Alleyne v. New York State Educ. Dep't ( 2008 )


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  • 07-1726- CV
    Alleyne v. New York State Educ. Dep’t
    UNITED STATES COURT OF APPEALS
    FOR THE SECOND CIRCUIT
    _____________________
    August Term, 2007
    (Argued: February 5, 2008                                   Decided: February 14, 2008)
    Docket No. 07-1726-cv
    _____________________
    JEANETTE ALLEYNE , INDIVIDUALLY AND AS NEXT FRIEND AND GUARDIAN OF T.J., ALLEN
    DATOUSH , INDIVIDUALLY AND AS NEXT FRIEND AND GUARDIAN OF T.D., KIM DATOUSH ,
    INDIVIDUALLY AND AS NEXT FRIEND AND GUARDIAN OF T.D., LINDA DOHERTY , INDIVIDUALLY
    AND AS NEXT FRIEND AND GUARDIAN OF M.D., SUSAN HANDON , INDIVIDUALLY AND AS NEXT
    FRIEND AND GUARDIAN OF C.C., LESLIE JOYNER , INDIVIDUALLY AND AS NEXT FRIEND AND
    GUARDIAN OF D.J., LA SHARON JOYNER , INDIVIDUALLY AND AS NEXT FRIEND AND GUARDIAN OF
    C.J., MITCHELL SHEAR , INDIVIDUALLY AND AS NEXT FRIEND AND GUARDIAN OF S.S., MARCIA
    SHEAR , INDIVIDUALLY AND AS NEXT FRIEND AND GUARDIAN OF S.S., AND THE JUDGE
    ROTENBERG EDUCATIONAL CENTER, INC .,
    Plaintiffs-Appellees,
    — v .—
    NEW YORK STATE EDUCATION DEPARTMENT, RICHARD P. MILLS, IN HIS CAPACITY AS
    COMMISSIONER OF EDUCATION OF THE NEW YORK STATE EDUCATION DEPARTMENT AND THE
    NEW YORK STATE BOARD OF REGENTS,
    Defendants-Appellants.
    ___________________
    Before:       NEWMAN , WINTER , AND B.D. PARKER , Circuit Judges.
    ___________________
    Appeal from an order of the United States District Court for the Northern District of New
    York (Sharpe, J.), preliminarily enjoining the implementation of N.Y. Comp. Codes R. & Regs.
    1
    tit. 8, § 200.22(f)(4), which relates to the treatment of children with special needs.
    VACATED AND REMANDED.
    ___________________
    MICHAEL P. FLAMMIA , Eckert Seamans Cherin & Mellott,
    LLC, Boston, MA (Jeffrey J. Sherrin, O’Connell
    and Aronowitz, P.C., Albany, NY, on the brief), for
    Plaintiffs-Appellees.
    JULIE S. MERESON , Assistant Solicitor General (Barbara D.
    Underwood, Solicitor General, Andrew D. Bing,
    Deputy Solicitor General, on the brief) for Andrew
    M. Cuomo, Attorney General of the State of New
    York, Albany, NY.
    ___________________
    PER CURIAM :
    Defendants-Appellants, who are various New York State educational entities, appeal an
    order of the United States District Court for the Northern District of New York (Sharpe, J.),
    preliminarily enjoining the implementation of 
    N.Y. Comp. Codes R. & Regs. tit. 8, § 200.22
    (f)(4), which purports to regulate certain treatments administered to special needs
    students. We vacate the injunction and remand to the district court to allow it to make the
    required findings as to irreparable harm and likelihood of success on the merits.
    BACKGROUND
    Since the 1970s, Appellant New York State Educational Department (“NYSED”) has
    referred special needs students from New York to out-of-state facilities for specialized treatment
    and education. The NYSED makes these referrals pursuant to the Individuals with Disabilities
    Education Act (“IDEA”), 
    20 U.S.C. §§ 1400-1482
    , which creates a statutory right to a “free
    2
    appropriate public education” for disabled students. 
    20 U.S.C. § 1412
    (a)(1)(A).
    Over the years, hundreds of New York students have been sent to the Judge Rotenberg
    Educational Center (“JRC”), a non-profit residential facility in Canton, Massachusetts. JRC is
    licensed, approved, and regulated by various government agencies, including the Massachusetts
    Department of Education and the Massachusetts Department of Mental Retardation. JRC
    emphasizes behavioral therapies rather than medication in addressing its students’ disorders.
    The school initially employs positive reinforcement and non-intrusive methods, which are
    effective for about half of JRC students. If these methods are unsuccessful, JRC may
    supplement a student’s treatment program with “aversive interventions” (also referred to by the
    parties as “aversive therapies,” “aversive treatments,” and simply “aversives”), including skin
    shocks, “contingent” food programs, and physical restraints.
    Parents and guardians must consent in writing to the use of aversive therapies. The
    therapies must also be provided for in the student’s individualized education program (“IEP”),
    which is a key element of the IDEA. 
    20 U.S.C. § 1414
    (d). Pursuant to Massachusetts
    regulations, a Human Rights Committee and a Peer Review Committee must then approve the
    aversive interventions for each student. Additionally, an independent physician must examine
    each student to ascertain if there are any medical reasons not to use aversive therapies, and a
    judge of the Massachusetts Probate Court must, after hearings, approve the therapies.
    According to Appellees, who are the parents and guardians of New York JRC students,
    each student’s behavioral treatment program, including the use of aversives, is designed and
    supervised by “fully qualified doctoral-level clinicians.” However, the aversive therapies are
    3
    typically administered (e.g., the skin shocks are actually applied) by JRC “direct care staff.”
    These staff members must participate in and pass a two-week training program designed by
    JRC’s professional clinicians. JRC also uses experienced staff as “monitors,” either in person or
    via a live-feed video system, to follow the direct care staff. The direct care staff do not have
    licenses or certificates that specifically qualify them to administer aversive treatments.
    In 2006, apparently in response to a suit brought against the NYSED by a parent of a
    former JRC student, the NYSED dramatically increased its scrutiny of JRC and, in particular, its
    use of aversive interventions. Although it had positively assessed JRC’s facilities, policies, and
    practices as recently as November 2005, the NYSED released a report critical of JRC in June
    2006. Effective June 23, 2006, the NYSED promulgated an emergency regulation that generally
    banned the use of aversive interventions, with child-specific exceptions under limited
    circumstances. 
    N.Y. Comp. Codes R. & Regs. tit. 8, § 200.22
    . Starting on June 23, JRC
    complied with the new regulation, restricting the use and availability of aversive interventions
    for many students.
    Appellees, proceeding individually and on behalf of their children, sued Appellants and
    moved for injunctive relief in August 2006, alleging that Section 200.22 violates state and
    federal education laws (including the IDEA), as well as Appellees’ substantive and procedural
    due process and equal protection rights. On September 8, 2006, the district court preliminarily
    enjoined the enforcement of two provisions of the new regulation against the student plaintiffs,
    4
    ensuring that those students could continue to receive aversive treatments.1 Noting Appellants’
    authority under the IDEA to set standards governing special education and related services, the
    court emphasized that it was providing “narrowly tailored relief.”
    Later that month, Appellees raised a concern that, subsequent to the injunction, some
    students’ IEP’s were being revised without parental consent or simply not revised for the new
    school year, the effect of which was to deprive those students of aversive therapies. On October
    2, 2006, the court extended the preliminary injunction to newly added student plaintiffs and
    enjoined the enforcement of a third provision of the regulation.2
    Effective January 15, 2007, Appellants revised the regulation on an emergency basis, and
    included a requirement that “aversive interventions shall be administered by appropriately
    licensed professionals or certified special education teachers in accordance with Part 80 of this
    Title and sections 200.6 and 200.7 of this Part or under the direct supervision and direct
    observation of such staff.” 
    N.Y. Comp. Codes R. & Regs. tit. 8, § 200.22
    (f)(4) (“Section
    (f)(4)”). No New York or Massachusetts law had previously required these specific
    qualifications. Appellees informed the district court by letter about the amended regulation and
    requested an extension of the injunction to cover Section (f)(4). Appellees stated that while they
    believed that JRC employed only qualified individuals to administer the therapies, JRC’s
    1
    The two provisions were § 200.22(f)(2)(vi) (limiting the use of aversives to aggressive
    and self-injurious behavior) and § 200.22(f)(2)(ix) (prohibiting the combined use of aversive
    interventions with mechanical restraints).
    2
    The enjoined provision was § 200.22(e)(1)(ii), requiring the submission of an
    application to the Commissioner of Education concerning the use of aversive interventions by
    October 1, 2006.
    5
    compliance with Section (f)(4) depended on the State’s interpretation of the provision.
    Appellees also brought to the court’s attention the “logistical challenges” that a strict
    interpretation of the new provision could pose. For example, Appellees assert that it would be
    virtually impossible for JRC staff members to continue applying aversive treatments
    immediately after the occurrence of each problem behavior if they had to be directly observed by
    a licensed or certified professional. Additionally, JRC would need to hire significantly more
    “licensed” or “certified” professionals to comply with the revised regulation.
    At a hearing on February 5, 2007, the district court expressed its concern that the revised
    regulation essentially accomplished “what the preliminary injunction forbids” - suspending the
    use of aversive therapies. Appellants argued that they had not yet assessed JRC’s compliance
    with or enforced Section (f)(4), and that even if the new requirements took effect, JRC would
    have time to work towards compliance before being removed from the list of approved schools
    to which the NYSED refers students. Appellants’ counsel also observed that even in a worst
    case scenario, Appellees would have five days to object to the loss of its approved status.3
    The district court indicated that it would extend the injunction to cover Section (f)(4)
    “[f]or the same reasons that I issued the original TRO,” and entered an order to that effect on
    3
    8 N.Y.C.R.R. § 200.7(a)(3)(iv) provides that “[s]chools may be removed from the
    approved list five business days after written notice by the commissioner indicating that there is
    a clear and present danger to the health or safety of students attending the school, and listing the
    dangerous conditions at the school, including, but not limited to, evidence that an approved
    private school is using aversive interventions to reduce or eliminate maladaptive behaviors of
    students without a child-specific exception provided pursuant to section 200.22(e) of this Part or
    that an approved private school is using aversive interventions in a manner inconsistent with the
    standards as established in section 200.22(f) of this Part.”
    6
    February 8, 2007. The order states that “for the reasons set forth in the Court’s September 8,
    2006 Memorandum-Decision and Order, the State Education Defendants are preliminarily
    enjoined from the enforcement of 8 N.Y.C.R.R. § 200.22(f)(4) . . . as to the Plaintiffs in this
    action.” The State defendants appeal this order.
    DISCUSSION
    We review the grant of a preliminary injunction by a district court for abuse of discretion.
    Lusk v. Vill. of Cold Spring, 
    475 F.3d 480
    , 484 (2d Cir. 2007); Moore v. Consol. Edison Co. of
    New York, Inc., 
    409 F.3d 506
    , 511 (2d Cir. 2005). A district court abuses its discretion “when
    (1) its decision rests on an error of law (such as application of the wrong legal principle) or a
    clearly erroneous factual finding, or (2) its decision - though not necessarily the product of a
    legal error or a clearly erroneous factual finding - cannot be located within the range of
    permissible decisions.” Mastrovincenzo v. City of New York, 
    435 F.3d 78
    , 88-89 (2d Cir. 2006)
    (quoting Zervos v. Verizon N.Y., Inc., 
    252 F.3d 163
    , 169 (2d Cir. 2001)) (footnotes omitted). A
    district court may enter a preliminary injunction staying “government action taken in the public
    interest pursuant to a statutory or regulatory scheme” only when the moving party has
    demonstrated that he will suffer irreparable injury, and there is “a likelihood that he will succeed
    on the merits of his claim.” Id. at 89 (quoting Plaza Health Labs., Inc. v. Perales, 
    878 F.2d 577
    ,
    580 (2d Cir.1989)); Able v. United States, 
    44 F.3d 128
    , 131 (2d Cir. 1995).
    Appellants argue that the district court abused its discretion in enjoining the enforcement
    of Section (f)(4) without making findings as to Appellees’ irreparable harm or likelihood of
    success. Appellants contend further that no such findings could have been made, since the
    7
    district court received no evidence or factual showings as to Section (f)(4). We agree that the
    district court’s failure to make findings relating to irreparable harm or likelihood of success on
    the merits seriously impedes appellate review and warrants vacating the injunction.
    The Federal Rules of Civil Procedure provide that “[i]n granting or refusing an
    interlocutory injunction, the court must [] state the findings and conclusions that support its
    action.” Fed. R. Civ. P. 52(a)(2). Additionally, “[e]very order granting an injunction and every
    restraining order must state the reasons why it issued.” Fed. R. Civ. P. 65(d)(A). These
    requirements help “ensure due care by the district court, and . . . aid[s] the appellate court in
    understanding the ground or basis for the trial court’s decision.” Knox v. Salinas, 
    193 F.3d 123
    ,
    129 (2d Cir. 1999) (citation and internal quotation marks omitted); see also N.A.A.C.P. v. Town
    of East Haven, 
    70 F.3d 219
    , 223 (2d Cir. 1995) (“A principal purpose of [Rule 52(a)] is to allow
    appellate review of the district court’s decision.”). We have not hesitated, on numerous
    occasions, to invalidate injunctions for lack of adequate findings. E.g., Knox, 
    193 F.3d at 129
    ;
    Town of East Haven, 
    70 F.3d at 225
    ; Romer v. Green Point Sav. Bank, 
    27 F.3d 12
    , 16 (2d Cir.
    1994); Tekkno Labs., Inc. v. Perales, 
    933 F.2d 1093
    , 1097 (2d Cir. 1991); Small v. Kiley, 
    567 F.2d 164
    , 164 (2d Cir. 1977).
    The district court did not sufficiently articulate its basis for enjoining Section (f)(4),
    precluding meaningful appellate review of the order. The February 8, 2007 order contains no
    findings, and even looking back to the original September 8, 2006 order, to which the February 8
    injunction refers, it is difficult to identify specific findings as to harm or likelihood of success.
    The September 8 injunction alludes only to the fact that “some parents have shouldered the
    8
    unenviable task of caring for severely challenged children for years, believe in the efficacy of
    aversives as applied to their children, and are now caught in the middle.” As to likelihood of
    success, the order observes correctly that Appellees need not meet the more stringent “clear” or
    “substantial” standard, but does not make any findings as to whether Appellees are “likely” to
    succeed on the merits of their claims.
    In the absence of help from the district court, we may mine the record for facts that
    support injunctive relief. See Freedom Holdings, Inc., 
    408 F.3d 112
    , 114 (2d Cir. 2005) (citation
    and internal quotation marks omitted) (when reviewing a preliminary injunction, we “may affirm
    on any ground supported by the record”); Hsu ex rel. Hsu v. Roslyn Union Free Sch. Dist. No. 3,
    
    85 F.3d 839
    , 848 n.1 (2d Cir. 1996) (where the district court did not make any independent
    factual determinations, examining the record and asking “whether injunctive relief is warranted
    based on the undisputed facts”). The record provides substantial support for a finding of harm to
    the student plaintiffs if aversive treatments are suspended, particularly the numerous affidavits
    submitted by the parents that attest to the positive effects of aversives and the adverse
    consequences to their children of suspending those treatments. However, the record is less
    helpful on the specific harms threatened by the licensing requirements of Section (f)(4), and
    silent as to Appellees’ likelihood of success on the merits.
    Remand to the district court for further findings is appropriate where, as here, “the record
    is insufficiently clear to permit us to determine the basis for the district court’s decision.”
    Miranda v. Bennett, 
    322 F.3d 171
    , 175 (2d Cir. 2003) (citation omitted); see also Town of East
    Haven, 
    70 F.3d at 223
     (“Our normal practice is to vacate the order and remand for specific
    9
    findings, ‘if the findings and the record are not sufficient to enable us to be sure of the basis of
    the decision below.’”) (quoting Tekkno Labs., 
    933 F.2d at 1097
    ). We are confident that,
    especially given the harms that could result if the student plaintiffs’ behavioral treatments are
    interrupted, the deficiencies in the district court’s order may be expeditiously remedied.4 We
    acknowledge the pressure placed upon the district court by a swiftly passed emergency
    regulation that the court suspected had been enacted for the purpose of circumventing its earlier
    injunction. In the end, however, an inadequately documented preliminary injunction burdens the
    reviewing court and delays the progress of the case towards an anticipated trial, where the
    serious issues at play in this case may be finally resolved.
    CONCLUSION
    We VACATE the district court’s order of February 8, 2007, enjoining the enforcement of
    § 200.22(f)(4), and REMAND for findings as to irreparable harm and likelihood of success on
    the merits.
    4
    In a letter to this Court dated February 6, 2008, Appellants’ counsel indicated that “[t]he
    [NYSED] does not expect to invoke § 200.7(a)(3)(iv) to enforce compliance with §
    200.22(f)(4).” Furthermore, “even if the department decided to issue a determination of
    noncompliance with subdivision (f)(4) and seek to remove JRC from the approved list, the
    students’ services would continue uninterrupted until each student is transferred to an
    appropriate placement.” The district court would have the authority to ensure that Appellants
    take no other action against JRC on the basis of Section (f)(4) that would disrupt provision of
    aversives to the student plaintiffs for sixty days from receipt of our mandate, while the court
    makes the appropriate findings to support a preliminary injunction. The district court may also
    require Appellants not to change the placement or treatment of the student plaintiffs without
    providing at least thirty days’ notice, in the absence of a true emergency situation. Finally, the
    district court has the authority, of course, to combine a preliminary injunction hearing with a trial
    on the merits and make appropriate findings of fact and conclusions of law. Fed. R. Civ. P.
    65(a)(2).
    10