C.M. v. Board of Education of Union County Regional High School District ( 2005 )


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  •                                                                                                                            Opinions of the United
    2005 Decisions                                                                                                             States Court of Appeals
    for the Third Circuit
    4-19-2005
    C.M. v. Bd of Ed Union Cty
    Precedential or Non-Precedential: Non-Precedential
    Docket No. 04-1407
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    NOT PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    No. 04-1407
    C.M. R.M., individually and on behalf of
    their minor child, B.M.,
    Appellants
    v.
    BOARD OF EDUCATION OF THE UNION COUNTY
    REGIONAL HIGH SCHOOL DISTRICT, Union County New Jersey;
    DONALD MERACHNIK, Superintendent, in his official capacity;
    JOHN CHRISTIANO, Director of Special Services, in his official capacity and
    individually; CAROL RIEGEL, School Psychologist, in her
    official capacity and individually; PATRICIA HANIGAN, School
    Learning Disabilities Teacher/Consultant, in her official
    capacity and individually; FRANK IMBRIACO, School Social
    Worker, in his official capacity and individually; MARTIN
    MAYER, in his official capacity and individually; LAURIE
    NEURODEVELOPMENTAL INSTITUTE, in its official capacity
    ON APPEAL FROM AN ORDER OF THE UNITED STATES DISTRICT
    COURT FOR THE DISTRICT OF NEW JERSEY
    (Dist. Court No. 95-cv-02743)
    District Court Judge: Dennis M. Cavanaugh
    Argued: November 2, 2004
    Before: ALITO, FUENTES, and STAPLETON, Circuit Judges
    (Opinion Filed: April 19, 2005)
    CAROL MATULA (Argued)
    Haber & Silver
    123 Columbia Turnpike
    Suite 103A
    Florham Park, NJ 07932
    Counsel for Appellant
    STEPHEN J. EDELSTEIN (Argued)
    (Bd of Ed of the Union Cty., et al.)
    Schwartz, Simon, Edelstein,
    Celso & Kessler
    10 James Street
    Florham Park, NJ 07932
    MARY J. HAMMER (Argued)
    (Carol Riegel, etc.)
    Bucceri & Pincus
    1200 Route 46
    Clifton, NJ 07012
    FRANZ J. SKOK (Argued)
    (Martin Mayer, etc.)
    Johnstone, Skok, Loughlin & Lane
    324 East Broad Street
    P.O. Box 490
    Westfield, NJ 07091
    Counsels for Appellees
    OPINION OF THE COURT
    2
    PER CURIAM:
    The parties are familiar with the facts of this case, so we need not recite them. We
    affirm in part, vacate in part, and remand to the District Court so that it may decide
    whether Plaintiffs are entitled to injunctive, declaratory, or other appropriate relief with
    respect to the Individuals with Disabilities in Education Act (“IDEA”) claims that the
    District Court found moot.
    I.
    The District Court held that Plaintiffs’ claims under the IDEA, 20 U.S.C. § 1400 et
    seq., are moot because B.M. graduated from high school in 1996.1 See Joint Appendix
    (“A”) 41; 47-48. Citing Board of Education of Oak Park v. Nathan R., 
    199 F.3d 377
    (7 th
    Cir. 2000), the District Court reasoned that, since B.M. is “not seeking compensatory
    education or other ongoing relief,” there is no live controversy to adjudicate. See A48.
    We disagree.
    A.
    Nathan R. cannot control the outcome of this case for two reasons. First, unlike
    1
    The District Court also held that Plaintiffs’ claims under the Federal Educational
    Rights and Privacy Act of 1974 (“FERPA”), 20 U.S.C. § 1232g(a)(2), are moot.
    Plaintiffs only mention this statute once in their 80-page brief, and they offer no legal
    arguments as to why the District Court’s holding was erroneous. We therefore deem the
    issue waived. See Laborer’s Int’l Union v. Foster Wheeler Corp., 
    26 F.3d 375
    , 398 (3d
    Cir. 1994) (finding an issue waived because “passing reference to an issue . . . will not
    suffice to bring that issue before this court”) (citations and quotations omitted). Even if it
    were not waived, Plaintiffs have no private right of action under the FERPA itself or via
    42 U.S.C. § 1983. See Gonzaga Univ. v. Doe, 
    536 U.S. 273
    (2002).
    3
    the Third Circuit, the Seventh Circuit forecloses the compensatory and punitive damages
    sought here. It limits money awards under the IDEA to reimbursements of the cost of
    obtaining educational services that the school districts should have provided under the
    IDEA. See Sch. Comm. v. Dep’t of Educ., 
    471 U.S. 359
    , 369-70 (1985) (authorizing
    reimbursement and prospective injunctive relief under the IDEA’s predecessor); Charlie
    F. v. Board of Educ., 
    98 F.3d 989
    (7 th Cir. 1996) (“we conclude that damages are not
    ‘relief that is available under’ the IDEA”); Weyrick v. New Albany-Floyd County Consol.
    Sch. Corp., 
    2004 WL 3059793
    at *6-8 (S.D. Ind. 2004) (“To the extent plaintiffs seek
    ‘monetary damages’ . . . or ‘punitive damages’ . . ., as opposed to reimbursement or
    compensatory services, they seek relief that is not available under the IDEA.”).
    In this Circuit, a broader array of remedies is available for 42 U.S.C. § 1983 suits
    seeking redress of IDEA violations. Although we have “not settled whether damages are
    recoverable in an action arising solely under IDEA,” Bucks County Dep’t of Mental
    Health / Mental Retardation v. Pennsylvania, 
    379 F.3d 61
    , 68 n.5 (3d Cir. 2004) (citations
    omitted), we have held that “in a § 1983 action to enforce IDEA, . . . compensatory
    damages are available to remedy IDEA violations.” W.B. v. Matula, 
    67 F.3d 484
    , 494
    (3d Cir. 1995) (citation omitted). See also Ridgewood Bd. of Educ. v. N.E., 
    172 F.3d 238
    , 252 (3d Cir. 1999). We found “that the traditional presumption in favor of all
    appropriate relief is not rebutted as to § 1983 actions to enforce IDEA,” and suggested
    that “compensatory damages for generalized pain and suffering” may be available in
    4
    certain § 1983-based IDEA claims. 
    Matula, 67 F.3d at 495
    . Thus, so long as the relief
    B.M. seeks is deemed “appropriate” in this case, it is awardable under Matula.2
    Second, beyond this legal difference between our Circuit and the Seventh, the
    specific remedies sought in each case differ as well. Nathan R.’s case was moot because
    he requested only special education services, which were to be provided while he was in
    high school. See 
    id. at 378.
    Once he graduated, his need for these services disappeared,
    and “no action [the Seventh Circuit] could take would affect his or the School’s rights.”
    
    Id. at 381.
    In contrast, B.M. seeks a full panoply of remedies, including declaratory and
    injunctive relief and compensatory and punitive damages. Remedies of this sort do not
    expire upon graduation. For example, if B.M. could demonstrate that the Defendants
    caused him quantifiable harm through violations of the IDEA, he could recover
    compensatory damages. Plaintiffs may also merit further injunctive relief if they can
    prove (as they insisted at oral argument) that copies of B.M.’s records remain
    outstanding. In short, unlike in Nathan R., the District Court can still take actions that
    will affect Plaintiffs’ and Defendants’ rights, so the case is not moot.3
    2
    According to Matula, even punitive damages may be available. 
    See 67 F.3d at 495
    (citing Woods v. N.J. Dep’t of Educ., 
    796 F. Supp. 767
    (D.N.J. 1992) with approval for
    the proposition that “compensatory and punitive damages are available in [a] § 1983
    action for IDEA violations”).
    3
    Two further points warrant mentioning. First, it is unclear whether the District
    Court’s remark, “It should be noted that this Court gives little weight or credibility to the
    testimony of the Plaintiffs,” was addressed to this claim. See A76. If it was, such
    credibility determinations alone are insufficient to satisfy the requirements of Rule 52(c),
    under which the District Court purported to act. See Newark Branch NAACP v. City of
    5
    B.
    Although we hold that Plaintiffs’ claims are not moot, we need not remand all of
    them. In particular, Plaintiffs’ allegations are insufficient to state a claim for damages
    under the IDEA because they fail to allege any identifiable injury.
    Other circuits have established that only those procedural violations of the IDEA
    which result in loss of educational opportunity or seriously deprive parents of their
    participation rights are actionable. For example, in W.G. v. Board of Trustees, 
    960 F.2d 1479
    (9th Cir. 1992), the Ninth Circuit rejected the notion that procedural flaws
    “automatically require a finding of a denial of a [free and appropriate public education
    under the IDEA].” 
    Id. at 1484.
    Instead, the Court held that only “procedural
    inadequacies that result in the loss of educational opportunity or seriously infringe the
    parents’ opportunity to participate in the IEP formulation process clearly result in the
    denial of a [free and appropriate public education].” 
    Id. (citations omitted).
    Similarly,
    the First Circuit observed that “procedural flaws do not necessarily render an
    Bayonne, 
    134 F.3d 113
    (3d Cir. 1998) (holding that the district court must make findings
    of fact adequate to understand the basis for the court’s decision under Fed. R. Civ. P.
    52(c)).
    Second, to the extent, if any, that the Court’s disposition of this claim rests on
    collateral estoppel, see A77, a decision of the Office of Administrative Law is not binding
    because the erroneous decision of the District Court on mootness rendered that decision
    unreviewable. See, e.g., J.S.K. v. Hendry County Sch. Bd., 
    941 F.2d 1563
    , 1569 (11th
    Cir. 1991) (holding that judicially unreviewed state administrative hearings have no
    preclusive effect in federal court); Drinker v. Colonial Sch. Dist., 
    888 F. Supp. 674
    , 680
    (E.D. Pa. 1995), aff’d on other grounds, 
    78 F.3d 859
    (3d Cir. 1996) (unreviewed state
    administrative law IDEA proceedings do not have a preclusive effect upon the federal
    court system).
    6
    [Individualized Education Plan (“IEP”)] legally defective” and held that “[b]efore an IEP
    is set aside, there must be some rational basis to believe that procedural inadequacies
    compromised the pupil’s right to an appropriate education, seriously hampered the
    parents’ opportunity to participate in the formulation process, or caused a deprivation of
    education benefits.” Roland M. v. Concord Sch. Comm., 
    910 F.2d 983
    , 994 (1st Cir.
    1990) (en banc) (citations omitted). Consistent with those holdings, the Sixth Circuit
    rejected an IDEA claim for technical noncompliance with procedural requirements where
    the alleged violations did not result in “substantive deprivation,” see Thomas v.
    Cincinnati Bd. of Educ., 
    918 F.2d 618
    , 625 (6th Cir. 1990), and the Fourth Circuit
    refused to award compensatory educational services where procedural faults committed
    by Board did not cause the child to lose any educational opportunity, see Burke County
    Bd. of Educ. v. Denton, 
    895 F.2d 973
    , 982 (4th Cir. 1990).
    A plaintiff bears the burden of establishing the harm caused by the claimed
    procedural shortcomings, and Plaintiffs here clearly have not met that burden. Their
    primary contentions relating to harms are that B.M.: (1) was deprived of an “appropriate
    education” under the IDEA during his sophomore year and the first part of his senior
    year; (2) was subject to constant harassment at school; (3) was unable to transfer because
    any new school would require his tainted records; and (4) faced obstacles to his post-
    secondary education. But Plaintiffs’ bare allegations notwithstanding, the District Court
    found that they were “unable to produce any evidence to convince this Court that B.M.
    7
    was excluded from participation in, denied the benefits of, or subject to discrimination at
    school.” A50. It follows that B.M. suffered no educational loss.
    The record is also adequate to show – based on undisputed facts – that the parents
    actively participated in the development of B.M.’s IEP at multiple stages. See Target
    
    Range, 960 F.2d at 1484
    (identifying loss of opportunity for parental participation as an
    alternative type of educational injury under IDEA); 
    Roland, 910 F.2d at 994
    . B.M.’s
    parents’ claim that they were deprived of the opportunity to participate in particular
    isolated decisions is insignificant in light of their extensive influence over every step of
    B.M.’s education at Livingston.
    Finally, though Plaintiffs did successfully remove certain reports from B.M.’s
    records, and while other reports were prepared that should not have been, the damages
    arising from those reports and their brief and limited use are purely speculative. See
    Taylor Milk Co. v. Int’l Bro. of Teamsters, 
    248 F.3d 239
    , 247 (3d Cir. 2001). Because
    there are no facts on record that suggest B.M.’s educational interests were prejudiced by
    his school’s various procedural errors, no damages are available to petitioners on their
    IDEA claims.
    The absence of injury similarly precludes any damages award with respect to
    Plaintiffs’ § 1983 claims based on alleged IDEA violations. For the same reasons that
    Plaintiffs cannot show that B.M. suffered a loss of educational opportunity or that his
    parents suffered a loss of participation in developing B.M.’s educational program, it
    8
    cannot be said that petitioners suffered anything more than de minimis injury.
    Accordingly, no damages are available to petitioners based on their § 1983 claims. See
    Suppan v. Dadonna, 
    203 F.3d 228
    , 235 (3d Cir. 2000) (stating that to be actionable a
    Section 1983 tort requires more than de minimis injury).
    II.
    Plaintiffs appeal the District Court’s rulings in favor of the Defendants on several
    additional claims. They include: 1) summary judgment for Defendant Riegel on
    Plaintiffs’ “brownie incident” claim; 2) summary judgment for the Defendants on
    Plaintiffs’ substantive Due Process claims; 3) the District Court’s order appointing
    Edelstein as custodian; and 4) its denial of certain discovery requests.4
    A.
    Plaintiffs contest the District Court’s holding that Defendant Riegel did not
    violate their rights during the so-called “brownie incident.” They argue that Riegel’s
    actions offended the First Amendment because they constituted retaliation against B.M.
    and his parents for filing a legal complaint in this case. We review the grant of summary
    judgment de novo, viewing the facts in the light most favorable to the Plaintiffs. Fogarty
    v. Boles, 
    121 F.3d 886
    , 887 (3d Cir. 1997).
    On September 15, 1995, B.M.’s Child Study Team (“CST”) held an open house.
    4
    The District Court also granted summary judgment for Defendants on claims under
    Section 504 of the Rehabilitation Act of 1973, 29 U.S.C. § 794. Plaintiffs did not raise
    this issue in their brief, so we do not address it on appeal.
    9
    The CST members stayed in one room, called a “resource room,” and teachers stopped in
    during their free periods to discuss the CST’s students and their Individualized Education
    Plans. The room had a table full of refreshments. As he usually did, B.M. entered the
    room that morning and dropped off his belongings. He asked a teacher in the room if he
    could take an item from the refreshment table. She said yes, but he did not take anything
    at that time. Around lunchtime, B.M. returned and took a brownie from the refreshment
    table. Carol Riegel jumped up and grabbed B.M.’s arm with one hand, using the other to
    pry the brownie from B.M.’s hand and set it back on the table. After the incident, B.M.
    cursed and left the room. He sustained no physical injuries, and did not visit the school
    nurse. A1303-04. He later explained that he was angry not because of the event itself,
    but because he could not retaliate without suffering severe consequences. A1306-07.
    In a 42 U.S.C. § 1983 suit for retaliation under the First Amendment, a plaintiff
    must show: (1) that he was engaged in protected activity; (2) that the government
    responded with retaliation; and (3) that the protected activity was the cause of the
    retaliation. Estate of Smith v. Marasco, 
    318 F.3d 497
    , 512 (3d Cir. 2002). Defendants
    object on each element, but their causation argument is most persuasive.
    Summary judgment was proper because Plaintiffs failed to raise a genuine issue as
    to whether there is a causal connection between B.M.’s lawsuit and the brownie incident.
    See Robinson v. Pittsburgh, 
    120 F.3d 1286
    , 1302 n.16 (1997). Riegel appears to have
    taken the brownie from B.M.’s hand because she thought he was breaking the rules, not
    10
    because “she was furious that this litigation had achieved what she had lobbied against
    when she conspired with Christiano and Simon to make sure that her report would
    continue to be available for use in planning B.M.’s education.” Plaintiff’s Brief at 54.
    The three-month gap between the filing of a complaint and the incident is not so close as
    to be unusually suggestive of retaliatory motive, especially since such an obvious and
    unimpeached non-retaliatory motive exists. Krouse v. Am. Sterilizer Co., 
    126 F.3d 494
    ,
    504 (3d Cir. 1997) (internal quotations and citations omitted).
    B.
    Plaintiffs also claim that the District Court erred in granting summary judgment for
    the Defendants on their substantive Due Process claims. First, Plaintiffs allege a violation
    of their constitutional right to privacy when C.M.’s and R.M.’s addresses, ages,
    occupations, and educational histories were included on B.M.’s school records, which
    were disseminated to various parties related to the ongoing litigation. Citing Nixon v.
    Adm’r of GSA, they claim that “[i]f a plaintiff has a reasonable expectation of privacy,
    the Constitution protects against the disclosure of this information.” 
    433 U.S. 425
    , 458
    (1977).
    All of the cases Plaintiffs cite are inapposite. Nixon, for example, held that the
    former President’s right to privacy was not violated by a statute that required preservation
    of certain Presidential materials. To the extent that this case is relevant, it actually cuts
    against Plaintiffs, because it allowed archivists to screen the Presidential materials to
    11
    separate and give back those materials that were entirely private. See 
    id. at 455-65.
    Another case cited by Plaintiffs, Whalen v. Roe, 
    429 U.S. 589
    (1977), also militates
    against their position. Whalen sustained the constitutionality of a New York statute
    requiring a database containing the name, address, and age of every person who obtained
    prescription drugs for which there were both lawful and unlawful markets. Although the
    database could be accessed by certain health department and investigatory personnel, the
    Court found that it did not amount to “an invasion of any right or liberty protected by the
    Fourteenth Amendment.” 
    Id. at 605.
    No case cited by the Plaintiffs even approaches the
    proposition that the Constitution is offended by disclosure of parents’ occupations or
    educational histories to court reporters, insurers, attorneys, and expert witnesses during
    the course of litigation.
    Moreover, the IDEA, which Plaintiffs claim “provide[s] a basis for an expectation
    of privacy in school records,” does not require that this kind of parental information
    should be kept confidential in this context. Indeed, it specifically exempts from its
    confidentiality requirements “the student’s name, address, telephone listing, date and
    place of birth, major field of study, dates of attendance, degrees and awards received, and
    the most recent previous educational agency or institution attended by the student.” See
    20 U.S.C. § 1417(c) (directing the Secretary of Education to comply with 20 U.S.C. §
    1232g); 20 U.S.C. § 1232g(A)(5)(A) (defining “directory information” exempt from
    confidentiality requirements). Nowhere does the IDEA state that parental “directory
    12
    information” should be confidential. In fact, the only parental information the IDEA
    protects is financial records. See 
    id. § 1232g(a)(1)(C).
    Plaintiffs also challenge disclosure of B.M.’s school records, including his
    psychological reports, to the Department of Education Office for Civil Rights (“OCR”),
    defendants’ insurance carrier, prospective counsel, defendants’ expert, and the
    psychiatrist (Martin Mayer) engaged to evaluate B.M. For the following reasons, we
    believe these disclosures did not breach the confidentiality of B.M.’s records and did not
    violate his right to privacy.
    C.M. filed a complaint with the OCR in 1993 alleging that the school district
    discriminates on the basis of disability. Defendant Merachnik disclosed B.M.’s records
    to the OCR only after it requested them in a letter citing federal regulations requiring that
    the OCR be provided with all pertinent documents. See Defendants’ Supplemental
    Appendix (“DA”) at 88-90; see also 34 C.F.R. § 100.6(c); 34 C.F.R. § 104.61.
    Disclosures to the OCR were thus clearly authorized under 20 U.S.C. § 1232g(b)(3),
    which provides that FERPA’s confidentiality provisions, incorporated by IDEA, do not
    preclude access to student records necessary to enforce federal law. See also 34 C.F.R.
    § 99.31(1)(3)(iii).
    Second, Petitioners challenge disclosures to Livingston’s insurer. But the
    insurance carrier was entitled to legal documents, including attachments, pursuant to the
    terms of its insurance agreement with Livingston. See DA3. And it is well-established
    13
    that insured parties stand in a special relationship with their insurers, who as real parties
    of interest, are entitled to access documents on which their liability may turn. See Gray v.
    Comm. Union Ins. Co., 
    468 A.2d 721
    , 725 (N.J. App. Div. 1983).
    Third, Petitioners claim that defendant John Christiano improperly provided
    confidential documents to an attorney from whom he sought possible legal representation.
    But Christiano did not have to wait until he formally engaged an attorney before he
    shared documents critical to his case; otherwise, neither he nor the lawyer could make an
    informed decision regarding representation. See In re Bevill, Bresler & Schulman Asset
    Manag. Corp., 
    805 F.2d 120
    , 124 n.1 (3d Cir. 1986).
    Fourth, Petitioners challenge Livingston’s disclosure of B.M.’s records to its
    expert. However, because experts function as agents of counsel and are themselves
    bound by a duty not to disseminate confidential documents they receive in that capacity,
    disclosure to experts does not constitute a breach of confidentiality or privacy. See State
    v. Davis, 
    561 A.2d 1082
    , 1092 (N.J. 1989).
    Finally, disclosures to Dr. Mayer were permissible because IDEA specifically
    provides that “individuals who have knowledge or special expertise” and certain
    “qualified professionals” may participate in the evaluation of disabled children. 20
    U.S.C. § 1414(d)(1)(B); 20 U.S.C. § 1414(c)(1). It is implausible that Congress intended
    to restrict those individuals’ access to children’s school reports. Corollary New Jersey
    state regulations similarly contemplate access by professionals involved in developing a
    14
    disabled child’s IEP. See N.J.A.C. 6A:14-2.3(i)(1)(vi). Accordingly, defendants’
    disclosures to Mayer were not improper.
    In sum, though his parents have defended the confidentiality of B.M.’s records
    with the avowed purpose of protecting his post-secondary educational opportunities, no
    confidential records were released to any individual or entity that could jeopardize B.M.’s
    educational or other interests. All those given access were entitled to it.
    Plaintiffs’ second substantive Due Process claim – that they lost the right to
    educate their child as they saw fit – merits little discussion. Contrary to Plaintiffs’
    assertions, the violations alleged in this case do not implicate the right to send one’s child
    to a competent nonpublic school, see Pierce v. Soc’y of Sisters, 
    268 U.S. 510
    (1925), the
    right to study a foreign language, see Meyer v. Nebraska, 
    262 U.S. 390
    (1923), or a
    patient’s right to refuse unwanted medical treatment. See White v. Napoleon, 
    897 F.2d 103
    , 114 (3d Cir. 1990). Because Plaintiffs have not offered a single precedent in support
    of their argument, the District Court properly found that they did not raise an issue of
    material fact as to whether they were denied the right to educate their child as they see fit.
    C.
    Plaintiffs next argue that the District Court’s Order aimed at preserving the
    confidentiality of B.M.’s records constituted an abuse of discretion. The Court ordered
    that Stephen Edelstein, counsel for defendants,
    collect all of B.M.’s school records . . . [and] hold these records in his office
    in a locked and secure location which is accessible only to him, until the
    15
    termination of this matter or the further Order of this Court, at which time
    the records and any copies thereof shall be disposed of in accordance with
    this Court’s Order.
    A36. It further required Edelstein to obtain any of B.M.’s records that were in the
    possession of insurance carriers. 
    Id. Plaintiffs argue
    that this ruling was an abuse of discretion because it was both too
    broad and too narrow. First, they fault the District Court for requiring Edelstein to
    “destroy all of B.M.’s pupil records at the end of this case.” Plaintiffs’ Brief at 59. But
    the Order does not mandate destruction. It merely states that B.M.’s records should be
    collected in one location until the end of litigation, pending further direction from the
    Court. Second, Plaintiffs argue that “[t]he Court should only have ordered the challenged
    records to be expunged and the remainder of his records returned to his school district.”
    
    Id. This request
    is puzzling, since B.M.’s school district was dissolved in 1997. Even if
    the records could be returned to the defunct district, Plaintiffs have not demonstrated why
    they should be able to redact records merely because they have challenged them, before
    any court has determined that they are legally flawed.5 The District Court’s Order was
    not an abuse of discretion.
    D.
    In an October 4, 1999 Order, a Magistrate Judge in this case refused to allow
    5
    As explained above in Part I, Plaintiffs will have an opportunity on remand to
    show that redaction or expungement of certain records is “appropriate relief” under the
    IDEA and § 1983.
    16
    Plaintiffs to subject certain Defendants to additional interrogatories and depositions well
    after the original discovery deadline had passed. The Judge did permit three
    interrogatories which he felt were representative of the rest. DA115. He authorized
    future discovery if the fruits of the three interrogatories justified it. 
    Id. Far from
    being an
    abuse of discretion, this ruling sensibly balanced the competing interests of justice and
    efficiency in light of the protracted discovery that had already taken place in this case.
    See Lloyd v. Hovensa, LLC., 
    369 F.3d 263
    , 274-75 (3d Cir. 2004); Brumfield v. Sanders,
    
    232 F.3d 376
    , 379-80 (3d Cir. 2000).
    III.
    For the foregoing reasons, we affirm the ruling of the District Court with respect to
    all claims except Plaintiffs’ pleas for declaratory and injunctive relief under the IDEA.
    The District Court’s holding with respect to those claims is vacated, and the matter is
    remanded for further consideration. The District Court should also review the need for
    additional discovery in light of this opinion.
    C.M. v. BOARD OF EDUCATION – No. 04-1407
    STAPLETON, Circuit Judge, concurring and dissenting:
    I am able to join most,6 but not all, of the Court’s opinion. I would remand with
    6
    In particular, I agree that we should affirm the District Court’s resolution of all of plaintiffs’
    constitutional claims, their privacy claims based on statutory grounds, and their claims arising
    17
    instructions that the District Court should promptly try plaintiffs’ First Cause of Action
    and determine whether they are entitled to declaratory, injunctive, or damage relief,
    together with attorneys’ fees and costs, on that claim.
    This controversy originated over twelve years ago, and this suit will soon have its
    tenth anniversary. It appears to me that in part because of the adversarial stance of the
    parties over all of those years and the efforts of the plaintiffs to convert a relatively
    straightforward claim into a cause celebre, the parties and the District Court have lost
    sight of plaintiffs’ original and primary claim. Because that claim may have merit, may
    entitle plaintiffs to important relief, and, yet, has never been adjudicated, I would remand
    and direct that expedited attention be given to it.
    Section 1414(b)(3)(B) of the IDEA provides that “[e]ach local educational agency
    shall ensure that . . . any standardized tests that are given to the child . . . have been
    validated for the specific purpose for which they are used.” 20 U.S.C. § 1414(b)(3)(B).
    Section 1415(b) gives a parent a right to “prior notice” whenever the agency proposes to
    initiate or change the evaluation of the child, which under § 1415(c) must include a
    description of each evaluation procedure or test. Section 1415(b)(6) provides that parents
    must be able to file a formal complaint “with respect to any matter relating to the . . .
    evaluation of the child,” which necessarily includes the right to complain about not
    out of the alleged disclosure of B.M.’s records to attorneys, insurers, experts and Dr. Mayer. I
    also agree that the District Court erred in dismissing plaintiffs’ First and Fifth Causes of Action
    as moot and in giving collateral effect to an administrative determination that was not subject to
    judicial review because of that mootness ruling.
    18
    receiving appropriate notice or the giving of a test that was not validated. If the parent is
    not satisfied with the response to the complaint, access to an administrative process is
    provided, see § 1415(f) and (g). And finally, under § 1415(i)(2)(A), “any party aggrieved
    by the findings and decision [in the administrative process] shall have the right to bring a
    civil action with respect to the complaint” in a state or federal District court, and the court
    is to grant “such relief as [it] determines to be appropriate.” While it must give “due
    weight” to the administrators’ proceedings, it must accept additional evidence and make
    an independent decision based on “the preponderance of the evidence.”
    In this case, B.M.’s parents filed a complaint with the school about invalid and
    unreliable testing and lack of proper parental notice that, along with other procedural
    violations of IDEA, allegedly produced an evaluation of B.M. which was inaccurate,
    misleading and damaging to him. They sought expungement of that evaluation, which
    was denied by the defendants. They proceeded through the administrative process and
    were ultimately denied relief. The parents then filed this suit in the District Court asking
    it, inter alia, expunge the harmful record.
    The plaintiffs’ “First Cause of Action” asks the District Court to review the
    administrative proceedings and grant the appropriate relief there denied. It spells out the
    various procedural violations of the IDEA that had produced the allegedly misleading
    evaluation of B.M. and then alleges as follows:
    84. B.M. is expected to enter college under admission procedures
    developed for special education students. The procedures typically require
    19
    submission of a school psychologist’s report, as indicated in written
    material provided to the student by his guidance counselor at GL, Mrs.
    Menk, and as corroborated in other sources.
    85. If the Board is not enjoined from disclosing the challenged
    records in B.M.’s file to potential post-secondary education programs in
    which B.M. seeks to enroll, he will be effectively foreclosed from applying
    to those programs. B.M. will be irreparably damaged by his inability to
    pursue post-secondary education and the concomitant emotional distress.
    86. As a result of the district’s failure to follow state and federal
    regulations regarding evaluations, C.M. and R.M. cannot agree to any
    further evaluations by the district and are forced to incur expenses in having
    the psychological and educational evaluations required for college
    admissions to programs for the learning disabled done privately.
    87. B.M.’s educational records must be maintained after graduation
    so that he can document his need for accommodations in post-secondary
    education and the work place under § 504. Because the records sought to
    be expunged provide harmful and inaccurate information, B.M. will be
    irreparably harmed by their disclosure to post-secondary programs and
    employees if the Board is not enjoined from disclosing the challenged
    records to said programs and employees.
    88. The evaluations written by Ms. Riegel and Dr. Mayer which
    were relied upon by the CST caused the CST to provide an improper
    program for B.M. As a result of this improper program the parents were
    forced to challenge the IEP developed by the CST resulting in legal and
    expert fees. Plaintiffs have been harmed, because they have not received
    reimbursement of attorney’s fees and related costs for over a year since
    these costs have been expended. Plaintiffs seek unreimbursed fees and
    costs, including pre- and post-judgment interest if accrued.
    A.985-86.
    This Count asks the District Court to declare that “if the defendant Board is not
    enjoined from disclosing the challenged records to post-secondary programs in which
    B.M. intends to enroll or [to] potential employers, B.M. will suffer irreparable harm.”
    A.988. In addition to compensatory and punitive damages, Count One asks the District
    Court to enter an injunction (a) “[d]irecting the . . . Board to expunge the [challenged]
    20
    records,” (b) “[d]irecting that no party communicate information relating to the
    challenged material including the release of any document which references the
    challenged reports,” and (c) “[d]irecting that any document which incorporates any
    portion of the expunged record be retrieved. . . .”. A.988.
    In an opinion dated December 19, 2002, the District Court, while acknowledging
    that the IDEA “clearly grants parents specific procedural rights which they may enforce
    in administrative proceedings as well as in federal court,” A.47, dismissed plaintiffs’ First
    Cause of Action as moot, explaining:
    There is no live case or controversy before the Court. B.M. has
    graduated from high school. B.M. did not suffer any harm as a result of any
    of Defendants’ alleged violations, and is not seeking compensatory
    education or other ongoing relief. The Court recognizes that Plaintiffs are
    concerned about the dissemination of an allegedly flawed evaluation, but
    the Court remedied this issue at oral argument with an order that all copies
    of B.M.’s evaluation that had been disseminated were to be collected and
    retained in one central location and no further dissemination should occur.
    There is no potential harm to Plaintiffs from the dissemination of the
    evaluation as all copies have been contained.
    A.48.
    The order referred to by the District Court, entered on December 17, 2002,
    directed that efforts be made to trace and retrieve any of B.M.’s records no longer held by
    the school and ordered that B.M.’s records be held by defense counsel “in his office in a
    locked and secure location which is only accessible to him, until the termination of this
    matter or the further Order of this Court, at which time the records and any copies thereof
    21
    shall be disposed of in accordance with this Court’s Order. . .” A.36.7 The District Court
    terminated this case by dismissing the last of the plaintiffs’ claims on January 13, 2004. It
    gave no instructions with respect to the expungement or disposition of the challenged
    documents. Nor does anyone claim that it has done so since.
    In addition to dismissing plaintiffs’ First Cause of Action as moot, the District
    Court’s December 19, 2002, opinion disposed of all of plaintiffs’ claims with the
    exception of the claims included in its “Fourth Cause of Action.” 8 These claims were
    based on § 1983 and alleged constitutional violations. See A.52-53. Following a motion
    for clarification of its order implementing the December 19, 2002, opinion, the District
    Court entered an order providing in part as follows:
    ORDERED that the remaining claims against Defendants are as
    follows: (1) U.S.C. § 1983 claims against Defendant Union County School
    District and Defendants Merachnik, Christiano, Hanigan, Imbriaco, Mayer
    and Riegel in their official capacities, but not as to punitive damages; (2) a
    42 U.S.C. § 1983 claim against Defendant Riegel in her individual capacity;
    (3) Defendant Laurie Neurodevelopmental remains in the case to the extent
    that LNI might be liable to Plaintiffs for attorneys’ fees if the Court were to
    find that attorneys’ fees should be awarded.
    7
    Like my colleagues, I find no abuse of discretion in the entry of this order. It was a reasonable
    temporary measure, but it did not adjudicate plaintiffs’ First Cause of Action.
    8
    In the December 19, 2002, opinion, summary judgment was granted to the defendants on Count
    Two, a claim under § 504 of the Rehabilitation Act, because “[p]laintiffs are unable to produce
    any evidence to convince this Court that B.M. was excluded from participation in, denied the
    benefits of, or subject to discrimination at school. . . .” A.50. Summary judgment was also
    granted on Count Three based on the doctrine of law of the case. With respect to Count Four,
    plaintiffs’ First Amendment claim was found to be “completely without merit,” as was their Due
    Process claim based on the “Brownie” incident. A. 52-53. Count Five, a parallel to Count One
    based on state law, was dismissed as moot. Thus, the only claims surviving were Count Four §
    1983 claims based on alleged constitutional violations. A.52-53.
    
    22 A. 63-64
    . Given the text of the December 19, 2002, opinion, this order can only be read
    as preserving only Count Four § 1983 constitutional claims. See 
    fn.2, supra
    . It
    necessarily follows that plaintiffs’ First Cause of Action and the IDEA violations there
    alleged were not before the Court at the time of the subsequent trial.9 This means that
    plaintiffs have never been called upon to come forth with their evidence supporting
    liability and relief on their First Cause of Action.10
    The Court today expressly and correctly holds that plaintiffs’ First Cause of Action
    is not moot and that plaintiffs may be entitled to declaratory and injunctive relief on that
    claim. Moreover, I am confident that my colleagues would find the plaintiffs entitled to
    attorneys’ fees and costs should they be successful in obtaining such relief. 20 U.S.C. §
    9
    In its opinion following trial, the District Court stressed that it had previously “dismissed all of
    Plaintiffs’ claims pursuant to the IDEA and the Rehabilitation Act” and, accordingly, “Plaintiffs
    [had] no means by which to overturn the Office of Administrative Law decision.” A.77. The
    District Court’s ultimate conclusion with respect to the claims that were tried was: “In order to
    establish a claim under § 1983, a plaintiff must establish that [his] constitutional rights have been
    violated, which Plaintiffs utterly fail to do.” A.78.
    10
    C.M. was asked at trial what “harm” had resulted from the report containing the allegedly false
    evaluation of B.M. In response, she testified about the pre-litigation “out of pocket” expenses
    she and her husband had incurred in attempting to get the defendant to expunge the misleading
    and harmful report, mentioning in addition to attorneys’ fees “costs for transcripts” of the
    administrative hearing, “library copying costs,” the “cost for obtaining the records from the
    Office of Civil Rights.” She also spoke of the cost of consultations with Dr. Schneider, an
    expert. It is unclear whether Dr. Schneider was engaged as a witness or to provide the accurate
    psychological and educational evaluations required for college admission which should have
    been provided by the school. More important, C.M. testified, was the fact that because of
    concern about the education B.M. was getting, B.M. and his parents attempted to have B.M.
    moved to a different school but were unsuccessful in doing so because any new school would
    insist on receiving the file including the misleading report before accepting a student like B.M.
    with special needs.
    23
    1415(i)(3)(B). The Court’s opinion further acknowledges that “we have held that in a §
    1983 action to enforce IDEA, . . . compensatory damages are available to remedy IDEA
    violations” so long as that remedy is “appropriate” within the meaning of the Act. Op. at
    ___ (quoting from W.B. v. Matula, 
    67 F.3d 484
    (3d Cir. 1999)). Surprisingly, however,
    they preclude any damage recovery here. The IDEA violations at issue in Matula when it
    found compensatory damages “appropriate” were procedural ones indistinguishable from
    those here alleged,11 and I am at a loss to understand why my colleagues have ruled out
    the possibility of a damage recovery in this matter.12 If it is true, for example, that B.M.’s
    parents have had to pay for valid evaluations of B.M. which the school was required by
    the IDEA to provide in order to permit an assessment of his special needs, I would hold
    11
    The Matula court described the plaintiffs’ IDEA allegations as follows:
    Specifically, plaintiffs allege that defendants violated IDEA by (1) failing
    to inform them of their statutory rights; (2) failing to refer E.J. for evaluation from
    September 1991 until February 1992; (3) failing to advise W.B. in writing of its
    refusal; to evaluate E.J. prior to February 1992; (4) conducting only a limited
    evaluation of E.J. in April 1992; (5) refusing to develop an IEP until April 1993,
    in the wrongful belief that E.J.’s academic performance disqualified him for IDEA
    services; (6) withholding from W.B. evaluation results indicating E.J. may be
    neurologically impaired; and (7) conditioning the commencement if occupational
    therapy for E.J. on settlement of W.B.’s due process petitions and refusing to
    provide those services until January 1993.
    
    Matula, 67 F.3d at 500
    .
    12
    My colleagues apparently find dispositive the District Court’s finding that plaintiffs were
    “unable to produce any evidence . . . that B.M. was excluded from participation in, denied the
    benefits of, or subject to discrimination at school.” A.50. This was the court’s disposition of the
    FERPA claim that constituted plaintiffs’ Second Cause of Action,” which is not before us.
    FERPA requires such a showing. It does not follow, however, that compensatory damages are
    not available where substantial harm results from violations of the specific procedural
    requirements of IDEA. Indeed, Matula teaches to the contrary.
    24
    that a compensatory damage remedy was appropriate. Such harm would, in my judgment,
    be neither “purely speculative” nor “de minimis.” Op. at 8.
    I would not rule out the possibility that when the facts are fully developed one or
    more of the individual defendants will be entitled to qualified immunity. However,
    plaintiffs allege violations of statutory and regulatory procedural requirements that are
    mandatory, “clear and specific.” P.N. v. Greco, 
    282 F. Supp. 2d
    . 221, 240 (D.N.J. 2003)
    (finding immunity unavailable where “clear and specific” mandates of IDEA were
    alleged). Accordingly, a disposition at this time of plaintiffs’ First Cause of Action
    against the individual defendants in their individual capacity on qualified immunity
    grounds would be premature.
    I would remand for a prompt trial of plaintiffs’ First Cause of Action, asking the
    District Court to reevaluate the need for further discovery in light of this Court’s opinion.
    25