Olivette Coffey, Jr. v. Dwight Braddy , 834 F.3d 1184 ( 2016 )


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  •               Case: 15-11112    Date Filed: 08/23/2016    Page: 1 of 21
    [PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    ________________________
    No. 15-11112
    ________________________
    D.C. Docket No. 3:71-cv-00044-TJC-PDB
    OLIVETTE COFFEY, JR.,
    HARRY J. JOHNSON,
    NANCY J. BRACKETT,
    JACKSONVILLE BROTHERHOOD OF FIREFIGHTERS,
    Plaintiffs-Appellants,
    versus
    DWIGHT BRADDY,
    in his capacity as a member of the civil service board of the city of Jacksonville,
    Florida,
    J.C. DEKLE,
    in his capacity as a member of the civil service board of the city of Jacksonville,
    Florida,
    WILLIAM HALLOWES,
    in his capacity as a member of the civil service board of the city of Jacksonville,
    Florida,
    WARREN E. THOMAS,
    in his capacity as a member of the civil service board of the city of Jacksonville,
    Florida,
    BOYD JOLLY,
    in his capacity as a member of the civil service board of the city of Jacksonville,
    Florida, et al.,
    Defendants-Appellees.
    Case: 15-11112        Date Filed: 08/23/2016      Page: 2 of 21
    ________________________
    Appeal from the United States District Court
    for the Middle District of Florida
    ________________________
    (August 23, 2016)
    Before TJOFLAT, MARCUS, and ROGERS, * Circuit Judges.
    ROGERS, Circuit Judge:
    Thirty-four years ago, in 1982, the district court entered a consent decree
    requiring the City of Jacksonville to hire in its fire department “an equal number of
    blacks and whites until the ratio of black fire fighters to white fire fighters reflects
    the ratio of black citizens to white citizens in the City of Jacksonville.” The City
    complied for ten years, until it unilaterally and without the district court’s approval
    stopped following the decree in 1992. In the years following, employees moved
    away or died, documents were lost or destroyed, and public debate over the once-
    again falling numbers of African-American firefighters sparked the City in 1999 to
    institute new hiring protocols—but the plaintiffs did not try to enforce the decree.
    It was not until 2007, some fifteen years after the City had stopped complying with
    the decree, that the plaintiffs brought a motion to show cause as to why the City
    should not be held in contempt of the 1982 consent decree. The district court
    *
    Honorable John M. Rogers, United States Circuit Judge for the Sixth Circuit, sitting by
    designation.
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    denied the plaintiffs’ motion on grounds of laches, and dissolved the decree.
    Because the plaintiffs’ fifteen-year delay prejudiced the City’s ability to defend
    itself and because a new lawsuit had taken up the cause of fighting racial
    discrimination in the City’s firefighting department, neither the district court’s
    application of laches nor its dissolution of the 1982 consent decree was an abuse of
    discretion.
    This lawsuit dates back to 1971, when a class action lawsuit filed on behalf
    of all past, present, and future black employees and employment applicants of the
    Fire Department of the City of Jacksonville claimed that the department’s hiring
    practices violated the class members’ civil rights. In August of that year, United
    States District Judge Charles Scott, now deceased, issued a consent decree
    requiring the City to follow certain hiring practices, including that the City “take
    whatever action is necessary to hire fifty (50%) percent black and fifty (50%)
    percent white individuals to fill funded positions of Fire Private from the
    appropriate eligible list until the ratio in the Fire Department of black firemen to
    white firemen equals the ratio of black citizens to white citizens in the City of
    Jacksonville.” Appointments from such eligibility lists were to be governed by the
    “rule of three” as provided by the civil service rules at the time. 1 In 1982, with the
    1
    The eligibility list ranked the candidates according to their final scores on entrance exams and
    other factors. See Nash v. Consol. City of Jacksonville, 
    895 F. Supp. 1536
    , 1539 (M.D. Fla.
    1995). Under “the rule of three,” the person hired must be ranked within the top three candidates
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    consent of the parties, Judge Scott modified the decree by removing the eligibility-
    list procedure and imposing an “absolute requirement” that the fire department
    “hire an equal number of blacks and whites until the ratio of black fire fighters to
    white fire fighters reflects the ratio of black citizens to white citizens in the City of
    Jacksonville.” The City abided by the one-to-one hiring requirement until 1992,
    when it stopped complying (by its own admission) with the decree without first
    petitioning the district court for release.
    After the parties finished litigating attorneys’ fees and costs in 1984, there
    was no further activity in the case until the plaintiffs filed the instant motion to
    show cause in 2007. In their motion, the plaintiffs claim that the City has been in
    contempt of the decree’s one-to-one hiring requirement from the time that the City
    admittedly ended compliance with the decree in 1992. The City responded by
    claiming that the decree’s terms permitted the City to stop hiring one-to-one once
    the ratio of African-Americans to whites in the fire department matched the ratio of
    African-Americans to whites in the City’s population (which it claimed occurred in
    1992) and by arguing that, in any event, the equitable defense of laches bars the
    plaintiffs’ motion. The City also moved to dissolve the decree.
    on the eligibility list. 
    Id.
     Thus, the rule of three allowed for some discretion in hiring, as long as
    the person hired was ranked in the top three. 
    Id.
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    From 2007 to 2013, the parties engaged in global settlement discussions of
    this and other related suits, but to no avail. 2 In 2013, once settlement negotiations
    had proven unfruitful, the district court conducted a two-day evidentiary hearing.
    As the district court noted, although it is undisputed that the City stopped hiring
    one-to-one in 1992, the evidence gathered at the hearing was incomplete as to how
    or why the City decided to stop complying with the decree.
    The evidentiary hearing revealed that in September 1991, W. Newby Kelts
    from the City’s Department of Personnel sent a memorandum to the City’s general
    counsel stating that the most recently hired firefighters had brought the City into
    compliance with the decree and asking what, if anything, must be done. In
    response, an October 1991 memorandum from Steven Rohan, a deputy general
    counsel of the City, advised that because the ratio of black-to-white firefighters had
    reached the ratio of black-to-white citizens in the general population, “no further
    taxpayers’ dollars need be expended” to seek court approval of the City’s decision
    to stop hiring one-to-one. The memo reasoned that the decree was “self-
    executing,” meaning that the one-to-one hiring requirement ceased to operate by its
    own terms once the fire-department ratio reached the general-population ratio.
    However, it is not clear when or if the fire department relied on the Kelts-Rohan
    memorandum exchange, because a year later Eugene Callahan, a personnel official
    2
    Any delay from 2007 to the present therefore cannot be attributed to the plaintiffs.
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    in the fire department, wrote a letter to the general counsel’s office again asking
    whether the intent of the decree had yet been satisfied.
    It is thus unclear who made the final decision to end compliance with the
    decree without seeking court approval and when exactly that decision was made.
    Rohan, who insisted that he was not the ultimate decision-maker, suggested that
    the decision was likely made by someone at the highest level, such as the general
    counsel or mayor. Callahan recalled attending a meeting with the mayor during
    which an advisor to the mayor stated that the City need not return to court to obtain
    permission to stop following the decree. Callahan also testified that he did not
    recall any official announcement or press release detailing the City’s decision to
    stop hiring one-to-one. However, despite the ambiguities over who made the
    decision to abandon the decree, it is clear that the City adopted new hiring policies
    in 1992 that departed from the requirements of the consent decree.
    Additionally, it cannot be determined from the available evidence whether
    “the ratio of black fire fighters to white fire fighters” did indeed “reflect[] the ratio
    of black citizens to white citizens in the City of Jacksonville” in 1992, as the City
    claims. As an initial issue, it is unclear what percentage of African-American
    firefighters would have satisfied the decree’s requirement. The parties’ agreement
    stated that the black-to-white ratio should equal the population of “the
    Consolidated City of Jacksonville,” while the court’s decree stated that the ratio
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    should reflect the population of the “City of Jacksonville.” The City and Duval
    County merged in 1968 to create the “Consolidated City of Jacksonville,” and,
    confusingly, “[t]he name of the consolidated government is City of Jacksonville.”
    Laws of Fl. Ch. 92-341, § 1.101(a) (1992) (readopting Ch. 67-1320). It is thus
    unclear whether the court, in deviating from the parties’ agreement by using the
    specific term “City of Jacksonville,” meant to refer to only the city or to the entire
    consolidated city. The distinction is important, as the “consolidated city” and the
    “city” comprise different geographic areas with different ratios of African-
    American and white residents. Census data from 1990 shows that 25.99% of the
    city was African-American and 74.02% was white, whereas 25.08% of all of Duval
    County (the consolidated city) was African-American and 74.92% was white.
    Rohan’s October 1991 memo relied on a figure that 25.1% of the fire department’s
    employees were African-American, and Callahan’s 1992 letter relied on a figure
    that 25.3% of the fire department personnel were African-American. Both figures
    would have passed muster if the consolidated city were the benchmark, but both
    would have fallen short if the city were the operative geographic area.
    Furthermore, it is not possible to verify whether the figures used by Rohan
    and Callahan accurately reflected the racial makeup of the fire department, as the
    fire department’s employment records are incomplete and available witnesses
    could not recall exact employment figures. A witness testified that relevant
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    employment documents were likely innocently destroyed in accordance with
    Florida’s document retention schedule. Additionally, Callahan testified that he
    was not sure whether the 25.3% figure he relied on in 1992 reflected the
    percentage of only African-American firefighters or the percentage of all African-
    American personnel (including non-firefighter staff) in the department. Without
    the fire department’s original employment records, it is impossible to determine
    with certainty the ratio of black-to-white firefighters in 1992.
    What is certain is that the drop in the hiring of black firefighters following
    the City’s abandonment of the one-to-one hiring was dramatic. For instance, out of
    the 136 firefighters that the City hired from 1992 to 1997, only one was African-
    American. When existing black firefighters noticed the disparity and asked about
    the consent decree, they were told that the City had stopped hiring one-to-one
    because the terms of the decree had been met. None of them inquired any further.
    The Jacksonville Brotherhood of Firefighters, an organization of minority
    firefighters, did take some action in light of the City’s abandonment of the one-to-
    one hiring. 3 In 1993, the President of the Brotherhood sent a letter to the City,
    asking why the City was no longer hiring one-to-one and requesting a copy of the
    court petition seeking release from the decree. The City responded that “the City
    3
    While the Brotherhood is not a plaintiff in this suit, all of the African-American firefighters
    who testified at the evidentiary hearing belong to the Brotherhood.
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    did not need to get a court order,” because the decree was extinguished when its
    goals were achieved. The City explained that no court action was required on its
    part to end compliance “in the same way that in a divorce case, a parent paying
    child support need not seek court relief when the child turns 18 and support is no
    longer due.” Among other documents, the City attached Rohan’s October 1991
    memorandum to its response letter. There is no evidence as to what, if anything,
    the Brotherhood did with this information.
    Four years later, in 1997, the Florida Times-Union reported on the drop in
    the number of black firefighters being hired—which it attributed to the end of one-
    to-one hiring in 1992—and warned of a new City Council proposal that was feared
    to make the racial disparity even worse. Due to the media attention, the plaintiffs’
    former lawyer William Sheppard wrote the mayor to suggest that the mayor
    familiarize himself with the Coffey litigation. However, Sheppard, a well-known
    and highly regarded civil-rights attorney, made no mention of the possibility that
    court action could still be used to enforce the 1982 consent decree. After much
    public debate, the City, with the support of black firefighters, passed a new
    ordinance in 1999 that sought to remove obstacles to minority hiring.
    Despite the changes made in 1999, the number of African-Americans hired
    by the fire department continued to be low. In 2007, the Brotherhood retained new
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    counsel. The counsel brought in new class representatives and filed the instant
    motion to show cause.
    The district court denied the plaintiffs’ motion on the ground of laches and
    also granted the City’s motion to dissolve the consent decree. The district court
    explained that if the plaintiffs had sued in 1992 or the years immediately
    following, “the City would have had a lot of explaining to do.” But, due to
    incomplete memories, the fact that several key City personnel had passed away or
    moved away, the spottiness of the paper trail, ambiguities in the documents that
    were in the record, and the fact that the City has been operating under a different
    hiring procedure since 1999, the district court concluded that the “plaintiffs[’]
    waiting until fifteen years later is simply too prejudicial to the City.” The district
    court held that the plaintiffs’ claim is barred by laches because “this record is not
    one upon which the Court today could make the required findings to determine
    whether to hold the City in contempt.”
    The district court also granted the City’s motion to dissolve the consent
    decree. The district court refused to reinstate the decree as written because its
    racial quotas are not constitutional under the modern standard for affirmative
    action and because adapting the 1982 decree to the new hiring practices that began
    in 1999 could be problematic. Additionally, the district court refused to modify the
    decree because “there is a modern successor which has taken up the mantle of the
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    Coffey suit.” Having eliminated the alternatives to dissolution, the district court
    then reasoned that the decree “cannot be enforced because of laches” and dissolved
    the decree. The plaintiffs timely appealed, arguing that the district court’s
    application of laches was an abuse of discretion.
    The district court did not abuse its discretion in holding that laches barred
    the plaintiffs’ motion, because the plaintiffs’ fifteen-year delay in bringing their
    motion to show cause was not excusable and unduly prejudiced the City’s ability to
    defend itself. To assert a successful defense of laches, a defendant must show “a
    delay in asserting a right or claim, that the delay was not excusable[,] and that there
    was undue prejudice to the party against whom the claim is asserted.” Black
    Warrior Riverkeeper, Inc. v. U.S. Army Corps of Eng’rs, 
    781 F.3d 1271
    , 1283
    (11th Cir. 2015) (quoting Ecology Ctr. of La., Inc. v. Coleman, 
    515 F.2d 860
    , 867
    (5th Cir. 1975)). Because the fifteen-year gap between when the City ended
    compliance with the decree and when the plaintiffs filed their motion undeniably
    constitutes a “delay,” the arguments on appeal focus on whether the plaintiffs’
    delay was excusable and whether the delay prejudiced the City.
    First, the district court did not abuse its discretion in finding that the
    plaintiffs’ fifteen-year delay was not excusable. The plaintiffs unquestionably
    knew about the City’s position regarding the consent decree by at least 1999 (and
    likely well before that) and yet did nothing to attempt to enforce the decree. At
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    oral argument, the plaintiffs argued that their delay should be excused because the
    City gave them “the runaround” when they asked about the decree in the early and
    mid-1990s. In a similar fashion, they argue that the City has “unclean hands” that
    prevent the City from asserting the equitable defense of laches because, they claim,
    the City “abandon[ed] the consent decree and l[ied] about it afterward to any
    formal or informal inquiry,” and concealed the “‘dissolution’ and ‘meeting’ the
    requirements of the decree” in a way that prevented the plaintiffs from bringing
    their motion earlier. It is true that a defendant may not be able to base a defense on
    laches if the defendant contributed substantially to the delay in the filing of the suit
    or if the delay results from the defendant’s concealing or misrepresenting facts. S.
    Grouts & Mortars, Inc. v. 3M Co., No. 07-61388-CIV, 
    2008 WL 4346798
    , at *7
    (S.D. Fla. Sept. 17, 2008) (citing Potash Co. of Am. v. Int’l Minerals & Chem.
    Corp., 
    213 F.2d 153
    , 155 (10th Cir. 1954)); E.T. Mfg. Co. v. Xomed, Inc., 
    679 F. Supp. 1082
    , 1085 (M.D. Fla. 1987) (citing Bott v. Four Star Corp., 
    807 F.2d 1567
    ,
    1576 (Fed. Cir. 1986); TWM Mfg. Co. v. Dura Corp., 
    592 F.2d 346
    , 349 (6th Cir.
    1979)). Here, however, neither a “runaround” nor “unclean hands” excused the
    plaintiffs’ delay; the City did not conceal its decision to end compliance with the
    consent decree or otherwise contribute to the plaintiffs’ delay.
    Contrary to the plaintiffs’ assertions, the evidence does not show that the
    City concealed its decision to abandon the consent decree or lied about it
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    afterward. In fact, it shows just the opposite—the City was quite transparent about
    its rationale for ending the one-to-one hiring. When the Brotherhood asked the
    City in 1993 why it was no longer hiring one-to-one and requested copies of the
    court petition seeking release from the decree, the City responded in no uncertain
    terms that it believed that the goals of the consent decree had been achieved and
    that “the City did not need to get a court order” to end compliance with the decree.
    Likewise, black firefighters testified that the City told them that the one-to-one
    hiring had been stopped because the decree had been met. The City did not lie or
    conceal any information—it was true that the City had stopped complying with the
    decree because it believed that it had fulfilled its duties under the decree. These
    individuals could have inquired further about the propriety of the City’s ending its
    compliance with the consent decree—especially given the fact that they noticed
    that African-Americans were unrepresented in new hires—but did not. Armed
    with the information that the City had stopped complying with the decree without
    first seeking the court’s permission, the plaintiffs could have immediately gone to
    court. If the plaintiffs perceived the City’s responses as giving them “the
    runaround,” this provided all the more reason for them to take their grievances to
    the district court immediately.
    As the district court noted, it may be unfair to impute knowledge of the
    City’s noncompliance with the decree to the plaintiffs who are African-Americans
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    who wanted to be firefighters. However, in light of the publicity surrounding the
    adoption of new hiring protocols in 1999, the district court found that “in addition
    to the original plaintiffs who were subsequently hired and had notice of the change
    as early as 1993, African-Americans in the community and those who wanted to be
    hired as firefighters knew at least by 1999 (and probably well before) that the City
    was no longer following the one to one hiring protocol.” The plaintiffs have not
    cited anything in the record that contradicts the district court’s finding that the
    media attention from 1997 to 1999 fairly gave notice to African-Americans in the
    community that the City was no longer hiring one-to-one, and the district court’s
    factual finding on this matter therefore is not clearly erroneous. Thus, because it
    was common knowledge that the City was not abiding by the consent decree for at
    least eight years prior to the plaintiffs’ filing of their motion, there is no excuse for
    the plaintiffs’ delaying so long in bringing their motion.
    Second, the district court did not abuse its discretion in finding that the
    plaintiffs’ inexcusable delay unduly prejudiced the City’s ability to defend itself,
    because unclear memories and incomplete documents made it impossible to
    determine whether the City was, in fact, in contempt when it ended compliance in
    1992. The district court laid out three problematic ambiguities in the documentary
    evidence that prevented the court from determining whether the City was in
    contempt of the decree: (1) the parties’ stipulation required the ratios of the fire
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    department and the general population to be “equal” whereas the district court’s
    order stated that the department’s ratio must merely “reflect” the ratio in the
    general population, which may or may not have been intended to be a less
    demanding standard than “equal”; (2) the parties’ stipulation referred to the hiring
    of fire department “employees,” while the district court’s order referred to the
    hiring of “firefighters,” making it unclear whether the City was permitted to
    include non-firefighter staff in the calculations; and (3) the above-mentioned
    discrepancy over whether the “city” or the “consolidated city” was the operative
    benchmark. Compounding these ambiguities is the fact that employment records
    and testimony could not determine with any certainty how many black firefighters
    or other staff were employed by the City in 1992.
    Due to these undeniable ambiguities in the record, the district court was well
    within its discretion in holding that the City was unduly prejudiced by the delay
    because the passage of time has made it impossible to make the required findings
    to determine whether or not the City was in contempt of the decree. The plaintiffs
    respond that the City was not prejudiced by the 15-year delay, because, they
    contend, “the key personnel who were involved at the time in 1992 that the decree
    was abandoned are still there today and testified.” However, the plaintiffs do not
    point to testimony or documents in the record that clearly resolve the ambiguities
    noted by the district court. For example, the plaintiffs contend that the district
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    court created an ambiguity out of nothing by distinguishing between the “city” and
    the “consolidated city.” But the plaintiffs do not point to anything in the record
    that establishes that the meaning of the decree was clear; instead, they merely
    make the argument that the specific use of “City of Jacksonville” meant that the
    city, and not the consolidated city, was the operative benchmark. While the
    plaintiffs present a cogent argument, it is also very possible that due to the legal
    reality of the city’s recent consolidation, the district court assumed that any
    reference to the “City of Jacksonville” would naturally mean the entire
    “consolidated city.” There is simply no record evidence that clears up this
    ambiguity. Rather than helping their case, the plaintiffs’ argument regarding the
    “city vs. consolidated city” illustrates the difficulty of trying to determine today the
    intents of the court and of the drafters of the parties’ agreement. Therefore,
    because the plaintiffs fail to identify testimony or documents that fill in the gaps
    identified by the district court, their argument that the City is not prejudiced by
    their delay lacks merit.
    In a similar vein, the plaintiffs argue that the City is at fault for failing to
    maintain records that would show that the terms of the decree had been met.
    However, as a witness testified, the documents were likely innocently destroyed in
    accordance with Florida’s document retention schedule. The plaintiffs have
    produced no evidence that the City destroyed the records in bad faith or in an
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    attempt to avoid liability in a suit about the consent decree. Ultimately, the fact
    that records were lost or destroyed in the interim fifteen years is more a product of
    the plaintiffs’ delay than of the City’s malfeasance.
    The plaintiffs also argue that the district court abused its discretion because,
    they claim, the district court had already determined both that the City’s ending
    compliance without petitioning the court was unlawful and that the City was in
    contempt of the decree before it then held that the plaintiffs’ claim was barred by
    laches. The district court did no such thing. While the district court expressed
    strong doubt as to the correctness of the City’s description of the consent decree as
    “self-executing,” the district court ultimately found that “the scant record as to how
    [the decision to end compliance] was made or the basis for it renders a further
    determination of the issue impossible.” Moreover, even if the district court did
    hold that the City was wrong to end compliance without first petitioning the court,
    the district court did not find that the City was in contempt of the decree. Rather,
    as explained above, the district court emphasized that ambiguities in the record
    make it impossible to determine today whether or not a timely motion by the City
    to dissolve the decree would have been successful.
    Another argument the plaintiffs make is that the district court wrongly
    placed the burden of proof for laches on them, rather than on the defendants.
    When a claim is filed within the analogous statutory period, the burden is on the
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    defendant to show that it was prejudiced by the plaintiff’s inexcusable delay; when
    the claim is filed outside of the statutory period, the plaintiff must show either
    absence of prejudice or an excuse for delay. Mecom v. Levingston Shipbuilding,
    
    622 F.2d 1209
    , 1215 (5th Cir. 1980). Here, even if we assume that the plaintiffs
    are correct that the statute of limitations to enforce a court’s consent decree is
    twenty years—thus placing the burden of showing laches on the defendants—the
    plaintiffs’ argument fails. The plaintiffs have not cited or quoted any specific
    section of the district court’s order where the district court wrongly assigned them
    the burden of proof, as no such section exists. Indeed, the record reflects that the
    district court placed the burden squarely on the defendants. The district court
    began its explanation of laches by stating: “A defendant is required to show three
    elements to prove the equitable defense of laches . . . .” This phrase clearly
    indicates that the district court placed the burden of proof on the defendants and
    that the plaintiffs’ argument to the contrary is without merit.
    In making their burden-of-proof argument, the plaintiffs posit: “Can a class
    of plaintiffs who sought to be hired but were turned away be blamed for not
    knowing the City had broken its legally binding promises?” The plaintiffs seem to
    be arguing that the district court assigned them the burden of proof by wrongly
    finding that the plaintiffs were aware of the City’s changed hiring practices, even
    though they claim that they had no personal knowledge of the change. However,
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    as explained above, it was not clearly erroneous for the district court to find that
    the media coverage surrounding the 1999 change in hiring practices fairly provided
    notice to all African-American members of the community who wanted to be hired
    as firefighters of the City’s abandonment of the one-to-one hiring. The plaintiffs
    do not respond to this point and do not explain why they filed their motion an
    additional eight years after it became public that the City had ended the one-to-one
    hiring.
    Finally, the district court’s dissolving the consent decree (as opposed to
    leaving the decree in place or modifying the decree) was not an abuse of discretion.
    A district court may modify or terminate a consent decree, subject to abuse-of-
    discretion review, if changed circumstances have “caused compliance with the
    decree to become substantially more onerous,” have “rendered the decree
    impracticable,” or have caused its continued enforcement to be “inimical to the
    public interest.” Johnson v. Florida, 
    348 F.3d 1334
    , 1344 (11th Cir. 2003). “In
    sum, termination of the consent decree would be appropriate if the district court
    finds that the decree is clearly no longer necessary either to prevent discrimination
    in the future or to remedy the effects of past discrimination.” United States v. City
    of Miami, 
    2 F.3d 1497
    , 1508 (11th Cir. 1993).
    The district court did not abuse its discretion, because changes in the law
    made continued enforcement of the consent decree unlawful and because the
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    existence of a new suit challenging the City’s current hiring practices made
    modification of the decree inimical to the public interest. First, the district court
    correctly reasoned that the consent decree as written could not be reinstated,
    because, as the Supreme Court has explained, “[a] consent decree must of course
    be modified if, as it later turns out, one or more of the obligations placed upon the
    parties has become impermissible under federal law.” Rufo v. Inmates of Suffolk
    Cty. Jail, 
    502 U.S. 367
    , 388 (1992). The decree, which requires that the black-to-
    white ratio of the fire-department workforce reflect the black-to-white ratio of the
    City’s population, violates the Equal Protection Clause’s requirement that the
    minority composition of the workforce in question be compared to the qualified
    minority population in the relevant labor market rather than the general population,
    see City of Richmond v. J.A. Croson Co., 
    488 U.S. 469
    , 501–02 (1989). Further,
    the quota-based hiring required by the decree would not likely pass strict scrutiny.
    See 
    id. at 507
    . The plaintiffs offer no response to this point regarding the changes
    in constitutional law.
    Second, the district court did not abuse its discretion in refusing to modify
    the consent decree, because it would be contrary to the public interest to use this
    lawsuit to ensure that the City’s firefighting department is not racially
    discriminatory when a new lawsuit was in a better position to do so. As the district
    court noted, a new lawsuit (which was recently settled) challenging the fire
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    Case: 15-11112     Date Filed: 08/23/2016    Page: 21 of 21
    department’s modern hiring practices was filed in 2013 by the Brotherhood and the
    Jacksonville Chapter of the NAACP on behalf of themselves and a class consisting
    of present, past, and future black employees and candidates for employment.
    Termination of the 1982 decree was appropriate because the 1982 decree was no
    longer necessary to prevent future discrimination in the City’s firefighting
    department or to remedy the effects of past discrimination—the new lawsuit would
    see to that. The plaintiffs responded at oral argument that the statute of limitations
    prevented the new lawsuit from reaching all of the class members in this case.
    However, the fact that the statute of limitations precludes relief for some class
    members is due to the plaintiffs’ own delay, and does not change the fact that the
    new lawsuit was a much better vehicle for determining the current extent of
    discrimination in the City’s firefighting department and assessing what measures,
    if any, needed to be put in place to remedy past discrimination and prevent future
    discrimination.
    For the foregoing reasons, we affirm the district court’s order denying the
    plaintiffs’ motion to show cause and dissolving the consent decree.
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