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Ligas v. Maram

United States District Court, N.D. Illinois, Eastern Division
Apr 7, 2010
No. 05 C 4331 (N.D. Ill. Apr. 7, 2010)

Opinion

No. 05 C 4331.

April 7, 2010


MEMORANDUM OPINION AND ORDER


Pending before the court are Burton A. Brown and Barbara A. Reilly's "Motion to Intervene" (Dkt. No. 446) ("Brown/Reilly Motion")) and "Proposed Intervenors' Motion for Limited Intervention Pursuant to Fed.R.Civ.P. 24" (Dkt. No. 464 ("Group Motion")). For the reasons set forth below, the Brown/Reilly Motion is dismissed as moot and the Group Motion is granted.

BACKGROUND

The Named Plaintiffs in this lawsuit are individuals with mental retardation and other developmental disabilities who seek to enforce their statutory rights to long-term care services from the State of Illinois in the most integrated setting appropriate to their needs, as set forth by the Supreme Court in Olmstead v. L.C., 527 U.S. 581 (1999). (Dkt. No. 436 ("2d Am. Compl.") ¶¶ 1-8.) The Named Plaintiffs wish to proceed on behalf of themselves and on behalf of "all others similarly situated." ( Id. ¶ 1.) Although their initial attempt to certify a class in this lawsuit was successful (Dkt. No. 85), the court ultimately decertified the class on July 7, 2009, after thousands of class members submitted written and oral objections to the first Proposed Consent Decree. (Dkt. No. 420 ("7/7/09 Order").) The court's July 7, 2009 ruling was based on its finding that "commonality and typicality do not exist among class members." (7/7/09 Order 3.)

The plaintiffs named in the Second Amended Complaint include: Stanley Ligas, by his sister and next friend Gina Foster; David Cicarelli, by his guardians James and Julianne Cicarelli; Isaiah Fair, by his guardian Lutricia Fair; Jamie McElroy, by his guardian Patricia McElroy; and Jennifer Wilson, by her guardians Nancy and Richard Wilson (collectively "Named Plaintiffs"). Although the individually-named plaintiffs have changed with each successive complaint, the court need not distinguish among the different plaintiff groups for purposes of its analysis.

With a new class definition in hand, and a Second Amended Complaint on file (Dkt. No. 436), the Named Plaintiffs and the State Defendants have again sought class certification and preliminary approval of a second proposed consent decree. ( See Dkt. No. 455 ("Class Cert. Mot."); Dkt. No. 456 ("Class Cert. Mem."); and Dkt. No. 456, Ex. A ("Amended Proposed Consent Decree").) The movants wishing to intervene in this lawsuit are approximately 2,000 previous objectors who live in intermediate care facilities for people with developmental disabilities ("ICF-DD") or are on a waiting list for an ICF-DD, as well as at least one individual who currently resides in a community integrated living arrangement ("CILA") (collectively "Proposed Intervenors"). The Proposed Intervenors seek to intervene "for the limited purpose of (1) participating in the Court's consideration of the Joint Motion for Settlement Class Certification, Preliminary Approval of Consent Decree, and Approval of Notice Plan . . . and (2) filing objections to and participating in any fairness hearing on the proposed consent decree." (Dkt. No. 465 ("Group Mem.") 1.)

The defendants are Barry S. Maram, in his official capacity as Director of the Illinois Department of Healthcare and Family Services, and Michelle R.B. Saddler, in her official capacity as Secretary of the Illinois Department of Human Services (collectively "State Defendants").

Burton A. Brown and Barbara A. Reilly have declined to file a reply brief in support of their original motion to dismiss, instead joining the Group Motion, the Group Memorandum, and the Group Reply. (Dkt. No. 471.) Accordingly, the court deems arguments in the Brown/Reilly Motion to have been subsumed by being included in the Group Motion and therefore moot.

ANALYSIS

A non-party has a right to intervene in an action if (1) the non-party files a timely motion to intervene; (2) the movant claims an interest related to the subject matter of the action; (3) disposition of the action threatens to impair or impede the movant's ability to protect that interest; and (4) the movant's interest is inadequately represented by the existing parties. Ligas ex rel. Foster v. Maram, 478 F.3d 771, 773 (7th Cir. 2007) (citing United States v. BDO Seidman, 337 F.3d 802, 808 (7th Cir. 2003)). "A failure to establish any of these elements is grounds to deny the petition." Id. It is undisputed that the Group Motion has been timely filed.

Because this court finds intervention is appropriate as a matter of right, the court does not address the Proposed Intervenors' alternative argument regarding permissive intervention.

I. Interest in Proposed Class Settlement

The Proposed Intervenors first contend that their interest in this litigation is "to protect their rights under the Americans with Disabilities Act, 42 U.S.C. § 12101, et seq. ("ADA"), as interpreted by Olmstead v. L.C., 527 U.S. 581 (1999)." (Dkt. No. 470 ("Group Reply") 1.) In Olmstead, the Supreme Court held that "under Title II of the ADA, States are required to provide community-based treatment for persons with mental disabilities when [1] the State's treatment professionals determine that such placement is appropriate, [2] the affected persons do not oppose such treatment, and [3] the placement can be reasonably accommodated, taking into account the resources available to the State and the needs of others with mental disabilities." Olmstead, 527 U.S. at 607. The Proposed Intervenors argue that their interest lies in enforcing "the mandate of Olmstead . . . that the needs of Intervenors and other ICF-DD residents be considered in determining the State's obligation to provide the `community-based' services required by the proposed consent decree." (Group Mem. 2.) The court finds that the Proposed Intervenors' reliance on Olmstead is well placed.

Olmstead's requirement that the court consider the needs of other individuals with mental disabilities must be read in its full intended context. The relevant portions of Olmstead address the government officials' asserted defense — that providing the community-based services requested by the plaintiffs would "fundamentally alter" the nature of the services provided by the State to individuals with mental disabilities. Id. at 594-95; see also 28 CFR § 35.130(b)(7). Accordingly, the Supreme Court's instruction in Olmstead that the district court "consider [on remand], in view of the resources available to the State, not only the cost of providing community-based care to the litigants, but also the range of services the State provides others with mental disabilities, and the State's obligation to mete out those services equitably" applies because the district court was charged with "evaluating [the] State's fundamental-alteration defense." Id. at 597.

Although a majority of the Justices in Olmstead recognized that a State can raise the fundamental-alteration defense in appropriate circumstances, the Court did not deliver a majority opinion on the scope of the defense. Writing for a plurality, Justice Ginsburg (joined by Justices O'Connor, Souter, and Breyer) emphasized that a court's review of the fundamental-alteration defense would necessarily involve a complex analysis, beyond simply comparing a plaintiff's request for community-based services against the State's budget as a whole, or weighing the cost of community care for one individual against the cost of institutionalized care for that same individual. Id. at 603-04. In a concurring opinion, Justice Kennedy (joined by Justice Breyer) stressed the "central importance" of "apply[ing] today's decision with . . . appropriate deference to the program funding decisions of state policymakers." Id. at 610. Justice Stevens declined to address the scope of the fundamental-alteration defense, on the grounds that the question was not properly before the Court. Id. at 607-08. Throughout Olmstead, the Justices' cautious reluctance to question State funding decisions is apparent.

The State Defendants in this case have not raised a fundamental-alteration defense. Nevertheless, this court reads Olmstead to grant the Proposed Intervenors a right to intervene in this litigation. The Justices writing for the Olmstead Court were very much aware of competing claims on limited State resources. For example, Justice Ginsburg's plurality opinion notes the States' obligation "[t]o maintain a range of facilities and to administer services with an even hand." Id. at 605. Similarly, Justice Kennedy's concurring opinion recognizes the "continuing challenge" that States face "to provide . . . care in an effective and humane way," and it is in this context that he stresses the "central importance" of deferring to decisions made by State policymakers. Id. at 608-10. Accordingly, the Olmstead Court directed the lower courts to "tak[e] into account the resources available to the State and the needs of others with mental disabilities" if the fundamental-alteration defense is raised. Olmstead, 527 U.S. at 607. Because the State Defendants apparently do not believe it is proper, necessary, or advisable to raise the fundamental-alteration defense at this point in the litigation, this court simply has no basis to address the third prong of the Olmstead equation. Yet, a settlement that does not consider the needs of the Proposed Intervenors — or a settlement promising relief to the Named Plaintiffs that the State admittedly cannot deliver — would run contrary to the rationale set forth in Olmstead. Accordingly, the court finds that the Proposed Intervenors have a right under Olmstead to have their needs considered before the Amended Proposed Consent Decree is approved. The interest the Proposed Intervenors have in this litigation is "direct, significant, and legally protectable." Solid Waste Agency of N. Cook County v. U.S. Army Corp of Eng'rs, 101 F.3d 503, 506 (7th Cir. 1996).

The State Defendants did raise this affirmative defense in response to the original Complaint and the First Amended Complaint. (Dkt. No. 21 at 54; Dkt. No. 93 at 52.) The State Defendants have not filed an answer to the Second Amended Complaint.

The State defendants argue that the Proposed Intervenors are prohibited from intervening in this case under Wade v. Goldschmidt, 673 F.2d 182 (7th Cir. 1982). Although relevant to this court's analysis, Wade is distinguishable. In Wade, the decision most directly impacting the rights of the proposed intervenors had already been made by the U.S. Department of Transportation. The only issue pending before the court was whether the agency's decision comported with relevant statutory requirements. Id. at 185. Accordingly, the Seventh Circuit determined that "the governmental bodies charged with compliance can be the only defendants." Id. In this case, the decision most directly impacting the rights of the Proposed Intervenors — whether to approve the Amended Proposed Consent Decree — has yet to be made. Pursuant to Rule 23(e)(2), this court will be obliged to evaluate the fairness of the Amended Proposed Consent Decree and, to satisfy itself that the Olmstead mandate is being fulfilled, the court believes hearing from the Proposed Intervenors is necessary.

The court further finds that the pending litigation threatens to impair the Proposed Intervenors' interest in having their needs considered before the Amended Proposed Consent Decree is approved. In Olmstead, the Supreme Court recognized that the needs of individuals with mental disabilities are often in conflict. Olmstead, 527 U.S. at 597. The balance set forth by the Olmstead Court implicitly acknowledges that the needs of one group can be threatened by the needs of another. In this case, the claims in the Second Amended Complaint address only the needs of the Named Plaintiffs and others who similarly desire community-based services. The Amended Proposed Consent Decree requires that the State Defendants "implement sufficient measures . . . to provide Community-Based Settings and Community-Based Services pursuant to the Decree" (Decree ¶ 4), but does not include any specific mention of the Proposed Intervenors' need for State resources. Moreover, the Amended Proposed Consent Decree is slated to remain in effect "for at least nine (9) years." (Decree ¶ 45.) If the needs of the Proposed Intervenors are not considered before the Amended Proposed Consent Decree is approved, the Proposed Intervenors' future ability to have their needs considered in balance with the State's obligations to other individuals with mental disabilities would be significantly impaired "as a practical matter." Fed.R.Civ.P. 24(a)(2).

Finally, the court finds that the Proposed Intervenors' interest is not adequately represented by the existing parties. It is uncontested that the Named Plaintiffs do not represent the Proposed Intervenors' interest. This leaves to the State Defendants the task of representing the Proposed Intervenors' interest in this litigation. As representatives of "governmental bod[ies] charged by law with protecting the interests of the [P]roposed [I]ntervenors," the State Defendants are "presumed to adequately represent [the Proposed Intervenors'] interests unless there is a showing of gross negligence or bad faith." Ligas, 478 F.3d at 774. In other words, "`more is needed than a presumption of inadequacy based on the diversity' of the State Defendants' interests." (Dkt. No. 60 ("12/22/05 Order") 3 (quoting Solid Waste Agency, 101 F.3d at 508).) The events unfolding since the denial of the first motions to intervene in this case suggest that the presumption of adequacy has been overcome.

Specifically, in agreeing to the original Proposed Consent Decree (Dkt. No. 298-1 ("Original Decree")), the State Defendants agreed to a provision stating:

Within six (6) years of Approval of the Decree, Defendants shall, to the extent consistent with governing law, reduce the use or aggregate licensed capacity of the ICF-DD System by an amount equivalent to the number of Individuals who, in aggregate and consistent with their Evaluations, Service Plans and choices, have transitioned to Community Based Settings from ICF-DDs.

(Original Decree ¶ 10.) Counsel for the State Defendants took the position in open court that this provision was "a nod to the reality that you cannot rebalance the system without adjusting the overall capacity" and specifically acknowledged "it's the State's intention to try to reduce capacity" at ICF-DDs. (Dkt. No. 432 ("6/9/09 Hr'g Tr.") 48:19-21; 52:18-19.) Counsel further recognized that the Proposed Intervenors objected to the State Defendants' position. (Dkt. No. 433 ("6/11/09 Hr'g Tr") 7:23-8:6 ("That's what they object to, that the State is intending to reduce capacity. Well, that's going to remain whether [paragraph 10] is in there or not, and they're going to be able to point to my statements in open court . . . that the State intends to reduce capacity. That's what they object to, and they're going to be able to object to that, and I suspect will object to that, whether paragraph 10 is in there or not.").)

It is certainly possible that the State Defendants have considered the needs of the Proposed Intervenors in agreeing to the Amended Proposed Consent Decree. However, the above-quoted statements make clear that the State Defendants do not represent the Proposed Intervenors' interests before this court. The court also cannot ignore its previous experiences with this litigation and the court agrees that the fact that the Proposed Intervenors are not adequately represented by either party in this litigation "is evidenced by the almost 2,000 objections they filed to the prior proposed decree." (Group Mem. 13.)

The State Defendants argue that they took "great pains" to protect the Proposed Intervenors' interests "in receiving the services of their choice and not being adversely affected by the proposed decree." (Dkt. No. 467 ("Defs.' Resp.") 12-13.) While the court appreciates the State Defendants' efforts, protecting an interest is not the same as representing it.

The Proposed Intervenors have described their interest under Olmstead in a number of different ways — as an interest in "the care and placement of their children or wards" (Group Mem. 6); in "the quality of the essential services and supports" provided by the State ( id. at 2); and in "maintaining the financial viability of their selected living arrangement" ( id. at 11). Taken together in light of Olmstead, these formulations suggest that the Proposed Intervenors' main interest lies in the equitable distribution of State resources among individuals with mental disabilities. Assuming, without deciding, that the Proposed Intervenors have a right to equitable care under the ADA, see Olmstead, 527 U.S. at 601-02 ("We emphasize that nothing in the ADA or its implementing regulations condones termination of institutional settings for persons unable to handle or benefit from community settings."), there is nothing preventing them from bringing their own lawsuit against the State if and when their right to equitable services has actually been violated. See Wade, 673 F.2d at 186 ("if a time comes when applicants determine that their alleged interests were not given the required statutory consideration, they can then bring suit, as plaintiffs, to compel defendants to follow the statutorily mandated procedures"). However, inviting subsequent litigation when the issues raised by the Proposed Intervenors are so closely related to, and threatened by, this litigation seems duplicative, wasteful, and unjust. Even though the State has not raised the fundamental-alteration defense, the court finds that the Proposed Intervenors' stated interest under the Olmstead doctrine is sufficiently related to this litigation to require intervention as of right.

II. Interest in Class Certification

Because the State Defendants and Named Plaintiffs parties specifically excluded the Proposed Intervenors from the proposed class definition, the court separately addresses the question of whether the Proposed Intervenors have an interest related to class certification. In relevant part, the proposed class definition includes individuals "for whom Defendants . . . have a Current Record reflecting that the individual has affirmatively requested to receive Community-Based Services or placement in a Community-Based Setting." (Decree ¶ II.2.(a)(iii) and (b)(iii).) "Current Record," in turn, is defined as:

an accurate record reflecting that the Individual, or the Individual's legal guardian, has affirmatively requested to receive Community-Based Services or placement in a Community-Based Setting, and, to the best of Defendants' knowledge, that record has not been withdrawn or retracted by the Individual or the Individual's legal guardian. All Individuals who objected (either personally, or through the Individual's legal guardian) to the Proposed Consent Decree that was the subject of the July 1, 2009 Fairness Hearing in this Litigation, on the grounds that they do not wish to receive Community-Based Services or placement in a Community-Based Setting shall be deemed to have retracted any record reflecting that, prior to such objection, he or she had affirmatively indicated that he or she seeks to receive Community-Based Services or placement in a Community-Based Setting.

(Decree III.3.(i) (emphasis added).)

The Proposed Intervenors argue that they have an interest in the proposed class definition because "it encompasses those, like the Intervenors, whose current choice is to live in an ICF-DD." (Group. Mem. 7.) Pursuant to Federal Rule of Civil Procedure 24, a non-party only has a right to intervene in a lawsuit when its interest is "direct and substantial." Lake Investors Dev. Group v. Egidi Dev. Group, 715 F.2d 1256, 1259 (7th Cir. 1983) (citing Meridian Homes Corp. v. Nicholas W. Prassas Co., 683 F.2d 201, 204 (7th Cir. 1982)). While the proposed class definition could encompass some individuals who at one point expressed an interest in receiving community care but who now desire care in an institutionalized setting, it is not immediately clear that the proposed class definition translates into a direct interest of the Proposed Intervenors, who themselves are explicitly excluded from the class.

On the other hand, the Proposed Intervenors note in their reply brief that, since filing their motion for class certification, the Named Plaintiffs and the State Defendants "have actively solicited individuals with disabilities to return a form to the State so that the State can claim that it has a `current record' of the individual requesting community-based services." (Group Reply 9.) This solicitation has been sent to at least one Proposed Intervenor ( id., Ex. 4), and the Proposed Intervenors contend that "some recipients of [similar] unexpected solicitations are fearful that their failure to return the form as requested by the State will result in a loss of benefits." ( Id. at 9-10; see also Ex. 5.)

The fact that the named parties have solicited one of the Proposed Intervenors to join a class definition that explicitly excludes the Proposed Intervenors has the court concerned. Again, the court's previous experience with this litigation cannot be ignored. The Named Plaintiffs and State Defendants have a poor record in terms of articulating a class definition that appropriately addresses the pending claims and proposed relief. As demonstrated in full force at the fairness hearing in July 2009, waiting until the class action fairness hearing to entertain concerns regarding the class definition can be both burdensome and costly. The court finds that the Proposed Intervenors are in the best position to apprise the court of any unforeseen or undisclosed impact that the class definition may have on its evaluation of the Amended Proposed Consent Decree. Additionally, because the ability to identify class members impacts both the question of class certification and the appropriateness of the Proposed Amended Consent Decree, the court finds the Proposed Intervenors have an interest in participating in the court's consideration of the "Joint Motion for Settlement Class Certification, Preliminary Approval of Consent Decree, and Approval of Notice Plan."

CONCLUSION

It is undisputed that the State's resources are limited — perhaps severely so. ( See Group Reply, Ex. 3 (June 11, 2009 letter from the Illinois Department of Human Services, noting the State's intent to cut funding to both CILAs and ICF-DDs by 20-30% and recognizing that "[d]ue to the General Assembly's failure to approve the revenue plan proposed by Governor Quinn, the State of Illinois will no longer be able to afford even basic services for thousands of people with developmental disabilities").) If this court finds that, pursuant to Federal Rule of Civil Procedure 23, a class action settlement is appropriate to address the claims set forth in the Second Amended Complaint, it is likely that the State of Illinois will be able to save significant resources in terms of future legal costs and fees. These savings would enure to the benefit of all Illinois citizens, including individuals with disabilities who seek community-based care and those who seek institutionalized care. Accordingly, the court encourages representatives of all interested parties to continue settlement discussions with a view toward reaching a settlement that is fair for all interested parties.

For the reasons set forth above, Burton A. Brown and Barbara A. Reilly's "Motion to Intervene" (Dkt. No. 446) is dismissed as moot and "Proposed Intervenors' Motion for Limited Intervention Pursuant to Fed.R.Civ.P. 24" (Dkt. No. 464) is granted.


Summaries of

Ligas v. Maram

United States District Court, N.D. Illinois, Eastern Division
Apr 7, 2010
No. 05 C 4331 (N.D. Ill. Apr. 7, 2010)
Case details for

Ligas v. Maram

Case Details

Full title:STANLEY LIGAS, by his sister and next friend, Gina Foster, et al., on…

Court:United States District Court, N.D. Illinois, Eastern Division

Date published: Apr 7, 2010

Citations

No. 05 C 4331 (N.D. Ill. Apr. 7, 2010)