Lewis v. City of Chicago , 130 S. Ct. 2191 ( 2010 )


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  • (Slip Opinion)              OCTOBER TERM, 2009                                       1
    Syllabus
    NOTE: Where it is feasible, a syllabus (headnote) will be released, as is
    being done in connection with this case, at the time the opinion is issued.
    The syllabus constitutes no part of the opinion of the Court but has been
    prepared by the Reporter of Decisions for the convenience of the reader.
    See United States v. Detroit Timber & Lumber Co., 
    200 U. S. 321
    , 337.
    SUPREME COURT OF THE UNITED STATES
    Syllabus
    LEWIS ET AL. v. CITY OF CHICAGO, ILLINOIS
    CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR
    THE SEVENTH CIRCUIT
    No. 08–974.      Argued February 22, 2010—Decided May 24, 2010
    In 1995, respondent the City of Chicago gave a written examination to
    applicants seeking firefighter positions. In January 1996, the City
    announced it would draw candidates randomly from a list of appli
    cants who scored at least 89 out of 100 points on the examination,
    whom it designated as “well qualified.” It informed those who scored
    below 65 that they had failed and would not be considered further. It
    informed applicants who scored between 65 and 88, whom it desig
    nated as “qualified,” that it was unlikely they would be called for fur
    ther processing but that the City would keep them on the eligibility
    list for as long as that list was used. That May, the City selected its
    first class of applicants to advance, and it repeated this process mul
    tiple times over the next six years. Beginning in March 1997, several
    African-American applicants who scored in the “qualified” range but
    had not been hired filed discrimination charges with the Equal Em
    ployment Opportunity Commission (EEOC) and received right-to-sue
    letters. They then filed suit, alleging (as relevant here) that the
    City’s practice of selecting only applicants who scored 89 or above
    had a disparate impact on African-Americans in violation of Title VII
    of the Civil Rights Act of 1964, see 42 U. S. C. §2000e–2(k)(1)(A)(i).
    The District Court certified a class—petitioners here—of African-
    Americans who scored in the “qualified” range but were not hired.
    The court denied the City’s summary judgment motion, rejecting its
    claim that petitioners had failed to file EEOC charges within 300
    days “after the unlawful employment practice occurred,” §2000e–
    5(e)(1), and finding instead that the City’s “ongoing reliance” on the
    1995 test results constituted a continuing Title VII violation. The
    litigation then proceeded, and petitioners prevailed on the merits.
    The Seventh Circuit reversed the judgment in their favor, holding
    2                          LEWIS v. CHICAGO
    Syllabus
    that the suit was untimely because the earliest EEOC charge was
    filed more than 300 days after the only discriminatory act—sorting
    the scores into the “well qualified,” “qualified,” and “not qualified”
    categories. The later hiring decisions, the Seventh Circuit held, were
    an automatic consequence of the test scores, not new discriminatory
    acts.
    Held: A plaintiff who does not file a timely charge challenging the adop
    tion of a practice may assert a disparate-impact claim in a timely
    charge challenging the employer’s later application of that practice as
    long as he alleges each of the elements of a disparate-impact claim.
    Pp. 4–11.
    (a) Determining whether petitioners’ charges were timely requires
    “identify[ing] precisely the ‘unlawful employment practice’ of which”
    they complain. Delaware State College v. Ricks, 
    449 U. S. 250
    , 257.
    With the exception of the first selection round, all agree that the chal
    lenged practice here—the City’s selection of firefighter hires on the
    basis announced in 1996—occurred within the charging period.
    Thus, the question is not whether a claim predicated on that conduct
    is timely, but whether the practice thus defined can be the basis for a
    disparate-impact claim at all. It can. A Title VII plaintiff establishes
    a prima facie claim by showing that the employer “uses a particular
    employment practice that causes a disparate impact” on one of the
    prohibited bases. §2000e–2(k). The term “employment practice”
    clearly encompasses the conduct at issue: exclusion of passing appli
    cants who scored below 89 when selecting those who would advance.
    The City “use[d]” that practice each time it filled a new class of fire
    fighters, and petitioners allege that doing so caused a disparate im
    pact. It is irrelevant that subsection (k) does not address “accrual” of
    disparate-impact claims, since the issue here is not when the claims
    accrued but whether the claims stated a violation. They did.
    Whether petitioners proved a violation is not before the Court.
    Pp. 4–7.
    (b) The City argues that the only actionable discrimination oc
    curred in 1996 when it used the test results to create the hiring list,
    which it concedes was unlawful. It may be true that the City’s adop
    tion in 1996 of the cutoff score gave rise to a freestanding disparate
    impact claim. If so, because no timely charge was filed, the City is
    now “entitled to treat that past act as lawful,” United Air Lines, Inc.
    v. Evans, 
    431 U. S. 553
    , 558. But it does not follow that no new viola
    tion occurred—and no new claims could arise—when the City later
    implemented the 1996 decision. Evans and later cases the City cites
    establish only that a Title VII plaintiff must show a “present viola
    tion” within the limitations period. For disparate-treatment claims—
    which require discriminatory intent—the plaintiff must demonstrate
    Cite as: 560 U. S. ____ (2010)                    3
    Syllabus
    deliberate discrimination within the limitations period. But no such
    demonstration is needed for claims, such as this one, that do not re
    quire discriminatory intent. Cf., e.g., Ledbetter v. Goodyear Tire &
    Rubber Co., 
    550 U. S. 618
    , 640. Contrary to the Seventh Circuit’s
    reasoning, even if both types of claims take aim at prohibited dis
    crimination, it does not follow that their reach is coextensive. Pp. 7–
    10.
    (c) The City and its amici warn that this reading will result in a
    host of practical problems for employers and employees alike. The
    Court, however, must give effect to the law Congress enacted, not as
    sess the consequences of each approach and adopt the one that pro
    duces the least mischief. Pp. 10–11.
    (d) It is left to the Seventh Circuit to determine whether the judg
    ment must be modified to the extent that the District Court awarded
    relief based on the first round of hiring, which occurred outside the
    charging period even for the earliest EEOC charge. P. 11.
    
    528 F. 3d 488
    , reversed and remanded.
    SCALIA, J., delivered the opinion for a unanimous Court.
    Cite as: 560 U. S. ____ (2010)                              1
    Opinion of the Court
    NOTICE: This opinion is subject to formal revision before publication in the
    preliminary print of the United States Reports. Readers are requested to
    notify the Reporter of Decisions, Supreme Court of the United States, Wash
    ington, D. C. 20543, of any typographical or other formal errors, in order
    that corrections may be made before the preliminary print goes to press.
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 08–974
    _________________
    ARTHUR L. LEWIS, JR., ET AL., PETITIONERS v. CITY
    OF CHICAGO, ILLINOIS
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE SEVENTH CIRCUIT
    [May 24, 2010]
    JUSTICE SCALIA delivered the opinion of the Court.
    Title VII of the Civil Rights Act of 1964 prohibits em
    ployers from using employment practices that cause a
    disparate impact on the basis of race (among other bases).
    42 U. S. C. §2000e–2(k)(1)(A)(i). It also requires plaintiffs,
    before beginning a federal lawsuit, to file a timely charge
    of discrimination with the Equal Employment Opportu
    nity Commission (EEOC). §2000e–5(e)(1). We consider
    whether a plaintiff who does not file a timely charge chal
    lenging the adoption of a practice—here, an employer’s
    decision to exclude employment applicants who did not
    achieve a certain score on an examination—may assert a
    disparate-impact claim in a timely charge challenging the
    employer’s later application of that practice.
    I
    In July 1995, the City of Chicago administered a written
    examination to over 26,000 applicants seeking to serve in
    the Chicago Fire Department. After scoring the examina
    tions, the City reported the results. It announced in a
    January 26, 1996, press release that it would begin draw
    ing randomly from the top tier of scorers, i.e., those who
    2                       LEWIS v. CHICAGO
    Opinion of the Court
    scored 89 or above (out of 100), whom the City called “well
    qualified.” Those drawn from this group would proceed to
    the next phase—a physical-abilities test, background
    check, medical examination, and drug test—and if they
    cleared those hurdles would be hired as candidate fire
    fighters. Those who scored below 65, on the other hand,
    learned by letters sent the same day that they had failed
    the test. Each was told he had not achieved a passing
    score, would no longer be considered for a firefighter
    position, and would not be contacted again about the
    examination.
    The applicants in-between—those who scored between
    65 and 88, whom the City called “qualified”1—were noti
    fied that they had passed the examination but that, based
    on the City’s projected hiring needs and the number of
    “well-qualified” applicants, it was not likely they would be
    called for further processing. The individual notices
    added, however, that because it was not possible to predict
    how many applicants would be hired in the next few years,
    each “qualified” applicant’s name would be kept on the
    eligibility list maintained by the Department of Personnel
    for as long as that list was used. Eleven days later, the
    City officially adopted an “Eligible List” reflecting the
    breakdown described above.
    On May 16, 1996, the City selected its first class of
    applicants to advance to the next stage. It selected a
    second on October 1, 1996, and repeated the process nine
    more times over the next six years. As it had announced,
    in each round the City drew randomly from among those
    who scored in the “well-qualified” range on the 1995 test.
    In the last round it exhausted that pool, so it filled the
    ——————
    1 Certain
    paramedics who scored between 65 and 88 were deemed
    “well qualified” pursuant to a collective-bargaining agreement, and
    certain veterans in the “qualified” range had 5 points added to their
    scores and therefore became “well qualified.”
    Cite as: 560 U. S. ____ (2010)                  3
    Opinion of the Court
    remaining slots with “qualified” candidates instead.
    On March 31, 1997, Crawford M. Smith, an African-
    American applicant who scored in the “qualified” range
    and had not been hired as a candidate firefighter, filed a
    charge of discrimination with the EEOC. Five others
    followed suit, and on July 28, 1998, the EEOC issued all
    six of them right-to-sue letters. Two months later, they
    filed this civil action against the City, alleging (as relevant
    here) that its practice of selecting for advancement only
    applicants who scored 89 or above caused a disparate
    impact on African-Americans in violation of Title VII. The
    District Court certified a class—petitioners here—
    consisting of the more than 6,000 African-Americans who
    scored in the “qualified” range on the 1995 examination
    but had not been hired.2
    The City sought summary judgment on the ground that
    petitioners had failed to file EEOC charges within 300
    days after their claims accrued. See §2000e–5(e)(1). The
    District Court denied the motion, concluding that the
    City’s “ongoing reliance” on the 1995 test results consti
    tuted a “continuing violation” of Title VII. App. to Pet. for
    Cert. 45a. The City stipulated that the 89-point cutoff had
    a “severe disparate impact against African Americans,”
    Final Pretrial Order, Record, Doc. 223, Schedule A, p. 2,
    but argued that its cutoff score was justified by business
    necessity. After an 8-day bench trial, the District Court
    ruled for petitioners, rejecting the City’s business
    necessity defense. It ordered the City to hire 132 ran
    domly selected members of the class (reflecting the num
    ber of African-Americans the Court found would have been
    hired but for the City’s practices) and awarded backpay to
    be divided among the remaining class members.
    The Seventh Circuit reversed. 
    528 F. 3d 488
     (2008). It
    ——————
    2 In addition to the class members, the African American Fire Fight
    ers League of Chicago, Inc., also joined the suit as a plaintiff.
    4                        LEWIS v. CHICAGO
    Opinion of the Court
    held that petitioners’ suit was untimely because the earli
    est EEOC charge was filed more than 300 days after the
    only discriminatory act: sorting the scores into the “well
    qualified,” “qualified,” and “not-qualified” categories. The
    hiring decisions down the line were immaterial, it rea
    soned, because “[t]he hiring only of applicants classified
    ‘well qualified’ was the automatic consequence of the test
    scores rather than the product of a fresh act of discrimina
    tion.” 
    Id., at 491
    . We granted certiorari. 557 U. S. __
    (2009).
    II
    A
    Before beginning a Title VII suit, a plaintiff must first
    file a timely EEOC charge. In this case, petitioners’
    charges were due within 300 days “after the alleged
    unlawful employment practice occurred.” §2000e–5(e)(1).3
    Determining whether a plaintiff’s charge is timely thus
    requires “identify[ing] precisely the ‘unlawful employment
    practice’ of which he complains.” Delaware State College
    v. Ricks, 
    449 U. S. 250
    , 257 (1980). Petitioners here chal
    lenge the City’s practice of picking only those who had
    scored 89 or above on the 1995 examination when it later
    chose applicants to advance. Setting aside the first round
    of selection in May 1996, which all agree is beyond the cut
    off, no one disputes that the conduct petitioners challenge
    occurred within the charging period.4 The real question,
    ——————
    3 All agree that a 300-day deadline applies to petitioners’ charges
    pursuant to 
    29 CFR §§1601.13
    (a)(4), (b)(1), 1601.80 (2009). Cf. EEOC
    v. Commercial Office Products Co., 
    486 U. S. 107
    , 112, 114–122 (1988).
    4 Because the District Court certified petitioners as a class, and be
    cause a court may award class-wide relief even to unnamed class
    members who have not filed EEOC charges, see Franks v. Bowman
    Transp. Co., 
    424 U. S. 747
    , 771 (1976), petitioners assert and the City
    does not dispute that the date of the earliest EEOC charge filed by a
    named plaintiff—that filed by Smith on March 31, 1997—controls the
    timeliness of the class’s claims. We assume without deciding that this
    Cite as: 560 U. S. ____ (2010)            5
    Opinion of the Court
    then, is not whether a claim predicated on that conduct is
    timely, but whether the practice thus defined can be the
    basis for a disparate-impact claim at all.
    We conclude that it can. As originally enacted, Title VII
    did not expressly prohibit employment practices that
    cause a disparate impact. That enactment made it an
    “unlawful employment practice” for an employer “to fail or
    refuse to hire or to discharge any individual, or otherwise
    to discriminate against any individual with respect to his
    compensation, terms, conditions, or privileges of employ
    ment, because of such individual’s race, color, religion, sex,
    or national origin,” §2000e–2(a)(1), or “to limit, segregate,
    or classify his employees or applicants for employment in
    any way which would deprive or tend to deprive any indi
    vidual of employment opportunities or otherwise adversely
    affect his status as an employee, because of” any of the
    same reasons, §2000e–2(a)(2). In Griggs v. Duke Power
    Co., 
    401 U. S. 424
    , 431 (1971), we interpreted the latter
    provision to “proscrib[e] not only overt discrimination but
    also practices that are fair in form, but discriminatory in
    operation.”
    Two decades later, Congress codified the requirements
    of the “disparate impact” claims Griggs had recognized.
    Pub. L. 102–166, §105, 
    105 Stat. 1074
    , 42 U. S. C. §2000e–
    2(k). That provision states:
    “(1)(A) An unlawful employment practice based on dis
    parate impact is established under this subchapter
    only if—
    “(i) a complaining party demonstrates that a re
    spondent uses a particular employment practice
    that causes a disparate impact on the basis of race,
    color, religion, sex, or national origin and the re
    spondent fails to demonstrate that the challenged
    practice is job related for the position in question
    ——————
    is correct.
    6                    LEWIS v. CHICAGO
    Opinion of the Court
    and consistent with business necessity . . . .”
    Thus, a plaintiff establishes a prima facie disparate
    impact claim by showing that the employer “uses a par
    ticular employment practice that causes a disparate im
    pact” on one of the prohibited bases. Ibid. (emphasis
    added). See Ricci v. DeStefano, 557 U. S. ___, ___ (2009)
    (slip op., at 18).
    Petitioners’ claim satisfies that requirement. Title VII
    does not define “employment practice,” but we think it
    clear that the term encompasses the conduct of which
    petitioners complain: the exclusion of passing applicants
    who scored below 89 (until the supply of scores 89 or above
    was exhausted) when selecting those who would advance.
    The City “use[d]” that practice in each round of selection.
    Although the City had adopted the eligibility list (embody
    ing the score cutoffs) earlier and announced its intention
    to draw from that list, it made use of the practice of ex
    cluding those who scored 88 or below each time it filled a
    new class of firefighters. Petitioners alleged that this
    exclusion caused a disparate impact. Whether they ade
    quately proved that is not before us. What matters is that
    their allegations, based on the City’s actual implementa
    tion of its policy, stated a cognizable claim.
    The City argues that subsection (k) is inapposite be
    cause it does not address “accrual” of disparate-impact
    claims. Section 2000e–5(e)(1), it says, specifies when the
    time to file a charge starts running. That is true but
    irrelevant. Aside from the first round of selection in May
    1996 (which all agree is beyond the 300-day charging
    period), the acts petitioners challenge—the City’s use of its
    cutoff score in selecting candidates—occurred within the
    charging period. Accordingly, no one disputes that if
    petitioners could bring new claims based on those acts,
    their claims were timely. The issue, in other words, is not
    when petitioners’ claims accrued, but whether they could
    Cite as: 560 U. S. ____ (2010)            7
    Opinion of the Court
    accrue at all.
    The City responds that subsection (k) does not answer
    that question either; that it speaks, as its title indicates,
    only to the plaintiff’s “[b]urden of proof in disparate im
    pact cases,” not to the elements of disparate-impact
    claims, which the City says are be found in §2000e–2(a)(2).
    That is incorrect. Subsection (k) does indeed address the
    burden of proof—not just who bears it, however, but also
    what it consists of. It does set forth the essential ingredi
    ents of a disparate-impact claim: It says that a claim “is
    established” if an employer “uses” an “employment prac
    tice” that “causes a disparate impact” on one of the enu
    merated bases. §2000e–2(k)(1)(A)(i). That it also sets
    forth a business-necessity defense employers may raise,
    §2000e–2(k)(1)(A)(i), and explains how plaintiffs may
    prevail despite that defense, §2000e–2(k)(1)(A)(ii), is ir
    relevant. Unless and until the defendant pleads and
    proves a business-necessity defense, the plaintiff wins
    simply by showing the stated elements.
    B
    Notwithstanding the text of §2000e–2(k)(1)(A)(i) and
    petitioners’ description of the practice they claim was
    unlawful, the City argues that the unlawful employment
    practice here was something else entirely. The only ac
    tionable discrimination, it argues, occurred in 1996 when
    it “used the examination results to create the hiring eligi
    bility list, limited hiring to the ‘well qualified’ classifica
    tion, and notified petitioners.” Brief for Respondent 23.
    That initial decision, it concedes, was unlawful. But be
    cause no timely charge challenged the decision, that can
    not now be the basis for liability. And because, the City
    claims, the exclusion of petitioners when selecting classes
    of firefighters followed inevitably from the earlier decision
    to adopt the cutoff score, no new violations could have
    occurred. The Seventh Circuit adopted the same analysis.
    8                    LEWIS v. CHICAGO
    Opinion of the Court
    See 
    528 F. 3d, at
    490–491.
    The City’s premise is sound, but its conclusion does not
    follow. It may be true that the City’s January 1996 deci
    sion to adopt the cutoff score (and to create a list of the
    applicants above it) gave rise to a freestanding disparate
    impact claim. Cf. Connecticut v. Teal, 
    457 U. S. 440
    , 445–
    451 (1982). If that is so, the City is correct that since no
    timely charge was filed attacking it, the City is now “enti
    tled to treat that past act as lawful.” United Air Lines,
    Inc. v. Evans, 
    431 U. S. 553
    , 558 (1977). But it does not
    follow that no new violation occurred—and no new claims
    could arise—when the City implemented that decision
    down the road. If petitioners could prove that the City
    “use[d]” the “practice” that “causes a disparate impact,”
    they could prevail.
    The City, like the Seventh Circuit, see 
    528 F. 3d, at
    490–491, insists that Evans and a line of cases following it
    require a different result. See also Ledbetter v. Goodyear
    Tire & Rubber Co., 
    550 U. S. 618
     (2007); Lorance v. AT&T
    Technologies, Inc., 
    490 U. S. 900
     (1989); Ricks, 
    449 U. S. 250
    . Those cases, we are told, stand for the proposition
    that present effects of prior actions cannot lead to Title VII
    liability.
    We disagree. As relevant here, those cases establish
    only that a Title VII plaintiff must show a “present viola
    tion” within the limitations period. Evans, 
    supra, at 558
    (emphasis deleted). What that requires depends on the
    claim asserted.     For disparate-treatment claims—and
    others for which discriminatory intent is required—that
    means the plaintiff must demonstrate deliberate discrimi
    nation within the limitations period. See Ledbetter, 
    supra,
    at 624–629; Lorance, 
    supra,
     at 904–905; Ricks, 
    supra,
     at
    256–258; Evans, 
    supra,
     at 557–560; see also Chardon v.
    Fernandez, 
    454 U. S. 6
    , 8 (1981) (per curiam). But for
    claims that do not require discriminatory intent, no such
    demonstration is needed. Cf. Ledbetter, 
    supra, at 640
    ;
    Cite as: 560 U. S. ____ (2010)            9
    Opinion of the Court
    Lorance, 
    supra, at 904
    , 908–909. Our opinions, it is true,
    described the harms of which the unsuccessful plaintiffs in
    those cases complained as “present effect[s]” of past dis
    crimination. Ledbetter, 
    supra, at 628
    ; see also Lorance,
    
    supra, at 907
    ; Chardon, supra, at 8; Ricks, 
    supra, at 258
    ;
    Evans, 
    supra, at 558
    . But the reason they could not be the
    present effects of present discrimination was that the
    charged discrimination required proof of discriminatory
    intent, which had not even been alleged. That reasoning
    has no application when, as here, the charge is disparate
    impact, which does not require discriminatory intent.
    The Seventh Circuit resisted this conclusion, reasoning
    that the difference between disparate-treatment and
    disparate-impact claims is only superficial. Both take aim
    at the same evil—discrimination on a prohibited basis—
    but simply seek to establish it by different means. 
    528 F. 3d, at
    491–492. Disparate-impact liability, the Court of
    Appeals explained, “ ‘is primarily intended to lighten the
    plaintiff’s heavy burden of proving intentional discrimina
    tion after employers learned to cover their tracks.’ ” 
    Id., at 492
     (quoting Finnegan v. Trans World Airlines, Inc., 
    967 F. 2d 1161
    , 1164 (CA7 1992)). But even if the two theories
    were directed at the same evil, it would not follow that
    their reach is therefore coextensive. If the effect of apply
    ing Title VII’s text is that some claims that would be
    doomed under one theory will survive under the other,
    that is the product of the law Congress has written. It is
    not for us to rewrite the statute so that it covers only what
    we think is necessary to achieve what we think Congress
    really intended. See Oncale v. Sundowner Offshore Ser
    vices, Inc., 
    523 U. S. 75
    , 79–80 (1998).
    The City also argues that, even if petitioners could have
    proved a present disparate-impact violation, they never
    did so under the proper test. The parties litigated the
    merits—and the City stipulated that the cutoff score
    caused disparate impact—after the District Court adopted
    10                   LEWIS v. CHICAGO
    Opinion of the Court
    petitioners’ “continuing violation” theory. App. to Pet. for
    Cert. 45a. That theory, which petitioners have since
    abandoned, treated the adoption and application of the
    cutoff score as a single, ongoing wrong. As a result, the
    City says, “petitioners never proved, or even attempted to
    prove, that use of the [eligibility] list had disparate im
    pact,” Brief for Respondent 32 (emphasis added), since the
    theory they advanced did not require them to do so. If the
    Court of Appeals determines that the argument has been
    preserved it may be available on remand. But it has no
    bearing here. The only question presented to us is
    whether the claim petitioners brought is cognizable.
    Because we conclude that it is, our inquiry is at an end.
    C
    The City and its amici warn that our reading will result
    in a host of practical problems for employers and employ
    ees alike. Employers may face new disparate-impact suits
    for practices they have used regularly for years. Evidence
    essential to their business-necessity defenses might be
    unavailable (or in the case of witnesses’ memories, unreli
    able) by the time the later suits are brought. And affected
    employees and prospective employees may not even know
    they have claims if they are unaware the employer is still
    applying the disputed practice.
    Truth to tell, however, both readings of the statute
    produce puzzling results. Under the City’s reading, if an
    employer adopts an unlawful practice and no timely
    charge is brought, it can continue using the practice in
    definitely, with impunity, despite ongoing disparate im
    pact. Equitable tolling or estoppel may allow some af
    fected employees or applicants to sue, but many others
    will be left out in the cold. Moreover, the City’s reading
    may induce plaintiffs aware of the danger of delay to file
    charges upon the announcement of a hiring practice,
    before they have any basis for believing it will produce a
    Cite as: 560 U. S. ____ (2010)          11
    Opinion of the Court
    disparate impact.
    In all events, it is not our task to assess the conse
    quences of each approach and adopt the one that produces
    the least mischief. Our charge is to give effect to the law
    Congress enacted. By enacting §2000e–2(k)(1)(A)(i), Con
    gress allowed claims to be brought against an employer
    who uses a practice that causes disparate impact, what
    ever the employer’s motives and whether or not he has
    employed the same practice in the past. If that effect was
    unintended, it is a problem for Congress, not one that
    federal courts can fix.
    III
    The City asserts that one aspect of the District Court’s
    judgment still must be changed. The first round of hiring
    firefighters occurred outside the charging period even for
    the earliest EEOC charge. Yet the District Court, apply
    ing the continuing-violation theory, awarded relief based
    on those acts. Petitioners do not disagree, and they do not
    oppose the City’s request for a remand to resolve this
    issue. We therefore leave it to the Seventh Circuit to
    determine, to the extent that point was properly pre
    served, whether the judgment must be modified in light of
    our decision.
    *    *     *
    The judgment of the Court of Appeals is reversed, and
    the case is remanded for further proceedings consistent
    with this opinion.
    It is so ordered.
    

Document Info

Docket Number: 08-974

Citation Numbers: 176 L. Ed. 2d 967, 130 S. Ct. 2191, 560 U.S. 205, 2010 U.S. LEXIS 4165

Judges: Scalia

Filed Date: 5/24/2010

Precedential Status: Precedential

Modified Date: 10/18/2024

Cited By (83)

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