a current emergency
rent need, remain available as income for the family's need during
the mandated six-month recoupment period.
Title 42 U.S.C. §§ 602(a)(7) and (a)(10) state in pertinent
part:
"(a) A State plan for aid and services to needy families with
children must . . . (7) except as may be otherwise provided in
clause (8), provide that the [administering] State agency shall, in
determining need, take into consideration any other income and
resources of any child or relative claiming aid to families with
dependent children, or any other individual (living in the same
home as such child and relative) whose needs the State determines
should be considered in determining the need of the child or
relative claiming such aid, as well as any expenses reasonably
attributable to the earning of any such income. . . ."
"
* * * *"
"(10) provide, effective July 1, 1951, that all individuals
wishing to make application for aid to families with dependent
children shall have opportunity to do so, and that aid to families
with dependent children shall be furnished with reasonable
promptness to all eligible individuals. . . ."
45 CFR § 233.20(a)(3)(ii)(c):
"(a)
Requirements for State Plans. A State Plan for
OAA, AFDC, AB, APTD or AABD must, as specified below:"
"
* * * *"
"(3) . . . . "
"(ii) Provide that, in establishing financial eligibility and
the amount of the assistance payment: . . . (c) only such net
income as is actually available for current use on a regular basis
will be considered, and only currently available resources will be
considered. . . ."
[
Footnote 4]
On appeal from the District Court's entry of the injunction, the
Court of Appeals without extended discussion found jurisdiction for
the § 1983 action under 28 U.S.C. § 1343(3). Without passing on the
merits of the District Court's findings and conclusions, the Court
of Appeals, with one judge dissenting, ordered a remand to that
court to determine whether the recoupment of prior advance rent
payments from current grants is a "reduction in grant" that would
trigger the New York fair hearing procedures under 18 N.Y.C.R.R. §
351.26. 462 F.2d 928 (CA2 1972).
On remand, the District Court allowed additional parties who had
received fair hearings to intervene and file a complaint. At the
invitation of the court, HEW filed an
amicus curiae brief
which concluded that
"the New York regulation does contravene federal requirements,
because it assumes for particular months the existence of income
and resources which, by definition, are not currently available for
such months."
Brief for Petitioners Appendix 2. The District Court once again
held the recoupment regulation invalid as violative of the Social
Security Act and HEW regulations, and enjoined its enforcement and
implementation.
[
Footnote 5]
In view of our disposition of this case, we do not reach the
question whether, wholly aside from the pendent jurisdiction
rationale relied upon by the District Court, other valid grounds
existed for sustaining its jurisdiction to entertain and decide the
claim of conflict between federal and state law. It has been
suggested, for example, that the conflict question is itself a
constitutional matter within the meaning of § 1343(3).
Connecticut Union of Welfare Employees v. White, 55 F.R.D.
481, 486 (Conn.1972). For purposes of interpreting and applying 28
U.S.C. § 2281, the three-judge court provision, a claim of conflict
between federal and state law has been denominated a claim not
requiring a three-judge court.
Swift & Co. v. Wickham,
382 U. S. 111
(1965). But
Swift itself recognized that a suit to have a
state statute declared void and to secure the benefits of the
federal statute with which the state law is allegedly in conflict
cannot succeed without ultimate resort to the Federal Constitution
--
"to be sure, any determination that a state statute is void for
obstructing a federal statute does rest on the Supremacy Clause of
the Federal Constitution."
Id. at
382 U. S. 125.
Moreover, when we have previously determined that state AFDC laws
do not conform to the Social Security Act or HEW regulations, they
have been invalidated under the Supremacy Clause.
See Townsend
v. Swank, 404 U. S. 282, 286
(1971). It is therefore urged that the "secured by the
Constitution" language of § 1343(3) should not be construed to
exclude Supremacy Clause issues. That question we leave for another
day.
Petitioners contend that § 1983 authorizes suits to vindicate
rights under the "laws" of the United States, as well as under the
Constitution, and that a suit brought under § 1983 to vindicate a
statutory right under the Social Security Act, is a suit under an
Act of Congress "providing for the protection of civil rights,
including the right to vote" within the meaning of § 1343(4). They
further argue that, in any event, § 1343(3) in particular, and §
1343 in general, should be construed to invest the district courts
with jurisdiction to hear any suit authorized by § 1983. These
issues we also do not reach.
See Rosado v. Wyman, 397 U.S.
at
397 U. S. 405
n. 7;
see also Herzer, Federal Jurisdiction Over
Statutorily Based Welfare Claims, 6 Harv.Civ.Rights-Civ.Lib.L.Rev.
l, 16-18 (1970); Note, Federal Jurisdiction Over Challenges to
State Welfare Programs, 72 Col.L.Rev. 1404, 1405-1435 (1972); Note,
Federal Judicial Review of State Welfare Practices, 67 Col.L.Rev.
84, 100-115 (1967).
Several past decisions of this Court concerning challenges by
federal categorical assistance recipients to state welfare
regulations have either assumed that jurisdiction existed under §
1343 or so stated without analysis.
See, e.g., Carleson v.
Remillard, 406 U. S. 598
(1972);
Carter v. Stanton, 405 U.
S. 669,
405 U. S. 671
(1972);
Townsend v. Swank, 404 U.S. at
404 U. S. 284
n. 2;
California Human Resources Dept. v. Java,
402 U. S. 121
(1971);
Dandridge v. Williams, 397 U.
S. 471 (1970);
Goldberg v. Kelly, 397 U.
S. 254 (1970);
King v. Smith, 392 U.S. at
392 U. S. 312
n. 3;
Damico v. California, 389 U.
S. 416 (1967). In none of these cases was the
jurisdictional issue squarely raised as a contention in the
petitions for certiorari, jurisdictional statements, or briefs
filed in this Court.
See Edelman v. Jordan, post, at
415 U. S.
670-671. Moreover, when questions of jurisdiction have
been passed on in prior decisions
sub silentio, this Court
has never considered itself bound when a subsequent case finally
brings the jurisdictional issue before us.
United
States v. More, 3 Cranch 159, 172 (1805);
King
Mfg. Co. v. Augusta, 277 U. S. 100,
277 U. S.
134-135, n. 21 (1928) (Brandeis, J., dissenting). We
therefore approach the question of the District Court's
jurisdiction to entertain this suit as an open one calling for a
canvass of the relevant jurisdictional considerations.
Florida
Lime & Avocado Growers v. Jacobsen, 362 U. S.
73,
362 U. S. 88
(1960) (Frankfurter, J., dissenting).
[
Footnote 6]
Those district courts that have ruled on similarly drafted state
recoupment provisions have found that they were not rationally
related to the declared purposes of the AFDC program, and were
therefore invalid under the Social Security Act and HEW
regulations. In
Cooper v. Laupheimer, 316 F.
Supp. 264 (ED Pa.1970), the District Court, after finding the
equal protection claim substantial, invalidated a Pennsylvania
regulation that recouped over a two-month period alleged
overpayments from a family's assistance grants. The court found the
regulation inconsistent with the Social Security Act for several
reasons, including,
inter alia, the punishment of the
dependent child by depriving him of a substantial amount of his
AFDC assistance because his mother either mistakenly or
fraudulently obtained an extra payment months ago.
"[T]he state cannot justify its [arbitrary] method of
restitution by asserting that proper management of funds would
produce such a [cash] reserve. The state cannot permit a child to
starve or be deprived of aid that he needs because of the mother's
budgetary mismanagement. The Social Security Act specifies remedies
for such a situation. . . ."
Id. at 269.
In
Bradford v. Juras, 331 F.
Supp. 167 (Ore.1971), the District Court found that it had
subject matter jurisdiction over the constitutional and statutory
challenge to an Oregon regulation authorizing recoupment of
overpayments from current assistance grants. Measuring the
regulation against the goals of the AFDC program, the court
invalidated it as inconsistent with federal law.
"The primary concern of Congress in establishing the AFDC
program was the welfare and protection of the needy dependent
child. 42 U.S.C. § 601;
King v. Smith, 392 U. S.
309,
392 U. S. 313 . . . (1968).
This concern is thwarted when recoupment from current grants takes
money from the child to penalize the misconduct of its parent."
"
* * * *"
". . . The child-oriented policy of the AFDC program requires
that children with equal needs be treated equally. The fact that a
parent-recipient has acted wrongfully in the past by withholding
information does not justify reducing the subsistence level of her
children below that of other needy children."
331 F. Supp. at 170.
In
Holloway v. Parham, 340 F.
Supp. 336 (ND Ga.1972), an equal protection and due process
challenge to a Georgia statute mandating recoupment from future
grants for past unlawful payments was deemed substantial enough to
warrant the convening of a three-judge court. Addressing the
pendent claim of inconsistency with the Social Security Act and HEW
regulations, the court ruled that the law was valid because it
required a pre-recoupment determination that all or part of the
overpayments are currently available to the parent and the
children.
Although it did not explore the question in depth, the first
Court of Appeals panel in this case that passed upon the injunction
found jurisdiction in the District Court pursuant to 28 U.S.C. §
1343(3) on the authority of the Court's decision in
Carter v.
Stanton, 405 U. S. 669
(1972). There we noted, in a suit challenging a state welfare
regulation, that,
"if the [federal district] court's characterization of the
[Fourteenth Amendment] question presented as insubstantial was
based on the face of the complaint, as it seems to have been, it
was error."
Id. at
405 U. S. 671.
The dissent did not question the majority's jurisdictional
determination. 462 F.2d at 930-931, 932.
[
Footnote 7]
App. 5.
[
Footnote 8]
"The regulation in question, 1 NYCRR § 352.7(g)(7), has a
rational basis. Since the state has a limited amount of funds
available to allocate to welfare recipients, the recoupment
regulation is reasonably designed to ensure that there are
sufficient funds available to all recipients on the level set by
the state legislature. By receiving the advance payment plaintiffs
have gotten more than the normal grant. Without the recoupment
regulation, the plaintiffs would be in a preferred position over
all the other welfare recipients who have paid their full rent out
of the normal grant. The purposes of equal protection are served by
treating all alike, without granting special favor to those who
have misappropriated their rent allowance. If there were no
recoupment provision, there would be a disincentive for welfare
recipients to manage their grants so as to have funds available to
pay their rent each month. The recoupment provision encourages
proper money management, an entirely acceptable, if incidental,
purpose of the welfare legislation."
"No doubt there are other ways in which the state could
accomplish the ends served by the use of the recoupment regulation.
However it is not for us to evaluate the wisdom of the state's
choice of means. If these means are rationally related to a proper
end, as they are in this case, we have no power to go further."
471 F.2d 347, 349-350.
[
Footnote 9]
Hart v. Keith Exchange, 262 U.
S. 271,
262 U. S. 274
(1923).
[
Footnote 10]
Once a federal court has ascertained that a plaintiff's
jurisdiction-conferring claims are not "insubstantial on their
face,"
Engineers v. Chicago, R. I. & P. R. Co.,
382 U. S. 423,
382 U. S. 428
(1966), "no further consideration of the merits of the claim[s] is
relevant to a determination of the court's jurisdiction of the
subject matter."
Baker v. Carr, 369 U.
S. 186,
369 U. S. 199
(1962).
[
Footnote 11]
The Court also cited with approval Chief Judge Magruder's
concurrence in
Strachman v. Palmer, 177 F.2d 427, 431 (CA1
1949), advising that
"'[f]ederal courts should not be overeager to hold on to the
determination of issues that might be more appropriately left to
settlement in state court litigation.'"
383 U.S. at
383 U. S. 726
n. 15.
[
Footnote 12]
Numerous decisions of this Court have stated the general
proposition endorsed in
Siler -- that a federal court
properly vested with jurisdiction may pass on the state or local
law question without deciding the federal constitutional issues --
and have then proceeded to dispose of the case solely on the
nonfederal ground.
See, e.g., Hillsborough v. Cromwell,
326 U. S. 620,
326 U. S.
629-630 (1946);
Waggoner Estate v. Wichita
County, 273 U. S. 113,
273 U. S.
116-119 (1927);
Chicago G. W. R. Co. v.
Kendall, 266 U. S. 94
(1924);
United Gas Co. v. Railroad Comm'n, 278 U.
S. 300,
278 U. S. 308
(1929);
Risty v. Chicago, R.I. & P. R. Co.,
270 U. S. 378,
270 U. S. 387
(1926). These and other cases illustrate in practice the wisdom of
The federal policy of avoiding constitutional adjudication where
not absolutely essential to disposition of a case. Other decisions
have addressed both the federal and state claims in a random
fashion,
see, e.g., Atlantic Coast Line R. Co. v.
Daughton, 262 U. S. 413,
262 U. S.
421-426 (1923);
Southern R. Co. v. Watts,
260 U. S. 519,
260 U. S.
525-531 (1923); but they have generally denied relief on
both the federal and nonfederal grounds asserted, the nonfederal
claim not being dispositive.
Daughton and
Watts
were both written by Mr. Justice Brandeis, who, in his celebrated
concurring opinion in
Ashwander v. TVA, 297 U.
S. 288,
297 U. S. 347
(1936), relied upon
Siler in summarizing the general rule
that
"if a case can be decided on either of two grounds, one
involving a constitutional question, the other a question of
statutory construction or general law, the Court will decide only
the latter."
[
Footnote 13]
The dissent also relies upon
Hurn v. Oursler,
289 U. S. 238
(1933), but
Hurn expressly took account of one aspect of
the rule stated in
Siler: once a federal court acquires
jurisdiction of a case by virtue of the federal questions involved,
it may omit to decide the federal issues and decide the case on
local or state questions alone. With unmistakable clarity, the
Court reaffirmed
Siler:
"The
Siler and like cases announce the rule broadly,
without qualification, and we perceive no sufficient reason for the
exception suggested. It is stated in these decisions as a rule of
general application, and we hold it to be such. . . ."
Id. at
289 U. S. 245.
The dissent properly notes
Hurn's warning that
Siler does not "permit a federal court to assume
jurisdiction of a separate and distinct non-federal cause of
action. . . ."
Ibid. However, the
Siler rule
certainly allows the trial court to adjudicate "a case where two
distinct
grounds in support of a single cause of action
are alleged, only one of which presents a federal question. . . ."
Id. at
289 U. S. 246
(emphasis added). We can thus see that here, as in
Hurn,
"[t]he [complaint] alleges the violation of a single right [here
the right to nondiscriminatory treatment as to receipt of public
assistance]. And it is this violation which constitutes the cause
of action. Indeed, the claims of [violation of equal protection and
the Social Security Act] so precisely rest upon identical facts as
to be little more than the equivalent of different epithets to
characterize the same group of circumstances. The primary relief
sought is an injunction to put an end to an essentially single
wrong, however differently characterized, not to enjoin distinct
wrongs constituting the basis for independent causes of
action."
Id. at
289 U. S. 246.
See also Armstrong Paint & Varnish Works v. Nu-Enamel
Corp., 305 U. S. 315,
305 U. S.
324-325 (1938).
[
Footnote 14]
In a closely analogous context, this Court has recognized the
special capability of federal courts to adjudicate pendent federal
claims. In
Romero v. International Terminal Operating Co.,
358 U. S. 354
(1959), an injured Spanish seaman filed suit in federal court
claiming damages under the Jones Act and under the general maritime
law of the United States for unseaworthiness of the ship,
maintenance and cure, and negligence. Jurisdiction was invoked
under the Jones Act (46 U.S.C. § 688) and under general federal
question (28 U.S.C. § 1331) and diversity (28 U.S.C. § 1332)
jurisdiction. After expressing its view that petitioner alleged a
Jones Act claim substantial enough to confer jurisdiction under
that statute, the Court held that his general maritime law claims
were not cognizable under 28 U.S.C. § 1331. By no means, however,
was this the end of the inquiry.
"[T]he District Court may have jurisdiction of [petitioner's
general maritime law claims] 'pendent' to its jurisdiction under
the Jones Act. Of course, the considerations which call for the
exercise of pendent jurisdiction of a state claim related to a
pending federal cause of action within the appropriate scope of the
doctrine of
Hurn v. Oursler, 289 U. S.
238, are not the same when, as here,
what is
involved are related claims based on the federal maritime law.
We perceive no barrier to the exercise of 'pendent jurisdiction' in
the very limited circumstances before us."
358 U.S. at
358 U. S.
380-381 (emphasis added).
MR. JUSTICE POWELL, with whom THE CHIEF JUSTICE and MR. JUSTICE
REHNQUIST join, dissenting.
I join the dissenting opinion of MR. JUSTICE REHNQUIST because I
believe he expresses the correct view of the appropriate result
when a claim over which a district court has no independent
jurisdiction is appended to a constitutional claim that has no hope
of success on the merits. A wise exercise of discretion lies at the
heart of the doctrine of pendent jurisdiction.
E.g., Rosado v.
Wyman, 397 U. S. 397,
397 U. S. 403
(1970);
Mine Workers v. Gibbs, 383 U.
S. 715,
383 U. S.
726-727 (1966). Compelling a district court to decide an
ancillary claim where the premise for its jurisdiction is a
meritless constitutional claim does not impress me as an
efficacious performance of a discretionary responsibility.
Page 415 U. S. 551
I write briefly to emphasize my view that the majority has
misread the import of the
Gibbs opinion,
supra,
particularly in the manner in which it links
Gibbs to
Siler v. Louisville & Nashville R. Co., 213 U.
S. 175 (1909), and like cases.
Gibbs involved a
state claim that arose out of the same transaction as the federal
law claim that conferred federal jurisdiction. The majority
apparently reads
Gibbs and
Siler together as
mandating decision of the state law claim without regard to the
frailty of the federal claim on which federal jurisdiction rests.
See ante at
415 U. S. 547,
415 U. S.
549-550. In other words, the majority opinion appears to
be saying that a federal constitutional claim as marginal as the
one at issue here is capable of supporting pendent federal
jurisdiction over a state claim and, indeed, that the state claim
is to be decided to the exclusion of the federal issue. As I view
it, that is a particularly erroneous interpretation of the pendent
jurisdiction doctrine. That reading would broaden federal question
jurisdiction to encompass matters of state law whenever an
imaginative litigant can think up a federal claim, no matter how
insubstantial, that is related to the transaction giving rise to
the state claim.
This extension of
Gibbs is quite unnecessary, since we
are not confronted with a case where the pendent claim is a matter
of state law. The Court's dictum could nevertheless prompt other
courts to follow it. In view of this potential mischief, I repeat a
quotation from
Gibbs relied on by my Brother REHNQUIST
which indicates how far the Court has departed from the rationale
of that 1966 precedent:
"[R]ecognition of a federal court's wide latitude to decide
ancillary questions of state law does not imply that it must
tolerate a litigant's effort to impose upon it what is in effect
only a state law case.
Page 415 U. S. 552
Once it appears that a state claim constitutes the real body of
a case, to which the federal claim is only an appendage, the state
claim may fairly be dismissed."
383 U.S. at
383 U. S. 727.
The correct reading of
Gibbs, as a matter of common sense
and in light of deeply rooted notions of federalism, is that the
federal claim must have more than a glimmer of merit, and must
continue to do so at least until substantial judicial resources
have been committed to the lawsuit. If either of those conditions
is not met, a district court has no business deciding issues of
state law. District courts are not expositors of state law when
jurisdiction is not based on diversity of citizenship.
MR. JUSTICE REHNQUIST, with whom THE CHIEF JUSTICE and MR.
JUSTICE POWELL join, dissenting.
The Court's decision in this case resolves a legal question and
is necessarily and properly cast in legal terms. According to the
Court, a federal district court, having acquired jurisdiction over
a "not wholly insubstantial" federal claim, has power to decide
other related claims which lack an independent jurisdictional
basis. Applying this analysis to the present case, the Court finds
the equal protection claim pleaded by petitioners sufficient to
satisfy this somewhat hazy definition of "substantiality," and
appears to approve the District Court's exercise of pendent
jurisdiction over a claim alleging conflict between state and
federal welfare regulations. But since we have been admonished that
we may not shut our eyes as judges to what we know as men, the
practical as well as the legal consequences of this decision should
be squarely faced.
In the wake of
King v. Smith, 392 U.
S. 309 (1968), and
Rosado v. Wyman,
397 U. S. 397
(1970), the lower federal courts have been confronted by a massive
influx of cases challenging state welfare regulations. The
principal
Page 415 U. S. 553
claim of plaintiffs in the typical case is that the state
regulation conflicts with governing federal regulations, and is
invalid under the Supremacy Clause of the United States
Constitution. This allegation presents a federal claim sufficient
to satisfy the first jurisdictional requirement of 28 U.S.C. §
1331, [
Footnote 2/1] the so-called
"federal question" jurisdictional statute, but many plaintiffs find
the statute's second requirement, that the matter in controversy
exceed the sum of $10,000, impossible to meet. Normally, therefore,
these cases would be left, as Congress surely understood when it
imposed this jurisdictional limitation, to state courts likewise
charged with enforcing the United States Constitution.
To avoid this natural disposition, however, plaintiffs in these
cases have turned to 28 U.S.C. § 1343, a more narrowly drawn
federal jurisdictional statute requiring no minimum jurisdictional
amount. The provision of 28 U.S.C. § 1343 relevant to this case
reads:
"The district courts shall have original jurisdiction of any
civil action authorized by law to be commenced by any person:"
"
* * * *"
"(3) To redress the deprivation, under color of any State law,
statute, ordinance, regulation, custom or usage, of any right,
privilege or immunity secured by the Constitution of the United
States or by any Act of Congress providing for equal rights of
citizens or of all persons within the jurisdiction of the United
States. . . . "
Page 415 U. S. 554
This Court, however, has never held, and does not hold now, that
the Supremacy Clause of the Constitution itself provides a basis
for jurisdiction under this section. The Court escapes the need for
such a decision by granting the federal courts power to hear the
Supremacy Clause claim under a theory of pendent jurisdiction.
Finding that plaintiffs here have pleaded an equal protection claim
sufficiently substantial to satisfy the requirements of 28 U.S.C. §
1343, the Court seems to suggest that consideration of the
Supremacy Clause claim may follow as a matter of course. Since I do
not believe that the equal protection claim was sufficient to
establish jurisdiction under § 1343, or that the doctrine of
pendent jurisdiction was appropriately invoked in this case, I
dissent.
I
The history of pendent jurisdiction in this Court is long and
complex. Its roots go back to
Osborn v. Bank of the United
States, 9 Wheat. 738 (1824), where the Court said
that the jurisdiction of the federal courts extended not only to
federal issues themselves, but also to nonfederal issues essential
to the settlement of the federal claim. No subsequent decision has
cast any doubt upon the wisdom of Mr. Chief Justice Marshall's
exposition in that case, since a different result would have forced
substantial federal cases into state courts for adjudication simply
because they involved nonfederal issues as well as federal ones.
[
Footnote 2/2] The doctrine was
Page 415 U. S. 555
expanded in
Siler v. Louisville & Nashville R. Co.,
213 U. S. 175
(1909), where the Court upheld the power of a district court,
having founded its jurisdiction upon federal constitutional claims,
to bypass the constitutional questions and to decide an issue of
local law. The Court said that the lower court
"had the right to decide all the questions in the case, even
though it decided the Federal questions adversely to the party
raising them, or even if it omitted to decide them at all, but
decided the case on local or state questions only. [
Footnote 2/3]"
But the Court at the same time cautioned:
"Of course, the Federal question must not be merely colorable or
fraudulently set up for the mere purpose of endeavoring to give the
court jurisdiction. [
Footnote 2/4]
"
Page 415 U. S. 556
The Court returned to the question of pendent jurisdiction in
Hurn v. Oursler, 289 U. S. 238
(1933), and
Levering & Garrigues Co. v. Morrin,
289 U. S. 103
(1933). The Court in both cases agreed that a substantial federal
question was necessary to confer initial jurisdiction on the
district court, [
Footnote 2/5] a
test that must be met whether or not pendent jurisdiction is
involved, and then, in
Hurn, further attempted to define
the necessary relationship between the pendent claim and the claim
conferring jurisdiction. According to the Court, a lower federal
court could exercise pendent jurisdiction over a separate
Page 415 U. S. 557
ground alleged in support of a single cause of action,
but not over a separate cause of action itself. [
Footnote 2/6]
The Court's most recent extensive treatment of the subject
occurred in
Mine Workers v. Gibbs, 383 U.
S. 715 (1966). Because
Hurn had spoken in terms
of "causes of action," a term which was superseded by the adoption
of the Federal Rules of Civil Procedure,
Gibbs redefined
the necessary relation of the federal and nonfederal claims in more
understandable terms. Restating the substantiality test in pretty
much the language of the earlier cases, the Court then
continued:
"The state and federal claims must derive from a common nucleus
of operative fact. But if, considered without regard to their
federal or state character, a plaintiff's claims are such that he
would ordinarily be expected to try them all in one judicial
proceeding, then, assuming substantiality of the federal issues
there is
power in federal courts to hear the whole."
Id. at
383 U. S. 725
(footnote omitted) (emphasis in original).
This language served to clarify jurisdictional questions which
had proved troublesome after
Hurn v. Oursler. But,
importantly, the decision then went on to emphasize
Page 415 U. S. 558
that power to hear claims lacking an independent jurisdictional
basis should not be exercised indiscriminately. The Court
reiterated that "pendent jurisdiction is a doctrine of discretion,
not of plaintiff's right,"
id. at
383 U. S. 726,
and urged that the district courts exercise caution not to abuse
that discretion. For example, the Court suggested that
"if the federal claims are dismissed before trial, even though
not insubstantial in a jurisdictional sense, the state claims
should be dismissed as well."
Ibid. (footnote omitted). Furthermore, the Court
stressed that the relative importance of the claims should be
considered:
"Similarly, if it appears that the state issues substantially
predominate, whether, in terms of proof, of the scope of the issues
raised, or of the comprehensiveness of the remedy sought the state
claims may be dismissed without prejudice and left for resolution
to state tribunals."
Id. at
383 U. S.
726-727.
Although the Court's language in
Gibbs necessarily
discussed the relationship between federal and state claims, much
of the opinion's rationale is applicable when pendent jurisdiction
is sought over federal claims lacking an independent jurisdictional
basis. [
Footnote 2/7] Of course,
a
Page 415 U. S. 559
decision to deny pendent jurisdiction on the ground that state
courts should consider questions of state law naturally involves
issues relevant to the question of abstention, a consideration not
especially applicable when the pendent claim primarily involves
questions of federal law. But the presence of federal questions
should not induce federal courts to expand their proper
jurisdiction. As previously noted, Congress, by requiring a minimum
dollar amount for federal question jurisdiction, made a legislative
decision to leave certain claims to state courts. Considerations of
convenience and judicial economy may justify hearing those claims
when genuine federal business, as contrasted to weak claims
intended merely to secure jurisdiction, is before the federal
court, but these considerations should be subordinated to
considerations of federalism when the claims without independent
jurisdiction constitute "the real body" of the case. In this
situation the lower courts should remember that federalism
embodies
"a system in which there is sensitivity to the legitimate
interests of both State and National Governments, and in which the
National Government, anxious though it may be to vindicate and
protect federal rights and federal interests, always endeavors to
do so in ways that will not unduly interfere with the legitimate
activities of the States."
Younger v. Harris, 401 U. S. 37,
401 U. S. 44
(1971).
The majority rejects this analysis, seemingly finding that state
courts' greater familiarity with state law is the only reason for
declining pendent jurisdiction under
Gibbs. But Congress
left to state courts not only those claims involving state law, but
also those claims involving federal law which it felt did not merit
the time of federal courts. This Court now says that federal courts
should hear those cases anyway, since they can
Page 415 U. S. 560
render "at least as sure-footed" an interpretation of federal
law, and are "
particularly appropriate bodies'" to do so. This
opinion, while it undoubtedly reflects the view of this Court, does
not reflect with equal accuracy the purpose of Congress.
In
Rosado v. Wyman, 397 U. S. 397
(1970), heavily relied upon by the Court to support its position,
there was no intimation that the constitutional claim was a weak
one pleaded for the purpose of securing federal jurisdiction over a
stronger claim. Rather, the constitutional claim proved moot. This
Court plainly stated:
"Unlike insubstantiality, which is apparent at the outset,
mootness, frequently a matter beyond the control of the parties,
may not occur until after substantial time and energy have been
expended looking toward the resolution of a dispute that plaintiffs
were entitled to bring in a federal court."
Id. at
397 U. S. 404
Thus,
Rosado does not in any way settle the issue before
the Court today. Its holding offers no aid in resolving the real
and practical issues that the Court confronts in this case.
The
Gibbs decision must be understood in its separate
parts. First, the Court held that jurisdiction could not attach
unless the claim for which jurisdiction was asserted met the
requirement of substantiality and unless the pendent claim was
sufficiently related to the jurisdictional claim to constitute a
single case under the Constitution. Second, the Court admonished
that this jurisdiction, even if found to exist, should be exercised
judiciously. The relatively permissive standards applied to the
issue of whether the Court could consider a pendent claim were not
to guide the ultimate decision of whether the Court should consider
the pendent claim. Only where "considerations of judicial economy,
convenience
Page 415 U. S. 561
and fairness to litigants" were served, and where the pendent
claim did not predominate in scope or worth over the judicial
claim, was the doctrine of pendent jurisdiction to be applied. 383
U.S. at
383 U. S. 726.
While I am convinced that the District Court lacked jurisdiction
over an equal protection claim as thin as this one, even if I am
wrong on that point, it seems clear to me that its decision to
exercise pendent jurisdiction over the Supremacy Clause claim was
not based on the discretionary considerations outlined in
Gibbs, supra.
II
The District Court simply found the equal protection claim in
this case to be "substantial," and proceeded without further
discussion to the statutory claim. The Court of Appeals, reversing
the determination of the District Court, found the claim to be
insubstantial, and therefore had no need to go further. This Court
merely disagrees on the question of substantiality, reinstating the
District Court's jurisdiction. Unfortunately, this process of
analysis seems to me to be wrong both in its treatment of the
jurisdictional question and in its failure to treat the
discretionary aspects of pendent jurisdiction.
Whatever legal terminology is applied to the equal protection
claim of the plaintiffs in this case, the one clear fact is that
the claim is not very good. In brief, petitioners, who are
recipients of public assistance under the Aid to Families with
Dependent Children program, all received funds from New York, over
and above their usual monthly grants, to prevent eviction from
their places of lodging for nonpayment of rent. The State, pursuant
to a provision of the New York Code of Rules and Regulations
challenged in the District Court, sought to recover these unusual
expenditures by making deductions over the next succeeding months
from petitioners'
Page 415 U. S. 562
normal monthly grants. In their complaint, petitioners contended
that the New York recoupment procedure deprived them of equal
protection of the laws. [
Footnote
2/8]
One searches in vain, either in petitioners' brief or in the
opinions of the District Court or this Court, for any reason why
this claim meets even a minimal test of substantiality. It would
seem extraordinary if, having paid petitioners more than their
normal monthly entitlement in order to meet an emergency situation,
the State had not sought to recoup the payments over a period of
time. The District Court, finding the claim substantial, cited
Bradford v. Juras, 331 F.
Supp. 167 (Ore.1971), a decision by a three-judge district
court which found jurisdiction on a similar constitutional claim
and then decided the case on statutory grounds. In
Bradford, however, the Court simply stated that it had
jurisdiction under 28 U.S.C. § 1343(3), without further discussion.
[
Footnote 2/9]
The opinion of this Court sheds no more light than did the
opinion of the District Court. The Court simply states:
"This reasoning with respect to the rationality of the
regulation and its propriety under the Equal Protection Clause may
ultimately prove correct, but it is not immediately obvious from
the decided cases
Page 415 U. S. 563
or so 'very plain' under the Equal Protection Clause."
Ante at
415 U. S. 542.
But cases such as
Dandridge v. Williams, 397 U.
S. 471 (1970), have largely discredited attacks on
legislative decisions about the apportionment of limited state
welfare funds. At least where the Court has not found a penalty
based on race or considerations such as interstate travel, the
legislative judgment is upheld whenever a "conceivable rational
basis" exists. Although
Dandridge did not "suspend the
operation of the Equal Protection Clause" in this area, it
assuredly makes this particular claim a marginal one. [
Footnote 2/10]
I therefore cannot agree that the equal protection claim pleaded
here was sufficient to confer jurisdiction on the District Court.
Even assuming that the lower court may refer only to the pleadings
in making its determination on the question of jurisdiction, the
analysis need not be made, as the majority seems to imply, in a
legal vacuum. To say that previous decisions have not foreclosed a
question unless a prior case "specifically deal[s]" with the same
regulation neglects the second branch of the test enunciated in
Levering & Garrigues Co. v. Morrin, 289 U.
S. 103 (1933), and repeated in later cases, that a
Page 415 U. S. 564
claim is insubstantial because "obviously without merit."
Id. at
289 U. S. 105.
Under today's rationale, it appears sufficient for jurisdiction
that a plaintiff is able to plead his claim with a straight face.
But a district court should be able to dismiss for want of
jurisdiction any claim that plainly carries no hope of success on
the merits. This lack of promise, in turn, could be evident from
recent decisions of this Court rejecting claims with a similar
thesis or laying down rules which would clearly require dismissal
on the merits.
Assuming, however, that the District Court here did have
jurisdiction, it seems clear to me that, under
Gibbs, the
equal protection claim should not support the Supremacy Clause
claim also asserted by petitioners. The test for exercising
discretion must be a practical one, involving the type of judgments
that a reasonable lawyer, evaluating the respective strengths and
weaknesses of his case, might undertake. In this case, it is highly
improbable that a lawyer familiar with this Court's cases would
place much faith in the success of his equal protection claim. In
fact, examination of the complaint itself shows that substantially
more attention was paid to the Supremacy Clause claim than to the
claims under the Fourteenth Amendment. At the very least, the
District Court, before it chose to exercise pendent jurisdiction,
should have made an identifiable determination that the Equal
Protection Clause was not simply asserted for the purpose of giving
the Court jurisdiction over the heart of the plaintiffs' case. To
my mind, this seems to be a classic case of the statutory tail
wagging the constitutional dog.
III
Thus, even if the Court of Appeals may have erroneously resolved
the question of jurisdiction, the result it reached was correct in
terms of the wise exercise of jurisdiction. Whether the equal
protection claim pleaded in
Page 415 U. S. 565
this case meets the threshold of substantiality for jurisdiction
in the federal courts, the claim surely should not convince a
district court that its main purpose was anything other than to
secure jurisdiction for he more promising Supremacy Clause claim.
Presented with this situation, the District Court should have
declined to exercise pendent jurisdiction over the Supremacy Clause
claim and referred the equal protection claim to a three-judge
court. [
Footnote 2/11] Since its
failure to do so seems to me an abuse of discretion under
Gibbs, I dissent.
[
Footnote 2/1]
The relevant provision of 28 U.S.C. § 1331 reads as follows:
"(a) The district courts shall have original jurisdiction of all
civil actions wherein the matter in controversy exceeds the sum or
value of $10,000, exclusive of interest and costs, and arises under
the Constitution, laws, or treaties of the United States."
The jurisdictional amount was raised from $3,000 to 10,000 in
1958.
[
Footnote 2/2]
"Under this construction, the judicial power of the Union
extends effectively and beneficially to that most important class
of cases which depend on the character of the cause. On the
opposite construction, the judicial power never can be extended to
a whole case, as expressed by the constitution, but to those parts
of cases only which present the particular question involving the
construction of the constitution or the law. We say it never can be
extended to the whole case because, if the circumstance that other
points are involved in it, shall disable Congress from authorizing
the Courts of the Union to take jurisdiction of the original cause,
it equally disables Congress from authorizing those Courts to take
jurisdiction of the whole cause on an appeal, and thus will be
restricted to a single question in that cause; and words obviously
intended to secure to those who claim rights under the
constitution, laws, or treaties of the United States a trial in the
federal Courts will be restricted to the insecure remedy of an
appeal upon an insulated point, after it has received that shape
which may be given to it by another tribunal, into which he is
forced against his will."
Osborn v. Bank of the United
States, 9 Wheat. 738,
22 U. S.
822-823 (1824).
[
Footnote 2/3]
213 U.S. at
213 U. S.
191.
[
Footnote 2/4]
Id. at
213 U. S.
191-192. In
Siler, the Court specifically noted
that the constitutional claim was not fraudulently pleaded to
confer jurisdiction over the pendent claim.
The Court today, by its heavy emphasis on deciding state issues
in preference to constitutional ones,
ante at
415 U. S.
546-547, seems to imply that this doctrine should be
controlling even when a constitutional claim is pleaded "for the
mere purpose of endeavoring to give the court jurisdiction." I
cannot agree. The numerous cases cited in the Court's opinion stand
for the long-recognized and sensible policy that cases should be
decided on nonconstitutional grounds where possible; but they do
not stand for the proposition that claims which would be otherwise
dismissed under the principles discussed in
Mine Workers v.
Gibbs, 383 U. S. 715
(1966), should be heard simply to avoid the constitutional claim
which conferred jurisdiction in the first place.
See
415
U.S. 528fn2/11|>n. 11,
infra. In such cases, the
competing and equally important policy of safeguarding the limited
jurisdiction of the federal courts is entitled to more weight than
the Court appears to give it.
[
Footnote 2/5]
The Court in
Levering, supra, stated:
"Whether an objection that a bill or a complaint fails to state
a case under a federal statute raises a question of jurisdiction or
of merits is to be determined by the application of a well settled
rule. If the bill or the complaint sets forth a substantial claim,
a case is presented within the federal jurisdiction, however the
court, upon consideration, may decide as to the legal sufficiency
of the facts alleged to support the claim. But jurisdiction, as
distinguished from merits, is wanting where the claim set forth in
the pleading is plainly unsubstantial. The cases have stated the
rule in a variety of ways, but all to that effect. . . . And the
federal question averred may be plainly unsubstantial either
because obviously without merit or"
"because its unsoundness so clearly results from the previous
decisions of this court as to foreclose the subject and leave no
room for the inference that the questions sought to be raised can
be the subject of controversy."
289 U.S. at
289 U. S.
105-106.
[
Footnote 2/6]
Hurn v. Oursler, 289 U. S. 238,
289 U. S.
245-246 (1933):
"But the rule does not go so far as to permit a federal court to
assume jurisdiction of a separate and distinct non-federal cause of
action because it is joined in the same complaint with a federal
cause of action. The distinction to be observed is between a case
where two distinct grounds in support of a single cause of action
are alleged, one only of which presents a federal question, and a
case where two separate and distinct causes of action are alleged,
one only of which is federal in character. In the former, where the
federal question averred is not plainly wanting in substance, the
federal court, even though the federal ground be not established,
may nevertheless retain and dispose of the case upon the
non-federal
ground; in the latter, it may not do so upon
the non-federal
cause of action."
(Emphasis in original.)
[
Footnote 2/7]
The Court in
Mine Workers v. Gibbs, 383 U.S. at
383 U. S. 727,
also stated:
"[R]ecognition of a federal court's wide latitude to decide
ancillary questions of state law does not imply that it must
tolerate a litigant's effort to impose upon it what is in effect
only a state law case. Once it appears that a state claim
constitutes the real body of a case, to which the federal claim is
only an appendage, the state claim may fairly be dismissed."
I also see no reason why federal courts should be required to
"tolerate" efforts to impose upon them federal cases which Congress
has chosen to leave to the state courts.
[
Footnote 2/8]
The portion of the petitioners' complaint setting forth their
equal protection claim states in full:
"Said regulation irrationally and invidiously discriminates
against plaintiff victims of eviction. No basis exists in law or
fact, consistent with the purposes of the Social Security Act, for
reducing the level of payments to plaintiffs who are then forced to
live far below the subsistence levels provided to all other
persons. Said regulation applies a wholly different standard in
determining the grant levels of plaintiffs than the income resource
and exemptions from levy standard, applicable to all other persons
in violation of the Equal Protection Clause of the Fourteenth
Amendment to the United States Constitution."
[
Footnote 2/9]
331 F. Supp. at 168.
[
Footnote 2/10]
The Court in
Dandridge stated:
"Conflicting claims of morality and intelligence are raised by
opponents and proponents of almost every measure, certainly
including the one before us. But the intractable economic, social,
and even philosophical problems presented by public welfare
assistance programs are not the business of this Court. The
Constitution may impose certain procedural safeguards upon systems
of welfare administration,
Goldberg v. Kelly,
[
397 U.S.
254 (1970)]. But the Constitution does not empower this Court
to second-guess state officials charged with the difficult
responsibility of allocating limited public welfare funds among the
myriad of potential recipients.
Cf. Steward Mach. Co. v.
Davis, 301 U. S. 548,
301 U. S.
584-585;
Helvering v. Davis, 301 U. S.
619,
301 U. S. 644."
397 U.S. at
397 U. S.
487.
[
Footnote 2/11]
Petitioners originally sought to convene a three-judge court to
consider their constitutional claims, but later withdrew that
request. Pursuant to a stipulation between the parties, the case
was then tried before a single judge on the issue of the claimed
statutory conflict only.
Goosby v. Osser, 409 U.
S. 512 (1973), specifies that a three-judge court must
be convened to hear constitutional questions within its
jurisdiction if they are "substantial." It is true, of course, that
federal courts commonly avoid deciding constitutional questions
when alternative grounds for decision are available.
See, e.g.,
Ashwander v. TVA, 297 U. S. 288,
297 U. S.
346-347 (1936) (Brandeis, J., concurring). But
application of that principle to cases in which the constitutional
claim is pleaded primarily to confer jurisdiction over a pendent
claim would lead to circular reasoning. Under that theory, a claim
for which Congress provided no jurisdiction and which a single
judge determined to be improperly brought into federal court would
become a preferred ground for decision simply because the court
wished to avoid the claim over which Congress granted jurisdiction
in the first place. To turn to the pendent claim when pendent
jurisdiction is properly assumed under
Gibbs may be
appropriate, but the presence of a constitutional claim which might
therefore be avoided should not, itself, be an independent basis
for hearing the pendent claim.
In rare cases, of course, a three-judge court may disagree with
the single judge's view that a constitutional claim lacks merit,
and resolve the constitutional issue in the plaintiff's favor. At
that point, the plaintiff will have his relief, and the case need
go no further. Concededly, a constitutional decision will have been
rendered when a statutory decision might have been possible, but
that cost, in the few cases where it is likely to arise, seems less
expensive than the cost of allowing federal jurisdiction to be
unnecessarily expanded.