Shakman, Michael L. v. City of Chicago ( 2005 )


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  •                               In the
    United States Court of Appeals
    For the Seventh Circuit
    ____________
    No. 04-2105
    MICHAEL L. SHAKMAN and
    PAUL M. LURIE,
    Plaintiffs-Appellees,
    v.
    CITY OF CHICAGO,
    Defendant-Appellant.
    ____________
    Appeal from the United States District Court
    for the Northern District of Illinois, Eastern Division.
    No. 69 C 2145—Wayne R. Andersen, Judge.
    ____________
    ARGUED APRIL 14, 2005—DECIDED OCTOBER 24, 2005
    ____________
    Before COFFEY, RIPPLE and KANNE, Circuit Judges.
    RIPPLE, Circuit Judge. The City of Chicago (“City”) filed a
    motion to vacate a consent decree entered in 1983 to settle
    political patronage litigation originally instituted in 1969.
    The district court denied the City’s motion to vacate, and
    the City appealed. For the reasons set forth in the following
    opinion, we reverse the judgment of the district court and
    remand for further proceedings consistent with this opinion.
    2                                                   No. 04-2105
    I
    BACKGROUND
    A. Facts
    The basic facts underlying the present appeal have been
    recounted in this court’s earlier decisions, see, e.g., Shakman
    v. Democratic Org., 
    435 F.2d 267
     (7th Cir. 1970) (“Shakman I”);
    Shakman v. Dunne, 
    829 F.2d 1387
     (7th Cir. 1987) (“Shakman
    II”); O’Sullivan v. City of Chicago, 
    396 F.3d 843
     (7th Cir. 2005);
    we assume general familiarity with those cases and recount
    here only those facts essential to an understanding of the
    present appeal.
    1. The Original Shakman Litigation
    In 1969, Michael Shakman was an independent candidate
    seeking election to the Illinois Constitutional Convention.
    He and one of his supporters brought suit on behalf of
    themselves, other candidates and voters against several
    governmental entities and officials, including the City of
    Chicago and its Mayor. The class alleged that the defen-
    dants maintained a patronage system under which govern-
    ment employment decisions—both hiring and reten-
    tion—were based on the prospective (or current) employees’
    support of Democratic candidates. According to Mr.
    Shakman, this system violated the right of a candidate to
    associate with supporters, the right of voters to a free
    electoral process and the right of public employees to
    associate with candidates from other parties.
    The district court dismissed the complaint for lack of
    standing; we reversed. We held that this “misuse of official
    power over public employees . . . create[d] a substantial,
    perhaps massive, political effort in favor of the ins and
    No. 04-2105                                                  3
    against the outs.” Shakman I, 
    435 F.2d at 270
    . We concluded
    that “these interests are entitled to constitutional protection
    from injury of the nature alleged as well as from injury
    resulting from inequality in election procedure.” 
    Id.
     Follow-
    ing the remand, the City agreed to a consent judgment, and
    such a decree was entered on May 5, 1972 (“1972 Consent
    Decree”). See R.174, Ex.4.
    The 1972 Consent Decree prohibited the City from
    considering political activity or affiliation when making
    employment decisions concerning current employees. The
    district court retained jurisdiction to clarify and to enforce
    the provisions of the decree. The decree did not address
    whether political affiliation and activity could be considered
    in hiring new employees—a matter that continued to be
    litigated by the parties.
    Litigation with respect to the hiring issue continued into
    the next decade. In September 1979, the district court
    granted the plaintiffs’ motion for partial summary judgment
    on this claim. The district court stated that the patronage
    hiring practices infringed upon the plaintiffs’ rights as
    voters and candidates because those practices gave the
    incumbent party an unfair advantage in elections.
    On April 4, 1983, the court entered an order enjoining the
    defendants from conditioning hiring decisions on an
    applicant’s political affiliation. The City subsequently
    entered into a second consent judgment on June 20, 1983
    (“1983 Consent Decree”), with respect to the hiring issue.
    See R.158, Ex.A. The 1983 Consent Decree enjoined the City
    from considering political affiliation with respect to hiring
    decisions, with limited exceptions for policy-making
    positions. Again, the court retained jurisdiction to enforce
    the decree, and the decree explicitly provided that an
    enforcement action could be initiated by any registered
    voter.
    4                                                  No. 04-2105
    2. Shakman II Decision
    Unlike the City of Chicago, several Cook County officials
    did not become parties to the 1983 Consent Decree. These
    officials appealed the district court’s partial summary
    judgment in favor of the plaintiffs; we reviewed that
    decision in Shakman II, 
    829 F.2d 1387
    . The focus of our
    decision in Shakman II was “the constitutionality of
    politically-motivated hiring practices”; “other patronage-
    based employment practices” were not before us. 
    Id. at 1393
    (citations omitted). Turning to the merits of the plaintiffs’
    political hiring claims, we noted that significant changes
    had occurred since the plaintiffs had filed the original action
    in 1969:
    The case before us today is, from a factual viewpoint, a
    very different case from the case set forth in the com-
    plaint. The consent decree with respect to politically-
    motivated discharges has eliminated a significant
    portion of the contentions that were originally pre-
    sented in the appellees’ complaint and that were before
    this court during the earlier appeal in 1970, seventeen
    years ago. . . . More importantly, we are confronted with
    a significantly different legal landscape than the one that
    confronted the district court at the time the complaint
    was originally filed . . . . During these intervening years,
    the Supreme Court has engaged in a thorough examina-
    tion of “justiciability,” the limitations imposed on
    federal courts by the “case-and-controversy” provision
    of article III.
    
    Id. at 1392-93
     (emphasis in original; citations omitted). This
    intervening case law made clear that the central inquiry in
    determining whether a plaintiff had constitutional standing
    was whether that plaintiff had suffered “ ’personal injury
    fairly traceable to the defendant’s allegedly unlawful
    No. 04-2105                                                     5
    conduct and likely to be redressed by the requested
    relief.’ ” 
    Id. at 1394
     (quoting Allen v. Wright, 
    468 U.S. 731
    , 751
    (1984)).
    In applying this standard in Shakman II, we observed that,
    although the plaintiffs had asserted several injuries, “the
    heart of the plaintiffs’ case [wa]s their contention that the
    hiring practices of the defendants violate[d] the speech and
    associational rights of candidates and voters.” 
    Id. at 1395
    .
    We then turned to the question of whether the dilution of
    voters’ political voice was “fairly traceable to the defen-
    dants’ activity.” 
    Id.
     We determined that “the line of causa-
    tion between the appellants’ activity and the appellees’
    asserted injury [was] particularly attenuated”; we ex-
    plained:
    [T]he line of causation depends upon countless individ-
    ual decisions. Moreover, those countless individual
    decisions must depend upon . . . countless individual
    assessments that those who are in power will stay in
    power. . . . Any advantage obtained by the incumbent is
    obtained only if potential workers make an independent
    evaluation that the incumbent, not the opposition, will
    win. The plaintiffs will be at a disadvantage if—and
    only if—a significant number of individuals seeking
    political job opportunities determines the “ins” will
    remain “ins.”
    
    Id. at 1397
    . However, “[t]racing the appellees’ asserted
    injury to the appellants’ activity must depend on more than
    the attempt of a federal court to take the political tempera-
    ture of the body politic.” 
    Id. at 1398
     (citation omitted). In
    sum, the relationship between the defendants’ activities and
    the plaintiffs’ injuries were too speculative and tenuous to
    support Article III standing. Consequently, we held that the
    6                                                No. 04-2105
    plaintiffs did not have standing to pursue their hiring action
    against the remaining defendants.
    3. Motion to Vacate
    As we have noted already, the City was not a party to
    Shakman II and therefore remained bound by the terms of
    the 1983 Consent Decree. Since 1983, the City and the
    members of the plaintiff class have continued to litigate the
    scope and requirements of the 1983 Consent Decree.
    In 2002, the City filed a motion to vacate the 1983 Consent
    Decree under Federal Rule of Civil Procedure 60(b)(4) and
    (5). The City submitted that Shakman II had held that the
    plaintiffs did not have standing to pursue their patronage
    hiring claims. Therefore, the City continued, the district
    court did not have jurisdiction to enter the 1983 Consent
    Decree, and the decree should be vacated pursuant to Rule
    60(b)(4). See Fed. R. Civ. P. 60(b)(4) (allowing relief from
    final judgment when “the judgment is void”). Alternatively,
    the City submitted that Shakman II—and other cases that
    narrowed the field of plaintiffs who meet constitutional
    standing requirements—represented a change in law that
    warranted relief under Rule 60(b)(5). See Fed. R. Civ. P.
    60(b)(5) (allowing a court to provide relief from judgment if
    “a prior judgment upon which it is based has been reversed
    or otherwise vacated, or it is no longer equitable that the
    judgment should have prospective application”).
    In response, the plaintiffs maintained that the motion to
    vacate, which was filed nearly fifteen years after Shakman II,
    was untimely; that the City’s decision to adopt the consent
    decree prevented it from attacking the validity of that
    decree; and that this court’s ruling in Shakman II did not
    undermine the validity of the 1983 Consent Decree.
    No. 04-2105                                                   7
    The district court agreed with the plaintiffs. Relying on
    this court’s decisions in United States v. Deutsch, 
    981 F.2d 299
    (7th Cir. 1992), and Kagan v. Caterpillar Tractor Co., 
    795 F.2d 601
     (7th Cir. 1986), the district court first held that the Rule
    60(b) motion was not timely. The district court also deter-
    mined that the City could not now attack the jurisdictional
    basis of the 1983 decree because “a party is not entitled to
    relief under Rule 60(b) after making a deliberate decision
    not to appeal a ruling of a lower court.” R.235 at 5. Finally,
    although the district court agreed with the City that the
    jurisdictional basis for the plaintiffs’ hiring claims may have
    been called into doubt by Shakman II, the district court
    believed that the 1983 Consent Decree had accomplished
    more than merely settling the plaintiffs’ hiring claim: The
    1983 Consent Judgment also “explicitly included the
    obligations under the 1972 Consent Judgement.” Id. at 6.
    The district court held that
    [t]he net effect [of the 1972 and 1983 decrees] was the
    creation of a comprehensive plan designed to minimize
    partisan political influence on employment decisions
    with respect to employees covered by the two Consent
    Judgments. There is simply no doubt that there is a
    relationship between the threatened rights of the
    plaintiffs and the overall employment practices of the
    City. . . . [The Seventh Circuit] recognized, as we do
    today, that the use of partisan political practices to hire,
    promote, assign and discharge workers, when taken in
    combination, potentially create a cause-and-effect
    relationship sufficient to invest standing in the plain-
    tiffs.
    Id. at 7-8. According to the district court, the “comprehen-
    sive nature of the 1983 Consent Judgment, particularly as it
    incorporates the terms of the 1972 Consent Judgment,
    8                                                No. 04-2105
    clearly distinguishe[d] the City’s legal position from that of
    the appellants in Shakman II.” Id. at 8.
    The district court did acknowledge “the frustration that
    the City must feel because of the long-standing restraint of
    the ongoing Consent Judgment.” Id. It advised the City that
    “[i]f the objective standards of performance can be estab-
    lished, perhaps a tentative expiration date can be set. In the
    meantime, the Consent Judgment certainly can be modified
    to reduce bureaucratic and legal expense required to comply
    with it.” Id.
    The City timely appealed.
    II
    ANALYSIS
    The parties’ arguments on appeal mirror those presented
    to the district court. The City first argues that the district
    court could not enforce the 1983 decree because the plain-
    tiffs lacked standing to challenge the municipal hiring
    practices at issue. It again submits that, as a result of this
    lack of standing, the district court erred in denying the
    City’s motion to vacate pursuant to Rule 60(b)(4). Addition-
    ally, the City renews its argument that the district court
    erred in not granting relief under Rule 60(b)(5) because this
    court’s decision in Shakman II constituted a change in the
    law on which the 1983 Consent Decree is based. For their
    part, the plaintiffs reiterate the arguments on which they
    prevailed in the district court.
    Shortly after briefing in this case was completed in this
    court, we decided O’Sullivan v. City of Chicago, 
    396 F.3d 843
    .
    O’Sullivan was an action to enforce the 1983 Consent Decree
    (and the plan for compliance adopted thereunder) brought
    No. 04-2105                                                  9
    by lieutenants in the Chicago Police Department, who
    claimed that the City’s procedure for promotions violated
    the decree. See 
    id. at 851
    . Although O’Sullivan concerned an
    enforcement action as opposed to a motion to vacate, the
    parties in O’Sullivan raised many of the same arguments
    that have been made with respect to the City’s motion to
    vacate. Both of the parties to this action submitted
    O’Sullivan as supplemental authority and discussed that
    decision extensively at oral argument.
    Because O’Sullivan addresses many of the arguments
    raised by the parties, we first shall discuss that decision. We
    then evaluate the district court’s disposition of the motion
    to vacate in light of O’Sullivan.
    A. The O’Sullivan Decision
    In 2001, lieutenants in the Chicago Police Department
    brought an action to enforce the 1983 Consent Decree.
    Specifically, they claimed that the City’s promotional
    practices violated the 1983 Consent Decree. See 
    id. at 851
    .
    The City moved to dismiss the action on the ground that the
    plaintiffs had not alleged any injury to their rights as voters
    and, therefore, the plaintiffs lacked constitutional standing.
    The district court agreed. It observed that the decree granted
    standing to voters to enforce its terms, but plaintiffs had not
    alleged that the promotion practices at issue adversely
    affected their rights as voters or candidates. The district
    court therefore concluded that the plaintiffs had not estab-
    lished the “injury in fact” required for constitutional
    standing.
    We reversed the district court’s judgment. We first noted
    that the City’s argument, and the district court’s acceptance
    of that argument, ignored the fact that the issue of standing
    had been litigated fully and resolved against the City:
    10                                                  No. 04-2105
    In the Shakman litigation that led to the 1983 Consent
    Decree, the City maintained that the voters lacked
    constitutional standing to challenge hiring and promo-
    tional practices, but the district court determined that,
    adhering to our decision in Shakman I, the plaintiffs had
    standing. The City took no appeal from this ruling.
    Under such circumstances, when a federal court “has
    decided the question of the jurisdiction over the parties
    as a contested issue, the court in which the plea of res
    judicata is made has not the power to inquire again into
    that jurisdictional fact.” Thus, as this court has stated,
    only “an egregious want of jurisdiction” will justify
    reconsideration of the standing issue.
    O’Sullivan, 
    396 F.3d at 866
     (quoting Stoll v. Gottlieb, 
    305 U.S. 165
    , 172 (1938), and In re Factor VIII, 
    159 F.3d 1016
    , 1018 (7th
    Cir. 1998), respectively; citations omitted).
    However, we also noted that our approach to the plain-
    tiffs’ enforcement action had to be informed by recent case
    law that addressed the special concerns raised by institu-
    tional litigation. Specifically, in Rufo v. Inmates of the Suffolk
    County Jail, 
    502 U.S. 367
     (1992), the Supreme Court ex-
    plained that its prior statements concerning finality of
    judgments should not “ ’take on a talismanic quality,
    warding off virtually all efforts to modify consent de-
    crees.’ ” O’Sullivan, 
    396 F.3d at 860
     (quoting Rufo, 
    502 U.S. at 380
    ). Furthermore, Rufo had noted that
    “[t]he upsurge in institutional reform litigation . . . has
    made the ability of a district court to modify a decree in
    response to changed circumstances all the more impor-
    tant. Because such decrees often remain in place for
    extended periods of time, the likelihood of significant
    changes occurring during the life of the decree is
    increased.”
    No. 04-2105                                                      11
    Id. at 861 (quoting Rufo, 
    502 U.S. at 380
    ; citations omitted).
    Thus, after Rufo, “a party seeking modification of a consent
    decree does not have to prove a grievous wrong . . . ; the
    party only ‘bears the burden of establishing that a signifi-
    cant change in circumstances warrants revision of the
    decree.’ ” 
    Id.
     (quoting Rufo, 
    502 U.S. at 383
    ; other citations
    and quotation marks omitted).
    Reading these two lines of cases in tandem, we observed
    that, although our case law—and that of the Supreme
    Court—clearly established that parties could not ignore
    consent decrees that they believed had become outdated in
    some manner, Rule 60(b)1 provided an avenue for local
    governmental authorities to seek relief from consent decrees
    that, as a result of changed factual or legal circumstances,
    may have become unjust, illegal or unenforceable. We
    explained that
    [t]he problem with the City’s present position is that it
    ignores the procedural posture of this case. The present
    plaintiffs brought an action to enforce the 1983 Consent
    Decree, and the district court had the power to enforce
    that decree: “ ’[F]ederal courts are not reduced to
    approving consent decrees and hoping for compliance.
    Once entered, a consent decree may be enforced.’ ” Frew
    [v. Hawkins, 
    540 U.S. 431
    , 440 (2004)] (quoting Hutto v.
    1
    Federal Rule of Civil Procedure 60(b) provides in relevant part:
    On motion and upon such terms as are just, the court may
    relieve a party or a party’s legal representative from a final
    judgment, order, or proceeding for the following reasons: . . .
    (5) the judgment has been satisfied, released, or discharged, or
    a prior judgment upon which it is based has been reversed or
    otherwise vacated, or it is no longer equitable that the judg-
    ment should have prospective application . . . .
    12                                                 No. 04-2105
    Finney, 
    437 U.S. 678
    , 690-91 (1978)). A party may not
    simply ignore the decree because it believes that factual
    or legal changes since the decree’s entry renders contin-
    ued enforcement illegal or inequitable. Rather, Rule
    60(b)provides an avenue to seek relief from some or all
    of the requirements of the original decree.
    O’Sullivan, 
    396 F.3d 867
    -68 (emphasis in original; parallel
    citations omitted).
    Under the procedural circumstances presented to us in
    O’Sullivan, therefore, we concluded that the district court’s
    judgment had to be reversed. See 
    id.
     However, we advised
    that
    [o]n remand, assuming the City wishes to pursue the
    issue, the focus of the district court shall be not on the
    law of standing as a jurisdictional concept but on the
    equitable standards embodied in Rule 60(b)(5). The
    district court should consider critically whether changes
    in the legal landscape since 1983 require modification or
    vacatur of that decree pursuant to Rule 60(b). Specifi-
    cally, the cases outlined above reveal two important
    developments that should guide the district court’s
    analysis. First, Rufo and circuit court decisions in its
    wake emphasize the need for district courts to take a
    flexible approach to proposed modifications of consent
    decrees that bind public entities: “[T]he public interest
    and ‘[c]onsiderations based on the allocation of powers
    within our federal system’ require that the district court
    defer to local government administrators who have the
    ‘primary responsibility for elucidating, assessing, and
    solving’ the problems of institutional reform, to resolve
    the intricacies of implementing a decree modification.”
    Rufo, 
    502 U.S. at
    392 . . . . In short, concerns of federal-
    ism should factor strongly into the court’s analysis.
    No. 04-2105                                                      13
    Second, the court must consider the significant
    changes in the law of voter standing since the entry of
    the 1983 Consent Decree. As Shakman II makes clear, we
    have serious concerns whether the plaintiffs as voters
    bring to the litigation the sort of concrete adverseness to
    fulfill the mandate of Lujan. The court should consider
    whether the class of voters has the “incentive to vigor-
    ously litigate and present the matter [of political patron-
    age] to the court in the manner best suited for judicial
    resolution.” Erwin Chemerinsky, Federal Jurisdiction §
    2.3.2 (2003). Even given the vitality of Swift and its
    progeny, a decree fashioned in litigation in which one of
    the litigants did not have a sufficient concrete stake in
    the outcome might contain provisions that are not
    worthy of continued enforcement by a federal court. If
    the City “establishes reason to modify the decree, the
    court should make the necessary changes; where it has
    not done so, however, the decree shall be enforced
    according to its terms.” Frew, [
    540 U.S. at 442
    ].
    O’Sullivan, 
    396 F.3d at 868
     (citations omitted).
    With these standards in mind, we turn to the decision of
    the district court denying the City’s motion to vacate the
    1983 Consent Decree.
    B. The District Court’s Determination
    Our review of a district court’s ruling on a motion to
    vacate is a deferential one: We will disturb the district
    court’s decision only if the district court committed an abuse
    of discretion. See Browder v. Dir., Dep’t of Corr. of Illinois, 
    434 U.S. 257
    , 263 n.7 (1978). However, we note that “[a] court
    has abused its discretion when it commits a clear error of
    fact or an error of law.” Incredible Techs., Inc. v. Virtual Techs.,
    14                                                    No. 04-2105
    Inc., 
    400 F.3d 1007
    , 1011 (7th Cir. 2005) (internal quotation
    marks and citations omitted).
    1.
    The district court’s first ground for rejecting the City’s
    motion to vacate was that the motion was untimely. In
    addition to enumerating the grounds on which a party may
    be granted relief from a final judgment, Rule 60(b) also
    provides that a motion made thereunder “shall be made
    within a reasonable time.” Fed. R. Civ. P. 60(b).2 “[W]hat
    constitutes ‘reasonable time’ for a filing under Rule 60(b)
    depends on the facts of each case.” Ingram v. Merrill Lynch,
    Pierce, Fenner & Smith, Inc., 
    371 F.3d 950
    , 952 (7th Cir. 2004).3
    A very important fact in this case is that the 1983 Consent
    Decree provides for the ongoing involvement of a federal
    district court in the hiring decisions of the City of Chicago.4
    The decisions of the Supreme Court and of this court have
    noted the need to avoid, when possible, interference in the
    decision-making process of local governmental leaders by
    extending, unnecessarily, the life of a consent decree whose
    objectives have been achieved or have become unjust, illegal
    2
    Federal Rule of Civil Procedure 60(b) further provides that
    motions made pursuant to subsection (b)(1), (b)(2) or (b)(3) may
    not be made “more than one year after the judgment.” However,
    the City does not seek relief under any of these subsections;
    therefore, the one-year limitations period is not at issue.
    3
    See also McCorvey v. Hill, 
    385 F.3d 846
    , 849 n.4 (5th Cir. 2004);
    Fed. Land Bank of St. Louis v. Cupples Bros., 
    889 F.2d 764
    , 767 (8th
    Cir. 1989).
    4
    This appeal does not concern the validity or the ongoing
    application of the 1972 Consent Decree.
    No. 04-2105                                                      15
    or unattainable. See Frew, 
    540 U.S. at 442
    ; Rufo, 
    502 U.S. at
    392 n.14; O’Sullivan, 
    396 F.3d at 868
    ; Evans v. City of Chicago,
    
    10 F.3d 474
    , 482 (7th Cir. 1993). The Supreme Court ex-
    plained in Frew:
    The federal court must exercise its equitable powers to
    ensure that when the objects of the decree have been
    attained, responsibility for discharging the State’s
    obligations is returned promptly to the State and its
    officials. As public servants, the officials of the State
    must be presumed to have a high degree of competence
    in deciding how best to discharge their governmental
    responsibilities. A State, in the ordinary course, depends
    upon successor officials, both appointed and elected, to
    bring new insights and solutions to problems of allocat-
    ing revenues and resources. The basic obligations of
    federal law may remain the same, but the precise
    manner of their discharge may not. If the State estab-
    lishes reason to modify the decree, the court should
    make the necessary changes; where it has not done so,
    however, the decree should be enforced according to its
    terms.
    Frew, 
    540 U.S. at 442
    .5
    5
    In Evans v. City of Chicago, 
    10 F.3d 474
     (7th Cir. 1993), we also
    discussed the special considerations presented by a Rule 60(b)
    motion brought to vacate or modify a consent decree entered
    with respect to institutional reform litigation:
    To the objection that our approach interferes with the
    settlement of litigation, we have two replies. First, settlement
    is not an end in itself. It is a means of resolving disputes
    harmoniously. Many things are more important: preserving
    democratic governance, separating the judicial and political
    (continued...)
    16                                                     No. 04-2105
    In the present case, the district court did not consider the
    public nature of the litigation in reaching its conclusion that
    the City’s motion was untimely. Indeed, the only cases cited
    by the district court in support of its timeliness determina-
    tion are cases involving judgments against individuals. See
    United States v. Deutch, 
    981 F.2d 299
    , 302 (1992) (holding
    untimely a petitioner’s motion to return seized property);
    Kagan v. Caterpillar Tractor Co., 
    795 F.2d 601
    , 710 (7th Cir.
    1986) (addressing 60(b) motion in employment discrimina-
    tion case).
    The district court’s determination that the City’s motion
    was untimely rested on the fact that the “City certainly
    knew about Shakman II as soon as the opinion was issued,”
    R.235 at 4, and yet failed to act on that knowledge. How-
    ever, even with respect to purely private litigation, the
    litigants’ knowledge of the grounds for relief is only one
    factor for the district court to weigh. Other factors include
    “ ’the interest in finality, the reason for delay, the practical
    ability of the litigant to learn earlier of the grounds relied
    upon, and [the consideration of] prejudice [if any] to other
    5
    (...continued)
    spheres, respecting state autonomy in the absence of a federal
    rule. These interests may elude a hectored district judge, eager
    to reach the next case in the queue, but to the political society
    whose long-term good the judge serves they are vital. Settle-
    ments purchased at the cost of putting the court in control of
    state and local budgets come at too high a cost. Second, the
    premise is incorrect. Attempts to enforce this consent decree
    have not produced the peace that settlement brings. There have
    been 16 years of noisome litigation. Politics is unruly and often
    unpleasant; judicial regulation of political affairs does not end
    the conflict but only shifts the venue.
    Id. at 482 (internal citations omitted).
    No. 04-2105                                                   17
    parties.’ ” Kagan, 
    795 F.2d at 610
     (quoting Ashford v. Steuart,
    
    657 F.2d 1053
    , 1055 (9th Cir. 1981) (alteration in original)).
    In institutional reform litigation, unlike private disputes,
    there are several “other parties” whose interests should be
    considered. The Supreme Court, in discussing Rule 60(b),
    has observed that “the public interest is a particularly
    significant reason for applying a flexible modification
    standard in institutional reform litigation because such
    decrees reach beyond the parties involved directly in the
    suit and impact on the public’s right to the sound and
    efficient operation of its institutions.” Rufo, 
    502 U.S. at 381
    ;
    see also O’Sullivan, 
    396 F.3d at 868
    .
    In short, any consideration of a “reasonable time” for
    filing a Rule 60(b) motion with respect to the 1983 Consent
    Decree must take into account the nature of that litigation as
    well as the resulting prejudice, if any, to the present elected
    officials and the public they represent. The district court did
    not consider these factors, and this failure constituted an
    abuse of discretion.
    2.
    The district court also held that the City’s agreement to
    the 1983 Consent Decree prevented the City from now
    attacking that judgment. Specifically, the district court
    stated that “[t]he City’s 1983 request that this Court enter
    the Consent Judgment, coupled with the dismissal of its
    appeal, prevents the City from subsequently attacking the
    judgment.” R.235 at 5. The district court relied upon
    Ackerman v. United States, 
    340 U.S. 193
     (1950), and Local 322,
    Allied Industrial Workers v. Johnson Controls, Inc., 
    969 F.2d 290
    (7th Cir. 1992), for the proposition that “a party is not
    entitled to relief under Rule 60(b) after making a deliberate
    decision not to appeal a ruling of a lower court.” R.235 at 6.
    18                                                No. 04-2105
    We do not dispute this statement as a general proposition.
    However, we have noted that this rule is “not inflexible,”
    Allied Indus. Workers, 
    969 F.2d at 292
    ; cf. Ackerman, 
    340 U.S. at 198-99
     (discussing circumstances that might justify relief
    from the judgment), and the need for flexibility is particu-
    larly important with respect to institutional reform litiga-
    tion. As explained by the Court in Rufo:
    The upsurge in institutional reform litigation since
    Brown v. Board of Education, 
    347 U.S. 483
     (1954), has
    made the ability of a district court to modify a decree in
    response to changed circumstances all the more impor-
    tant. Because such decrees often remain in place for
    extended periods of time, the likelihood of significant
    changes occurring during the life of the decree is
    increased.
    Rufo, 
    502 U.S. at 380
    . We reiterated in O’Sullivan this “need
    for district courts to take a flexible approach to proposed
    modification of consent decrees that bind public entities.”
    
    396 F.3d at 868
    .
    Institutional reform litigation, and consent decrees
    attendant to that litigation, involve considerations of public
    interest and federalism that are not present in the run-of-
    the-mill civil case. As both the Supreme Court and this court
    have made clear, the district court’s recognition of the
    uniqueness of these cases must inform its decision whether
    to grant or deny a motion brought pursuant to Rule 60(b).
    Indeed, in our instructions to the district court on remand in
    O’Sullivan, we specifically mentioned this need for flexibil-
    ity as one of the principles that “should guide the district
    No. 04-2105                                                       19
    court’s analysis.” Id.6 Here, the district court’s failure to
    adopt the “flexible” approach outlined above was an abuse
    of discretion.
    3.
    Lastly, the district court considered, and rejected, the
    City’s substantive argument—that the court lacked jurisdic-
    tion to enter the 1983 Consent Decree initially and also
    lacked jurisdiction to continue to enforce the decree.7 The
    district court acknowledged that some “language from the
    Shakman II opinion indeed supports the City’s contention
    that this Court should now vacate the 1983 Consent Judg-
    ment.” R.235 at 6. However, the court determined that
    [u]nlike the subject matter on appeal in Shakman II, the
    1983 Consent Judgment covers far more than hiring
    practices. The 1983 Consent Judgment explicitly in-
    cluded the obligations under the 1972 Consent Judg-
    ment which prohibited political firing and also prohib-
    6
    In O’Sullivan v. City of Chicago, 
    396 F.3d 843
    , 868 (7th Cir. 2005),
    we noted that, on remand, “the significant changes in the law of
    voter standing since entry of the 1983 Consent Decree” also
    should inform the district court’s consideration of any motion to
    vacate brought by the City.
    7
    In its brief, which, as noted above, was filed prior to our
    decision in O’Sullivan, the City also argues that the district court
    erred in denying relief pursuant to Rule 60(b)(4). Specifically, the
    City reiterates the argument made to the district court that,
    because the plaintiffs lacked constitutional standing to bring this
    cause of action, the 1983 Consent Decree was void ab initio. We
    rejected this argument in O’Sullivan, 
    396 F.3d at 866-67
    , and
    further discussion is not warranted here.
    20                                                    No. 04-2105
    ited “conditioning . . . any term or aspect of governmen-
    tal employment, with respect to one who is at the time
    already a governmental employee, upon or because of
    any political reason or factor.”
    
    Id.
     The court thus concluded that “[t]he comprehensive
    nature of the 1983 Consent Judgment, particularly as it
    incorporates the terms of the 1972 Consent Judgment,
    clearly distinguishes the City’s legal position from that of
    the appellants in Shakman II.” Id. at 7.
    In essence, the court acknowledged that our decision in
    Shakman II severely undermined the concept of voter
    standing to challenge municipal hiring practices. However,
    because the 1983 Consent Decree did not only end litigation
    with respect to the City’s hiring practices, but also restated
    the terms of the 1972 Consent Decree (related to the City’s
    responsibilities to current employees), the district court
    believed that the 1983 Consent Decree should not be
    disturbed.
    The district court’s opinion implies that vacating the 1983
    Consent Decree will somehow undermine the 1972 Consent
    Decree. However, there is no factual or legal basis for this
    assumption. The City’s motion to vacate was entitled
    “Defendant City of Chicago’s Motion to Vacate the June 20,
    1983 Hiring Consent Decree,” and sought “to vacate the
    consent decree entered on June 20, 1983 by Judge Bua.”
    R.157 at 1. Furthermore, in its brief in support of the motion,
    the City stated that “it must be clear that the City does not
    seek to vacate the 1972 decree which protects employees
    once they have been hired.” R.158 at 3.8 The City reiterates
    8
    The City acknowledged that, if the district court were to grant
    (continued...)
    No. 04-2105                                                      21
    this position in its brief before this court, see Appellant’s Br.
    at 27 n.6 (“[W]e have not moved to vacate the 1972 de-
    cree.”), a position that is not contested by the appellees.
    Thus, the protections contained in the 1972 Consent Decree,9
    which were crucial to the district court’s determination not
    to vacate the 1983 Consent Decree, will remain in full force
    regardless of the district court’s action on the 1983 Consent
    Decree.
    Because the continued validity of the 1972 Consent Decree
    was not before the district court and because the 1972
    Consent Decree will not be affected by the district court’s
    determination with respect to the 1983 Consent Decree, we
    must conclude that the district court abused its discretion in
    using the 1972 Consent Decree as a basis for denying the
    City’s motion.
    4.
    8
    (...continued)
    its motion, paragraph H(1)(b) of the 1972 Consent Decree
    (providing for the district court’s continued jurisdiction to enable
    the parties to litigate the question of whether “political sponsor-
    ship or other political considerations [could] be taken into
    account in hiring employees”) would have to be vacated. The
    City further stated that “[t]he paragraphs of the 1972 decree that
    protect persons once they are hired, however, would not be
    modified as a result of this motion.” R.158 at 3 n.2.
    9
    The 1972 Consent Decree enjoined the City from “conditioning,
    basing or knowingly prejudicing or affecting any term or aspect
    of governmental employment, with respect to one who is at the
    time already a governmental employee, upon or because of any
    political reason or factor.” R.174, Ex.4 at 3.
    22                                                 No. 04-2105
    In sum, we do not believe that the district court’s denial of
    the City’s Rule 60(b) motion can be reconciled with this
    court’s decision in O’Sullivan or the decisions of the Su-
    preme Court in Rufo and Frew. Those authorities make clear
    that, when considering a Rule 60(b) motion with respect to
    public litigation, the nature of that litigation must factor into
    the district court’s decision-making process; the public
    interest and “concerns of federalism” should guide the
    court’s analysis. O’Sullivan, 
    396 F.3d at 868
    .
    Furthermore, as we advised in O’Sullivan, we believe that
    the district court’s Rule 60(b) analysis must account for “the
    significant changes in the law of voter standing since the
    entry of the 1983 Consent Decree,” 
    id.,
     a factor not squarely
    confronted by the district court’s decision. “[A] decree
    fashioned in litigation in which one of the litigants did not
    have sufficient concrete stake in the outcome might contain
    provisions that are not worthy of continued enforcement by
    a federal court.” 
    Id.
     On remand, the district court should be
    guided by the current law of standing to determine whether
    the class of voters has the necessary interest in this litigation
    “ ’to vigorously litigate and present the matter of [political
    patronage] to the court in the manner best suited for judicial
    resolution,’ ” or whether that task is best left to individuals
    directly impacted by hiring decisions made by the City. 
    Id.
    (quoting Erwin Chemerinsky, Federal Jurisdiction § 2.3.2
    (2003)) (alteration in original).
    Conclusion
    For the reasons set forth in the above opinion, the judg-
    No. 04-2105                                                23
    ment of the district court denying the City’s motion to
    vacate is reversed. The case is remanded for further pro-
    ceedings consistent with this opinion. The City may recover
    its costs in this court.
    REVERSED and REMANDED
    A true Copy:
    Teste:
    _____________________________
    Clerk of the United States Court of
    Appeals for the Seventh Circuit
    USCA-02-C-0072—10-24-05