University v. A.W. Chesterton ( 1993 )


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  • USCA1 Opinion









    August 26, 1993 UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 92-1034

    UNIVERSITY OF RHODE ISLAND,

    Plaintiff, Appellant,

    v.

    A. W. CHESTERTON COMPANY,

    Defendant, Appellee.

    ____________________


    ERRATA SHEET
    ERRATA SHEET


    The opinion of this Court issued on August 16, 1993, is
    amended as follows:

    Page 8, line 5, should read: as the nominal plaintiff
    . . .









































    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 92-1034

    UNIVERSITY OF RHODE ISLAND,

    Plaintiff, Appellant,

    v.

    A. W. CHESTERTON COMPANY,

    Defendant, Appellee.

    ____________________


    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF RHODE ISLAND

    [Hon. Ronald R. Lagueux, U.S. District Judge]
    ___________________

    ____________________

    Before

    Cyr and Boudin, Circuit Judges,
    ______________

    and Hornby,* District Judge.
    ______________

    ____________________



    Louis J. Saccoccio with whom Merlyn P. O'Keefe and Packer &
    ____________________ ___________________ ________
    O'Keefe were on brief for appellant.
    _______
    Steven E. Snow with whom Partridge, Snow & Hahn was on brief for
    ______________ ______________________
    appellee.
    ____________________

    August 16, 1993
    ____________________


    __________________

    *Of the District of Maine, sitting by designation




















    CYR, Circuit Judge. The University of Rhode Island
    CYR, Circuit Judge.
    _____________

    ("URI") appeals a judgment disallowing its breach of warranty

    claims against A.W. Chesterton Company ("Chesterton"), contending

    that the district court lacked subject matter jurisdiction, and

    challenging various rulings at trial. Finding no error, we

    affirm.



    I
    I

    BACKGROUND
    BACKGROUND
    __________


    We recite only those record facts essential to an

    understanding of the issues raised on appeal, drawing all reason-

    able inferences in favor of plaintiff-appellant URI. Richmond
    ________

    Steel, Inc. v. Puerto Rican American Ins. Co., 954 F.2d 19, 20
    ____________ _______________________________

    (1st Cir. 1992). The R/V Endeavor is a vessel chartered by the

    National Science Foundation to URI's Graduate School of Oceanog-

    raphy (GSO) for research purposes. In the summer of 1985, John

    Metz, the GSO's port engineer, discovered serious rust corrosion

    on the inside of the Endeavor's steel ballast tanks, which are

    submerged in salt water during normal operation of the vessel.

    Responding to a Chesterton advertisement, Metz received test

    samples of "Rust Transformer," a Chesterton product which pur-

    portedly converts surface corrosion into a rust-inhibitor, which

    in turn serves as a base for further coats of paint. Satisfied

    with the test-sample results, Metz invited Chesterton sales

    representatives aboard the Endeavor. After inspecting the


    2














    Endeavor's ballast tank corrosion, Chesterton's representatives

    recommended that Metz use Chesterton's 1-2-3 System (using Rust

    Transformer, a primer, and a final enamel coat) to rehabilitate

    the tanks. Metz ordered the 1-2-3 System on September 11,

    1985.1 Six months after URI completed the 1-2-3 System applica-

    tion, the new coating on the ballast tanks began to loosen and

    flake off. URI allegedly expended $100,000 to correct the

    problem.

    URI brought suit against Chesterton in Rhode Island

    state court on May 4, 1989, alleging negligence, strict

    liability, and breaches of an express warranty and implied

    warranties of merchantability and fitness for a particular

    purpose. Chesterton promptly removed the action to federal

    district court. URI moved for remand on the ground that URI, as

    an "alter ego, arm, or agent" of the State of Rhode Island, is

    not a "citizen" of Rhode Island for diversity purposes. The

    district court denied URI's remand motion without an evidentiary

    hearing, relying on an earlier district court decision, see
    ___

    Vanlaarhoven v. Newman, 564 F. Supp. 145 (D.R.I. 1983) (Selya,
    ____________ ______

    J.), which determined that URI was not an "arm" of the State for

    sovereign immunity purposes.

    ____________________

    1The original URI complaint alleged that Metz was reassured
    by Chesterton that the 1-2-3 System would work on Endeavor's
    ballast tanks. On the other hand, the product's written instruc-
    tions advised that the system was not recommended for surfaces
    regularly immersed in sea water. In an amended complaint, URI
    alleged that Chesterton representatives observed the URI crew
    applying the 1-2-3 System to the ballast tanks, but said nothing
    to URI representatives about the unsuitability of the system or
    its improper application.

    3














    This court declined to entertain URI's interlocutory

    appeal from the jurisdictional ruling but noted disagreement

    among the circuits as to the proper criteria for determining the

    citizenship of state universities for diversity purposes. We

    recommended that the district court conduct "limited factfinding"

    on remand relating to several factors pertinent to URI's citizen-

    ship, including (1) "the degree of URI's dependence on and

    functional integration with the state treasury," (2) "the per-

    centage of URI's annual budget that derives from state appropria-

    tions," and (3) "whether the legislature bases levels of such

    appropriations in part on the amount of nonappropriated funds

    available to URI."2 On remand, the district court denied URI's

    motion for a pretrial evidentiary hearing relating to these

    jurisdictional matters. The jury trial began on December 3,

    1991. After the district court excluded the testimony of URI's

    only expert witness on the issue of contract damages, URI abrupt-

    ly rested its case. Judgment was entered for Chesterton on all

    counts, as a matter of law, pursuant to Fed. R. Civ. P. 50(a),

    and URI appealed.



    II
    II

    DISCUSSION
    DISCUSSION
    __________



    ____________________

    2As an alternate and independent reason for declining to
    entertain the interlocutory appeal, this court noted that the
    litigation was unlikely to be so protracted as to warrant appel-
    late interruption, given the nature and scope of URI's contract
    claims.

    4














    A. Subject Matter Jurisdiction
    A. Subject Matter Jurisdiction
    ___________________________

    URI urges us to set aside the judgment and remand the

    case to state court on the ground that Chesterton, a Massachu-

    setts corporation, has not established diversity. URI contends

    that it is not a Rhode Island "citizen," but a mere "arm" or

    "alter ego" of the State. See Gibbs v. Buck, 307 U.S. 66, 69
    ___ _____ ____

    (1939) (holding that party invoking diversity jurisdiction must

    establish sufficient facts to warrant its exercise); Bank One,
    _________

    Texas, N.A. v. Montle, 964 F.2d 48, 50 (1st Cir. 1992) (same);
    ___________ ______

    see also Shamrock Oil Corp. & Gas Co. v. Sheets, 313 U.S. 100,
    ___ ____ _____________________________ ______

    108-09 (1941) (removal statute should be strictly construed

    against removal); McNutt v. General Motors Acceptance Corp., 298
    ______ _______________________________

    U.S. 178, 187 (1936); Wilson v. Republic Iron & Steel Co., 257
    ______ __________________________

    U.S. 92, 97 (1921).

    We begin with first principles. A State cannot be a

    "citizen" of itself for purposes of diversity jurisdiction.3

    Moor v. County of Alameda, 411 U.S. 693, 717 (1973); Postal Tel.
    ____ _________________ ___________

    Cable Co. v. Alabama, 155 U.S. 482, 487 (1894). On the other
    _________ _______

    hand, a political subdivision possessing the formal status of a

    "body politic and corporate," such as a county or municipality,

    is presumed a "citizen" for diversity purposes "unless it is

    simply 'the arm or alter ego of the State.'" Moor, 411 U.S. at
    _________ ____

    717, 721 (finding that Alameda County had a "sufficiently inde-


    ____________________

    3Section 1332(a) provides that "[t]he district courts shall
    have original jurisdiction of all civil actions . . . [involving
    over $50,000] . . . between . . . citizens of different States
    . . . ." 28 U.S.C. 1332(a)(1).

    5














    pendent corporate character" to be a "citizen" of California for

    diversity purposes) (citation omitted) (emphasis in original);

    Illinois v. City of Milwaukee, 406 U.S. 91, 97 (1972); Cowles v.
    ________ _________________ ______

    Mercer County, 74 U.S. (7 Wall.) 118, 121-22 (1869).4 Thus, in
    _____________

    ____________________

    4A political subdivision's "detachment" from the State
    generally will deprive it of the right to partake of the State's
    sovereign immunity under the Eleventh Amendment. See U.S. Const.
    ___
    amend. XI ("The judicial power of the United States shall not be
    construed to extend to any suit in law or equity, commenced or
    prosecuted against one of the United States by citizens of
    another state . . . ."). Although we have noted the essential
    similarity between the immunity and diversity tests, see George
    ___ ______
    R. Whitten, Jr. Inc. v. State Univ. Constr. Fund, 493 F.2d 177,
    ____________________ ________________________
    179 n.2 (1st Cir. 1974) (tests "closely allied and yet not
    identical"); cf. Krieger v. Trane Co., 765 F. Supp. 756, 758 (D.
    ___ _______ _________
    D.C. 1991) (rejecting any distinction between the two tests), we
    have not had occasion to identify the precise nature of any
    differences. In this case, however, we address, and reject, two
    proposed distinctions. First, Eleventh Amendment analysis
    normally would focus primary attention on any financial drain on
    _____
    the State treasury caused by a judgment adverse to URI, see Quern
    ___ _____
    v. Jordan, 440 U.S. 332, 337 (1979); Edelman v. Jordan, 415 U.S.
    ______ _______ ______
    651, 663 (1974), a concern which obviously does not arise in a
    diversity case where the State-related plaintiff seeks to recover
    _______
    a monetary judgment. Significantly, however, courts have not
    accepted the notion that sovereign immunity exists only if the
    ____
    State treasury is threatened. See Cory v. White, 457 U.S. 85,
    ___ ____ _____
    90-91 (1982); Kroll v. Board of Trustees of Univ. of Illinois,
    _____ ________________________________________
    934 F.2d 904, 908 (7th Cir.), cert. denied, 112 S. Ct. 377
    _____ ______
    (1991); Harden v. Adams, 760 F.2d 1158, 1163 (11th Cir.) (Troy
    ______ _____
    State University), cert. denied, 474 U.S. 1007 (1985). Whether
    _____ ______
    in the diversity or the immunity context, the analysis must
    center on the State-related party's enduring legal identity as a
    juridical entity separate from the State.
    The second possible distinction we must consider is that,
    unlike sovereign immunity, nondiversity cannot be waived by the
    State. See State Highway Comm'n of Wyoming v. Utah Constr. Co.,
    ___ ________________________________ ________________
    278 U.S. 194, 199 (1929); George R. Whitten, Jr., Inc., 493 F.2d
    _____________________________
    at 179. Generally, however, the "waiver of immunity" inquiry
    would follow the initial determination that the State-related
    ______
    entity was not sufficiently autonomous to escape characterization
    as an "alter ego" of the State. For example, in Vanlaarhoven,
    ____________
    the court based its holding on the alternate ground that, even
    if URI were merely an "alter ego" of the State, the State had
    expressly waived URI's immunity under state law by granting it
    the authority to "sue or be sued" in its own name. Vanlaarhoven,
    __________ ____________
    564 F. Supp. at 149; see also infra note 7. While such a bypass
    ___ ____ _____

    6














    principle at least, public and private corporations are accorded

    similar treatment as "citizens" for diversity purposes. See 28
    ___

    U.S.C. 1332(c)(1) ("For purposes of this section . . . a

    corporation shall be deemed to be a citizen of any State by which

    it has been incorporated . . . ."); see also Media Duplication
    ___ ____ _________________

    Servs., Ltd. v. HDG Software, Inc., 928 F.2d 1228, 1236 (1st Cir.
    ____________ __________________

    1991).

    The Rhode Island Board of Higher Education ("Board") is

    nominally constituted by the State of Rhode Island as the legal

    entity which acts in behalf of URI and other public postsecondary

    educational institutions in Rhode Island.5 The Board has been

    constituted a "public corporation," R.I. Gen. Laws 16-59-1,6

    see infra note 10, just as the County of Alameda is a "body
    ___ _____


    ____________________

    argument is impermissible where the sole issue is URI's citizen-
    ship for diversity purposes, sovereign immunity case law, and its
    identification of the relevant attributes of autonomy, is no less
    probative in diversity cases; hence, we cite to these cases as
    apposite.

    5The complaint mistakenly designates URI as the plaintiff.
    Since URI is not a distinct legal entity under Rhode Island law,
    we treat the Board as the real party in interest, as did the
    district court.

    6Section 16-59-1(a) provides, in pertinent part: "There is
    hereby created a board of governors for higher education, some-
    times hereinafter referred to as the 'board' or the 'board of
    governors,' which shall be and hereby is constituted a public
    corporation, empowered to sue and be sued in its own name, to
    have a corporate seal, and to exercise all the powers, in addi-
    tion to those hereinafter specifically enumerated, usually
    appertaining to public corporations entrusted with control of
    postsecondary educational institutions and functions." R.I. Gen.
    Laws 16-59-1(a) (1992). In all significant respects, this
    section, enacted in 1988, merely extended the extant powers
    possessed by the Board's immediate predecessor, the entity
    involved in Vanlaarhoven.
    ____________

    7














    corporate and politic" under California law. Moor, 411 U.S. at
    ____

    719 (citing Cal. Gov't Code 23003).

    Several ancillary principles derive from Moor. The
    ____

    criteria are substantially similar for evaluating whether an

    entity is a citizen of the State for diversity purposes, or a

    State for Eleventh Amendment sovereign immunity purposes, see
    ___

    Northeast Fed. Credit Union v. Neves, 837 F.2d 531, 534 (1st Cir.
    ___________________________ _____

    1988) (tests "pretty much the same"); see supra note 4, and
    ___ _____

    present the same ultimate question for decision: whether the

    State of Rhode Island remains the real party in interest, not-
    ____ _____ __ ________

    withstanding URI's designation as the nominal plaintiff. See id.
    ___ ___

    at 533 ("For the purpose of diversity jurisdiction, the determi-

    native factor is whether the state is the real party in inter-

    est.") (quoting Krisel v. Duran, 386 F.2d 179, 181 (2d Cir.),
    ______ _____

    cert. denied, 390 U.S. 1042 (1967)); see also Kovats v. Rutgers,
    _____ ______ ___ ____ ______ _______

    822 F.2d 1303, 1307 (3d Cir. 1987) (immunity), cert. denied, 489
    _____ ______

    U.S. 1014 (1987); Ronwin v. Shapiro, 657 F.2d 1071, 1073 (9th
    ______ _______

    Cir. 1981) (Board of Regents of Arizona) (immunity and diversi-

    ty); Jagnandan v. Giles, 538 F.2d 1166, 1173 (5th Cir. 1976)
    _________ _____

    (Mississippi State University) (immunity), cert. denied, 432 U.S.
    _____ ______

    910 (1977); Krieger v. Trane Co., 765 F. Supp. 756, 757-58
    _______ _________

    (D.D.C. 1991) (diversity). Thus, most unincorporated state

    agencies and departments are readily recognizable as mere "arms"

    or "alter egos" of the State.

    On the other hand, though the State's formal incorpora-

    tion of a State-related entity is not necessarily dispositive on


    8














    the issue of its autonomy, either for immunity or diversity

    purposes, see, e.g., Jagnandan, 538 F.2d at 1174, 1176; Krieger,
    ___ ____ _________ _______

    765 F. Supp. at 760, 762, the legislative act of incorporation

    should prompt a thorough examination into the precise nature of

    the entity established under state law. See Moor, 411 U.S. at
    ___ ____

    719 (undertaking "a detailed examination of the relevant provi-

    sions of California law" in order to rule out Alameda County's

    "mere agency"); id. at 721 n.54 (generally repudiating resort to
    ___

    "conclusory" determinations as to entity's legal character); see
    ___

    also Lake Country Estates, Inc. v. Tahoe Regional Planning
    ____ _____________________________ _________________________

    Agency, 440 U.S. 391, 401 (1979); Mt. Healthy City Sch. Dist. Bd.
    ______ _______________________________

    of Educ. v. Doyle, 429 U.S. 274, 280 (1977); Kovats, 822 F.2d at
    ________ _____ ______

    1307; Goss v. San Jacinto Junior College, 588 F.2d 96, 98 (5th
    ____ ___________________________

    Cir. 1979). Accordingly, comparing the incorporated public

    entity to the polar extremes (the State on the one hand, and

    political subdivisions on the other), we must determine whether

    the nominal public corporation possesses "a sufficiently indepen-

    dent corporate character to dictate that it be treated as a

    citizen of [the State of incorporation]." Moor, 411 U.S. at 721.
    ____

    See Mt. Healthy, 429 U.S. at 280 (finding city board "more like a
    ___ ___________ ____ ____

    county or city than it is like an arm of the State") (emphasis

    added); see also Kashani v. Purdue Univ., 813 F.2d 843, 845 (7th
    ___ ____ _______ ____________

    Cir. 1987), cert. denied, 484 U.S. 846 (1988); Goss, 588 F.2d at
    _____ ______ ____

    98.

    Often these comparative appraisals unavoidably lead to

    imprecise distinctions in degree, rarely amenable to ready


    9














    resolution. Cf. Metcalf & Eddy, Inc. v. Puerto Rico Aqueduct &
    ___ ____________________ ______________________

    Sewer Auth., ___ F.2d ___, ___ (1st Cir. 1993) [No. 91-1602, 1993
    ___________

    U.S. App. LEXIS 10064, at 10 (1st Cir. May 3, 1993)] (noting that

    agency's entitlement to immunity "poses an essentially functional
    __________

    inquiry, not easily amenable to bright-line answers or mechanical

    solutions") (emphasis added). Like their private counterparts,

    public corporations are hardly monolithic, having been vested

    with whatever powers, rights, and privileges state legislatures

    may bestow to suit the public purpose for which the particular

    corporation was commissioned. Although the vast majority of state

    universities, incorporated and unincorporated alike, have been

    found to be "arms" of the State for immunity and diversity

    purposes, each state university must be evaluated in light of its

    unique characteristics. See Kovats, 822 F.2d at 1303; Kashani,
    ___ ______ _______

    813 F.2d at 845; Hall v. Medical College of Ohio, 742 F.2d 299,
    ____ ________________________

    302 (6th Cir. 1984), cert. denied, 469 U.S. 1113 (1985); United
    _____ ______ ______

    Carolina Bank v. Board of Regents, 665 F.2d 553, 557 (5th Cir.
    _____________ _________________

    1982) (Austin State University); Soni v. Board of Trustees of
    ____ _____________________

    Univ. of Tennessee, 513 F.2d 347, 352 (6th Cir. 1975), cert.
    ___________________ _____

    denied, 426 U.S. 919 (1976); University Sys. of New Hampshire v.
    ______ ________________________________

    United States Gypsum, 756 F. Supp. 640, 645 (D.N.H. 1991).7
    ____________________

    ____________________

    7Even if it were presumed that the immunity and diversity
    standards converge, see supra note 4, Vanlaarhoven was not
    ___ _____ ____________
    conclusive as to URI's citizenship for diversity purposes.
    Chesterton argues that URI is barred, by Vanlaarhoven and col-
    ____________
    lateral estoppel, from litigating the diversity jurisdiction
    issue. We do not agree. Chesterton did not raise the estoppel
    issue in the district court, nor did the court invoke collateral
    estoppel by way of reference to Vanlaarhoven. Thus, Chesterton
    ____________
    waived the issue. McCoy v. Massachusetts Inst. of Technology,
    _____ __________________________________

    10














    We have propounded an illustrative list of criteria

    by no means exhaustive often germane to the Eleventh Amendment

    "arm" or "alter ego" determination, including whether the entity

    (1) performs an "essential" or "traditional" governmental func-

    tion, as opposed to a nonessential or merely proprietary one; (2)

    exercises substantial autonomy over its internal operations; (3)


    ____________________

    950 F.2d 13, 22 (1st Cir. 1991), cert. denied, 112 S. Ct. 1939
    _____ ______
    (1992) (issues not "squarely" raised before trial court cannot be
    raised on appeal). Moreover, the "alter ego" determination in
    Vanlaarhoven was not "essential" to the judgment, in at least two
    ____________
    respects. See Restatement (Second) of Judgments 27 ("When an
    ___ __________________________________
    issue of fact or law is actually litigated by a valid and final
    judgment, and the determination is essential to the judgment, the
    ___ ___ _____________ __ _________ __ ___ ________
    determination is conclusive . . . .") (emphasis added). First,
    the Vanlaarhoven court, as an alternate holding, assumed arguendo
    ____________ ________
    that URI might be an "alter ego" of the State, but went on to
    hold that Rhode Island law had recognized similar grants of the
    power to sue and be sued as express waivers by the State of an
    alter ego's sovereign immunity from unconsented suit. Vanlaar-
    ________
    hoven, 564 F. Supp. at 149; see supra note 4. Second, URI, the
    _____ ___ _____
    defendant in Vanlaarhoven, prevailed on the merits. Except in
    ____________
    limited circumstances not present here, the party that prevails
    on the merits is not obligated to appeal from an adverse ruling
    __ ___ _________ __
    on a collateral issue. Cf. Deposit Guar. Nat'l Bank v. Roper,
    ___ _________________________ _____
    445 U.S. 326, 334-35 (1980) (noting that adverse ruling presum-
    ably would have no effect in later litigation).
    Although not binding, Vanlaarhoven nonetheless remains
    ____________
    persuasive precedent in its own right. See Metcalf & Eddy, ___
    ___ ______________
    F.2d at ___ [No. 91-1602, 1993 U.S. App. LEXIS 10064, at 13 n.4
    (1st Cir. May 3, 1993)] (noting that immunity of agency need not
    always be considered de novo; "[w]here the agency's activity and
    __ ____
    its relation to the state remain essentially the same, prior
    ___________ ___ ____
    circuit precedent will be controlling") (emphasis added); see
    ___
    also infra note 16. URI argues that much of Vanlaarhoven's
    ____ _____ ____________
    precedential weight was eroded by the later repeal of R.I. Gen.
    Laws 16-31-1 to 15 in 1988, and its replacement with the new
    statutory scheme. See R.I. Gen. Laws 16-59-1. We agree with
    ___
    the district court that the legislative modifications in 1988
    were largely inconsequential, see infra Section II.A.2.a., and
    ___ _____
    that Vanlaarhoven's "lengthy description of the fiscal relation-
    ____________
    ship between the University and the State of Rhode Island is as
    accurate today as when it was written in 1983 . . . ." Universi-
    _________
    ty of Rhode Island v. A.W. Chesterton Co., 721 F. Supp. 400, 402
    ___________________ ___________________
    (D.R.I. 1989).

    11














    enjoys meaningful access to, and control over, funds not appro-

    priated from the State treasury; (4) possesses the status of a

    separate "public corporation"; (5) may sue and be sued in its own

    name; (6) can enter into contracts in its own name; (7) has been

    granted a state tax exemption on its property; or (8) has been

    expressly debarred from incurring debts in the State's name or

    behalf. See Metcalf & Eddy, ___ F.2d at ___ [No. 91-1602, 1993
    ___ _______________

    U.S. App. LEXIS 10064, at 11-12 (1st Cir. May 3, 1993)]; In re
    _____

    San Juan DuPont Plaza Hotel Fire Litigation, 888 F.2d 940, 942
    _____________________________________________

    (1st Cir. 1989); Ainsworth Aristocrat Int'l Pty, Ltd. v. Tourism
    ____________________________________ _______

    Co. of Puerto Rico, 818 F.2d 1034, 1038 (1st Cir. 1987). These
    __________________

    diverse considerations are designed to disclose the extent to

    which state law endows the incorporated State-related entity with

    the operational authority, discretion, and proprietary resources

    with which to function independently of the State. See George R.
    _____________ ___ _________

    Whitten, Jr., Inc. v. State Univ. Constr. Fund, 493 F.2d 177, 180
    __________________ ________________________

    (1st Cir. 1974); cf. Metcalf & Eddy, ___ F.2d at ___ [No. 91-
    ___ _______________

    1602, 1993 U.S. App. LEXIS 10064, at 12 (1st Cir. May 3, 1993)]

    ("[T]he more tightly the agency and the state are entangled, the

    more probable it becomes that the agency shares the state's

    Eleventh Amendment immunity.").8

    ____________________

    8URI argues that Rhode Island case law provides a definitive
    statement on the functional interdependence of the Board and the
    State. See, e.g., State of Maryland Cent. Collection Unit v.
    ___ ____ __________________________________________
    Board of Regents, 529 A.2d 144, 145 (R.I. 1987); Opinion to the
    _________________ ______________
    Governor, 181 A.2d 618 (R.I. 1962). State court decisions are
    ________
    entitled to great deference in our diversity and sovereign
    immunity determination. See Ainsworth, 818 F.2d at 1037; see
    ___ _________ ___
    also Harden, 760 F.2d at 1163; Jackson v. Hayakawa, 682 F.2d
    ____ ______ _______ ________
    1344, 1350 (9th Cir. 1982) (California State University); Jag-
    ____

    12














    1. The Board's Operational Autonomy
    1. The Board's Operational Autonomy
    ________________________________

    After reviewing many decisions relating to public

    postsecondary educational institutions, we are impressed, as was

    the district court in this case and in Vanlaarhoven, by the
    ____________

    extraordinary measure of autonomy enjoyed by the Rhode Island

    Board of Higher Education. As with most "state" universities,

    the Board is charged with an essential and traditional governmen-

    ____________________

    nandan, 538 F.2d at 1175-76; Brennan v. University of Kansas, 451
    ______ _______ ____________________
    F.2d 1287, 1290 (10th Cir. 1971). But see Kovats, 822 F.2d at
    ___ ___ ______
    1310 (state case law treating entity as "arm" does not undermine
    autonomy for diversity purposes). Nevertheless, the "real party
    in interest" analysis is ultimately a matter of federal law. See
    _______ ___
    Moor, 411 U.S. at 720 (looking to California state court deci-
    ____
    sions merely to confirm Court's independent diversity determina-
    _______
    tion, based on California statutes); Hughes-Bechtol, Inc. v. West
    ____________________ ____
    Va. Bd. of Regents, 737 F.2d 540, 543 (6th Cir.) (diversity),
    ___________________
    cert. denied, 469 U.S. 1018 (1984); Long v. Richardson, 525 F.2d
    _____ ______ ____ __________
    74, 79 (6th Cir. 1975) (Memphis State University); cf. Jacin-
    ___ ______
    toport Corp. v. Greater Baton Rouge Port Comm'n, 762 F.2d 435,
    _____________ ________________________________
    439 (5th Cir. 1985).
    In the instant case, we find the State of Maryland and its
    __________________
    predecessor decisions inconclusive. First, State of Maryland
    __________________
    involved the distinct question of the United States Supreme
    Court's original jurisdiction, not the issue of diversity juris-
    diction. State of Maryland, 529 A.2d at 147. Second, the court's
    _________________
    finding that URI and the State were the same "party" is dictum,
    the State of Maryland having conceded the point. Id. Finally,
    ___
    although State of Maryland cites to prior state case law, see
    __________________ ___
    Opinion to the Governor, 181 A.2d 618, 621 (R.I. 1962), neither
    _______________________
    case engages in an extended analysis of the Board's corporate
    powers or characteristics. See Moor, 411 U.S. at 721 n.54
    ___ ____
    (expressing disfavor for "conclusory" determinations of entity's
    legal character); Jacintoport Corp., 762 F.2d at 438 (refusing to
    _________________
    follow state case law on immunity question where cited cases "did
    not deal with the precise question before us, nor was their
    inquiry based on even analogous jurisprudential concerns"). Thus,
    unlike the situation in Moor, where the Court was able to find
    ____
    "the clearest indication possible from California's Supreme Court
    ________ __________ ________
    of the status of California's counties," Moor, 411 U.S. at 720
    ____
    (emphasis added), neither the focus nor the nature of the analy-
    sis in State of Maryland enables us to derive a clear indication
    _________________
    as to the Rhode Island Supreme Court's views on the critical
    factors controlling the "real party in interest" determination in
    the context of federal diversity jurisdiction.

    13














    tal function namely, the provision of postsecondary education-

    al facilities to the citizens of Rhode Island. See R.I. Const.
    ___

    art. XII, 1; Chang v. University of Rhode Island, 375 A.2d 925,
    _____ __________________________

    933-34 (R.I. 1977); see also Kovats, 822 F.2d at 1310 (providing
    ___ ____ ______

    educational facilities is an essential or traditional governmen-

    tal function, not a proprietary one); Hall, 742 F.2d at 305
    ____

    (same); Rutledge v. Arizona Bd. of Regents, 660 F.2d 1345, 1349
    ________ _______________________

    (9th Cir. 1981) (same); cf. also Kashani, 813 F.2d at 847-48 (if
    ___ ____ _______

    entity serves entire state, instead of one region, more likely an

    "arm" of State). As a general rule, therefore, it may well be

    that an entity established to conduct a core governmental func-

    tion is less likely to be vested with meaningful freedom from

    governance by the State's elected officials. Nevertheless, this

    isolated factor is seldom dispositive.9 An exception must lie

    ____________________

    9For example, in Moor the county's responsibility for many
    ____
    traditional and essential governmental functions, including the
    provision of water services, flood control, rubbish disposal, and
    harbor and airport facilities, appears to have been accepted by
    the Court as affirmative evidence of citizenship. See Moor, 411
    ___ ____
    U.S. at 720. These governmental responsibilities were noted by
    the Court in acknowledging the county's power to levy taxes to
    finance its functions. Similarly, URI is empowered to fix and
    collect tuitions and fees and enjoys plenary control over these
    nonappropriated funds, as well as its educational functions. Cf.
    ___
    University of Tennessee v. United States Fidelity & Guar., Co.,
    _______________________ ____________________________________
    670 F. Supp. 1379, 1384 (E.D. Tenn. 1987) (legislature's control
    of tuition rates suggests "arm"). We discern from Moor a general
    ____
    rule of thumb: the State's delegation of essential governmental
    functions, together with the power to generate and control the
    nonappropriated revenues with which to perform those governmental
    functions, normally will be viewed as supporting, rather than
    undermining, the entity's independent status for citizenship
    purposes. Cf. Metcalf & Eddy, ___ F.2d at ___ [No. 91-1602, 1993
    ___ _______________
    U.S. App. LEXIS 10064, at 17, 17 n.6 (1st Cir. May 3, 1993)]
    (noting that, if all traditional government functions triggered
    immunity protection, local school boards would have been deemed
    "arms" of state, and that agencies which derive revenue through

    14














    where the statutory scheme, as a whole, confutes any legislative
    __ _ _____

    intent to establish the entity as a mere "arm" of the State. See
    ___

    Kovats, 822 F.2d at 1312 (performance of governmental, nonpropri-
    ______

    etary function not necessarily indicative of lack of autonomy).

    Accordingly, we must examine the particular powers with which the

    Board is endowed under its statute of "incorporation."

    From an operational standpoint, the Board is denominat-

    ed a "public corporation," Moor, 411 U.S. at 719 (county's
    ____

    corporate status and powers "most notabl[e]" attributes of

    citizenship); cf. Hall, 742 F.2d at 305 (noting that school's
    ___ ____

    lack of separate corporate status suggests mere agency),10

    which may "sue and be sued in its own name." R.I. Gen. Laws 16-

    59-1(a).11 The Rhode Island statutes elsewhere define the term

    ____________________

    "user fees" for performance of "governmental" functions are
    unlikely to be characterized as "arms" merely by virtue of the
    traditional nature of their mission) (citing Royal Caribbean
    ________________
    Corp. v. Puerto Rico Ports Auth., 973 F.2d 8 (1st Cir. 1992)).
    _____ _______________________

    10Some courts have held that corporate status ought not be
    regarded as probative unless the legislature expresses its intent
    to confer perpetual corporate status upon the entity. See, e.g.,
    _________ ___ ____
    Hall, 742 F.2d at 299. The rationale of these cases appears to
    ____
    be that the legislature reserves the right to revoke all delegat-
    ed powers to such a nonperpetual entity, at any time. Id. See
    ____________ ___ ___
    also Kashani, 813 F.2d at 847; Jackson, 682 F.2d at 1350; Bren-
    ____ _______ _______ _____
    nan, 451 F.2d at 1290. As we are unable to accept the premise
    ___
    that legislative enactments can be immunized from amendment by
    succeeding legislatures, let alone be perpetuated, we respectful-
    ly decline to follow these decisions. We note also that these
    decisions conflict with Moor, insofar as they suggest that most
    ____
    political subdivisions cannot be "citizens" because succeeding
    legislatures retain the power to alter or rescind prior delega-
    tions of the State's police power.

    11It is not always clear in the Eleventh Amendment context
    whether the court has already determined that the entity is an
    "arm" of the State, and is referring to this provision (power to
    sue and be sued) only as evidence of an explicit waiver of the

    15














    "public corporation" as "a corporate entity which is considered a

    governmental agency but which has a distinct legal existence from
    ___ _____ ___ _ ________ _____ _________ ____

    the state or any municipality, [and] does not constitute a
    ___ _____ __ ___ ____________

    department of state or municipal government . . . ." Id. 16-
    ___

    62-4 (emphasis added). See Harden v. Adams, 760 F.2d 1158, 1163
    ___ ______ _____

    (11th Cir. 1985) (Troy State University) (holding that statutory

    definitions of "state" and "political subdivision" may be rele-

    vant factors); compare Kovats, 822 F.2d at 1310 (evidence that
    _______ ______

    entity is "instrumentality," but otherwise excluded from some

    statutory definitions of "state," is probative of citizenship)

    with United Carolina Bank, 665 F.2d at 557 (noting that entity
    ____ ____________________

    falls clearly within statutory definition of "state"). But cf.
    ___ ___

    ____________________

    dependent entity's sovereign immunity. See, e.g., Rozek v.
    ____ ____ _____
    Topolnicki, 865 F.2d 1154, 1158 (10th Cir. 1989); Long, 525 F.2d
    __________ ____
    at 77; Soni, 513 F.2d at 352; see also supra notes 4 & 7 (discus-
    ____ ___ ____ _____
    sing Vanlaarhoven's alternative "waiver" holding). The bare
    ____________
    power to sue is unlikely to hold complete sway in the threshold
    "alter ego" determination either in diversity or immunity cases.
    See Kashani, 813 F.2d at 847 (power to sue and be sued not
    ___ _______
    conclusive of autonomy); Jagnandan, 538 F.2d at 1174, 1176;
    _________
    Krieger, 765 F. Supp. at 760, 762; cf. Hall, 742 F.2d at 305
    _______ ___ ____
    (deliberate withholding of power to sue highly probative of lack
    of autonomy). But the power to sue in the entity's own name,
    when coupled with other powers of self-determination typically
    held by distinct juridical entities (power to contract, power to
    buy, hold, and sell property), undeniably affords the entity some
    additional independence from the State, since the entity need not
    seek the State's consent to bring, defend, or settle a lawsuit.
    In this case, we note in particular that (1) URI brought suit
    exclusively in its own name, and (2) its counsel of record is not
    a legal officer of the State of Rhode Island. See Jacintoport
    ___ ___________
    Corp., 762 F.2d at 442 (noting commission's right to "employ
    _____
    private attorneys to represent it" as evidence that it has
    separate legal identity from State); Tradigrain, Inc. v. Missis-
    ________________ _______
    sippi State Port Auth., 701 F.2d 1131, 1136 (5th Cir. 1983)
    ________________________
    (Thornberry, J., dissenting) (noting as evidence of citizenship
    that Authority "employs its own counsel, and is not represented
    by the State of Mississippi in this action"); cf. Hall, 742 F.2d
    ___ ____
    at 305 (university's counsel is state attorney general).

    16














    Lewis v. Midwestern State Univ., 837 F.2d 197, 198 (5th Cir.),
    _____ ______________________

    cert. denied, 488 U.S. 849 (1988) (mere statutory definition as
    _____ ______

    "agency" suggests "alter ego"); Kashani, 813 F.2d at 847 (holding
    _______

    that entity's designation as "separate" from State for some

    purposes is inconclusive of autonomy); Krieger, 765 F. Supp. at
    _______

    759(findingterm"independent
    agency"inconclusiveevidenceofautonomy).

    Ten of the thirteen Board members are appointed by the

    Governor,12 with the advice and consent of the senate, see R.I.
    ___

    Gen. Laws 16-59-2(a), a legislative design most courts routine-

    ly view as evidence of an entity's lack of independence from

    State control. See, e.g., Lewis, 837 F.2d at 198; Kashani, 813
    ___ ____ _____ _______

    F.2d at 847 (7 of 10 members appointed); Harden, 760 F.2d at
    ______

    1163; Hall, 742 F.2d at 306; Gay Students Servs. v. Texas A & M
    ____ ___________________ ___________

    Univ., 737 F.2d 1317, 1333 n.28 (5th Cir. 1984), cert. denied,
    _____ _____ ______

    471 U.S. 1001 (1985); United Carolina Bank, 665 F.2d at 558;
    _____________________

    Rutledge, 660 F.2d at 1347 (all 8 appointed); Prebble v. Brod-
    ________ _______ _____

    rick, 535 F.2d 605, 610 (10th Cir. 1976) (University of Wyoming).
    ____

    But see Kovats, 822 F.2d at 1311 (concluding that, even if
    ___ ___ ______

    majority is appointed by governor, that fact is not conclusive of

    "alter ego" status). The power of appointment (and reappoint-

    ment) is significant, and may entail risks of subtle or indirect

    manipulation of the entity's decisionmaking processes by elected

    officials.

    ____________________

    12The Governor appoints the chairperson as well, and two ex
    __
    officio positions on the Board are occupied by members of the
    _______
    legislative branch. Cf. Harden, 760 F.2d at 1163 (noting the fact
    __ ______
    that executive branch officials serve as ex officio members of
    __ _______
    Board as evidence of "alter ego" status).

    17














    On the other hand, the Rhode Island statutory scheme is

    somewhat unusual in the respect that it attempts to protect the

    Board from "partisan or personal" pressures. R.I. Gen. Laws

    16-59-3 ("removal solely for partisan or personal reasons unre-

    lated to capacity or fitness for the office shall be unlawful").

    Although individual Board members might be vulnerable to pres-

    sure, the Board as a whole is insulated to some degree from

    sudden "reversal[s] of policy" by fixed (three-year) and stag-
    _____

    gered terms. Id. 16-59-1. Cf. Jacintoport Corp. v. Greater
    ___ ___ __________________ _______

    Baton Rouge Port Comm'n, 762 F.2d 435, 442 (5th Cir. 1985)
    _________________________

    (focusing on autonomy of Commission as an entity, not only on
    __ __ ______

    independence of the individual commissioners). Board members

    receive minimal compensation ($50 per day of actual service, not

    to exceed $3000 annually). Since it is highly unlikely that

    members would depend on their Board compensation as a primary

    source of income, the economic coercion attending the threat of

    removal would be minimal. R.I. Gen. Laws 16-59-1(e). Aside

    from the power of appointment, the governor has no direct voice

    in Board decisionmaking. Cf., e.g., Fitchik v. New Jersey
    ___ ____ _______ ___________

    Transit Rail Operations, Inc., 873 F.2d 655, 663 (3d Cir.)
    _______________________________

    (finding entity not "alter ego," despite gubernatorial veto

    power), cert. denied, 493 U.S. 850 (1989). Finally, and most
    _____ ______

    significantly, individual Board members are provided with signi-

    ficant insulation from partisan or personal pressure, in that no

    Board member may be removed except for cause, after a full
    ___ _____

    hearing and appellate review. R.I. Gen. Laws 16-59-2, 3.


    18














    As a corporate entity, the Board's supervisory powers

    are pervasive. It unilaterally appoints, and may dismiss at its

    pleasure, the commissioner of higher education and the presidents

    of the individual educational institutions it oversees, see id.
    ___ ___

    16-59-4(5), (6). It possesses plenary power over the post-

    secondary school organizational structure, accounting procedures,

    the creation and abolition of all postsecondary school depart-

    ments and programs of study, as well as their affirmative action

    hiring practices. Id. 16-59-4(10), (11). See Kovats, 822 F.2d
    ___ ___ ______

    at 1311-12 (finding that minimal state supervision over entity's

    operations suggests autonomy); cf. Hall, 742 F.2d at 306 (noting
    ___ ____

    that state control through mandated programs of study suggests

    lack of independence); University of Tennessee v. United States
    _______________________ _____________

    Fidelity & Guar, Co., 670 F. Supp. 1379, 1384 (E.D. Tenn. 1987)
    ____________________

    (observing that entity must comply with controller's regulations,

    and legislature controls physical plant operations). But see
    ___ ___

    Kashani, 813 F.2d at 847 (finding entity's power to prescribe
    _______

    curricula not probative of its autonomy). The Board is expressly

    exempted from compliance with the Rhode Island Administrative

    Procedures Act, R.I. Gen. Laws 16-59-12, see Kovats, 822 F.2d
    ___ ______

    at 1312 (APA exemption suggests autonomy); cf. Fitchik, 873 F.2d
    ___ _______

    at 663 (APA applicability suggests "arm"); Jackson v. Hayakawa,
    _______ ________

    682 F.2d 1344, 1350 (9th Cir. 1982) (California State University)

    (same); Krieger, 765 F. Supp. at 760 (same), as well as from
    _______

    certain personnel employment and equipment requisition regula-

    tions, R.I. Gen. Laws 16-59-21 (providing Board with exemption


    19














    from R.I. Gen. Laws 35-3-1(5), (6) in "the interest of educa-

    tional efficiency"). See Kovats, 822 F.2d at 1313 (exemption
    ___ ______

    from civil service rules suggests autonomy); cf. United Carolina
    ___ _______________

    Bank, 665 F.2d at 558 (applicability of employment regulations
    ____

    suggests dependence); Krieger, 765 F. Supp. at 759-60 (lack of
    _______

    exemption from general budget controls and procurement rules

    suggests "arm"); University of Tennessee, 670 F. Supp. at 1384
    ________________________

    (legislature's control of employee compensation suggests "arm").

    The Board holds full legal title to all URI real and

    personal property, with the attendant power to acquire, hold, and

    dispose of URI property and "other like property as deemed

    necessary for the execution of its corporate purposes." R.I.

    Gen. Laws 16-59-1. See Moor, 411 U.S. at 719 (noting that
    ___ ____

    county may "sell, hold, or otherwise deal in property"); see also
    ___ ____

    Fitchik, 873 F.2d at 663 (power to purchase property suggests
    _______

    citizenship); cf. Hall, 742 F.2d at 306 (unlike community college
    ___ ____

    which holds title to property, no independence where educational

    entity may sell property only with State's approval); University
    __________

    of Tennessee, 670 F. Supp. at 1384 (legislature's control over
    ____________

    all physical plants and leases indicates lack of indepen-

    dence).13 Although URI's real and personal property is exempt

    ____________________

    13Since the Board's legal title to URI property is held "in
    trust" for the State, R.I. Gen. Laws 16-59-1(a), URI argues
    that the Board's fiduciary duty to the State, the equitable owner
    of the property, inhibits its discretion to administer the
    property as record owner. The language of the statute neverthe-
    less suggests that the Board's business decisions to purchase,
    administer, and dispose of URI property are largely unrestricted,
    and absent misfeasance would be impervious to challenge by the
    State. See Kovats, 822 F.2d at 1309 (legal title to property,
    ___ ______

    20














    from taxation, see R.I. Gen. Laws 44-3-3(1); Powers v. Harvey,
    ___ ______ ______

    103 A.2d 551, 552 (R.I. 1954), in many cases this factor is

    considered minimally probative. Often, tax policy is used by

    States to encourage certain types of activity even though the

    target entities are otherwise entirely independent of state

    government. Rhode Island is no exception in this respect. See,
    ___

    e.g., R.I. Gen. Laws 44-3-3(11) (cemeteries), (12) (incor-
    ____

    porated or free libraries), (13) (veterans' organizations), (15)

    (volunteer fire departments), (21) (water treatment facilities).

    Moreover, nonpublic educational institutions in Rhode Island
    _________

    partake of a similar tax exemption, albeit narrower than that of

    the Board. R.I. Gen. Laws 44-3-3(8) (private school property

    is tax exempt to the extent it is used "exclusively for educa-

    tional purposes"). Arguably, of course, tax exemption may be

    attributable to the State's equitable title to the URI property.
    _________

    We think it at least as plausible, however, that the general

    assembly exempts Board property from taxation as a means of

    fostering performance of the Board's corporate functions. See
    ___

    Kovats, 822 F.2d at 1311 (autonomy not fatally undermined by tax
    ______

    exemption); Kashani, 813 F.2d at 846 (less probative where State
    _______

    grants tax exemption to political subdivisions); Hall, 742 F.2d
    ____

    at 307 (tax exemption relevant only if it is not accorded other

    entities which are not "alter egos"). But see University of
    ___ ___ _____________


    ____________________

    though held in trust, coupled with discretionary power to dis-
    pose, and to control both proceeds and income therefrom, suggests
    independence); cf. Hall, 742 F.2d at 306 (entity is "arm" if
    ___ ____
    property held in State's name).

    21














    Tennessee, 670 F. Supp. at 1384 (university is an "arm" because
    _________

    it is fully tax exempt, while private schools enjoy a partial

    exemption only).

    As a natural corollary to its power to control URI

    property, the Board possesses,14 and freely exercises, its

    corporate power to enter into contracts in its own name. See
    ___

    State of Maryland Cent. Collection Unit v. Board of Regents, 529
    ________________________________________ ________________

    A.2d 144, 145 (R.I. 1987); cf. Hughes-Bechtol, 737 F.2d at 544
    ___ ______________

    (lack of power to contract without invoking State as named party

    indicates entity is "arm"); Tradigrain, Inc. v. Mississippi State
    ________________ _________________

    Port Auth., 701 F.2d 1131, 1133 (5th Cir. 1983) (noting that
    ___________

    authority's power to enter into contract was limited; any con-

    tract in excess of $2500 must be advertised and awarded to lowest

    bidder); University of Tennessee, 670 F. Supp. at 1384 (entity is
    _______________________

    "arm" where legislature exerts control over its personal services

    contracts). But cf. Kashani, 813 F.2d at 847 (power to enter into
    ___ ___ _______

    contracts not conclusive of independent status); Hall, 742 F.2d
    __________ ____


    ____________________

    14The Board's power to contract is not specifically
    enumerated in the statute, but is implicit in the grant of "all
    the [other] powers . . . usually pertaining to public corpora-
    tions . . . ." R.I. Gen. Laws 16-59-1. Contrary to URI's
    contention, we see no reason to infer that this general grant of
    corporate power is contradicted by other statutory provisions
    which specifically authorize the Board to guarantee particular
    loans in the state's name, see, e.g., R.I. Gen. Laws 16-32-11
    ___ ____
    (Board empowered to guarantee student loans), 16-32-12, 14 (Board
    empowered to guarantee, "in the name of the state," loans to
    "societies of students" up to a total of $1.2 million; at de-
    fault, loans "shall become state obligations in like manner as
    any state bond"); Jacintoport Corp., 762 F.2d at 439, 441 (State-
    _________________
    's mere guarantee of agency's bonds is too "ancillary" an effect
    to subvert agency's independence from State); see also infra note
    ___ ____ _____
    17.

    22














    at 305 (same); Krieger, 765 F. Supp. at 760, 762 (same). The
    _______

    Board's capacity to contract for the maintenance and repair of a

    federally funded GSO research vessel likewise suggests opera-

    tional autonomy. See Moor, 411 U.S. at 719 (county "may contract
    ___ ____

    for the construction and repairs of structures") (emphasis
    _______________________

    added); cf. State Highway Comm'n of Wyoming v. Utah Constr. Co.,
    ___ _______________________________ ________________

    278 U.S. 194, 199 (1929) (finding that entity is "arm" where

    "contract for the construction of the work was between the

    [defendant] and the State").

    Thus, the Board's operational autonomy, approximating

    that of the political subdivision in Moor, sets it apart from
    ____

    most entities with similar educational missions and tips the

    balance in favor of the district court's finding that the Board

    is a "citizen" of Rhode Island for diversity purposes.


    2. The Board's Fiscal Autonomy15
    2. The Board's Fiscal Autonomy15
    ___________________________

    a. Statutory Scheme
    a. Statutory Scheme
    ________________

    Like most other public universities, URI's operations

    are financed in part by State appropriations, approved annually

    by the general assembly ("appropriated" funds), R.I. Gen. Laws

    16-59-9 (such appropriations as the general assembly "deems

    necessary"), and in part by non-State sources, such as tuition


    ____________________

    15Although the multi-factor test is nonweighted, courts
    generally agree on the primacy of the financial autonomy factor
    in the overall balance. See Ainsworth, 818 F.2d at 1038 (finan-
    ___ _________
    cial accountability who pays or gets paid is the most
    ____
    important factor in test); see also Fitchik, 873 F.2d at 664;
    ___ ____ _______
    Kashani, 813 F.2d at 846 (same); Hall, 742 F.2d at 304; Rutledge,
    _______ ____ ________
    660 F.2d at 1349.

    23














    charges, fees, and donations ("nonappropriated" funds). As with

    all state universities, the legislature has the final say as to

    the size of the annual appropriation. The Board, on the other

    hand, prepares the five-year funding plan and budget for submis-

    sion to the general assembly, and the Board alone "determines

    priorities of expenditures." Id. 16-59-4(4). Cf. United
    ___ ___ ______

    Carolina Bank, 665 F.2d at 558 (legislature's "comprehensive"
    ______________

    control of appropriated funds suggests entity's financial depen-

    dence); Prebble, 535 F.2d at 610 ("No expenditure may be made in
    _______

    excess of an appropriation and no money appropriated may be used

    for any purpose other than for which it is appropriated.").

    Furthermore, the Board has plenary authority to reallocate

    appropriated funds among its various programs, facilities, and

    agencies. R.I. Gen. Laws 16-59-9(c). Cf. Krieger, 765 F. Supp.
    ___ _______

    at 760 (lack of power to reallocate appropriated funds suggests

    entity is "arm"). And, as noted, the Board has substantial

    income from sources other than State appropriations, see Kroll,
    ___ _____

    934 F.2d at 908 n.3 (availability of substantial revenue from

    other sources may be very relevant to autonomy inquiry), includ-

    ing tuition charges, housing, dining and administrative fees,

    donations, bequests and devises, the income and proceeds from URI

    property, and federal grants.

    URI's tuition and fees are set by the Board. URI's

    housing, dining, and auxiliary facilities are totally self-

    supporting, with no State appropriations slated for these purpos-

    es after 1987. R.I. Gen. Laws 16-59-9(d). Thus, much of its


    24














    nonappropriated funding is roughly analogous to revenues raised

    by means of a political subdivision's power to impose taxes upon

    its constituents to defray the costs of the public services it

    provides, a power delegated by the State to enable the political

    subdivision to finance its "corporate" public service mission.

    See Moor, 411 U.S. at 719-20 (county "authorized to levy taxes"
    ___ ____

    and to "issue general obligation bonds payable from county

    taxes"); Metcalf & Eddy, ___ F.2d at ___ [No. 91-1602, 1993 U.S.
    _______________

    App. LEXIS 10064, at 19 (1st Cir. May 3, 1993)] (in immunity

    context, "[t]he power and opportunity to generate a revenue

    stream [through user fees] and thereby finance an agency's

    operations is an important attribute of the agency's separate

    identity"); Fitchik, 873 F.2d at 663 (power to set and collect
    _______

    fares and fees tilts balance toward autonomy); see also supra
    ___ ____ _____

    note 9; cf. Kashani, 813 F.2d at 846 (lack of power to impose
    ___ _______

    taxes is equivalent to ultimate financial dependence on the

    State); Hall, 742 F.2d at 304 (same); United Carolina Bank, 665
    ____ _____________________

    F.2d at 558 (same); University of Tennessee, 670 F. Supp. at 1384
    _______________________

    (legislature's control of tuition fees suggests "arm").

    There is no provision in Rhode Island law permitting

    State intervention in URI's income stream from inception to

    expenditure. The Board's nonappropriated funds are neither

    "covered into," nor merged with, the general fund, but are kept

    in segregated accounts pending discretionary disbursement by the

    Board "without the necessity of appropriation or reappropriation

    by the general assembly." R.I. Gen. Laws 16-59-18. Compare
    _______


    25














    Kovats, 822 F.2d at 1308-09 (financial accounts not "within"
    ______

    control of State treasury indicate autonomy), with Lewis, 837
    ____ _____

    F.2d at 197 (finding evidence of lack of autonomy in the fact

    that funds must go back into State treasury, their expenditure

    extremely restricted); Hall, 742 F.2d at 304 (entity is an "arm"
    ____

    of the State if it has power to issue bonds, but disbursements of

    bond proceeds are restricted, and if State merely "permits"

    formal segregation as matter of convenience); United Carolina
    ________________

    Bank, 665 F.2d at 558 (nonappropriated funds deposited into State
    ____

    treasury, then reappropriated for disbursement); Jagnandan, 538
    _________

    F.2d at 1176 (nonappropriated funds go directly into commingled

    treasury account); Krieger, 765 F. Supp. at 760 (where entity
    _______

    does not "control" expenditure of funds, segregation not proba-

    tive of autonomy); University of Tennessee, 670 F. Supp. at 1383-
    _______________________

    84 (all university funds commingled in one account, subject to

    state comptroller's regulations and "regular" audits). Unexpend-

    ed balances in the Board's segregated nonappropriated funds

    account are carried forward from year to year, awaiting discre-

    tionary disbursement by the Board for "nonrecurring" items, a

    practice which effectively allows the Board to exceed its annual

    appropriation and its annual budget if necessary. R.I. Gen. Laws

    16-59-9(b). Cf. Jagnandan, 538 F.2d at 1175 (lack of authority
    ___ _________

    to "exceed" budgeted expenditures, even from nonappropriated

    funds, without approval of executive or legislature, indicates

    dependency); Prebble, 535 F.2d at 610 (same).
    _______




    26














    Finally, the State of Rhode Island engages in but

    limited monitoring of Board revenues and expenditures, see
    ___

    Harden, 760 F.2d at 1163-64 (the more financial oversight, the
    ______

    more likely the university's debts are state's debts), though a

    few statutory provisions serve to keep the State generally

    apprised of the Board's financial decisions, enabling the type of
    ____

    financial monitoring usually considered indicative of a lack of

    meaningful fiscal autonomy. See, e.g., Lewis, 837 F.2d at 199
    ___ ____ _____

    (regular auditing of both appropriated and nonappropriated funds

    suggests "arm"); Kashani, 813 F.2d at 845-46 (entity is "arm" as
    _______

    it submits budget, and "Indiana examines [its] finances care-

    fully"); Harden, 760 F.2d at 1163 (submission of annual financial
    ______

    reports suggests "arm"); United Carolina Bank, 665 F.2d at 558
    ____________________

    ("extensive" reporting requirements suggest lack of autonomy);

    Rutledge, 660 F.2d at 1349-50 ("detailed" report to governor);
    ________

    Krieger, 765 F. Supp. at 756 (annual report to "general public"
    _______

    suggests "alter ego"); University of Tennessee, 670 F. Supp. at
    _______________________

    1379 (submission of annual report to governor or legislature,

    with "detailed statement" of receipts and expenditures, indicates

    "arm"). On the other hand, the level of State fiscal monitoring
    _____

    of the Board is comparatively unintrusive. For example, though

    URI's treasurer must submit financial reports to the state

    controller for "preaudit," the purely "ministerial" audit moni-

    tors Board expenditures only for possible illegality and avail-

    ability of funds, not with a view to the prudence of the Board's

    financial decisions. R.I. Gen. Laws 16-59-20. See Kovats, 822
    ___ ______


    27














    F.2d at 1311 (mere "reporting" of spending decisions not indica-

    tive of lack of autonomy). URI makes a rather wan attempt to

    undermine Vanlaarhoven by citing a subsequently enacted "limita-
    ____________

    tion" on the Board's purchasing power. See R.I. Gen. Laws 37-
    ___

    2-1 and 37-2-7(11) (Board's purchases can be made only through

    State Purchasing agent's office). As the district court found,

    however, nothing in this statutory requirement portends quality

    review or rejection of purchase orders by the purchasing agent.

    R.I. Gen. Laws 16-59-20 ("controller [shall not] interpose his

    or her judgment"). See supra note 7. Far from a meaningful
    ___ _____

    limitation on the Board's power to disburse its funds, this

    measure appears to have been designed solely to enable the Board

    to avail itself of the financial savings associated with pooled

    purchasing power.

    With Moor as our benchmark, therefore, we conclude that
    ____

    the Rhode Island statutory scheme demonstrates that the Board,

    unlike more "typical" state educational entities, possesses the

    essential attributes of operational and financial autonomy needed

    to qualify as a Rhode Island "citizen" for diversity purposes.


    b. "Functional Integration"
    b. "Functional Integration"
    ______________________

    In a resourceful effort to avoid Vanlaarhoven, URI
    ____________

    urges its "functional integration" theory, whose genesis appar-

    ently lay in our earlier "recommendation" to the district court

    following dismissal of URI's interlocutory appeal. See supra p.
    ___ _____

    4. URI argues, for example, that the Board's ostensible indepen-

    dence in financial matters would prove illusory if, in fact, (1)

    28














    the Board's annual budget were funded by State-appropriated

    monies to such an extent that its nonappropriated revenues were

    rendered functionally insignificant, or (2) the Rhode Island

    general assembly were to employ its statutory pre-audit proce-

    dures to attune the Board's annual State appropriation so as to

    force the Board to expend its anticipated and accumulated nonap-

    propriated revenues in lieu of a more ample annual State appro-

    priation. See, e.g., Krieger, 765 F. Supp. at 761 (evidence of
    ___ ____ _______

    actual control by State would trump evidence of formal autonomy).

    We emphasize that URI does not assert the existence of
    ___ _________

    budgetary data which would demonstrate that the Board enjoys less

    financial autonomy than the enabling statute indicates. More-

    over, notwithstanding its efforts to persuade the district court

    to conduct a separate evidentiary hearing on diversity jurisdic-

    tion, URI has taken no initiative to substantiate its "functional

    integration" theory, either by way of an evidentiary proffer

    below, or even by way of the barest allusion to supportive data

    in its brief or oral argument before this court. Instead, URI

    insists that Chesterton, as the party requesting removal, see
    ___

    supra Section II.A, was required to bear the entire burden of
    _____ ______

    proof and production on every conceivable fact even including

    "negative" facts which might prove relevant to the Board's
    _____ _____

    citizenship status. Thus, even after trial on the merits, URI

    speculates that there may be evidence which would preclude a

    reliable determination as to federal diversity jurisdiction. For

    the reasons hereinafter explained, we think URI inadvisably


    29














    banked on a cramped view of the proper allocation of the burdens

    of proof and production relating to the jurisdictional issue,

    misapprehended the proper role of "functional integration" data,

    and exaggerated the import of our earlier "recommendation" to the

    district court for further factfinding on remand.

    For some reason, our earlier invitation to engage in

    additional factfinding on remand went unheeded. URI intimates

    that it did all it could by requesting a separate evidentiary
    ________

    hearing, and that the district court simply discounted our

    recommendation as to the possible relevance of "functional

    integration" evidence. In our view, however, URI mischarac-

    terizes the remand order. While we suggested the desirability of

    supplementary factfinding, the precise factfinding procedure to
    ___________ _________

    be employed always rests within the sound discretion of the trial

    court. See Foman v. Davis, 371 U.S. 178, 182 (1962); O'Toole v.
    ___ _____ _____ _______

    Arlington Trust Co., 681 F.2d 94, 98 (1st Cir. 1982) (finding no
    ___________________

    abuse of discretion, as "the court was under no obligation to

    require an evidentiary hearing . . . [but] has the right to

    determine the procedures it will employ to decide a jurisdiction-

    al issue") (citation omitted). At no time did we require a

    separate evidentiary hearing on the jurisdictional issue.
    ________

    Indeed, given our alternative ground for dismissing URI's inter-

    locutory appeal namely, that it appeared unlikely that a trial

    on the merits would be prolonged the district court's decision

    to defer its jurisdictional determination until trial was entire-

    ly consistent with the remand order.


    30














    Nor did the district court prevent URI from introducing
    _______

    any such statistical evidence at trial. Following an unrecorded

    pretrial conference with counsel, the district court did deny

    URI's motion for a separate evidentiary hearing. In that connec-

    tion, URI has provided no indication of the legal contentions

    advanced by either party at the pretrial conference, nor of the

    grounds for the district court's decision to bypass a pretrial

    evidentiary hearing. Chesterton, on the other hand, asserts that

    the conference involved an extended discussion about the appro-

    priateness of a separate pretrial hearing, but that the court

    opted to permit the presentation of evidence on the jurisdiction-

    al issue at trial.
    __ _____

    Viewed in proper procedural context, therefore, the

    present claim hinges entirely on URI's unremitting allocation of

    the burdens of persuasion and production to Chesterton, and not

    on any lack of opportunity to raise or substantiate its "func-

    tional integration" claim. Significantly, our remand order took

    no position as to which party would be obliged to come forward
    _____

    with evidence of functional integration, nor did it suggest that

    proof of lack of functional integration was required in every

    case.

    Of course, Chesterton, the party invoking diversity

    jurisdiction, bears the ultimate burden of proving diversity of
    ________

    citizenship. See Topp v. Compair, Inc., 814 F.2d 830, 839 (1st
    ___ ____ _____________

    Cir. 1987). Nevertheless, there is more to be said concerning

    the burden of production:


    31














    [T]he party who invoked diversity juris-
    diction has the burden of proving all facts
    upon which jurisdiction could be sustained.
    If [the invoking party] does construct a
    prima facie showing of diversity, [the chal-
    lenging party] must overcome or rebut this
    showing in order to dismiss the [removal
    petition]. Support for [the challenger's]
    position may be derived from affidavits,
    depositions, and sworn statements filed by
    the parties from which the Court can examine
    and evaluate all relevant factors and sur-
    rounding circumstances but the exact method
    of determining the jurisdictional issue lies
    within the sound discretion of the district
    court.

    United States Fidelity & Guar. Co. v. Di Massa, 561 F. Supp. 348,
    __________________________________ ________

    350 (E.D. Pa. 1983) (citation omitted). Although neither

    Chesterton nor URI submitted affidavits, depositions, or sworn

    statements, the district court properly conducted inquiry into

    the controlling jurisdictional facts, pursuant to Moor, by
    ____

    examining the Rhode Island enabling statute. Under Moor, such an
    ____

    inquiry is designed primarily to provide the court with a compe-

    tent basis for determining the legal framework within which the

    relationship between a State and a State-created entity are

    required to function. In the present case, the Rhode Island

    enabling statute constituted a sufficient proffer on the issue of

    the Board's financial autonomy. See, e.g., Tradigrain, 701 F.2d
    ___ ____ __________

    at 1132 ("the state's constitutional, statutory, and decisional

    law" comprise source material for the court's citizenship analy-

    sis); see also Indiana Port Comm'n v. Bethlehem Steel Corp., 702
    ___ ____ ___________________ _____________________

    F.2d 107, 109 (7th Cir. 1983); cf. supra note 8.
    ___ _____

    As noted, see supra Section II.A.2.a, the enabling
    ___ _____

    statute's broad grant of control to the Board over non-

    32














    appropriated revenues weighs heavily in Chesterton's favor and

    satisfied its prima facie burden on the issue of financial

    autonomy. Furthermore, financial autonomy is but one component

    of the fact-intensive citizenship inquiry mandated by Moor, and
    ____

    Chesterton prevailed on most other relevant jurisdictional facts

    as well. See supra Section II.A.1. It was incumbent on URI,
    ___ _____

    therefore, to mount an effective challenge to the prima facie

    showing of financial autonomy. See Ohio Nat'l. Life Ins. Co. v.
    ___ _________________________

    United States, 922 F.2d 320, 327 n.7 (6th Cir. 1990) ("That the
    _____________

    burden of proof is always on the [party asserting jurisdiction]

    does not mean that a [challenger], without any proof on his part,

    can put the [party asserting jurisdiction] to proof by affidavit

    of jurisdictional facts sufficiently alleged in the complaint.

    The [challenger] must at least submit some proof that the juris-
    ____ _____

    dictional facts so alleged do not exist.") (citation omitted)

    (emphasis added). Absent evidence or a compelling argument that

    the fiscal autonomy permitted the Board under Rhode Island law,

    as determined by the district court, does not actually obtain,

    URI failed to overcome Chesterton's prima facie showing.16

    ____________________

    16Moreover, in view of the presumptive deference due
    Vanlaarhoven in the present context, see supra note 7, URI's
    ____________ ___ _____
    "functional integration" theory was not being written on a blank
    slate. See, e.g., Rollins v. Board of Governors for Higher
    ___ ____ _______ _______________________________
    Educ., 761 F. Supp. 930, 931 (D.R.I. 1990) (citing Vanlaarhoven
    _____ ____________
    as precedent); cf. Cowan v. University of Louisville Sch. of
    ___ _____ __________________________________
    Medicine, 900 F.2d 936, 940 (6th Cir. 1990) (proper to rely on
    ________
    federal court precedent finding school not autonomous); Dube v.
    ____
    State Univ. of New York, 900 F.2d 587, 594 (2d Cir. 1990) (SUNY)
    ________________________
    (same), cert. denied, 111 S. Ct. 2814 (1991); Thompson v. City of
    _____ ______ ________ _______
    Los Angeles, 885 F.2d 1439, 1443 (9th Cir. 1989) (University of
    ___________
    California) (same); Schuler v. University of Minnesota, 788 F.2d
    _______ _______________________
    510, 516 (8th Cir. 1986) (same), cert. denied, 479 U.S. 1056
    _____ ______

    33














    Furthermore, challenges to subject matter jurisdiction

    typically arise early in the litigation, and even though Eleventh

    Amendment immunity and diversity jurisdiction may require fact-

    intensive inquiries, see Kroll, 934 F.2d at 908 n.2, we see no
    ___ _____

    justification for requiring the removing party to resort to

    formal discovery before the opposing party with readier access
    ______

    to the evidence raises a specific dispute relating to a duly

    alleged jurisdictional fact. Such a requirement would invite

    needless waste of judicial resources on a threshold issue which

    must be resolved as expeditiously as practicable. See Tanzymore
    ___ _________

    v. Bethlehem Steel Corp., 457 F.2d 1320, 1323 (3d Cir. 1972) (no
    _____________________

    need for evidentiary hearing on jurisdictional question if no

    facts are in genuine dispute).

    Without statistical evidence, URI's rebuttal was

    exceedingly thin. Nevertheless, because it is clear that the

    Board is "dependent" on the State for some unknown portion of its

    revenues, we will assume, arguendo, that certain provisions of
    ________

    the enabling statute cited by URI did give rise to a genuine

    dispute over an important jurisdictional fact whether the

    Board actually enjoys financial autonomy from the State. See,
    ___

    e.g., R.I. Gen. Laws 16-59-5 (Board must hold annual meeting to
    ____

    discuss budget and "invite" members of general assembly); id.
    ___

    16-59-9(c) (all proposals for tuition increases must be made

    before State appropriates funds for fiscal year).
    ______



    ____________________

    (1987); Goss, 588 F.2d at 98-99 (same).
    ____

    34














    As far as we can discern from the case law, in only

    three situations has the financial autonomy authorized by an

    enabling statute been considered illusory. First, "functional

    integration" may obtain if the State nonetheless bears the

    ultimate legal responsibility to answer for debts on which the
    ________

    state university defaults. Thus, the very financial independence

    accorded the Board under the Rhode Island enabling statute

    ultimately might expose the State treasury to liability for the

    Board's financial obligations. In Kovats, 822 F.2d at 1309, the
    ______

    Third Circuit flatly rejected such a functional integration claim

    where the legislature's decision to answer for the university's

    debts appeared to be purely discretionary and not legally bind-

    ing. Cf. also Fitchik, 873 F.2d at 661 (the State's disclaimer
    ___ ____ _______

    of any obligation to "cover" is the primary consideration, not

    the relative size (50-70%) of the state appropriation); but cf.
    ___ ___

    Hall, 742 F.2d at 304-05 (no statute prohibits university from
    ____

    incurring debt in state's name, and fact that state will have to
    __ _______ ____

    "cover" debt by law is indicative of "alter ego" status); Krie-
    _____

    ger, 765 F. Supp at 761 (where District of Columbia expressly
    ___

    committed itself to funding, agency not wholly "self-supporting"

    is "mere arm").

    Even if a state's ultimate legal obligation to "cover"

    a university's financial obligations were the controlling consi-

    deration in the diversity context, however, but see Moor, 411
    ___ ___ ____

    U.S. at 719 (noting that the county, "and from all that appears
    ____ ___ ____ _______

    the county alone, is liable for the judgments against it")


    35














    (emphasis added), the Rhode Island statutory scheme evinces no

    conclusive answer as to whether the State is so obligated. We

    have neither been cited to, cf. supra note 8, nor have we found,
    ___ _____

    statutory language governing whether the State of Rhode Island

    ultimately is responsible for the Board's corporate financial

    obligations. Cf. Metcalf & Eddy, ___ F.2d at ___ [No. 91-1602,
    ___ ______________

    1993 U.S. App. LEXIS 10064, at 13-14 (1st Cir. May 3, 1993)]

    (statute explicitly divested Puerto Rico Aqueduct and Sewer

    Authority of power "to pledge the credit or taxing power of the

    Commonwealth," thereby "erect[ing] a wall between the agency's

    appetite and the public fisc.").17

    Second, the amount of the Board's nonappropriated

    funding, either in absolute or relative terms, might be consid-

    ered so insubstantial as to leave the Board financially dependent

    on the State. But even assuming, arguendo, that an entity
    ________

    receiving any State funding or subsidy is thereby inevitably

    rendered susceptible to State pressure, two principles remain

    constant. First, an incorporated entity dependent entirely on
    ________

    State appropriations rarely (if ever) would escape characteriza-

    tion as the State's "alter ego," since the hand that holds all
    ___

    the purse strings presumably controls the dependent entity. See,
    ___

    ____________________

    17The only provision remotely on point empowers the general
    assembly to appropriate such funds to the Board as the general
    assembly "deems necessary," R.I. Gen. Laws 16-59-9 (emphasis
    _____ _________
    added), as distinguished from such amount as "is necessary."
    Furthermore, as we have noted, the general assembly purposively
    delineated narrow categories of Board "debts" (e.g., student loan
    ____
    guarantees) which would become "state obligations," a seemingly
    superfluous undertaking if the State implicitly underwrites all
    Board financial obligations. See supra note 14.
    ___ _____

    36














    e.g., State Highway Comm'n, 278 U.S. at 199 (finding no diversity
    ____ ____________________

    where Highway Commission, despite its power to sue and be sued,

    "had no funds or ability to respond in damages"); Neves, 837 F.2d
    _____

    at 534 (where monies "will inure exclusively to the benefit of

    the public fisc," the diversity inquiry is at an end); Culebras
    ________

    Enters. Corp. v. Rios, 813 F.2d 506, 517 (1st Cir. 1987) (Puerto
    _____________ ____

    Rico conservation authority is "alter ego" notwithstanding its

    power to sue and be sued, where agency directors attested, and

    plaintiffs did not dispute, that "the agency would not have the

    funds to satisfy a judgment and that such would have to be

    satisfied from the general budget of [Puerto Rico]"); see also
    ___ ____

    Kashani, 813 F.2d at 846 (lack of other funding "ensures ultimate
    _______

    fiscal reliance on state"); Gay Students Servs., 737 F.2d at 1333
    ___________________

    n.28 (same); Hughes-Bechtol, 737 F.2d at 543 ("board has no funds
    ______________

    or ability to respond in damages"); Ronwin, 657 F.2d at 1073
    ______

    (given State's comprehensive provisions for risk management, "no

    evidence that the Board, acting in its corporate capacity, could

    satisfy a libel judgment in any way other than by turning to the

    state of Arizona"). URI must concede that the Board does not

    fall within this bright-line category.

    On the other hand, mere receipt of state appropriations

    is not conclusive evidence of the recipient entity's "alter ego"
    ___

    status. Many (if not most) political subdivisions routinely

    receive significant state appropriations, but are characterized
    ___________

    as autonomous entities for immunity and diversity purposes. See,
    ___

    e.g., Mount Healthy, 429 U.S. at 280-81 (city board of education,
    ____ _____________


    37














    which received "significant amount" of state funding, not enti-

    tled to immunity where State granted board the power to raise its

    own revenue); Gary A. v. New Trier High Sch. Dist., 796 F.2d 940,
    _______ _________________________

    945 (7th Cir. 1986) (noting that the "fact that a local school

    district receives 'a significant amount of money from the state'
    ___________ ______ __ _____

    does not mean that it is an arm of the state") (emphasis added)

    (citation omitted). In the Eleventh Amendment immunity context,

    we recently rejected just such a contention:

    We think [that the Puerto Rico Aqueduct and
    Sewer Authority's] situation is not unlike
    that of a typical political subdivision. Such
    an entity often receives part of its budget
    from the state and raises the rest indepen-
    dently. Despite this dual funding, such enti-
    ties do not automatically (or even usually)
    come within the zone of protection demarcated
    by the Eleventh Amendment . . . despite the
    "significant amount of money" [they] received
    from the state.

    Metcalf & Eddy, ___ F.2d at ___ [No. 91-1602, 1993 U.S. App.
    _______________

    LEXIS 10064, at 15 (1st Cir. May 3, 1993)] (citations omitted).

    Nevertheless, under Moor, the courts are expected to
    ____

    consider available statistical evidence in arriving at a more
    _________

    precise assessment of the relative "significance" of the appro-

    priated and nonappropriated funding which goes into the universi-

    ty budget. See Kovats, 822 F.2d at 1308 (entity is "citizen"
    ___ ______

    even though state appropriation is "large," or approximately 50

    to 70% of budget). But see Kashani, 813 F.2d at 845 (33% appro-
    ___ ___ _______

    priation suggests "arm"); Hall, 742 F.2d at 304 (average 64%
    ____

    state appropriation suggests "arm"); Jagnandan, 538 F.2d at 1175
    _________

    (maximum 72% state appropriation suggests "alter ego"). In the


    38














    present case, however, neither the amount nor the percentage of

    the Board's nonappropriated revenues can be ascertained from the

    record. Thus, argues URI, the district court was compelled to

    find that Chesterton did not sustain its burden of proof on the

    Board's financial autonomy.

    In characterizing such statistical data as indispens-

    able jurisdictional "facts," however, URI misconstrues our case

    law,18 as well as Supreme Court precedent. We have never inti-

    mated that such statistical information is itself a jurisdiction-

    al fact, the absence of which would invariably defeat diversity

    jurisdiction. The core jurisdictional fact, after all, is

    financial autonomy. Under the seminal Supreme Court decisions


    ____________________

    18On occasion, we have adverted to this kind of statistical
    evidence in the appellate record, as confirmation that a party
    __ ___ _________ ______
    could not establish diversity. See Perez v. Rodriguez Bou, 575
    ___ _____ ______________
    F.2d 21, 25 (1st Cir. 1978) (in dicta, noting that the "extent
    and nature" of the Commonwealth's support for the University of
    Puerto Rico suggested lack of autonomy, but without describing
    precise statistics, or stating whether University had other forms
    of substantial nonappropriated income). On other occasions, we
    have remanded for further factfinding where it appeared that the
    autonomy equation was so evenly balanced that the proponent on
    the jurisdictional issue could not meet its ultimate burden of
    proof without resort to such statistical information, see, e.g.,
    _______ ______ __ ____ ___________ ___________ ___ ____
    Ainsworth, 818 F.2d at 1038-39 (noting various factors supporting
    _________
    and undermining autonomy, and remanding to district court for
    hearing on whether entity receives "significant funding" from the
    Commonwealth), and that the parties had not been afforded a full
    and fair opportunity to present evidence in the trial court. Id.
    ___
    at 1038 n.23 (as an alternative reason for remand, noting fact
    that proponent had not raised the "alter ego" issue until its
    appellate reply brief, denying opponent "the opportunity to argue
    . . . or to rebut" the proponent's contentions). Thus, in our
    earlier denial of the interlocutory appeal in this case, we acted
    on the side of caution and judicial economy in recommending that
    the district court allow the parties an opportunity to present
    ___________
    this kind of evidence, on the chance that it might be needed to
    tip the "alter ego" balance in the final analysis.

    39














    dealing with both immunity and diversity, there is a noticeable

    lack of reliance on such statistical data, a fact which confutes
    ____

    its indispensability. See, e.g., Mount Healthy, 429 U.S. at 280-
    ___ ____ _____________

    81 (noting only "significant amount of money" received from
    ___________

    State) (emphasis added); Moor, 411 U.S. at 719-20 (discussing
    ____

    county's ability to raise its own funds, not whether county

    received any funds from State); see also Metcalf & Eddy, ___ F.2d
    ___ ____

    at ___ [No. 91-1602, 1993 U.S. App. LEXIS 10064, at 15 (1st Cir.

    May 3, 1993)]. Unsurprisingly, as the divergent conclusions

    reached on essentially similar "statistical" evidence suggest,

    see supra pp. 37-38, a closely calibrated" statistical" approach
    ___ _____

    in these cases entails its own impediments to reliable decision-

    making; namely, at what levels should the absolute or relative

    size of an entity's appropriated funding be considered so sub-

    stantial, or its nonappropriated funding so insubstantial, that

    "functional integration" is to be presumed, or a previous judi-

    cial determination of the entity's citizenship set aside? We

    believe a wide margin of variance would need to be demonstrated

    before it could be found to have effected a sea change in the

    entity's jurisdictional status. After all, while not immutable,

    the citizenship of a public corporation, like its domicile,

    should be accorded a reasonable measure of permanence; at the

    very least, ordinary fluctuations in the university's budget

    ought not occasion continual judicial reevaluation. Thus, trial

    court rulings on subject matter jurisdiction normally ought not

    await budgetary data and oscillations absent an evidentiary


    40














    proffer of sufficient import to alter a determination based on an

    analysis of state statutory and decisional law. In our view,

    this approach best comports with the analysis contemplated in

    Moor.
    ____

    In considering whether Chesterton carried its burden of

    persuasion on the issue of financial autonomy, we think it is

    inescapable that the Board's nonappropriated revenues represent a

    substantial budget component; tuition, housing, dining and admin-

    istrative fees, donations, bequests, federal grants, and the

    proceeds from discretionary sales and leases of URI property are

    not insubstantial revenue sources. Thus, on its face, the

    enabling statute demonstrates Board access to, and control over,

    substantial amounts of nonappropriated revenues. Following a

    trial on the merits, and absent any indication that URI did not

    have a fair opportunity to identify and produce statistical

    evidence which might rebut Chesterton's demonstration that the

    enabling statute confers the requisite financial autonomy to

    qualify the Board for citizenship under Moor, we conclude that
    ____

    URI's appellate challenge comes too late.

    Finally, in a similar vein, URI suggests that it might
    _____

    be that the State routinely attunes its annual appropriation to

    the Board in response to the total amount of nonappropriated

    funds available to the Board, including the nonappropriated funds

    accumulated from prior fiscal years and those anticipated in the

    current fiscal year. Under this "linkage" theory, the State

    could compel the Board to expend all accumulated and anticipated
    ______


    41














    nonappropriated funds merely by limiting its annual appropria-

    tions to the difference between the Board's fiscal year revenue

    requirements and the total available nonappropriated funds.

    URI's contention that the State might link its appro-

    priations to the availability of nonappropriated Board funds is

    pure conjecture. Arrayed against URI's conjecture are the

    explicit provisions of the enabling statute, as amended in 1988,

    which expressly state that all nonappropriated funds, including

    accumulated nonappropriated funds, are to be deposited in a

    segregated account under the exclusive control of the Board. See
    ___

    Kovats, 822 F.2d at 1308-09 (mere possibility of offset by state
    ______

    appropriations not especially probative of "alter ego" status).

    Appropriated funds, on the other hand, are to be set apart in a

    separate account, and all unexpended balances in the appropriated
    ____________

    funds account are to be redeposited to the general fund. Unex-
    _______ ____

    pended nonappropriated funds, however, are carried over from year
    _______________

    to year in the Board's nonappropriated funds account. This

    separate treatment of appropriated and nonappropriated funds,

    deliberately mandated by the general assembly, would have been

    both superfluous and contraindicated had routine "linkage" been

    intended. Cf. Allende v. Shultz, 845 F.2d 1111, 1117 (1st Cir.
    ___ _______ ______

    1988) (in general, courts should avoid interpretations which

    would render a statutory provision meaningless). In the absence

    of any countervailing showing, the Board's financial autonomy, as

    ordained by the general assembly in the enabling statute, was




    42














    sufficient to sustain Chesterton's burden of proof on the central

    jurisdictional fact at issue under 28 U.S.C. 1332.

    Accordingly, having weighed the myriad factors contem-

    plated by Moor, we conclude that the district court correctly
    ____

    determined that Chesterton met its ultimate burden of estab-

    lishing that the Board enjoys "a sufficiently independent corpo-

    rate character to dictate that it be treated as a citizen of

    [Rhode Island]." Moor, 411 U.S. at 721.
    ____


    B. Evidence of Damages
    B. Evidence of Damages
    ___________________

    In a ruling that proved fatal to URI's claims for

    damages for breach of warranties, the district court excluded the

    testimony of URI's longtime controller, Ronald Osborne, a certi-

    fied public accountant in charge of all URI financial information

    and accounting practices. URI called Osborne as an expert

    witness to establish the amount of money it spent to correct the

    corrosion problem allegedly left unremedied by Chesterton's 1-2-3

    System. URI proffered no other evidence on damages. Osborne

    testified on direct examination that he previously had performed

    cost assessments on various URI projects, and that his usual

    procedure was to consult URI financial records and conduct

    interviews with URI personnel involved in the particular project.

    He consulted GSO records to ascertain the overtime hours worked

    in 1985, and conducted several interviews with URI employees and

    various "private vendors" to ascertain which overtime hours were

    attributable to the correction of Endeavor's corrosion problem.

    To these figures he added the cost of fringe benefits (22%) for

    43














    overtime employees, and "indirect costs," at an unspecified

    percentage rate, which included expenses for "accounting, pur-

    chasing, maintenance, [and] utilities." Before Osborne could

    state an opinion concerning the total monetary damages sustained

    by URI, Chesterton objected on the grounds that (1) Osborne was

    not a qualified expert on damages calculation, (2) the factual

    bases for his calculation included inadmissible hearsay, and (3)

    the damages calculation included inappropriate factors, such as

    "indirect costs."

    URI relied on Federal Rules of Evidence 703 and 705 as

    grounds for the admission of Osborne's expert opinion. Rule 703

    provides that "[t]he facts or data . . . upon which an expert

    bases an opinion or inference . . . [,] [i]f of a type reasonably

    relied upon by experts in the particular field in forming opin-

    ions or inferences upon the subject, . . . need not be admissible

    in evidence." Fed. R. Evid. 703. Rule 705 provides that "[t]he

    expert may testify in terms of opinion or inference and give

    reasons therefor without prior disclosure of the underlying facts

    or data, unless the court requires otherwise. The expert may in
    ______ ___ _____ ________ _________

    any event be required to disclose the underlying facts or data on

    cross-examination." Fed. R. Evid. 705 (emphasis added). The

    court sustained Chesterton's objection on the ground that URI had

    not demonstrated that the facts relied on by Osborne were of a

    type reasonably relied on by experts in damages assessment.19

    ____________________

    19The court also expressed a firm preference for requiring
    preliminary disclosure of the factual "background" for an ex-
    pert's opinion on direct examination. The court considered this

    44














    URI's central arguments on appeal are: (1) Rules 703

    and 705 afford the right to present unsubstantiated expert testi-
    _____

    mony on direct examination without first disclosing its factual

    underpinnings, and (2) the district court abused its discretion

    by adhering to its self-imposed rule of exclusion, a per se rule
    ___ __

    which, according to URI, runs counter to the "burden shifting"

    implicit in Rule 705 and disregards the obligation to predicate

    its exclusionary ruling on the particular circumstances.

    We have no doubt that Rules 703 and 705 permitted the
    _________

    district court to admit Osborne's opinion testimony, see
    ___

    International Adhesive Coating Co. v. Bolton Emerson Int'l, 851
    ___________________________________ _____________________

    F.2d 540, 545 (1st Cir. 1988) (business and financial records are

    "obvious" sources relied on by accountants in ascertaining

    damages), subject of course to Chesterton's right to probe the

    premises of the opinion on cross-examination. But that is not

    the question presented. Rather, the issue on appeal is whether

    the district court abused its considerable discretion by exclud-

    ing the evidence. We think not.

    Rules 703 and 705 normally relieve the proponent of

    expert testimony from engaging in the awkward art of hypothetical

    questioning, which involves the somewhat meticulous, and often

    tedious, process of laying a full factual foundation prior to
    _____


    ____________________

    procedure preferable to the alternatives, which were (1) to allow
    the evidence in on direct, then exclude it later if it were found
    wholly unreliable, or (2) to permit Chesterton to shoulder the
    burden of testing the reliability of Osborne's methods on cross-
    examination, leaving the ultimate weight of the evidence to the
    jury.

    45














    asking the expert to state an opinion. In the interests of

    efficiency, the Federal Rules of Evidence deliberately shift the

    burden to the cross-examiner to ferret out whatever empirical

    deficiencies may lurk in the expert opinion. Nevertheless, Rules

    703 and 705 do not afford automatic entitlements to proponents of

    expert testimony. Rule 703 requires the trial court to give

    "careful consideration" to any inadmissible facts upon which the

    expert will rely, in order to determine whether reliance is

    "reasonable." Id. at 545. Similarly, under the broad exception
    ___

    to Rule 705 ("unless the court otherwise requires"), the trial

    court is given considerable latitude over the order in which

    evidence will be presented to the jury. See Fed. R. Evid. 705
    ___

    advisory committee's note ("[S]afeguards [to minimize 'unfair'

    burden on cross-examiner] are reinforced by the discretionary

    power of the judge to require preliminary disclosure in any
    __ ___

    event.") (emphasis added). While the trial court's discretion is
    _____

    not unfettered, at a minimum the rules suggest that the proponent

    must be prepared, if the court so requires, to make a limited

    offer of proof to aid the court in its assessment. Cf. Ambrosini
    ___ _________

    v. Labarraque, 966 F.2d 1464, 1469 (D.C. Cir. 1992) ("A court
    __________

    must know the basis for an expert's opinion before it can deter-

    mine that the basis is not of a type reasonably relied on by

    experts in the field."); Head v. Lithonia Corp., 881 F.2d 941,
    ____ ______________

    944 (10th Cir. 1989) (despite the liberality of Rule 703, court

    must not abdicate its responsibility to assure "minimum stan-

    dards" for admissibility as required by Rule 104(a)).


    46














    Even though URI's threshold burden was minimal, and may

    have been readily met, it made no attempt whatever to assuage the

    district court's legitimate concerns, but chose instead to rely

    on its perceived "right" to have Osborne's opinion admitted under

    Rule 703. Apparently, URI came to trial with no supporting

    documentation whatever to substantiate Osborne's assessment of

    damages. Based on what can be gleaned from Osborne's preliminary

    testimony, URI's apparent unpreparedness and recalcitrance may

    have given the district court real concerns as to Osborne's

    methodology. Unlike the expert witness in International Adhe-
    ___________________

    sive, Osborne's "damages" assessment was not based solely on the
    ____

    conventional examination and compilation of documents from which

    an expert objectively might ascertain the overtime labor costs

    incurred in repairing Endeavor's ballast tanks, as distinguished

    from various other projects at URI and the GSO. Rather, Osborne

    relied on "interviews" with undisclosed URI employees and "out-

    side vendors," conducted either by himself or other URI officials

    who reported to him. The trial court quite reasonably expected

    URI to explain, out of the presence of the jury, the basic

    assumptions undergirding its witness's seemingly unorthodox

    method of reconstruction.

    Rather than provide an explanation, however, URI simply

    accepted a directed verdict on the issue of damages. Moreover,

    when pressed by the district court, URI indicated no inclination

    to pursue a claim for nominal damages. Although we are given

    some pause by the district court's blanket statement that it


    47














    "always requires" the proponent to disclose on direct examination

    the factual basis for an expert opinion, cf., e.g., Lis v. Robert
    ___ ____ ___ ______

    Packer Hosp., 579 F.2d 819, 822, 822-23 (3d Cir.) (expressing
    ____________

    disapproval of trial court's statement that it invariably exer-

    cises its discretion to invoke the Rule 611(b) exception), cert.
    _____

    denied, 439 U.S. 955 (1978), there was no abuse of the court's
    ______

    broad discretion in this case, as a sound basis existed for

    requiring disclosure.



    III
    III

    CONCLUSION
    CONCLUSION
    __________


    We need proceed no further with this endeavor.20

    ____________________

    20URI raises two other arguments on appeal. First, it
    contends that the district court abused its discretion by denying
    its motion to file a second amended complaint in November 1991
    eighteen months after the filing of its original complaint, and
    following jury impanelment since URI asserted valid reasons
    for its lack of diligence. See Quaker State Oil Refining Corp.
    ___ ________________________________
    v. Garrity Oil Co., 884 F.2d 1510, 1517 (1st Cir. 1989) (due
    ________________
    diligence required for amendments). As far as we can discern,
    the amendment's only significant factual supplementation to the
    original complaint would allege that Chesterton's representatives
    "came aboard the Research vessel Endeavor while the Chesterton 1-
    2-3 System was actually being applied and said nothing as to its
    not being equal to the task of painting the ballast tanks." The
    amended complaint generally shifted the focus of URI's allega-
    tions from Chesterton's defective manufacture of a product to
    Chesterton's negligence in recommending an ill-suited product, or
    its failure to give adequate or continuing instructions on its
    use. Chesterton suffered no prejudice, however, as most of these
    new factual matters were in fact "tried by express or implied
    __ ____
    consent of the parties," Fed. R. Civ. P. 15(b). In any event, as
    the substance of the proposed amendments was wholly unrelated to
    the issue of damages, amendment would have been futile. See
    ___
    Arzuaga-Collazo v. Oriental Fed. Sav. Bank, 913 F.2d 5, 7 (1st
    _______________ ________________________
    Cir. 1990) (amendment futile if there is no "meaningful indica-
    tion" that amendment would make a "dispositive difference")
    (citing The Dartmouth Review v. Dartmouth College, 889 F.2d 13,
    ____________________ _________________

    48














    Absent competent evidence of damages, the district court properly

    granted judgment as a matter of law in favor of Chesterton on

    URI's breach of warranty claims.

    The judgment of the district court is affirmed.
    The judgment of the district court is affirmed.
    ______________________________________________



    - Concurring Opinion Follows -






























    ____________________

    22-23 (1st Cir. 1989)).
    Similarly, URI contends that the district court improperly
    directed a verdict for Chesterton on Count III of the complaint,
    which alleged Chesterton's breach of a warranty of fitness for a
    particular purpose. URI merely argues that it presented suffi-
    cient evidence to establish that Chesterton had reason to know
    that URI intended to use the product on salt water ballast tanks,
    and that URI specifically relied on Chesterton's assurances of
    suitability. Once again, however, absent proof of damages, URI's
    argument is to no avail.

    49
















    HORNBY, District Judge, concurring. It takes the court
    HORNBY, District Judge, concurring.
    __________________________

    38 typed pages (8-1/2 x 11") of closely reasoned text to decide

    whether the University of Rhode Island is a citizen -- a determi-

    nation that has nothing to do with the substance of the real

    world dispute between these parties, but simply resolves where to

    try their lawsuit. Is this approach really essential for deter-

    mining whether a federal court has jurisdiction? Granted that

    our system limits the jurisdiction of federal courts, a rational

    observer might nevertheless expect simple gatekeeping rules for

    what gets in and what is kept out. A litigant should be able to

    ascertain, with relatively modest effort and legal fees, where to

    bring its lawsuit. But if the court's analysis of a "myriad

    factors" -- which are "by no means exhaustive" -- is to be the

    governing standard, future litigants in cases involving similar

    state agencies had better be prepared to pay a lot of legal fees

    for their lawyers to (1) read and digest the prose; (2) gather

    the relevant information and apply the legal analysis to their

    client or opponent; (3) litigate the issues at pretrial, trial

    and on appeal. Those litigants had also better be prepared for

    delays in decisionmaking as lawyers and judges ponder the issue:

    the "myriad factors" will seldom yield a certain outcome until a

    court actually decides the issue.

    To be sure, this court is not alone in adopting this

    approach. Other courts have also applied a multitude of factors

    (with no particular weight assigned), in determining the status


    50














    of a particular state agency. See, e.g., Hughes-Bechtol, Inc. v.
    ___ ____ _______________________

    West Virginia Bd. of Regents, 737 F.2d 540, 543-44 (6th Cir.),
    _____________________________

    cert. denied, 469 U.S. 1018 (1984) (looking at several factors);
    _____________

    Krieger v. Trane Co., 765 F. Supp. 756, 758 (D.D.C. 1991) (exam-
    _____________________

    ining seven factors); University Sys. of New Hampshire v. United
    ___________________________________________

    States Gypsum Co., 756 F. Supp. 640, 645 (D.N.H. 1991) (citing
    __________________

    eight factors); University of Tennessee v. United States Fidelity
    _________________________________________________

    & Guar. Co., 670 F. Supp. 1379, 1386-87 (E.D. Tenn. 1987) (con-
    ___________

    sidering, arguendo, a nine-factor approach). The result is great
    ________

    unpredictability. As the commentaries recognize, "[t]here is no

    unanimity among the decisions as to whether state agencies or

    departments are citizens within the meaning of 28 U.S.C.S.

    1332, with some decisions holding that they are while others

    hold that they are not." 1 Federal Proc. L. Ed. 1:200. The

    ensuing extensive litigation over jurisdiction has undoubtedly

    caused substantial delay and consumed thousands of dollars in

    attorney fees where the real goal should have been speedy and

    inexpensive resolution of the merits of the underlying dispute.

    The question is whether United States Supreme Court

    precedents really require such a complex analysis. I think not.

    I will concede that this court's approach is one plausible

    reading of the precedents, but there is another plausible reading

    that keeps the subject matter jurisdiction issue in proper

    perspective as only a preliminary issue in the underlying econom-

    ic dispute between the parties.




    51














    As the court recognizes, a couple of propositions are

    beyond debate, given United States Supreme Court decisions.

    First, a State cannot be a citizen of itself: "There is no

    question that a State is not a ``citizen' for purposes of the

    diversity jurisdiction." Moor v. County of Alameda, 411 U.S.
    ___________________________

    693, 717 (1973). Second, incorporated branches of state govern-

    ment (for example, cities and counties) are citizens of the state
    ___

    of their incorporation. See Cowles v. Mercer County, 74 U.S. (7
    ___ ________________________

    Wall.) 118, 122 (1869). This resulting principle of independent

    citizenship for a public corporation had become so "well settled"

    by 1972 that the Supreme Court no longer stopped to question it.

    See Moor, 411 U.S. at 718, quoting Illinois v. City of Milwaukee,
    ___ ____ _______ _____________________________

    406 U.S. 91, 97 (1972).

    Here, the Rhode Island Board of Higher Education1 is

    separately incorporated with the power to sue and be sued. The

    diversity statute provides: "[A] corporation shall be deemed a

    citizen of any state by which it has been incorporated . . . ."

    28 U.S.C. 1332(c). What more need be said to conclude that the

    Rhode Island Board is a citizen for diversity purposes? The

    court apparently believes that its lengthy and complex analysis

    is required by Moor. But in Moor the Supreme Court spent only
    ____ ____

    one paragraph summarizing California statutes to conclude that

    the county was a corporation with important powers independent of

    the state and a second paragraph summarizing a California Supreme


    ____________________

    1I agree with the court that there is no legal entity under
    Rhode Island law known as the University of Rhode Island.

    52














    Court decision finding California counties to be corporations.

    Based on those two summary paragraphs, the Supreme Court conclud-

    ed that "the county has a sufficiently independent corporate

    character to dictate that it be treated as a citizen of Califor-

    nia under our decision in Cowles v. Mercer County, supra." 411
    _______________________ _____

    U.S. at 721.

    A parallel short treatment of Rhode Island law can dispose

    of the jurisdictional issue in this case. The Board that governs

    the University of Rhode Island is a "public corporation, empow-

    ered to sue and be sued in its own name, to have a corporate

    seal, and to exercise all the powers, in addition to those

    hereinafter specifically enumerated, usually appertaining to

    public corporations entrusted with control of post-secondary

    educational institutions and functions." R.I. General Laws 16-
    _________________

    59-1-(a) (1992). Under Rhode Island law, a "public corporation"

    is "a corporate entity which is considered a governmental agency

    but which has a distinct legal existence from the state or any

    municipality, [and] does not constitute a department of state or

    municipal government . . . ." Id. 22-10-2(f). The Board has the
    __

    corporate power to acquire, hold, and dispose of real and person-

    al property (albeit in trust for the state). Id. 16-59-1(b).
    __

    The Board is entitled to levy tuition and other fees in order to

    obtain funds to carry out its activities. Id. 16-59-9. Its
    __

    receipts from sources other than state appropriations do not go

    into the state's general fund and are subject to use at the

    Board's order. Id. 16-59-18. It appoints the presidents of
    __


    53














    postsecondary institutions and has a great deal of authority in

    determining what postsecondary education will be available to

    Rhode Island citizens. Id. 16-59-4, 8. This summary paints a
    __

    picture of a "sufficiently independent corporate character" to

    match that of the California county at issue in Moor. No more
    ____

    should be necessary.2 I therefore concur in the court's evalua-

    tion that jurisdiction exists, but not in the prolonged reasoning

    by which it reaches that conclusion.

    I add one postscript: The careful reader will observe

    that neither I nor the court have articulated any jurisdictional

    policy arguments in determining the citizenship of the Board.

    The policy interests behind the court's myriad factor approach

    are borrowed -- I believe ill-advisedly -- from Eleventh Amend-

    ment cases where the primary goal is to protect the state trea-

    sury. Perhaps the court's complex analysis and case-by-case

    approach are justified there. The policy goals in diversity

    jurisdiction analysis are somewhat different, involving avail-

    ability of an unbiased forum. The Supreme Court has not ad-

    ____________________

    2Since the Board is a public corporation, it seems unneces-
    sary to pursue the "arm or alter ego" alternative set forth in
    _____ ___
    State Highway Comm'n of Wyoming v. Utah Constr. Co., 278 U.S.
    ______________________________________________________
    194, 199 (1929). There, a lawsuit was brought against the
    Wyoming State Highway Commission (an unincorporated state agency)
    and its individual members, premised on diversity of citizenship.
    The Supreme Court found no diversity jurisdiction. Primarily,
    the Court determined that the suit was not really against the
    Highway Commission but against the State of Wyoming itself,
    because it was the State that was actually a party to the con-
    tract in dispute and neither the Commission nor any of its
    members had assumed any responsibility. The sentence most often
    quoted (and referred to in Moor) states: "The Commission was but
    ____
    the arm or alter ego of the State with no funds or ability to
    _____ ___
    respond in damages." 278 U.S. at 199.

    54














    dressed them in its analysis of what is a citizen and neither do

    I. In any event, such interests can best be served by clear

    rules for the generality of cases; every single piece of litiga-

    tion need not require a return to first principles. Probably,

    the major policy interest at stake lies in how the conclusion is
    ___

    reached. Simplicity from the courts of appeals (and the Supreme

    Court) on these gatekeeping and procedural issues will permit

    lawyers and judges -- and most importantly, the parties -- to

    deal with the merits of disputes in a simple and less costly

    manner. Needlessly complex jurisdictional rules like those the

    court advances here can only perplex the litigants as they pay

    mounting attorney fees and suffer through procedural delays.

    Congress has ordered district courts to pay heed to such concerns

    in the Civil Justice Reform Act of 1990, 28 U.S.C. 471-482.

    Appellate courts can make that task easier by resisting unneces-

    sary subtleties and focusing instead on rules that ensure pre-

    dictability and certainty, as well as fairness.

    In all other respects, I join the court's opinion.


















    55