Central AL v. Lowder Realty Co. ( 2000 )


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  •                                                                    [PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT                   FILED
    U.S. COURT OF APPEALS
    ________________________        ELEVENTH CIRCUIT
    DEC 21, 2000
    No. 99-6133               THOMAS K. KAHN
    ________________________              CLERK
    D. C. Docket No. 97-00474-CV-A-N
    CENTRAL ALABAMA FAIR
    HOUSING CENTER, INC., et al.,
    Plaintiffs-Appellants,
    versus
    LOWDER REALTY CO., INC., et al.,
    Defendants-Appellees.
    ________________________
    Appeals from the United States District Court
    for the Middle District of Alabama
    _________________________
    (December 21, 2000)
    Before TJOFLAT, MARCUS and KRAVITCH, Circuit Judges.
    MARCUS, Circuit Judge:
    Plaintiffs Cynthia Foster, Denise Frazier, Barbara Gill-Smith, Brenda Smith,
    Ezell Smith, and the Central Alabama Fair Housing Center appeal a final jury verdict
    in favor of defendants on their housing discrimination claims. Plaintiffs present two
    distinct issues on appeal. First, the individual plaintiffs argue that the district court
    erred by finding a prima facie case of racial discrimination in their use of a
    peremptory challenge at trial, and subsequently denying their request to strike the
    juror in question. Second, the Central Alabama Fair Housing Center argues that the
    district court erred in instructing the jury that the Center’s right to recover was
    contingent upon a finding that the defendants unlawfully discriminated against the
    individual plaintiffs. We conclude that the district court committed reversible error
    as to both issues, vacate the jury verdict, and remand for a new trial.
    I.
    The individual plaintiffs are six African-Americans who sought to purchase
    homes in Montgomery, Alabama.           They allege that the defendant real estate
    companies, Lowder Realty Co., Inc., Lowder New Homes, Inc., and Lowder New
    Homes Sales, Inc., intentionally steered them away from predominantly white
    neighborhoods and toward predominantly African-American neighborhoods.
    Plaintiffs allege violations of the Fair Housing Act of 1968, 
    42 U.S.C. § 3601
    , et seq.,
    and two provisions of the Civil Rights Act of 1866 (
    42 U.S.C. §§ 1981
     and 1982).
    2
    A.    Facts Relating to Denial of Peremptory Challenge
    On December 7, 1998, the U.S. District Court for the Middle District of
    Alabama called a venire panel for service in a term of civil jury court. This action was
    the only case to be tried during the term. Three days preceding the calling of the
    venire, the Jury Commissioner had distributed to the parties copies of the list of jurors
    on the venire and questionnaires completed by the venire members.
    After the venire was sworn by the clerk, the district court conducted voir dire
    and allowed attorneys for the parties to ask questions that further explored answers
    given by the individual venire members. After voir dire was completed, the district
    court excused four jurors who asserted that for personal reasons it would be
    impossible or an extreme hardship to serve on the jury. The court then heard the
    parties’ challenges for cause. Plaintiffs made challenges for cause against five jurors,
    all white, one of which was granted. Defendants challenged two jurors for cause, both
    of whom were struck by the court.
    The court then stated that it would empanel eight jurors and permitted each
    party three peremptory challenges. Of the prospective jurors -- the first fourteen
    remaining on the venire -- eleven were white and three were black. The parties
    exercised their peremptory strikes by concurrently writing down all of their requested
    3
    strikes and returning them to the clerk. Plaintiffs and defendants each utilized two of
    their three allotted peremptory strikes.
    Plaintiffs then asserted that the defendants, who used their two strikes to
    challenge African-American jurors (# 7 and #8), exercised their strikes on the basis
    of race in violation of the Equal Protection Clause. See Batson v. Kentucky, 
    476 U.S. 79
     (1986). The district court found that a prima facie case was established because
    “defendants’ only strikes were black jurors and . . . no black jurors remained on the
    panel as constituted.” Although defense counsel pointed out that one African-
    American juror had not been struck and would serve even if the parties’ peremptory
    strikes were upheld, the district court nevertheless required the defendants to give
    race-neutral reasons for their strikes. Defense counsel stated that Juror #7 was struck
    because (1) she was grimacing, frowning, and staring straight ahead; (2) defendants’
    jury consultant observed that she was sleeping; and (3) one of the defense lawyers
    always struck people from Lowndes County. Defense counsel said that Juror #8 was
    struck on the grounds that (1) she was grimacing and frowning; (2) her arms were
    crossed; (3) the jury consultant observed that she was sleeping; (4) she was a “social
    worker type”; and (5) one of the defense lawyers always struck people from Bullock
    County. The district court found that these explanations could be a cover for race-
    4
    based reasons, and upheld plaintiffs’ Batson challenge as to both jurors. The jurors
    were then placed on the jury empaneled to hear the case.
    Defendants then asserted that plaintiffs had engaged in intentional
    discrimination when exercising their two strikes against Jurors #5 and #9. Defendant
    counsel objected on the ground that both jurors were white males and neither had
    made statements during voir dire that would justify striking them but for their race.
    The district court found a prima facie case of racial striking, stating only “[b]oth
    challenges having been used against white jurors, I find there is a prima facie case of
    racial striking and I will require the plaintiffs to show race neutral reasons.” When
    plaintiffs exercised their peremptory challenges, eleven of the fourteen prospective
    jurors were white.
    Plaintiffs then provided race neutral reasons for striking the two jurors. As to
    Juror #5, they stated that they struck him because he belonged to the NRA. The
    district court found this reason to be race neutral, and denied defendants’ challenge
    to plaintiffs’ strike of Juror #5.
    Plaintiffs then presented five separate reasons for striking Juror #9: (1) he held
    a bank account with Colonial Bank, a company within the same corporate family as
    several of the defendant corporations; (2) he owned commercial rental property; (3)
    his immediate family members belonged to various clubs and organizations about
    5
    which the district court had questioned the venire; (4) his status as an alcoholic, as
    revealed on the court’s juror questionnaire form, rendered him more susceptible to any
    stress associated with jury service in a two-week civil rights trial; and (5) the stress
    of serving on a jury could have been further exacerbated by the fact that he lived 80
    or 90 miles from the courthouse. Each of the reasons offered by the plaintiffs was
    based on information contained in the record, including the jury questionnaires
    completed by the venire members.
    After plaintiffs finished explaining why they struck Juror #9, the district court
    failed to state whether it considered plaintiffs’ reasons to be race-neutral but instead
    immediately presented defendants with the opportunity to challenge the sufficiency
    of those reasons. In response, defense counsel stated that they believed Juror #9 had
    not had a drink since 1991, that he rented commercial and not residential property, and
    that they did not believe in striking a juror because he was an alcoholic. The district
    court then concluded that ownership of a warehouse had nothing to do with the case
    and that being a recovering alcoholic and living 90 miles from the courthouse were
    not legitimate reasons for striking a juror and could be a cover for race-based reasons.
    With no further discussion of these three reasons proffered by plaintiffs and no
    discussion whatsoever of plaintiffs’ other two proffered reasons, the district court
    sustained defendants’ challenge to plaintiffs’ attempted peremptory strike. The
    6
    district court placed Juror #9 on the jury of eight that was empaneled to hear the case
    and the remaining venire members were excused. Juror #9 ultimately served on the
    jury that rendered a verdict and became the jury foreperson.
    B.    Facts Relating to Center’s Right to Recover Damages
    The Central Alabama Fair Housing Center is a nonprofit corporation whose
    mission is eliminating racial discrimination in housing. It receives and investigates
    complaints of discrimination in the Montgomery area, provides counseling to persons
    who believe they have been discriminated against, and educates realtors and the public
    about federal fair housing law. In connection with its investigatory role, the Center
    goes to court seeking redress for violations of housing laws.
    At trial, the Center presented the following evidence in support of its claim. In
    response to complaints of racial steering it had received, the Center conducted a series
    of tests, sending two teams of white and black employees to two different Lowder
    realtors, Juliette Stuckey and Debra Whitehouse. White tester Jennifer Woods
    recounted her testing experience for the jury. Woods testified that when the team of
    white testers contacted Stuckey, they asked to see four houses in racially mixed or
    black neighborhoods. Rather than initially showing them the older houses they had
    asked to see, however, Stuckey showed them a new house in a predominantly white
    area. When she did show them the first of the houses they asked to view, she made
    7
    a number of comments about the neighborhood, offering her opinion that it was “not
    a good area” and that the white testers would not want to live there because there were
    “too many of the other kind.”
    Woods further testified that after the couple had viewed the first house they had
    requested to see, Stuckey reiterated, “I would hate to see you buy here, I’ll be honest
    with you. It’s just not a good area. This used to be the nicest area 40 years ago.”
    Then, pointing to an apartment complex nearby, Stuckey said, “That’s nothing but
    blacks over there in all those apartments.” As they returned to the Lowder office,
    driving through predominantly white neighborhoods, Stuckey remarked how nice the
    areas were.
    The Center also presented testimony from black testers Ethica Gilbert and Gary
    Lewis, who described a different experience with Stuckey. Stuckey, they said, first
    tried to discourage them from spending as much money as they wanted to spend on
    a house, although they, like the white testers, claimed to be prequalified in the house’s
    price range. Gilbert testified that Stuckey did not take them to view any new houses,
    instead showing them older houses in mixed or predominantly black neighborhoods.
    She offered them no cautions about the poor quality of these neighborhoods. She did
    not drive them through the predominantly white east Montgomery neighborhoods or
    comment on the “niceness” of those areas.
    8
    The Center also put on testimony from paired testers who had consulted with
    Lowder realtor Debra Whitehouse. Drew Colfax, who is white, and Reginald Bowie,
    who is black, each told Whitehouse that he wanted to spent about $75,000, and that
    he was interested in a particular house on Banyan Street, in a predominantly black
    neighborhood.
    Colfax testified that when Whitehouse showed the Banyan Street house to him,
    she rushed him through, remarking that the house’s storm windows added “an extra
    layer of security.” She suggested that he find a house in Prattville, a white bedroom
    community, or off Vaughn Road, a white area. During her second meeting with the
    white tester Colfax, Whitehouse showed him houses of her choosing in white
    neighborhoods which she described in favorable terms such as “easy to resell,” “a
    good place to raise a family,” “a very nice area,” or “my parents live near here.”
    By contrast, according to black tester Bowie, when Whitehouse showed the
    same Banyan Street house to him, she pointed out the good features of the
    neighborhood, commenting that it had a lot of space for the price. She did not
    mention the storm windows or any other security feature. She then showed him other
    houses in predominantly black neighborhoods, commenting on their good features and
    what he could do to fix them up. When she finally showed him a house in a white
    neighborhood, it was above his stated price range.
    9
    The Center offered this evidence to prove that Stuckey and Whitehouse
    engaged in racial steering by discouraging blacks from looking in white
    neighborhoods and discouraging whites from looking in black neighborhoods. The
    tests that were the subject of this live testimony were conducted by the Center as part
    of its investigation of the reports of racial steering it had received.
    The Center’s executive director, Faith Cooper, testified that when the Center
    learned through its testers that Lowder realtors were engaging in racial steering, the
    Center realized that it would have to divert resources to combat Lowder’s activities.
    Lowder’s discrimination, she testified, frustrated the mission of the Center to ensure
    that Montgomery citizens have access to the housing of their choice.
    Cooper testified that, based upon her records, the Center diverted resources that
    it otherwise would have had available for various activities in its 29-county service
    area to its racial steering programs in Montgomery. She also testified that the Center’s
    activities related to other kinds of discrimination, such as family status, disability, and
    discrimination in mortgage lending, were curtailed as the Center attempted to
    counteract the effects of the defendants’ racial steering programs. The Center
    undertook counseling, testing, litigation, outreach, and education activities in this
    regard. Cooper testified that as of June 1997, the Center had spent $17,866.06 on
    these activities and that the Center’s expenses continued to rise.
    10
    Following the presentation of this evidence, the judge instructed the jury in
    these terms:
    If you find that one or more defendants or their agents
    violated the rights of the individual plaintiffs: Cynthia
    Foster, Brenda Smith, Barbara Gill-Smith, Ezell Smith, or
    Denise Frazier, then you may also consider the damages to
    be awarded as compensation to the Central Alabama Fair
    Housing Center. If the [Center] has suffered injury because
    of racial discrimination on the part of the defendants, the
    [Center] is entitled to recover damages for the costs which
    it has incurred solely in connection with this litigation
    against the defendants. You must find that any damage
    claimed by the [Center] was caused by a violation of the
    discrimination statutes at issue in this case by the Lowder
    defendants and that the damages were incurred in response
    to those violations.
    The Center objected to the portion of this charge that made a finding for the Center
    contingent upon the jury’s having first concluded that one (or all) of the individual
    plaintiffs was entitled to a favorable verdict. The Center’s counsel argued that “the
    liability of the defendant as against individual plaintiffs is not a necessary prerequisite
    to a finding of damages of the [Center]. . . . There is evidence that has been presented
    in this trial that could support damages for the [Center] above and beyond that which
    would support claims for individual plaintiffs. . . . The fact that [an individual’s]
    claim [may] be legally precluded should not preclude damages to the Center.” The
    trial court overruled the objection.
    11
    In conjunction with the jury charge, the court prepared a verdict form
    containing special interrogatories to guide the jury. Questions (1)(a) and (b) of the
    court’s verdict form asked the jury whether it found that the defendants intentionally
    discriminated against plaintiff Cynthia Foster and whether the defendants had made
    a false representation to her. A “yes” answer to (1)(a) or (b) would indicate a finding
    of liability in favor of Foster. Likewise, a “yes” answer to parts (4)(a), (b), or (c)
    would indicate a finding of liability in favor of plaintiff Gill-Smith, a “yes” answer to
    question 8 would indicate a finding that the defendant were liable to Frazier, and a
    “yes” answer to question (11)(a) would indicate that the defendants were liable to
    Smith. Having made explicit that a “yes” answer to interrogatories (1)(a) or (b), 4(a),
    (b) or (c), 8, and/or 11(a) would mean that a particular individual prevailed on his or
    her claim, the court then directed the jury, in interrogatory 14:
    You need to answer this question only if you have
    answered “yes” to question (1)(a) or (b), question 4(a)(b) or
    (c), question 8 or question 11(a) above. If you did, do you
    find by a preponderance of the evidence that the Central
    Alabama Fair Housing Center suffered injury as a result of
    intentional discrimination on the part of the Defendants?
    yes                           no
    If you answered “no” to question (14), go to “Part Six --
    liability of James K. Lowder.” If you answered “yes”,
    enter the amount of damages that the Plaintiffs have shown
    12
    by a preponderance of the evidence if appropriate to
    compensate the [Center.]
    Having earlier objected to the jury instruction that made recovery by an
    individual plaintiff a condition precedent to the Center’s recovery, counsel did not
    make a renewed objection to the special interrogatories. The jury returned a verdict
    omitting the Center’s claims because it did not find for the individual plaintiffs on
    their claims.
    II.
    The standard of review is clear. We review the district court’s resolution of a
    Batson challenge under the clearly erroneous standard. See, e.g., United States v.
    Blackman, 
    66 F.3d 1572
    , 1575 (11th Cir. 1995). As part of that review, we give
    “great deference to the district court’s finding as to the existence of a prima facie
    case.” United States v. Stewart, 
    65 F.3d 918
    , 923 (11th Cir. 1995). “Once past the
    prima facie case step, the district court’s determination concerning the actual
    motivation behind each challenged strike amounts to pure fact-finding, and for that
    reason we will reverse the district court’s determination only if it is clearly
    erroneous.” 
    Id.
    With respect to jury instructions properly challenged below, we review “de
    novo to determine whether they misstate the law or mislead the jury to the prejudice
    13
    of the objecting party.” United States v. Grigsby, 
    111 F.3d 806
    , 814 (11th Cir. 1997)
    (citing United States v. Chandler, 
    996 F.2d 1073
    , 1085 (11th Cir.1993)). Our task is
    “to determine whether the instructions objected to below create ‘a substantial and
    ineradicable doubt’ that the jury has been misled in its deliberations.” Wood v. Spring
    Hill College, 
    978 F.2d 1214
    , 1218 (11th Cir. 1992). The phrasing of special jury
    interrogatories is reviewed under an abuse of discretion standard; reversal is warranted
    where the interrogatories have “the potential for confusing or misleading the jury.”
    Petes v. Hayes, 
    664 F.2d 523
    , 525 (5th Cir. 1981).
    III.
    A.
    We turn first to the individual plaintiffs’ argument that the district court erred
    by allowing defendants’ Batson challenge to white Juror #9. The Supreme Court has
    established a three-part test for resolving Equal Protection challenges, under Batson
    and its progeny, to a party’s attempted peremptory strike. First, the party challenging
    the peremptory strike must establish a prima facie case of discrimination. Batson, 
    476 U.S. at 96
    . Second, if the court finds that a prima facie case of discrimination is
    proven, the party making the peremptory strike is afforded the opportunity to
    articulate a non-discriminatory explanation for the strike. 
    Id. at 96-98
    . Third, if a
    non-discriminatory reason is offered, the court must determine whether the party
    14
    challenging the strike has met its burden of proving the existence of purposeful
    discrimination. Id.; see also Purkett v. Elem, 
    514 U.S. 765
    , 767 (1995).
    As this framework makes clear, the establishment of a prima facie case is an
    absolute precondition to further inquiry into the motivation behind the challenged
    strike. Indeed, we have stressed that “[n]o party challenging the opposing party’s use
    of a peremptory strike -- whether that party be the government, a criminal defendant,
    or a civil litigant -- is entitled to an explanation for that strike, much less to have it
    disallowed, unless and until a prima facie showing of racial discrimination is made.”
    United States v. Stewart, 
    65 F.3d 918
    , 925 (11th Cir. 1995). Thus, a district court may
    not require an explanation for a peremptory strike unless and until it satisfies itself that
    a prima facie case has been established. Similarly on appeal, “unless it concludes that
    a prima facie showing was made, an appellate court should neither reverse a trial
    court’s action refusing to disallow challenged strikes, nor should it affirm a trial
    court’s action disallowing strikes.” 
    Id.
     Accordingly, the threshold task in considering
    a Batson challenge, for a district court as well as this Court, is to determine whether
    a prima facie case was established. If the answer is no, then the inquiry ceases, and
    the challenge should be denied.
    In order to establish a prima facie case of racially discriminatory use of
    peremptory strikes, the party objecting to a peremptory strike bears the burden of
    15
    establishing facts sufficient to support an inference of racial discrimination. See, e.g.,
    Batson, 
    476 U.S. at 96
    ; Dudley v. Wal-Mart Stores, Inc., 
    166 F.3d 1317
    , 1321 (11th
    Cir. 1999). The trial court must examine whether the party has shown sufficient
    “relevant circumstances” to raise an inference that the opposing party seeks to exclude
    the prospective juror on account of race. In Batson, the Supreme Court offered two
    examples of circumstances that may support such an inference: (1) engaging in a
    “pattern” of strikes against venire members of one race, or (2) questions or statements
    during voir dire or in exercising challenges that suggest a discriminatory purpose. See
    
    476 U.S. at 97
    .
    Drawing on these examples, the defendants in this case pointed to two facts in
    support of their claim of discrimination: (1) plaintiffs’ two peremptory strikes were
    used to strike white male jurors, thereby establishing a “pattern” of striking members
    of one race; and (2) neither of those white jurors had any made statements during voir
    dire that would justify striking them but for their race. The trial judge found a prima
    facie case of racial striking based only on the fact that plaintiffs had struck two white
    males. As a matter of law, this evidence is inadequate to raise an inference of racial
    discrimination sufficient to establish a prima facie case.
    To begin with, the mere fact of striking a juror or a set of jurors of a particular
    race does not necessarily create an inference of racial discrimination. The number of
    16
    persons of a particular race struck takes on meaning only when coupled with other
    information such as the racial composition of the venire, the race of others struck, or
    the voir dire answers of those who were struck compared to the answers of those who
    were not struck. This Court has held that “[i]n making out a prima facie case, ‘the
    defendant must point to more than the bare fact of the removal of certain venire
    persons and the absence of an obvious valid reason for the removal.” United States
    v. Allison, 
    908 F.2d 1531
    , 1538 (11th Cir. 1990). A party advancing a Batson
    argument ordinarily should “come forward with facts, not just numbers alone.”
    United States v. Bergodere, 
    40 F.3d 512
    , 516 (1st Cir. 1994). Consequently, a
    showing that a party used its authorized peremptory strikes against jurors of one race
    does not, standing alone, establish a prima facie case of discrimination.
    That said, an inference of discrimination based on the number of jurors of a
    particular race may arise where there is a substantial disparity between the percentage
    of jurors of one race struck and the percentage of their representation on the jury. See,
    e.g., United States v. Alvarado, 
    923 F.2d 253
    , 255 (2d Cir. 1991) (“Only a rate of
    minority challenges significantly higher than the minority percentage of the venire
    would support a statistical inference of discrimination.”); United States v. David, 
    662 F. Supp. 244
    , 246 (N.D. Ga. 1987) (finding that “[a]though the percentage of black
    jurors struck from a jury panel might establish a prima facie case in some instances,
    17
    here it does not because . . . the number of black persons on the regular panel was
    small.”). Thus, the number of jurors of one race struck by the challenged party may
    be sufficient by itself to establish a prima facie case where a party strikes all or nearly
    all of the members of one race on a venire. See United States v. Williams, 
    936 F.2d 1243
    , 1246 (11th Cir. 1991) (finding a prima facie case where prosecutor struck all
    of the African-American members of the venire).
    In this case, plaintiffs’ rate of challenging white jurors was not significantly
    higher than the percentage representation of white jurors on the venire.              The
    composition of the venire was 80% white. With their two strikes, plaintiffs’ rate of
    challenging white jurors could have only been 0% (if they struck two blacks), 50% (if
    they struck one black and one white), or 100% (if they struck two whites).
    Consequently, the 100% rate actually utilized by plaintiffs was actually the rate that
    most closely approximated the percentage of whites among the prospective jurors.
    Moreover, the probability of striking two white jurors was significantly higher than
    the probability of striking either a juror of each race or two black jurors. Defendants
    do not dispute that, if plaintiffs had exercised their two peremptories in a completely
    18
    random manner, there was a 60% probability that the strikes would have been
    exercised against two white jurors.1
    In addition, not all, nearly all, or even most whites on the panel were struck by
    plaintiffs. After resolving the challenges for cause, only the first fourteen jurors could
    potentially serve on the panel. Of those fourteen jurors, three were black and eleven
    were white. Accordingly, after plaintiff struck two white jurors, nine white venire
    persons remained who could potentially serve on the jury.
    Finally, plaintiffs only used two of the three peremptory strikes they were
    allotted. This Court has held that the unchallenged presence of jurors of a particular
    race on a jury substantially weakens the basis for a prima facie case of discrimination
    in the peremptory striking of jurors of that race. See, e.g., United States v. Puentes,
    
    50 F.3d 1567
    , 1578 (11th Cir. 1995) (“Although the presence of African-American
    jurors does not dispose of an allegation of race-based peremptory challenges, it is a
    significant factor tending to prove the paucity of the claim.”); United States v.
    1
    Plaintiffs calculate the probability of striking white jurors in the following
    manner: the probability of the first strike being against a white juror is equal to the
    number of white jurors on the panel divided by the total number of jurors on the panel
    -- 11 divided by 14. The probability of the second strike being exercised against a
    white juror is equal to the number of white jurors on the panel after the first strike has
    been exercised divided by the total number of jurors on the panel after the first strike
    has been exercised -- 10 divided by 13. The probability of both strikes being
    exercised against whites is the product of the two probabilities.
    19
    Jiminez, 
    983 F.2d 1020
    , 1023 (11th Cir. 1993) (noting that the presence of blacks on
    the jury was “significant” in reviewing the district court’s denial of a Batson
    challenge); United States v. Allison, 
    908 F.2d 1531
    , 1537 (11th Cir. 1990) (finding
    that the unchallenged presence of blacks on a jury undercuts the inference of
    impermissible discrimination that might arise solely from striking other black
    prospective jurors); United States v. Dennis, 
    804 F.2d 1208
    , 1211 (11th Cir. 1986)
    (“[T]he unchallenged presence of two blacks on the jury undercuts any inference of
    impermissible discrimination that might be argued to arise from the fact that the
    prosecutor used three of the four peremptory challenges he exercised to strike blacks
    from the panel of potential jurors and alternates.”). Thus, viewed in context, the fact
    that plaintiffs’ two exercised strikes were against white jurors does not establish a
    prima facie case.
    The fact that the two white jurors did not (from the perspective of the
    defendants) say anything during voir dire that would justify striking them hardly
    establishes a prima facie case.2 The more pertinent question is whether plaintiffs’
    counsel said anything during voir dire arguably indicating a discriminatory purpose.
    Batson instructs that a trial court judge may consider whether counsel’s questions and
    statements during voir dire support a finding of discriminatory purpose. But the mere
    2
    The district court apparently did not give any weight to this argument.
    20
    fact that plaintiffs’ counsel decided to exercise peremptory challenges against jurors
    who had not been extensively questioned during voir dire does not establish a
    discriminatory purpose. See United States v. Allison, 
    908 F.2d 1532
    , 1538 (11th Cir.
    1990) (“[i]n making out a prima facie case, ‘the defendant must point to more than the
    bare fact of the removal of certain venire persons and the absence of an obvious valid
    reason for the removal.’”) (quoting United States v. Young-Bey, 
    893 F.2d 178
    , 179
    (8th Cir. 1990)).
    Defendants’ argument misapprehends the distinction between challenges for
    cause and peremptory challenges. Peremptory challenges allow parties to remove
    jurors who are perceived as having some potential of being partial. Indeed, “[b]y its
    very nature, the peremptory challenge is a tool that may be wielded in a highly
    subjective and seemingly arbitrary fashion, based upon mere impressions and
    hunches.” United States v. Annigoni, 
    96 F.3d 1132
    , 1144 (9th Cir. 1996). Especially
    given that eleven of the 14 jurors were white, the fact that Plaintiffs attempted to strike
    two white jurors whom they had not extensively questioned during voir dire is simply
    insufficient to establish a prima facie case. This is particularly true since the venire
    members had all filled out questionnaires preceding jury selection, making it likely
    that one or both sides would attempt to strike jurors based solely on their answers on
    the questionnaire.
    21
    We therefore conclude that the district court clearly erred in finding that
    defendants had met their burden of establishing a prima facie case of a Batson
    violation. Under our decision in Stewart, a prima facie case plainly is a prerequisite
    to granting a Batson challenge. Because no prima facie case was established here, the
    district court should not have asked the plaintiffs to offer race-neutral reasons
    justifying their strikes, and our analysis ceases without consideration of the reasons
    eventually proffered by the plaintiffs. Moreover, where as here a district court allows
    a Batson challenge in the absence of a prima facie case, the error is not harmless, and
    the case must be remanded for a new trial.3 We therefore reverse the district court’s
    action disallowing the plaintiffs’ peremptory strike of Juror #9, and remand for a new
    trial.
    B.
    3
    See Unites States v. McFerron, 
    163 F.3d 952
    , 955 (6th Cir. 1998) (noting that
    the suggestion that the erroneous denial of a peremptory challenge should be subjected
    to a harmless error test has been “resoundingly rejected by every circuit court that has
    considered the issue.”); see also Swain v. Alabama, 
    380 U.S. 202
    , 219 (1965) (holding
    that “[t]he denial or impairment of the right [of peremptory challenge] is reversible
    error . . . .”), overruled on other grounds by Batson; United States v. Broussard, 
    987 F.2d 215
    , 221 (5th Cir. 1993) (“The denial or impairment of the right to exercise
    peremptory challenges is reversible error without a showing of prejudice.”), abrogated
    on other grounds by J.E.B. v. Alabama, 
    511 U.S. 127
     (1994); Olympia Hotels Corp.
    v. Johnson Wax Dev. Corp., 
    908 F.2d 1363
    , 1369 (7th Cir. 1990) (holding that “[i]t
    is reversible error to deny a party to a jury trial the peremptory challenges to which
    the rules of procedure entitle him . . . .”); United States v. Ruuska, 
    883 F.2d 262
    , 268
    (3d Cir. 1989) (stating the automatic reversal rule of Swain).
    22
    We turn next to the Center’s argument that its ability to recover damages should
    not be contingent on the individual plaintiffs’ prevailing on their claims. Defendants
    seemingly acknowledge, as they must, that a fair housing organization has standing
    to recover certain types of damages on its own to the extent it suffers injury
    proximately caused by the defendant’s unlawful conduct. See, e.g., Arkansas Acorn
    Fair Housing, Inc. v. Greystone Development, Ltd., Co., 
    160 F.3d 433
    , 434 (8th Cir.
    1998) (“the deflection of an organization’s monetary and human resources from
    counseling or educational programs to legal efforts aimed at combating
    discrimination, such as monitoring and investigation, is itself sufficient to constitute
    an actual injury [where] traceable to some act of the defendant”); Ragin v. Harry
    Macklowe Real Estate Co., 
    6 F.3d 898
    , 904-05 (2d Cir. 1993); Hooker v. Weathers,
    
    990 F.2d 913
    , 915 (6th Cir. 1993). Indeed, the district court rejected defendants’
    motion to dismiss and their motion for summary judgment based on lack of standing.
    Defendants argue, however, that a fair housing organization cannot recover damages
    when the only unlawful conduct proved at trial was suffered by the organization’s
    own agents. Thus, defendants assert, the Center cannot seek damages based on
    injuries traceable to their unlawful conduct toward the Center’s own testers. We
    disagree, and conclude that the district court’s jury instruction -- which indicated that
    23
    the Center could recover only if one of the individual plaintiffs prevailed -- constitutes
    reversible error.
    There can be no debate that under the Supreme Court’s decision in Havens
    Realty Corp. v. Coleman, 
    455 U.S. 363
     (1982), a fair housing organization has
    standing to sue       when the defendant’s racial steering practices impair the
    organization’s ability to provide housing counseling and referral services. In Havens,
    three individual plaintiffs and testers, along with an organization called HOME, a
    nonprofit corporation whose purpose was to “make equal opportunity in housing a
    reality in the Richmond Metropolitan area,” sued for violation of the Fair Housing
    Act. 
    Id. at 368
    . HOME’s activities included investigation and referral of complaints
    concerning housing discrimination. 
    Id.
     HOME alleged broadly that defendant
    Havens Realty Corp.’s steering practices had frustrated HOME’s activities as to
    housing counseling and referral services, with a consequent drain on resources.
    Specifically, HOME attempted to bring suit against Havens on its own behalf because
    it “has been frustrated by the defendants’ racial steering practices in its efforts to assist
    equal access to housing through counseling and other referral services. Plaintiff
    HOME has had to devote significant resources to identify and counteract the
    defendant’s racially discriminatory steering practices.” 
    Id. at 379
    . HOME had
    24
    employed two “tester plaintiffs” to determine whether Havens engaged in racial
    steering.
    Analyzing HOME’s claim in the context of a motion to dismiss, the court first
    emphasized that Congress intended for § 812 of the Fair Housing Act, the racial
    steering provisions, to extend to the “full limits of Article III.” Id. at 372. Thus, said
    the Court, federal courts have no authority to erect “prudential” barriers to standing
    in suits brought under Section 812. Id. The sole requirement in bringing suit under
    Section 812 is that “the plaintiff allege that as a result of the defendant’s action [it] has
    suffered a distinct and palpable injury.” Id.
    The Court then concluded that HOME had established an injury-in-fact
    sufficient to confer standing. The Court did not find that HOME’s ability to sue was
    in any way contingent upon the standing of any of the individual plaintiffs, but rather
    that fair housing organizations “are entitled to sue on their own behalf for injuries they
    have sustained . . . in their own right.” Id. at 378-79 (emphasis added). Specifically,
    the Court stated:
    If, as broadly alleged, petitioners’ steering practices have
    perceptibly impaired HOME’s ability to provide counseling
    and referral services for low- and moderate-income
    homeseekers, there can be no question that the organization
    has suffered injury in fact. Such concrete and demonstrable
    injury to the organization’s activities with the consequent
    drain on the organization’s resources, constitutes far more
    25
    than simply a setback to the organization’s abstract social
    interests.
    Id. at 379. Without reference to the validity of the claims of any of the other plaintiffs
    in the suit, the Court held that HOME’s allegations were sufficient to prove injury and
    remanded for further proceedings.
    Defendants do not now contend that the Center lacks standing to recover at least
    some of the kinds of damages that it seeks in this case (allegedly based upon the
    diversion of its resources and the frustration of its mission). Rather, defendants
    contend that under Havens the Center may only recover such damages to the extent
    they are caused by acts of discrimination directed toward persons other than the
    Center’s own testers. Accordingly, say the defendants, if none of the plaintiffs can
    establish a claim for unlawful discrimination, and the only cause of the alleged
    diversion of resources was discrimination toward the testers, it follows that the Center
    cannot recover.
    While this Court had never addressed the issue, a majority of circuits to do so
    have concluded, based upon Havens, that a fair housing organization may recover in
    its own right for the diversion of its resources to combat the defendant’s
    discrimination toward its testers. In Village of Bellwood v. Dwivedi, 
    895 F.2d 1521
    (7th Cir. 1990), the Seventh Circuit considered a case brought by 28 testers, a
    26
    municipality, and a fair housing center against a real estate brokerage firm and two of
    its employees alleging discriminatory practices in violation of the Fair Housing Act.
    The organization sought damages based solely on the effects of the defendant’s
    unlawful acts toward its testers. The jury found for the plaintiffs, and the Seventh
    Circuit affirmed. In so doing, it held:
    Havens makes clear . . . that the only injury which must be shown to
    confer standing on a fair housing agency is deflection of the agency’s
    time and money from counseling to legal efforts directed against
    discrimination. These are opportunity costs of discrimination since
    although the counseling is not impaired directly there would be more of
    it were it not for the defendant’s discrimination.
    
    Id. at 1526
    . The court did not suggest that the organization’s right to recovery was in
    any way limited by the fact that the defendant’s unlawful acts related only to the
    testers.
    Similarly, in Cabrera v. Jakabovitz, 
    24 F.3d 372
     (2d Cir. 1994), the Second
    Circuit allowed a fair housing organization to recover damages based on the
    defendants’ unlawful discrimination toward its testers. In Cabrera, a fair housing
    center, acting on its own initiative rather than in response to a specific complaint, sent
    testers to investigate racial steering claims in the renting of properties in New York
    City. Its testers were in fact racially steered and the center successfully recovered
    27
    damages under the Fair Housing Act and §§ 1981 and 1982 based entirely on the
    experiences of its testers. Id. at 379-80.
    The Third Circuit has likewise suggested that a fair housing organization may
    recover damages based on the experiences of its testers. In Fair Housing Council of
    Suburban Philadelphia v. Montgomery Newspapers, 
    141 F.3d 71
     (3rd Cir. 1998), a
    nonprofit fair housing organization brought an action against newspapers, publishers,
    and classified advertisement editors, alleging that the publication of allegedly
    discriminatory advertisements violated the Fair Housing Act. The organization made
    three damage claims: (1) frustration of its mission; (2) diversion of resources to
    measures designed to correct the harm allegedly caused by the discriminatory housing;
    and (3) diversion of resources to litigation.      
    Id. at 73
    .   With respect to the
    organization’s allegations of frustration of mission and diversion of resources, a
    majority of the court found that the organization failed to meet its burden of proving
    a causal link between the alleged wrongdoing and the injury. 
    Id. at 76
    . However, the
    court expressly recognized that these damage claims, if properly proven, could support
    an organization’s standing to bring suit. The court specifically emphasized that “[w]e
    do not . . . impose a bona fide home-seeker requirement.” 
    Id.
     at 77 n.3.4
    4
    The Third Circuit did hold, with respect to the organization’s third damages
    claim, that “litigation expenses alone do not constitute damage sufficient to support
    standing.” 
    Id. at 79
    . It reasoned that merely devoting funds to support a lawsuit will
    28
    Defendants contend that these decisions are incorrect to the extent they concern
    what occurs at trial, and that permitting an organization to recover damages based
    solely on discrimination toward its testers is tantamount to allowing an organization
    to manufacture its own lawsuit simply in order to recover the costs of bringing suit.
    Defendants rely heavily on the D.C. Circuit’s decision in Fair Employment Council
    of Greater Washington, Inc. v. BMC Marketing Corp., 
    28 F.3d 1268
     (D.C. Cir. 1994).
    In BMC Marketing, a fair employment organization alleged that the defendant
    (“BMC”) had interfered with its testing, community outreach, public education,
    counseling, and research projects and had required the organization to expend
    resources to counteract BMC’s alleged discrimination, including employing testers.
    The court held that the Fair Employment Council had standing only if the
    discriminatory actions taken by BMC “perceptibly impaired” the organization’s
    programs, by increasing the number of people in need of counseling or by making it
    harder for minorities to find jobs in greater Washington. 
    Id. at 1276
    . The court
    expressly rejected the notion that “the mere expense of testing BMC constitutes
    not suffice to establish an Article III injury. The problem there, however, was that the
    organization failed to show that it had devoted time and resources to any “legal”
    efforts short of pursuing the litigation at hand (such as investigation). 
    Id.
     at 80 n.7.
    Looking at the record here, by contrast, the Center’s potential recovery may well
    encompass more than litigation expenses for the suit at hand. Precisely what kinds of
    damages may properly be recovered by the Center depends on the nature of proof at
    trial and is not an issue before us today.
    29
    ‘injury in fact’ fairly traceable to BMC’s conduct.” 
    Id.
     The court found that funds the
    Council spent on testing BMC “resulted not from any actions taken by BMC, but
    rather from the Council’s own budgetary choices.” 
    Id.
     The court interpreted Havens
    as not supporting such a “self-referential injury . . . [where] the time and money that
    plaintiffs spend in bringing suit against a defendant would itself constitute a sufficient
    ‘injury in fact,’ a circular position that would effectively abolish the requirement
    altogether.” 
    Id. at 1277
    . It acknowledged that Havens contemplated standing based
    upon a “drain on the organization’s resources,” but it interpreted this statement as
    referring to the “drain that apparently sprang from the organization’s need to counter
    the defendants’ assertedly illegal practices, . . . simply another manifestation of the
    injury that those practices had inflicted upon the organization’s noneconomic interest
    in encouraging open housing . . ..” 
    Id.
     (internal quotation marks omitted). The court
    therefore concluded that the organization would have standing based on BMC’s
    actions “against bona fide employment candidates, but not from BMC’s actions
    against the testers.” 
    Id.
    We are unpersuaded that BMC Marketing should be read to apply to this case,
    and conclude instead that the reasoning of the Seventh and Second Circuits provides
    a better approach on this record. In particular, we think the underlying logic of
    Havens is at odds with the D.C. Circuit’s analysis, at least as applied to these unique
    30
    facts.5 The Havens court regarded the identification and combating of discrimination
    as a “concrete and demonstrable” injury, which could cause a drain on organization
    resources and thereby give rise to an organization’s direct standing to sue. Because
    testing helps to identify discrimination, the injuries attributable to the discrimination
    identified by the testing give an organization standing. In allowing the case to
    proceed, the Supreme Court in no way held or even suggested that the organization’s
    right to judicial relief would be tied to a successful recovery on the part of one or all
    of the individual, bona fide purchaser plaintiffs. Rather, the Court simply stated in a
    footnote: “Of course, HOME will have to demonstrate at trial that it has indeed
    suffered impairment in its role of facilitating open housing before it will be entitled
    to judicial relief.” 
    455 U.S. at
    379 n.21.
    Nothing in Havens suggests that a fair housing organization lacks standing to
    recover for damages proximately caused by unlawful conduct toward its testers.
    When a fair housing organization expends resources as a proximate result of the
    defendant’s discriminatory conduct, and those resources would have been devoted to
    5
    We note as well that one of the key premises of the D.C. Circuit’s opinion --
    the notion that the testers did not have individual standing under the Fair Housing Act
    and § 1982 -- is at odds with our precedent. See Watts v. Boyd Properties, 
    758 F.3d 1482
    , 1485 (11th Cir. 1985) (tester had standing to maintain action for housing
    discrimination even though he was motivated solely by a desire to challenge the
    legality of the alleged discriminatory practices); compare BMC Marketing, 
    28 F.3d at 1271
     (attempting to distinguish Watts).
    31
    other activities consonant with its mission were it not for the offending conduct, it
    suffers injury independent of that suffered by individuals in the affected housing
    market. That is so regardless of whether the offending conduct is directed toward its
    testers as opposed to bona fide homeseekers such as the individual plaintiffs here.
    Moreover, we do not agree with the defendants that allowing the Center to seek
    damages, on this record, based on discrimination toward its testers is the equivalent
    of permitting the Center to “create its own injury.” There is an obvious difference
    between the situation highlighted by defendants -- where an organization
    manufacturers the injury necessary to maintain a suit by expending resources on that
    very suit -- and the situation where an organization incurs diversion of resources and
    frustration of purpose damages as a result of specific documented incidents of
    unlawful discrimination toward its testers. In the latter situation, the organization is
    clearly not seeking or inflicting its own injury; the injury is inflicted by the
    defendants. As a matter of law, the Center is entitled to recover for its own injuries
    fairly traceable to the defendants’ illegal conduct.
    In short, even if none of the individual plaintiffs prevail on their claims, the
    Center is still entitled to seek damages proximately caused by defendants’ unlawful
    discrimination toward the testers. We recognize that, in the event none of the
    individual plaintiffs succeed in establishing their discrimination claims, the Center’s
    32
    permissible recovery may be quite limited, because it may then seek only those
    damages that truly flow from the defendants’ unlawful conduct toward its testers.
    But as the Center asserts, on this record the existence and extent of any independent
    injury should have been left to the jury to decide.
    Accordingly, the trial court erred by instructing the jury that it could only find
    for the Center if it first found for one of the individual plaintiffs. It is reversible error
    for a district court to instruct the jury incorrectly regarding the applicable law. See,
    e.g., Gulf Life Ins. Co. v. Folsom, 
    907 F.2d 1115
    , 1121 (11th Cir. 1990) (in order to
    withstand the court’s scrutiny, an incorrect jury instruction must have “no tendency
    to confuse or mislead the jury with respect to the applicable principles of law”); see
    also Busby v. City of Orlando, 
    931 F.2d 764
    , 777 (11th Cir. 1991) (“if there is
    uncertainty as to whether the jury was actually misled, the [district court’s] erroneous
    instruction cannot be ruled harmless”). In this case, not only was the challenged
    instruction misleading, the court’s special interrogatory compounded the problem by
    reinforcing the erroneous jury instruction. The combination of the erroneous jury
    instructions and the erroneous special interrogatories requires a new trial on this
    record. The jury verdict is vacated as to both the Central Alabama Fair Housing
    Center and the individual plaintiffs, and we remand for a new trial consistent with this
    opinion.
    33
    VACATED AND REMANDED.
    34