In 1973, petitioners in No. 85-1626 (hereinafter petitioners),
including individual employees of Lukens Steel Co. (Lukens),
brought suit in Federal District Court against Lukens and the
employees' collective bargaining agents (Unions), asserting racial
discrimination claims under Title VII of the Civil Rights Act of
1964 and 42 U.S.C. § 1981. The court held that Pennsylvania's
6-year statute of limitations governing contract claims applied to
§ 1981 claims, that Lukens had discriminated in certain respects,
and that the Unions were also guilty of discriminatory practices in
failing to challenge Lukens' discriminatory discharges of
probationary employees, in failing and refusing to assert instances
of racial discrimination as grievances, and in tolerating and
tacitly encouraging racial harassment. The court entered injunctive
orders against Lukens and the Unions, reserving damages issues for
further proceedings. The Court of Appeals held that Pennsylvania's
2-year statute of limitations governing personal injury actions,
rather than the 6-year statute, controlled the § 1981 claims, but
affirmed the liability judgment against the Unions.
Held:
1. The Court of Appeals was correct in selecting the
Pennsylvania 2-year limitations period governing personal injury
actions as the most analogous state statute of limitations to
govern all § 1981 suits. Section 1981 speaks not only to personal
rights to contract, but also to personal rights to sue, to testify,
and to equal rights under all laws for the security of persons and
property; and all persons are to be subject to like punishments,
taxes, and burdens of every kind.
Cf. Wilson v. Garcia,
471 U. S. 261. The
Court of Appeals also properly concluded that the 2-year statute
should be applied retroactively to petitioners here, even though
the court overruled its prior 1977 and 1978 decisions that refused
to apply Pennsylvania's 2-year personal injury statute to the §
1981 claims involved in those cases.
Chevron Oil Co. v.
Huson, 404 U. S. 97,
advises that nonretroactivity is appropriate in certain
circumstances, including when the decision overrules clear Circuit
precedent on which the complaining party is entitled to rely.
However, until the Court of
Page 482 U. S. 657
Appeals' 1977 decision, there had been no authoritative
specification of which statute of limitations applied to an
employee's § 1981 claims, and hence no clear precedent on which
petitioners could have relied when they filed their complaint in
1973. As for the other
Chevron factors, applying the
2-year statute here will not frustrate any federal law or result in
inequity to the workers, who are charged with knowledge that it was
an unsettled question as to how far back from the date of filing
their complaint the damages period would reach. Pp.
482 U. S.
660-664.
2. The courts below properly held that the Unions violated Title
VII and § 1981. Because both courts agreed on the facts pertaining
to whether the Unions had treated blacks and whites differently and
intended to discriminate on the basis of race, this Court will not
examine the record, absent the Unions' showing of extraordinary
reasons for doing so. There is no merit to the Unions' contention
that the judgment rests on the erroneous legal premise that Title
VII and § 1981 are violated if a union passively sits by and does
not affirmatively oppose the employer's racially discriminatory
employment practices. In fact, both courts below concluded that the
case against the Unions was one of more than mere acquiescence, in
that the Unions deliberately chose not to assert claims of racial
discrimination by the employer. Nor is there any merit to the
argument that the only basis for Title VII liability was §
703(c)(3)'s prohibition against a union's causing or attempting to
cause illegal discrimination by an employer, which was not
supported by the record. Both courts found that the Unions had
discriminated on the basis of race by the way in which they
represented the workers, and the Court of Appeals held that the
deliberate choice not to process grievances violated § 703(c)(1),
the plain language of which supports such conclusion. Furthermore,
the District Court properly rejected the Unions' explanation that,
in order not to antagonize the employer, they did not include
racial discrimination claims in grievances claiming other contract
violations. A union that intentionally fails to assert
discrimination claims, either to avoid antagonizing the employer,
and thus to improve chances of success on other issues, or in
deference to the desires of its white membership, is liable under
both Title VII and § 1981, regardless of whether, as a subjective
matter, its leaders are favorably disposed toward minorities. Pp.
482 U. S.
664-669.
777 F.2d 113, affirmed.
WHITE, J., delivered the opinion of the Court, in which
REHNQUIST, C.J., and STEVENS, J., joined, in Part I of which POWELL
and SCALIA, JJ., joined, and in Part II of which BRENNAN, MARSHALL,
and BLACKMUN, JJ., joined. BRENNAN, J., filed an opinion concurring
in part and dissenting in part, in which MARSHALL and BLACKMUN,
JJ., joined,
Page 482 U. S. 658
post, p.
482 U. S. 669.
POWELL, J., filed an opinion concurring in part and dissenting in
part, in which SCALIA, J., joined, and in Parts I, II, III, and IV
of which O'CONNOR, J., joined,
post, p. 680. O'CONNOR, J.,
filed an opinion concurring in the judgment in part and dissenting
in part,
post p. 689.
JUSTICE WHITE delivered the opinion of the Court.
In 1973, individual employees [
Footnote 1] of Lukens Steel Company (Lukens) brought this
suit on behalf of themselves and others, asserting racial
discrimination claims under Title VII of the Civil Rights Act of
1964, 78 Stat. 253, as amended, 42 U.S.C. § 2000e
et seq.,
[
Footnote 2] and 42 U.S.C.
Page 482 U. S. 659
§ 1981 [
Footnote 3] against
their employer and their collective bargaining agents, the United
Steelworkers of America and two of its local unions (Unions).
[
Footnote 4] After a bench
trial, the District Court specified the periods for which Title VII
claims could be litigated; it also reaffirmed a pretrial order that
the Pennsylvania 6-year statute of limitations governing claims on
contracts, replevin, and trespass [
Footnote 5] applied to the § 1981 claims, and that claims
with respect to the period after July 14, 1967, were accordingly
not barred. On the merits, the District Court found that Lukens had
discriminated in certain respects, but that, in others, plaintiffs
had not made out a case. [
Footnote
6] The District Court concluded that the Unions were also
guilty of discriminatory practices, specifically in failing
Page 482 U. S. 660
to challenge discriminatory discharges of probationary
employees, failing and refusing to assert instances of racial
discrimination as grievances, and in tolerating and tacitly
encouraging racial harassment.
580 F.
Supp. 1114 (ED Pa.1984). The District Court entered separate
injunctive orders against Lukens and the Unions, reserving damages
issues for further proceedings. Lukens and the Unions appealed,
challenging the District Court's liability conclusions as well as
its decision that the Pennsylvania 6-year statute of limitations,
rather than the 2-year statute applicable to personal injuries,
would measure the period of liability under § 1981.
The Court of Appeals, differing with the District Court, held
that the 2-year statute of limitations controlled, but affirmed the
liability judgment against the Unions. 777 F.2d 113 (CA3 1985).
[
Footnote 7] The employees'
petition for certiorari in No. 85-1626 challenged the Court of
Appeals' choice of the § 1981 limitations period. The Unions'
petition in No. 852010 claimed error in finding them liable under
Title VII and § 1981. We granted both petitions, 479 U.S. 982
(1986). We address in Part I the limitations issue in No. 85-1626
and the Unions' liability in Part II.
II
Because § 1981, like §§ 1982 and 1983, does not contain a
statute of limitations, federal courts should select the most
appropriate or analogous state statute of limitations.
Wilson
v. Garcia, 471 U. S. 261,
482 U. S.
266-268 (1985);
Runyon v. McCrary, 427 U.
S. 160,
427 U. S.
180-182 (1976);
Johnson v. Railway Express Agency,
Inc., 421 U. S. 454,
421 U. S. 462
(1975). In
Wilson, the reach of which is at issue in this
case, there were three
Page 482 U. S. 661
holdings: for the purpose of characterizing a claim asserted
under § 1983, federal law, rather than state law, is controlling; a
single state statute of limitations should be selected to govern
all § 1983 suits; and because claims under § 1983 are in essence
claims for personal injury, the state statute applicable to such
claims should be borrowed. Petitioners in No. 85-1626 (hereafter
petitioners), agree with the Court of Appeals that the first two
Wilson holdings apply in § 1981 cases, but insist that the
third does not. Their submission is that § 1981 deals primarily
with economic rights, more specifically the execution and
enforcement of contracts, and that the appropriate limitations
period to borrow is the one applicable to suits for interference
with contractual rights, which in Pennsylvania was six years.
The Court of Appeals properly rejected this submission. Section
1981 has a much broader focus than contractual rights. The section
speaks not only of personal rights to contract, but personal rights
to sue, to testify, and to equal rights under all laws for the
security of persons and property; and all persons are to be subject
to like punishments, taxes, and burdens of every kind. Section 1981
of the present Code was § 1977 of the Revised Statutes of 1874. Its
heading was and is "Equal rights under the law," and is contained
in a chapter entitled "Civil Rights." Insofar as it deals with
contracts, it declares the personal right to make and enforce
contracts, a right, as the section has been construed, that may not
be interfered with on racial grounds. The provision asserts, in
effect, that competence and capacity to contract shall not depend
upon race. It is thus part of a federal law barring racial
discrimination, which, as the Court of Appeals said, is a
fundamental injury to the individual rights of a person.
Wilson's characterization of § 1983 claims is thus equally
appropriate here, particularly since § 1983 would reach state
action that encroaches on the rights protected by § 1981. That §
1981 has far-reaching economic consequences does not change this
conclusion, since such impact flows from
Page 482 U. S. 662
guaranteeing the personal right to engage in economically
significant activity free from racially discriminatory
interference. The Court of Appeals was correct in selecting the
Pennsylvania 2-year limitations period governing personal injury
actions.
We also agree with the Court of Appeals that the 2-year statute,
adopted in compliance with
Wilson, should be applied in
this case. The usual rule is that federal cases should be decided
in accordance with the law existing at the time of decision.
Gulf Offshore Co. v. Mobil Oil Corp., 453 U.
S. 473,
453 U. S. 486,
n. 16 (1981);
Thorpe v. Housing Authority of Durham,
393 U. S. 268,
393 U. S. 281
(1969);
United States v. Schooner
Peggy, 1 Cranch 103,
5 U. S. 109
(1801). But
Chevron Oil Co. v. Huson, 404 U. S.
97 (1971), advises that nonretroactivity is appropriate
in certain defined circumstances. There the Court held that a
decision specifying the applicable state statute of limitations in
another context should not be applied retroactively because the
decision overruled clear Circuit precedent on which the complaining
party was entitled to rely, because the new limitations period had
been occasioned by a change in the substantive law the purpose of
which would not be served by retroactivity, and because retroactive
application would be inequitable. Petitioners argue that the same
considerations are present here. We disagree.
It is true, as petitioners point out, that the Court of Appeals
decision in this case overruled prior Third Circuit cases,
Meyers v. Pennypack Woods Home Ownership Assn., 559 F.2d
894 (1977);
Davis v. United States Steel Supply, Div. of United
States Steel Corp., 581 F.2d 335, 338, 341, n. 8 (1978), each
of which had refused to apply the Pennsylvania 2-year personal
injury statute of limitations to the § 1981 claims involved in
those cases. But until
Meyers was decided in 1977, there
had been no authoritative specification of which statute of
limitations applied to an employee's § 1981 claims, and hence no
clear precedent on which petitioners
Page 482 U. S. 663
could have relied when they filed their complaint in this case
in 1973. In a later case,
Al-Khazraji v. St. Francis
College, 784 F.2d 505, 512-514 (1986), the Court of Appeals
refused to apply retroactively the same 2-year statute in an
employment discrimination § 1981 case because the case was filed
when clear Circuit precedent specified a longer statute.
Distinguishing its decision there from the case now before us, the
Court of Appeals said:
"In 1973, when the complaint was filed in the
Goodman
case, there was no established precedent in the Third Circuit to
indicate the appropriate limitations period for Section 1981
claims."
784 F.2d at 512. It was obviously for this reason that the Court
of Appeals here said that its decision "should be given the
customary retroactive effect." 777 F.2d at 120. The court cited its
prior decision in
Smith v. Pittsburgh, 764 F.2d 188
(1985), [
Footnote 8] a
post-
Wilson case in which the Court of Appeals applied
retroactively the 2-year statute in a § 1983 employment termination
case because of the unsettled law in the Third and other
Circuits.
As for the remainder of the
Chevron factors, applying
the 2-year personal injury statute, which is wholly consistent with
Wilson v. Garcia and with the general purposes of statutes
of repose, will not frustrate any federal law or result in inequity
to the workers who are charged with knowledge that it was an
unsettled question as to how far back from the date of filing their
complaint the damages period would
Page 482 U. S. 664
reach. Accordingly, the Court of Appeals properly applied the
2-year statute of limitations to the present case. [
Footnote 9]
II
This case was tried for 32 days in 1980. One-hundred fifty-seven
witnesses testified and over 2,000 exhibits were introduced. On
February 13, 1984, the District Court filed its findings and
conclusions. In an introductory section discussing the relevant
legal principles, the trial judge discussed, among other things,
the nature of "disparate treatment" and "disparate impact" cases
under Title VII, recognizing that, in the former, the plaintiff
must prove not only disparate treatment but trace its cause to
intentional racial discrimination, an unnecessary element in
disparate impact cases. The District Court also emphasized that
proof of discriminatory intent is crucial in § 1981 cases, and that
such intent cannot be made out by showing only facially neutral
conduct that burdens one race more than another.
The District Court proceeded to find that the company had
violated Title VII in several significant respects, including the
discharge of employees during their probationary period, the
toleration of racial harassment by employees, initial job
assignments, promotions, and decisions on incentive pay. The court
also found that, in these identical ways, the company had also
violated § 1981, a finding the court could not have made without
concluding that the company had intentionally discriminated on a
racial basis in these respects.
Similarly, the Unions were found to have discriminated on racial
grounds in violation of both Title VII and § 1981 in certain ways:
failing to challenge discriminatory discharges of probationary
employees; failure and refusal to assert racial
Page 482 U. S. 665
discrimination as a ground for grievances; and toleration and
tacit encouragement of racial harassment.
What the conduct of the Unions had been and whether they had
treated blacks and whites differently were questions of historical
fact that Federal Rule of Civil Procedure 52(a) enjoins appellate
courts to accept unless clearly erroneous. So is the issue of
whether the Unions intended to discriminate based on race.
Anderson v. Bessemer City, 470 U.
S. 564,
470 U. S. 574
(1985);
Pullman-Standard v. Swint, 456 U.
S. 273,
456 U. S.
287-288 (1982). The Court of Appeals did not set aside
any of the District Court's findings of fact that are relevant to
this case. That is the way the case comes to us, and both courts
below having agreed on the facts, we are not inclined to examine
the record for ourselves absent some extraordinary reason for
undertaking this task. Nothing the Unions have submitted indicates
that we should do so.
"A court of law, such as this Court is, rather than a court for
correction of errors in factfinding, cannot undertake to review
concurrent findings of fact by two courts below in the absence of a
very obvious and exceptional showing of error."
Graver Mfg. Co. v. Linde Co., 336 U.
S. 271,
336 U. S. 275
(1949).
See also United States v. Ceccolini, 435 U.
S. 268,
435 U. S. 273
(1978). Unless there are one or more errors of law inhering in the
judgment below, as the Unions claim there are, we should affirm
it.
The Unions contend that the judgment against them rests on the
erroneous legal premise that Title VII and § 1981 are violated if a
union passively sits by and does not affirmatively oppose the
employer's racially discriminatory employment practices. It is true
that the District Court declared that mere union passivity in the
face of employer discrimination renders the union liable under
Title VII and, if racial animus is properly inferrable, under §
1981 as well. [
Footnote 10]
We need not
Page 482 U. S. 666
discuss this rather abstract observation, for the court went on
to say that the evidence proves "far more" than mere passivity.
[
Footnote 11] As found by
the court, the facts were that, since 1965, the collective
bargaining contract contained an express clause binding both the
employer and the Unions not to discriminate on racial grounds; that
the employer was discriminating against blacks in discharging
probationary employees, which the Unions were aware of but refused
to do anything about by way of filing proffered grievances or
otherwise; that the Unions had ignored grievances based on
instances of harassment which were indisputably racial in nature;
and that the Unions had regularly refused to include assertions of
racial discrimination in grievances that also asserted other
contract violations. [
Footnote
12]
In affirming the District Court's findings against the Unions,
the Court of Appeals also appeared to hold that the
Page 482 U. S. 667
Unions had an affirmative duty to combat employer discrimination
in the workplace. 777 F.2d at 126-127. But it, too, held that the
case against the Unions was much stronger than one of mere
acquiescence, in that the Unions deliberately chose not to assert
claims of racial discrimination by the employer. It was the Court
of Appeals' view that these intentional and knowing refusals
discriminated against the victims, who were entitled to have their
grievances heard.
The Unions submit that the only basis for any liability in this
case under Title VII is § 703(c)(3), which provides that a Union
may not "cause or attempt to cause an employer to discriminate
against an individual in violation of this section," 78 Stat. 256,
42 U.S.C. § 2000e-2(c)(3), and that nothing the District Court
found and the Court of Appeals accepted justifies liability under
this prohibition. We need not differ with the Unions on the reach
of § 703(c)(3), for § 703(c)(1) makes it an unlawful practice for a
Union to
"exclude or to expel from its membership,
or otherwise to
discriminate against, any individual because of his race,
color, religion, sex, or national origin."
78 Stat. 255, 42 U.S.C. § 2000-2(c)(1). (Emphasis added.) Both
courts below found that the Unions had indeed discriminated on the
basis of race by the way in which they represented the workers, and
the Court of Appeals expressly held that "[t]he deliberate choice
not to process grievances also violated § 703(c)(1) of Title VII."
777 F.2d at 127. The plain language of the statute supports this
conclusion.
The Court of Appeals is also faulted for stating that the Unions
had violated their duty of fair representation, which the Unions
assert has no relevance to this case. But we do not understand the
Court of Appeals to have rested its affirmance on this ground, for
as indicated above, it held that the Unions had violated § 703.
The Unions insist that it was error to hold them liable for not
including racial discrimination claims in grievances claiming other
violations of the contract. The Unions followed
Page 482 U. S. 668
this practice, it was urged, because these grievances could be
resolved without making racial allegations and because the employer
would "get its back up" if racial bias was charged, thereby making
it much more difficult to prevail. The trial judge, although
initially impressed by this seemingly neutral reason for failing to
press race discrimination claims, ultimately found the explanation
"unacceptable" because the Unions also ignored grievances which
involved racial harassment violating the contract covenant against
racial discrimination, but which did not also violate another
provision. The judge also noted that the Unions had refused to
complain about racially based terminations of probationary
employees, even though the express undertaking not to discriminate
protected this group of employees, as well as others, and even
though, as the District Court found, the Unions knew that blacks
were being discharged at a disproportionately higher rate than
whites. In the judgment of the District Court, the virtual failure
by the Unions to file any race-bias grievances until after this
lawsuit started, knowing that the employer was practicing what the
contract prevented, rendered the Unions' explanation for their
conduct unconvincing. [
Footnote
13]
As we understand it, there was no suggestion below that the
Unions held any racial animus against or denigrated blacks
generally. Rather, it was held that a collective bargaining agent
could not, without violating Title VII and
Page 482 U. S. 669
§ 1981, follow a policy of refusing to file grievable racial
discrimination claims however strong they might be and however sure
the agent was that the employer was discriminating against blacks.
The Unions, in effect, categorized racial grievances as unworthy of
pursuit and, while pursuing thousands of other legitimate
grievances, ignored racial discrimination claims on behalf of
blacks, knowing that the employer was discriminating in violation
of the contract. Such conduct, the courts below concluded,
intentionally discriminated against blacks seeking a remedy for
disparate treatment based on their race, and violated both Title
VII and § 1981. As the District Court said:
"A union which intentionally avoids asserting discrimination
claims, either so as not to antagonize the employer and thus
improve its chances of success on other issues or in deference to
the perceived desires of its white membership, is liable under both
Title [VII] and § 1981, regardless of whether, as a subjective
matter, its leaders were favorably disposed toward minorities."
580 F. Supp. at 1160.
The courts below, in our view, properly construed and applied
Title VII and § 1981. Those provisions do not permit a union to
refuse to file any and all grievances presented by a black person
on the ground that the employer looks with disfavor on and resents
such grievances. It is no less violative of these laws for a union
to pursue a policy of rejecting disparate treatment grievances
presented by blacks solely because the claims assert racial bias
and would be very troublesome to process.
In both Nos. 85-1626 and 85-2010, the judgment of the Court of
Appeals is affirmed.
It is so ordered.
* Together with No. 85-2010,
United Steelworkers of America,
AFL-CIO-CLC, et al. v. Goodman et al., also on certiorari to
the same court.
[
Footnote 1]
The United Political Action Committee of Chester County was also
a plaintiff in the case.
[
Footnote 2]
The part of Title VII relevant to the suit against the Unions is
42 U.S.C. § 2000e-2(c), which provides:
"(c) Labor organization practices"
"It shall be an unlawful employment practice for a labor
organization -- "
"(1) to exclude or to expel from its membership, or otherwise to
discriminate against, any individual because of his race, color,
religion, sex, or national origin;"
"(2) to limit, segregate, or classify its membership or
applicants for membership, or to classify or fail or refuse to
refer for employment any individual, in any way which would deprive
or tend to deprive any individual of employment opportunities, or
would limit such employment opportunities or otherwise adversely
affect his status as an employee or as an applicant for employment,
because of such individual's race, color, religion, sex, or
national origin; or"
"(3) to cause or attempt to cause an employer to discriminate
against an individual in violation of this section."
[
Footnote 3]
Section 1981 reads as follows:
"All persons within the jurisdiction of the United States shall
have the same right in every State and Territory to make and
enforce contracts, to sue, be parties, give evidence, and to the
full and equal benefit of all laws and proceedings for the security
of persons and property as is enjoyed by white citizens, and shall
be subject to like punishment, pains, penalties, taxes, licenses,
and exactions of every kind, and to no other."
[
Footnote 4]
United Steelworkers of America is the certified bargaining
agent. The two locals act on its behalf.
[
Footnote 5]
Pa.Stat.Ann., Tit. 12, § 31 (Purdon 1931), repealed by Judiciary
Act of 1976, Act No. 142, 1976 Pa. Laws 586. Under the 1976 Act,
the new statute of limitations does not apply to claims arising
prior to June 27, 1978.
[
Footnote 6]
The judgment against Lukens is not at issue in the cases brought
here.
[
Footnote 7]
Judge Garth dissented on the question of which statute of
limitations to apply to the workers' § 1981 claim. 777 F.2d at 130.
He acknowledged that all § 1981 claims should be treated the same;
but in his view, § 1981 claims involved injury to economic rights,
and the personal injury characterization adopted by the Court in
Wilson was ill-suited for claims arising under § 1981.
[
Footnote 8]
In the
Smith case, the Third Circuit applied our
three-part test in
Chevron in concluding that
Wilson should be applied to the case then before it. The
court remarked:
"We have held that, where application of the law had been
erratic and inconsistent, without clear precedent on which
plaintiff could reasonably rely in waiting to file suit, a
subsequent Supreme Court decision on the applicable limitations
period cannot be said to have overruled clear past precedent on
which the litigants may have relied."
764 F.2d at 194-195. The court went on to note that at the time
plaintiffs in that case filed suit, the Third Circuit had not ruled
definitively on which limitations period applied to the particular
§ 1983 claim at issue there.
[
Footnote 9]
The Court of Appeals recognized that giving retroactive effect
to its statute of limitations holding would require reexamination
of some of the liability determinations by the District Court in
light of the shorter limitations period.
[
Footnote 10]
The first part of this statement must have been addressed to
disparate impact, for discriminatory motive is required in
disparate treatment Title VII cases as it is in §1981 claims.
See Teamsters v. United States, 431 U.
S. 324,
431 U. S.
335-336, n. 15 (1977);
General Building Contractors
Assn., Inc. v. Pennsylvania, 458 U. S. 375,
458 U. S. 391
(1982). Because the District Court eventually found that in each
respect the Unions violated both Title VII and § 1981 in exactly
the same way, liability did not rest on a claim under Title VII
that did not rest on intentional discrimination.
[
Footnote 11]
The District Court commented that there was substantial
evidence, related to events occurring prior to the statute of
limitations period, which "casts serious doubt on the unions' total
commitment to racial equality."
580 F.
Supp. 1114, 1157 (ED Pa.1984). The District Court noted that it
was the company, not the Unions, which pressed for a
nondiscrimination clause in the collective bargaining agreement.
The District Court found that the Unions never took any action over
the segregated locker facilities at Lukens, and did not complain
over other discriminatory practices by the company. The District
Court found that, when one employee approached the president of one
of the local unions to complain about the segregated locker
facilities in 1962, the president dissuaded him from complaining to
the appropriate state agency. The District Court, however, found
"inconclusive" the evidence offered in support of the employees'
claim that the Unions' discriminated against blacks in their
overall handling of grievances under the collective bargaining
agreement.
[
Footnote 12]
The District Court also found that, although the Unions had
objected to the company's use of certain tests, they had never done
so on racial grounds, even though they "were certainly chargeable
with knowledge that many of the tests" had a racially disparate
impact.
Id. at 1159.
[
Footnote 13]
The District Court also rejected the Unions' argument that much
of the workers' case involved discrimination by the company in
making initial job assignments, and that it had no control over
those assignments. The court found that, once hired, new employees
were entitled to the protection of the collective bargaining
agreement, including the protection afforded by the
nondiscrimination clause:
"To require blacks to continue to work in lower paying and less
desirable jobs, in units disparately black, is to discriminate
against them in violation of the collective bargaining agreement
(and, of course, also in violation of Title VII). It is very clear,
on the record in this case, that the defendant unions never sought
to avail themselves of this rather obvious mechanism for protecting
the interests of their members."
580 F. Supp. at 1160.
JUSTICE BRENNAN, with whom JUSTICE MARSHALL and JUSTICE BLACKMUN
join, concurring in part and dissenting in part.
I join Part II of the Court's opinion, affirming the Court of
Appeals' decision that the Unions engaged in race
discrimination
Page 482 U. S. 670
in violation of 42 U.S.C. § 1981 and Title VII of the Civil
Rights Act of 1964. I dissent, however, from Part I, which
characterizes all § 1981 actions as tort actions, and holds that
they are subject to state statutes of limitations for personal
injury. Section 1981, in its original conception and its current
application, is primarily a proscription of race discrimination in
the execution, administration, and enforcement of contracts. Our
analysis in
Wilson v. Garcia, 471 U.
S. 261 (1985), requires us to hold, therefore, that §
1981 actions are governed by state statutes of limitations for
interference with contractual relations.
I
In
Wilson, the Court had to determine the most
appropriate statute of limitations to apply to claims brought under
§ 1 of the Civil Rights Act of 1871, now codified at 42 U.S.C. §
1983. First, the Court decided that characterization of a § 1983
action, for the purpose of selecting a state statute of
limitations, was a matter of federal law. 471 U.S. at
471 U. S.
268-271. The Court then held that the federal interest
in "uniformity, certainty, and the minimization of unnecessary
litigation" required that all § 1983 actions receive a single broad
characterization for statute of limitations purposes.
Id.
at
471 U. S. 275.
For reasons identical to those stated in
Wilson, the Court
today concludes that § 1981, like § 1983, must receive a single
broad characterization for statute of limitations purposes. I
agree. The Court goes on to hold, however, that claims brought
under §§ 1983 and 1981 should receive the same characterization,
and here I part company with the Court.
In
Wilson, the Court relied on the history of § 1983 in
its determination that claims under the statute were best
characterized as tort actions for damages resulting from personal
injury. The Court observed that § 1983, originally known as the Ku
Klux Act, was enacted as part of the Civil Rights Act of 1871, and
that the "specific historical catalyst" for § 1983
Page 482 U. S. 671
was "the campaign of violence and deception in the South,
fomented by the Ku Klux Klan."
Id. at
471 U. S. 276.
The Court highlighted the legislative history of § 1983, which made
clear that Congress was attempting to stop a wave of murders,
lynchings, and whippings and to eliminate "the refuge that local
authorities extended to the authors of these outrageous incidents."
Ibid. From this, the Court concluded that "[t]he
atrocities that concerned Congress in 1871 plainly sounded in
tort."
Id. at
471 U. S. 277.
More specifically, the Court determined that, among the many types
of tort claims filed under § 1983, the "action for the recovery of
damages for personal injuries" was the most analogous common law
cause of action.
Id. at
471 U. S.
276.
Performing a like historical analysis of § 1981, I conclude that
it should be characterized as an action for recovery of damages for
interference with contractual relations. Section 1981, originally
enacted as § 1 of the Civil Rights Act of 1866, [
Footnote 2/1] presently provides:
"All persons within the jurisdiction of the United States shall
have the same right in every State and Territory to make and
enforce contracts, to sue, be parties, give evidence, and to the
full and equal benefit of all laws and proceedings for the security
of persons and property as is enjoyed by white citizens, and shall
be subject to like punishment, pains, penalties, taxes, licenses,
and exactions of every kind, and to no other."
Clearly, the "full and equal benefit" and "punishment" clauses
guarantee numerous rights other than equal treatment in the
execution, administration, and the enforcement of contracts. In
this sense § 1981, like § 1983, is broadly concerned with "the
equal status of every
person.'" Wilson,
supra, at 471 U. S. 277
(emphasis in original). But § 1981 was primarily
Page 482 U. S. 672
intended, and has been most frequently utilized, to remedy
injury to a narrower category of contractual or economic
rights.
The main targets of the Civil Rights Act of 1866 were the "Black
Codes," enacted in Southern States after the Thirteenth Amendment
was passed. [
Footnote 2/2] Congress
correctly perceived that the Black Codes were in fact poorly
disguised substitutes for slavery:
"They defined racial status; forbade blacks from pursuing
certain occupations or professions (e.g. skilled artisans,
merchants, physicians, preaching without a license); forbade owning
firearms or other weapons; controlled the movement of blacks by
systems of passes;
Page 482 U. S. 673
required proof of residence; prohibited the congregation of
groups of blacks; restricted blacks from residing in certain areas;
and specified an etiquette of deference to whites, as, for example,
by prohibiting blacks from directing insulting words at
whites."
H. Hyman & W. Wiecek, Equal Justice Under Law 319 (1982).
[
Footnote 2/3] In addition, the
"formidable hand of custom,"
id. at 321, interposed itself
between blacks and economic independence, forcing Congress to move
against private, as well as state-sanctioned economic
discrimination.
See generally Runyon v. McCrary,
427 U. S. 160
(1976); Kohl, The Civil Rights Act of 1866, Its Hour Come Round At
Last:
Jones v. Alfred H. Mayer Co., 55 Va.L.Rev. 272, 279
(1969). [
Footnote 2/4]
Obviously, both the Black Codes and longstanding custom imposed
a number of discriminatory prohibitions that were noneconomic, and
the 39th Congress therefore had significant
Page 482 U. S. 674
concerns that lay outside the economic realm. Nonetheless, as
the Court has often acknowledged, [
Footnote 2/5] the Legislature's central concerns in 1866
revolved around actions taken by the States and by private parties
which consigned black Americans to lives of perpetual economic
subservience to their former masters. These concerns were often
denominated "civil rights" because, in the mid-19th century, "civil
rights were commonly defined, especially by lawyers, as primarily
economic." Hyman & Wiecek,
supra, at 299. [
Footnote 2/6]
Congress clearly believed that freedom would be empty for black
men and women if they were not also assured an equal opportunity to
engage in business, to work, and to bargain for sale of their
labor. In the debates, it emerged time and again that Congress
sought to identify and guarantee those rights that would enable a
person to sustain an independent economic unit (a family) once the
master-slave relation had been dismantled:
Page 482 U. S. 675
"[Section 1981's] object is to secure to a poor, weak class of
laborers the right to make contracts for their labor, the power to
enforce the payment of their wages, and the means of holding and
enjoying the proceeds of their toil."
Cong.Globe, 39th Cong., 1st Sess., 1159 (1866) (Rep.
Windom).
"It is idle to say that a citizen shall have the right to life,
yet to deny him the right to labor, whereby he alone can live. It
is a mockery to say that a citizen may have a right to live, and
yet deny him the right to make a contract to secure the privilege
and the rewards of labor. It is worse than mockery to say that men
may be clothed by the national authority with the character of
citizens, yet may be stripped by State authority of the means by
which citizens may exist."
Id. at 1833 (Rep. Lawrence). [
Footnote 2/7]
Page 482 U. S. 676
The historical origins of § 1981 therefore demonstrate its
dominant concern with economic rights. The preeminence of this
concern is even clearer if one looks at § 1981 in conjunction with
42 U.S.C. § 1982, which was simultaneously enacted. The plain
language of § 1982 speaks squarely and exclusively to economic
rights and relations. It provides that
"[a]ll citizens of the United States shall have the same right,
in every State and Territory, as is enjoyed by white citizens
thereof to inherit, purchase, lease, sell, hold, and convey real
and personal property."
Both §§ 1981 and 1982 were derived from § 1 of the Civil Rights
Act of 1866; their wording and their identical legislative history
have led the Court to construe them similarly.
See Runyon,
427 U.S. at
427 U. S.
171-173;
Tillman v. Wheaton-Haven Recreation Assn.,
Inc., 410 U. S. 431,
410 U. S. 440
(1973). [
Footnote 2/8] Looking at
§§ 1981 and 1982 in tandem, it is apparent that the primary thrust
of the 1866 Congress was the provision of equal rights and
treatment in the matrix of contractual and quasi-contractual
relationships that form the economic sphere.
The Court maintains that § 1981 must be characterized as a
personal injury action because it is "part of a federal law barring
racial discrimination," which is "a fundamental injury to
Page 482 U. S. 677
the individual rights of a person."
Ante at
482 U. S. 661.
If this reasoning is the real basis of
Wilson, its
historical analysis was completely superfluous. Any act of racism
doubtless inflicts personal injury. At its core, it is an act of
violence -- a denial of another's right to equal dignity. [
Footnote 2/9] In many contexts, therefore,
racially discriminatory acts are violations of federal civil rights
laws. But the availability of a federal forum should not obscure
the fact that the
type of injury inflicted by
discrimination will vary. Discrimination may overlap with almost
all categories of legal claims, but does not wholly embrace any
one. An assault, a breach of contract, an infliction of emotional
distress, an unjust discharge, a refusal to hire or promote -- all
may be motivated by racial discrimination, but they are not for
that reason the same
type of legal claim. Bringing a claim
under a civil rights Act should not alter this fact. Our analysis
in
Wilson requires us to differentiate between race
discrimination that results in a tort and race discrimination that
interferes with contractual relations. [
Footnote 2/10]
Page 482 U. S. 678
This Court has acknowledged the central theme of § 1981: "the
Act was meant, by its broad terms, to proscribe discrimination in
the making or enforcement of contracts against, or in favor of, any
race."
McDonald v. Santa Fe Trail Transportation Co.,
427 U. S. 273,
427 U. S. 295
(1976). We should recognize this primary historical concern again
today and, as
Wilson requires, reflect it in our choice of
the appropriate state statute of limitations for § 1981 claims.
II
Even aside from its inconsistency with the intent of the 39th
Congress, the application of the state statute of limitations for
personal injury to § 1981 actions is the wrong choice as a
practical matter. An overwhelming number of § 1981 actions concern
enforcement of economic rights.
See Comment, Developments
in the Law -- Section 1981, 15 Harv.Civ.Rights-Civ.Lib.L.Rev. 29,
34 (1980) ("Plaintiffs in section 1981 suits have relied
predominantly on the statute's guarantee of the right to contract
free from racial discrimination");
see also Brief for
Petitioners in No. 85-1626, pp. 18-19. It is well known that States
apply different, usually longer, limitations periods to contractual
claims than to those sounding in tort. [
Footnote 2/11] Personal injury actions are often based
upon a single, dramatic event, and depend upon evidence of physical
injury or eyewitness testimony that becomes less accessible and
less trustworthy with the passage of time. In contrast, contract
actions or injury to economic relations may involve an extended
relationship between parties and may be supported by documentary
evidence.
See, e.g., Comment, 15 Harv.Civ.
Page 482 U. S. 679
Rights-Civ.Lib.L.Rev.
supra, at 225, 228. Obviously, a
breach of contract or a refusal to contract resulting from race
discrimination can occur in one traumatic moment, but, as a general
rule, state legislatures have concluded that contract actions
frequently have an evidentiary foundation with a greater life
expectancy, and thus warrant a longer limitations period. [
Footnote 2/12]
The Court has said that
"the length of the period allowed for instituting suit
inevitably reflects a value judgment concerning the point at which
the interests in favor of protecting
Page 482 U. S. 680
valid claims are outweighed by the interests in prohibiting the
prosecution of stale ones."
Johnson v. Railway Express Agency, Inc., 421 U.
S. 454,
421 U. S.
463-464 (1975). Today we have required States to apply
in contract cases a "value judgment" reached with regard to torts.
Inevitably, the statute of limitations henceforth used in § 1981
cases will be wrong most of the time. [
Footnote 2/13]
III
It may well be that "it is the fate of contract to be swallowed
up by tort (or for both of them to be swallowed up in a generalized
theory of civil obligation)," G. Gilmore, The Death of Contract 94
(1974), but it has not happened yet. The general obligation to
treat all persons with equal dignity undeniably prohibits
discrimination based on race. Yet that obligation is still imposed
in a legal system that classifies obligations, a system that
distinguishes between obligations based on contract and those based
on the reasonable person's duty of care. Section 1981 actions were
primarily intended to, and most often do, vindicate claims which
related to contractual rights, and we should apply a state statute
of limitations governing contractual relations to them. I
respectfully dissent.
[
Footnote 2/1]
It was reenacted, with minor changes, as § 16 of the Act of May
31, 1870, 16 Stat. 144, and was recodified in 1874.
See Runyon
v. McCrary, 427 U. S. 160,
427 U. S.
168-169, n. 8 (1976).
[
Footnote 2/2]
See B. Schwartz, From Confederation to Nation: The
American Constitution 1835-1877, p.191 (1973) ("The purpose of the
act, as explained by Lyman Trumbull, chairman of the Senate
Judiciary Committee, in his address introducing the proposed
legislation, was to carry into effect the Thirteenth Amendment by
destroying the discrimination against the Negro that existed in the
laws of the southern states, particularly the Black Codes enacted
since emancipation");
id. at 193 ("Before the Thirteenth
Amendment, slaves could not own property, and after emancipation,
the southern states enacted Black Codes to perpetuate this
disability. This was the
incident of slavery' which the 1866
statute was aimed at, relying for its enforcement on the Thirteenth
Amendment"); 6 C. Fairman, History of the Supreme Court of the
United States: Reconstruction and Reunion, 1864-1888, p. 110 (1971)
("Eight Southern legislatures were in session at some time in
December, 1865. Each addressed itself to the status of the Negro. .
. . The Southern States had spoken, and the impact was felt in
Congress from the moment it assembled. In a major aspect, the
problem was economic"); K. Stampp, The Era of Reconstruction
1865-1877, p. 123 (1965) ("This condition of economic helplessness
. . . enabled the white landholders, with the aid of the Black
Codes, to reestablish bondage in another form. T he congressional
Committee on Reconstruction heard a great deal of convincing
testimony about the use of southern vagrancy laws and various
extra-legal coercive devices to force Negroes back into
agricultural labor under strict discipline. This testimony
suggested that there was a close relationship between the securing
of civil and political rights on the one hand and the establishment
of economic independence on the other").
[
Footnote 2/3]
The Black Codes had "attenuated counterparts" in some Northern
States, usually "prohibiting the ingress of blacks into the state,
imposing Jim Crow in public facilities, or prohibiting blacks from
voting." H. Hyman & W. Wiecek, Equal Justice Under Law 320
(1982).
[
Footnote 2/4]
It has been pointed out that "the Black Codes told only part of
the story" of the attempt to prevent blacks from controlling their
own labor. Kohl, The Civil Rights Act of 1866, Its Hour Come Round
At Last:
Jones v. Alfred H. Mayer Co., 55 Va.L.Rev. 272,
279 (1969). The Joint Committee on Reconstruction heard testimony
demonstrating that, even apart from the restrictions of formal law,
black access to land and labor markets was in practice severely
limited, that physical compulsion was used to force freedmen to
sign employment contracts at low rates, that cartels of white
plantation owners fixed the wages of black workers by agreement,
and that whites refused to sell land to blacks.
See id. at
279-283;
see also Report of C. Schurz, S.Exec.Doc. No. 2,
39th Cong., 1st Sess., 24 (1865) ("The opposition to the negro's
controlling his own labor, carrying on business independently on
his own account -- in one word, working for his own benefit --
showed itself in a variety of ways"). Section 1981 banned racial
discrimination in contractual relations, whether individuals were
expressly or constructively denied the right to contract because of
race or were provided a lesser opportunity than others, in the form
of less favorable contract terms or unequal treatment, discouraging
entry into contractual relations.
[
Footnote 2/5]
See General Building Contractors Assn. v. Pennsylvania,
458 U. S. 375,
458 U. S. 386
(1982) ("The principal object of the legislation was to eradicate
the Black Codes, laws enacted by Southern legislatures imposing a
range of civil disabilities on freedmen");
Runyon, 427
U.S. at
427 U. S. 172
(racial discrimination in the making and enforcement of contracts
for education is a "classic violation of § 1981");
McDonald v.
Santa Fe Trail Transportation Co., 427 U.
S. 273,
427 U. S. 295
(1976) (Section 1981 prohibits "discrimination in the making or
enforcement of contracts");
Johnson v. Railway Express Agency,
Inc., 421 U. S. 454,
421 U. S. 459
(1975) (Section 1981 "on its face relates primarily to racial
discrimination in the making and enforcement of contracts");
cf. Jones v. Alfred N. Mayer Co., 392 U.
S. 409,
392 U. S. 443
(1968) (the rights protected by 42 U.S.C. § 1982 would be mere
"paper guarantee[s]" if Congress could not "assure that a dollar in
the hands of a Negro will purchase the same thing as a dollar in
the hands of a white man").
[
Footnote 2/6]
See also Hyman & Wiecek,
supra, at 300
("There were many civil rights. How many, no one knew, although
lawyers tended to classify them neatly in terms of primarily
economic, contract relationships");
id. at 301 ("The right
Americans . . . enjoyed[,] the opportunity to enter into almost
limitless civil relationships, and to gain or lose from these
involvements was considered a precious right. This right underlay
what Republicans meant by free labor").
[
Footnote 2/7]
There are many passages to similar effect.
See
Cong.Globe, 39th Cong., 1st Sess., 1151 (1866) (Rep. Thayer):
"Sir, if it is competent for the new-formed Legislatures of the
rebel States to enact laws which oppress this large class of people
who are dependent for protection upon the United States Government,
to retain them still in a state of real servitude; if it is
practicable for these Legislatures to pass laws and enforce laws
which reduce this class of people to the condition of bondmen; laws
which prevent the enjoyment of the fundamental rights of
citizenship; laws which declare, for example, that they shall not
have the privilege of purchasing a home for themselves and their
families; laws which impair their ability to make contracts for
labor in such manner as virtually to deprive them of the power of
making such contracts, and which then declare them vagrants because
they have no homes and because they have no employment; I say, if
it is competent for these Legislatures to pass and enforce such
laws, then I demand to know, of what practical value is the
amendment abolishing slavery in the United States?"
See also id. at 1160 (Rep. Windom):
"[Blacks] are denied a home in which to shelter their families,
prohibited from carrying on any independent business, and then
arrested and sold as vagrants because they have no homes and no
business."
"Planters combine together to compel them to work for such wages
as their former masters may dictate, and deny them the privilege of
hiring to anyone without the consent of the master; and in order to
make it impossible for them to seek employment elsewhere, the pass
system is still enforced. . . . Do you call that man free who
cannot choose his own employer, or name the wages for which he will
work? Do you call him a freeman who is denied the most sacred of
all possessions, a home? Is he free who cannot bring a suit in
court for the defense of his rights? Sir, if this be liberty, may
none ever know what slavery is."
[
Footnote 2/8]
The Court has previously acknowledged and relied upon the
differing legislative histories and purposes of §§ 1981 and 1982 on
the one hand, and § 1983 on the other, to demonstrate that the
statutes should receive differing interpretations.
See District
of Columbia v. Carter, 409 U. S. 418
(1973) (holding that the District of Columbia is not a "State or
Territory" under § 1983, although it is under § 1982).
Cf.
Monroe v. Pape, 365 U. S. 167,
365 U. S.
205-206 (1961) (Frankfurter, J., dissenting in part)
("Different problems of statutory meaning are presented by two
enactments deriving from different constitutional sources").
[
Footnote 2/9]
The tortious aspect of racial discrimination has been noted by
the Court in
Curtis v. Loether, 415 U.
S. 189,
415 U. S. 196,
n. 10 (1974) (citing C. Gregory & H. Kalven, Cases and
Materials on Torts 961 (2d ed.1969)), in which JUSTICE MARSHALL
suggested that racial discrimination might eventually be treated as
a "dignitary tort."
[
Footnote 2/10]
The Court appears to argue that, because "§ 1983 would reach
state action that encroaches on the rights protected by § 1981,"
ante at
482 U. S. 661,
it is important that they have the same statute of limitations. As
Judge Garth demonstrated below, this argument is without merit:
"It is true that the same nucleus of operative fact sometimes
could be characterized as either a § 1981 and/or § 1983 claim, and
thereby receive different limitations treatment if [a different
statute were] applied under § 1981. Such variations, however, are
commonplace in the law. I n a run-of-the-mill automobile accident
case, for example, identical facts could give rise to warranty
claims sounding in contract and strict liability claims sounding in
tort -- each to be governed by a different statute of limitations.
This is not thought to be a 'bizarre result,' and the possibility
that the same or similar facts could support causes of action under
different Civil Rights statutes is no more 'bizarre.'"
777 F.2d 113, 136 (CA3 1985).
[
Footnote 2/11]
A longer statute of limitations might actually reduce federal
litigation. Cases arising under the Fair Housing Act of 1968, 42
U.S.C. § 3601 et seq. (1982 ed. and Supp. III), and Title VII of
the Civil Rights Act of 1964, 42 U.S.C. § 2000e
et seq.,
are likely to overlap with § 1981 claims. If a short limitations
period is imposed, plaintiffs in such cases will be forced to file
their suits before exhausting administrative remedies, for fear of
running out of time.
[
Footnote 2/12]
See Wilson v. Garcia, 471 U. S. 261,
471 U. S. 282
(1985) (O'CONNOR, J., dissenting) ("[A] legislature's selection of
differing limitations periods for a claim sounding in defamation
and one based on a written contract is grounded in its evaluation
of the characteristics of those claims relevant to the realistic
life expectancy of the evidence and the adversary's reasonable
expectations of repose"); 777 F.2d at 138 (statement of Judge Garth
sur petition for rehearing) ("Most states have concluded that
economically grounded causes of action will more frequently arise
from patterned and well-documented courses of conduct than will
claims for personal injury. . . . There is no reason we should not
respect these policy choices, grounded as they are in real and
substantial differences between and among causes of action, in
applying civil rights statutes which reflect the same
differences");
Meyers v. Pennypack Woods Home Ownership
Assn., 559 F.2d 894, 903, n. 26 (CA3 1977) (quoting
Dudley
v. Textron, Inc., Burkart-Randall Division, 386 F.
Supp. 602, 606 (ED Pa.1975) (Section 1981 and 1982 cases
normally involve "
patterned-type behavior, frequently involving
documentary proof'"; accordingly, "'[t]he passage of time is less
likely to impede the proof of facts'")); Dupree v. Hertz
Corp., 419 F.
Supp. 764, 767 (ED Pa.1976) ("[T]he passage of time is not as
likely to interfere with the proof of an employment discrimination
case as it would affect the memories of witnesses in a personal
injury action"); Dudley v. Textron, Inc., supra, at 606
("[Section] 1983 actions have typically involved tort claims
arising from personal injury, in many cases involving physical
conduct of an irregular or sudden nature. By contrast, claims made
pursuant to § 1981 usually arise out of employment contract
relationships which consist of more patterned-type behavior,
frequently involving documentary proof in the form of employment
records. Accordingly, the passage of time is less likely to impede
the proof of facts in a § 1981, than in a § 1983, case and a longer
statute of limitations under § 1981 is, therefore, more
appropriate").
[
Footnote 2/13]
Pennsylvania formerly applied a 6-year statute of limitations to
contract actions. Pa.Stat.Ann., Tit. 42, § 5527 (Purdon 1981). This
statute has generally been applied to § 1981 actions arising in
Pennsylvania "where the gist of the cause of action is economic,
rather than bodily, injury caused by interference with the
employment rights of black workers," 777 F.2d at 131 (Garth, J.,
dissenting), and I would apply it here.
JUSTICE POWELL, with whom JUSTICE SCALIA joins, and with whom
JUSTICE O'CONNOR joins as to Parts I through IV, concurring in part
and dissenting in part.
I concur in the Court's holding that the state statute of
limitations for personal injury actions should apply to claims
arising under 42 U.S.C. § 1981. I also agree that the Court's
ruling on the statute of limitations question should
Page 482 U. S. 681
apply to the parties in this case, and therefore join Part I of
the Court's opinion. I dissent, however, from Part II of the
Court's opinion, that affirms the judgment against the Unions for
violating § 1981 and Title VII of the Civil Rights Act of 1964. The
ambiguous findings of the District Court, accepted by the Court of
Appeals for the Third Circuit, do not provide adequate support for
the Court's conclusion that the Unions engaged in intentional
discrimination against black members. Neither of the courts below
specifically found that the Unions were motivated by racial animus,
or that they are liable to black members under the alternative
Title VII theory of disparate impact. Accordingly, I would remand
to permit the District Court to clarify its findings of fact and to
make additional findings if necessary.
I
Close examination of the findings of the District Court is
essential to a proper understanding of this case. The plaintiffs,
blacks employed by the Lukens Steel Company, sued the United
Steelworkers of America and two of its local unions (Unions) for
alleged violations of § 1981 and Title VII. The plaintiffs'
allegations were directed primarily at the Unions' handling of
grievances on behalf of black members. The District Court found
that
"[t]he steady increase in grievance filings each year has not
produced a corresponding increase in the capacity of the
grievance-processing system to handle complaints."
580 F.
Supp. 1114, 1158 (ED Pa.1984). Consequently, the court found,
the Unions gave priority to "[s]erious grievances" -- that is,
"those involving more than a four-day suspension, and those
involving discharges."
Ibid. In an effort to reduce the
backlog of grievances, the Unions disposed of many less serious
grievances by simply withdrawing them and reserving the right to
seek relief in a later grievance proceeding. The District Court
found "no hard evidence to support an inference that these
inadequacies disadvantage blacks to a greater extent than whites."
Ibid.
Page 482 U. S. 682
The incomplete evidence in the record suggests that the
percentage of grievances filed on behalf of black employees was
proportional to the number of blacks in the workforce.
Ibid. Of the relatively few grievances that proceeded all
the way to arbitration, the District Court found that the number
asserted on behalf of black members was proportional to the number
of blacks in the workforce.
Ibid. Moreover, black members
had a slightly higher rate of success in arbitration than white
members.
Id. at 1158-1159. In sum, the District Court
found that
"plaintiffs' generalized evidence concerning perceptions about
racial inequities in the handling of grievances does not, without
more, establish a
prima facie case. . . . [
Footnote 3/1]"
Id. at 1159.
The District Court concluded, however, that the plaintiffs were
"on firmer ground" in challenging the Unions'
"repeated failures, during the limitations period, to include
racial discrimination as a basis for grievances or other complaints
against the company."
Ibid. Beginning in 1965, the Unions' collective
bargaining agreements with the employer prohibited discrimination
on the basis of race against any employee, permanent or
probationary. It is undisputed that the Unions "were reluctant to
assert racial discrimination as a basis for a grievance."
Ibid. The court found the Unions' explanation for this
reluctance facially reasonable.
Ibid. The Unions observed
that employees were more likely to obtain relief if a grievance
based on racial discrimination was framed as a violation of another
provision of the collective bargaining agreement that did not
require proof of racial animus. Moreover, when faced with an
allegation of racial discrimination,
Page 482 U. S. 683
"the company tended
to get its back up' and resist [the]
charge." Ibid. The court nevertheless rejected the Unions'
explanation, for two reasons. First, the court found that the
Unions "virtually ignored" the
"numerous instances of harassment which were indisputably racial
in nature, but which did not otherwise plainly violate a provision
of the collective bargaining agreement."
Id. at 1160. Second, the court concluded that
"vigorous pursuit of claims of racial discrimination would have
focused attention upon racial issues and compelled some change in
racial attitudes,"
and that the Unions'
"unwillingness to assert racial discrimination claims as such
rendered the nondiscrimination clause in the collective bargaining
agreement a dead letter."
Ibid.
The District Court also found that the Unions had adopted a
policy of refusing to process any grievances on behalf of
probationary employees, despite the fact that the collective
bargaining agreement prohibited employers from discriminating
against any employee, permanent or probationary, on the basis of
race. The Unions adhered to this policy, the court found, even
though they "knew that blacks were being discharged . . . at a
disproportionately higher rate than whites."
Id. at 1159.
Finally, the court found that the Unions failed to object to
written tests administered by the employer on the ground that it
had a disparate impact on black members, even though they "were
certainly chargeable with knowledge that many of the tests . . .
were notorious in that regard."
Ibid. The court found,
however, that the Unions objected to "tests of all kinds," on the
ground that they gave an unfair advantage to younger employees who
had recently completed their formal education.
Ibid.
The Court of Appeals accepted each of the District Court's
findings of fact and affirmed the judgment against the Unions. 777
F.2d 113 (CA3 1985). The appellate court concluded that the Unions'
"deliberate choice not to process grievances" violated Title VII
"because it discriminated against the victims who were entitled to
representation."
Page 482 U. S. 684
Id. at 127. The Court of Appeals also concluded that
"[t]he district court's finding of intentional discrimination
properly supports the claims under § 1981 as well."
Ibid.
II
A
As the Court recognizes, plaintiffs can recover under § 1981
only for intentional discrimination.
Ante at
482 U. S.
665-666, n. 10;
General Building Contractors Assn.,
Inc. v. Pennsylvania, 458 U. S. 375,
458 U. S.
382-391 (1982). The Court also recognizes that a valid
claim under Title VII must be grounded on proof of disparate
treatment or disparate impact.
Ante at
482 U. S. 664.
A disparate treatment claim, like a § 1981 claim, requires proof of
a discriminatory purpose.
Teamsters v. United States,
431 U. S. 324,
431 U. S.
335-336, n. 15 (1977). Of course, "
[d]iscriminatory
purpose' . . . implies more than intent as volition or intent as
awareness of consequences." Personnel Administrator of Mass. v.
Feeney, 442 U. S. 256,
442 U. S. 279
(1979) (citation omitted). It implies that the challenged action
was taken "at least in part `because of,' not merely `in spite of,'
its adverse effects upon an identifiable group." Ibid.
(footnote omitted). The Court concedes that "there was no
suggestion below that the Unions held any racial animus against or
denigrated blacks generally." Ante at 482 U. S. 668.
It nevertheless concludes that the Unions violated Title VII and §
1981 because they
"refuse[d] to file any and all grievances presented by a black
person on the ground that the employer looks with disfavor on and
resents such grievances,"
ante at
482 U. S. 669,
and
"pursue[d] a policy of rejecting disparate treatment grievances
presented by blacks solely because the claims assert racial bias
and would be very troublesome to process,"
ibid. In my view, this description of the Union's
conduct, and thus the Court's legal conclusion, simply does not fit
the facts found by the District Court.
The Unions offered a nondiscriminatory reason for their practice
of withdrawing grievances that did not involve a discharge
Page 482 U. S. 685
or lengthy suspension. According to the Unions, this policy,
that is racially neutral on its face, was motivated by the Unions'
nondiscriminatory interest in using the inadequate grievance system
to assist members who faced the most serious economic harm. The
District Court made no finding that the Unions' explanation was a
pretext for racial discrimination. The Unions' policy against
pursuing grievances on behalf of probationary employees also
permitted the Unions to focus their attention on members with the
most to lose. Similarly, the Unions' stated purpose for processing
racial grievances on nonracial grounds -- to obtain the swiftest
and most complete relief possible for the claimant,
see
580 F. Supp. at 1159 -- was not racially invidious. The Unions
opposed the use of tests that had a disparate impact on black
members, although not on that ground. Their explanation was that
more complete relief could be obtained by challenging the tests on
nonracial grounds. 1 App. 237. The District Court made no finding
that the Unions' decision to base their opposition on nonracial
grounds was motivated by racial animus. [
Footnote 3/2] Absent a finding that the Unions intended
to discriminate
Page 482 U. S. 686
against black members, the conclusion that the Unions are liable
under § 1981 or the disparate treatment theory of Title VII is
unjustified.
Although the District Court stated that the plaintiffs raised
both disparate treatment and disparate impact claims, 580 F. Supp.
at 1119, it did not make specific findings nor did it conclude that
the plaintiffs are entitled to recover under a disparate impact
theory. Indeed, the limited amount of statistical evidence
discussed by the District Court indicates that the Unions'
grievance procedures did not have a disparate impact on black
members.
See supra at
482 U. S. 682.
Moreover, neither the District Court nor the Court of Appeals
considered the validity of potential defenses to disparate impact
claims. For example, before the court properly could have held the
Unions liable on a disparate impact theory, the court should have
considered whether the Unions' practices were justified by the
doctrine of business -- or union -- necessity.
See Griggs v.
Duke Power Co., 401 U. S. 424,
401 U. S. 431
(1971). The court also should have considered arguments that some
of the challenged practices, such as the Unions' refusal to pursue
grievances of probationary employees, were justifiable as part of a
bona fide seniority system. [
Footnote
3/3]
See Ford
Page 482 U. S. 687
Motor Co. v. EEOC, 458 U. S. 219,
458 U. S.
239-240 (1982). Because this Court is reluctant to
consider alternative theories of liability not expressly passed
upon by the lower courts,
see Furnco Construction Corp. v.
Waters, 438 U. S. 567,
438 U. S.
580-581 (1978), I would remand to the District Court to
permit it to consider whether the Unions are liable under a
disparate impact theory. [
Footnote
3/4]
III
The Court does not reach the question whether a union may be
held liable under Title VII for "mere passivity" in the face of
discrimination by the employer, because it agrees with the courts
below that the record shows more than mere passivity on the part of
the Unions.
Ante at
482 U. S.
665-666. I disagree with that conclusion, and so must
consider whether the judgment can be affirmed on the ground that
Title VII imposes an affirmative duty on unions to combat
discrimination by the employer.
The starting point for analysis of this statutory question is,
as always, the language of the statute itself.
Kelly v.
Robinson, 479 U. S. 36,
479 U. S. 43
(1986). Section 703(c), the provision of Title VII governing suits
against unions, does not suggest that the union has a duty to take
affirmative steps to remedy employer discrimination. [
Footnote 3/5] Section 703(c)(1) makes it
unlawful for a union
"to exclude or to expel from its membership, or otherwise to
discriminate against, any individual
Page 482 U. S. 688
because of his race, color, religion, sex, or national
origin."
42 U.S.C. § 2000e-2(c)(1). This subsection parallels § 703
(a)(1), that applies to employers.
See 42 U.S.C. §
2000e-2(a)(1). This parallelism, and the reference to union
membership, indicate that § 703(c)(1) prohibits direct
discrimination by a union against its members; it does not impose
upon a union an obligation to remedy discrimination by the
emplover. Moreover, § 703(c)(3) specifically addresses the union's
interaction with the employer, by outlawing efforts by the union
"to cause or attempt to cause an employer to discriminate against
an individual in violation of this section." § 2000e-2(c)(3). If
Congress had intended to impose on unions a duty to challenge
discrimination by the employer, it hardly could have chosen
language more in suited to its purpose. First, "[t]o say that the
union
causes' employer discrimination simply by allowing it is
to stretch the meaning of the word beyond its limits." 1 A. Larson
& L. Larson, Employment Discrimination, § 44.50, p. 9-40
(1985). Moreover, the language of § 703(c)(3) is taken in haec
verba from § 8(b)(2) of the National Labor Relations Act
(NLRA), 29 U.S.C. § 158(b)(2). That provision of the NLRA has been
held not to impose liability for passive acquiescence in wrongdoing
by the employer. Indeed, well before the enactment of Title VII,
the Court held that even encouraging or inducing employer
discrimination is not sufficient to incur liability under §
s(b)(2). Electrical Workers v. NLRB, 341 U.
S. 694, 341 U. S. 703
(1951).
In the absence of a clear statement of legislative intent, the
Court has been reluctant to read Title VII to disrupt the basic
policies of the labor laws.
See Trans World Airlines, Inc. v.
Hardison, 432 U. S. 63,
432 U. S. 79
(1977). Unquestionably, an affirmative duty to oppose employer
discrimination could work such a disruption. A union, unlike an
employer, is a democratically controlled institution directed by
the will of its constituents, subject to the duty of fair
representation. Like other representative entities, unions must
balance the
Page 482 U. S. 689
competing claims of its constituents. A union must make
difficult choices among goals such as eliminating racial
discrimination in the workplace, removing health and safety
hazards, providing better insurance and pension benefits, and
increasing wages. The Court has recognized that "[t]he complete
satisfaction of all who are represented is hardly to be expected."
Ford Motor Co. v. Huffman, 345 U.
S. 330,
345 U. S. 338
(1953). For these reasons, unions are afforded broad discretion in
the handling of grievances.
Electrical Workers v. Foust,
442 U. S. 42,
442 U. S. 51
(1979);
Vaca v. Sipes, 386 U. S. 171,
386 U. S.
191-194 (1967). Union members' suits against their
unions may deplete union treasuries, and may induce unions to
process frivolous claims and resist fair settlement offers.
Electrical Workers v. Foust, supra, at
442 U. S. 51-52;
Vaca v. Sipes, supra, at
386 U. S.
191-193. The employee is not without a remedy, because
union members may file Title VII actions directly against their
employers.
Alexander v. Gardner-Denver Co., 415 U. S.
36 (1974). I therefore would hold that Title VII imposes
on unions no affirmative duty to remedy discrimination by the
employer.
IV
.
I agree that the judgment in No. 85-1626 should be affirmed. For
the reasons stated above, I would vacate the judgment in No.
85-2010 and remand the case for further proceedings consistent with
this opinion.
[
Footnote 3/1]
The District Court found that black union members "actively
participated" in union meetings and affairs. 580 F. Supp. at 1157.
A black member served as chairman of the grievance committee, and
other black members served on the committee. Brief for Petitioners
in No. 85-2010, p. 7; 2 App. 714-715. The percentage of black shop
stewards, the Unions' primary representatives in the grievance
process, frequently exceeded the percentage of black members in the
bargaining unit. Brief for Petitioners in No. 85-2010, p. 7; 2 App.
634-640.
[
Footnote 3/2]
Of course, an inference of discriminatory intent may arise from
evidence of objective factors, including the inevitable or
foreseeable consequences of the challenged policy or practice.
Personnel Administrator of Mass. v. Feeney, 442 U.
S. 256,
442 U. S. 279,
n. 25 (1979);
Arlington Heights v. Metropolitan Housing Dev.
Corp., 429 U. S. 252,
429 U. S. 266
(1977). But when
"the impact is essentially an unavoidable consequence of a . . .
policy that has, in itself, always been deemed to be legitimate, .
. . the inference simply fails to ripen into proof."
Personnel Administrator of Mass. v. Feeney, supra, at
442 U. S. 279,
n. 25.
The District Court did not expressly rely on any inference of
racial animus drawn from the consequences of the Unions' grievance
policies. Indeed, it appears that the District Court imposed
liability for intentional discrimination without finding that the
Unions acted, or failed to act, with the purpose of harming black
members. The District Court's primary justification for imposing
liability was that "mere union passivity in the face of
employer-discrimination renders the unions liable under Title VII
and, if racial animus is properly inferrable, under § 1981 as
well." 580 F. Supp. at 1160 (citations omitted). It then
stated:
"Moreover, the evidence in this case proves far more than mere
passivity on the part of the unions. The distinction to be observed
is between a union which, through lethargy or inefficiency, simply
fails to perceive problems or is inattentive to their possible
solution (in which case, at least arguably, the union's inaction
has no connection with race) and a union which, aware of racial
discrimination against some of its members, fails to protect their
interests."
Ibid. Far from inferring racial animus from the
foreseeable consequences of the Unions' inaction, the District
Court merely stated its view that union passivity -- whether
deliberate or inadvertent -- is a basis for liability without
regard to the Unions' purpose or intent.
[
Footnote 3/3]
Although these defenses do not appear to have been raised by the
Unions in the courts below, this is not surprising in view of the
fact that the plaintiffs did not present evidence or legal
arguments to support a disparate impact theory.
[
Footnote 3/4]
An additional consideration supporting a remand is the Court's
determination that a 2-year statute of limitations applies, rather
than the 6-year statute of limitations applied by the District
Court. It is not clear whether the District Court would impose
liability on the Unions based solely on their conduct after 1971.
The Court of Appeals vacated the District Court's finding that
racial harassment was a class-wide problem because it could not
determine from the record whether racial harassment after 1971
amounted to more than "a few isolated incidents." 777 F.2d 113, 121
(CA3 1986). Moreover, there is evidence in the record that the
Unions filed grievances explicitly alleging racial discrimination
after 1971. 2 App. 412, 422, 491, 667, 659, 684.
[
Footnote 3/5]
Section 703, 42 U.S.C. § 2000e-2(c), is set out in full
ante at
482 U. S.
668-659, n. 2.
JUSTICE O'CONNOR, concurring in the judgment in No. 85-1626 and
dissenting in No. 85-2010.
In light of the Court's decision to apply a uniform
characterization for limitations purposes to actions arising under
42 U.S.C. § 1981, I agree that the most appropriate choice is each
State's limitations period for personal injury suits.
But see
Wilson v. Garcia, 471 U. S. 261,
471 U. S.
280-287 (1985) (O'CONNOR, J., dissenting). Although I
doubt whether the Court's decision should be given general
retroactive effect, I agree that the Court should adhere to its
policy of applying the rule
Page 482 U. S. 690
it announces to the parties before the Court.
See Stovall v.
Denno, 388 U. S. 293,
388 U. S. 301
(1967). I therefore concur in the judgment of the Court in No.
85-1626. I join Parts I through IV of JUSTICE POWELL's opinion
concurring in part and dissenting in part, as to No. 85-2010.