Archive for the ‘Brian Jason Ford’ category

School discipline for off-campus conduct?

February 12th, 2010

Recently, the United States Court of Appeals for the Third Circuit (which covers Pennsylvania, New Jersey, Delaware and the U.S. Virgin Islands) decided two cases in which public school districts disciplined students for creating fake MySpace profiles of their principals.  For reasons that I do not understand, Pennsylvania is a leading state in this area of the law.  Those of us who track these issues nationally look to the Keystone State as a leading indicator.

The decisions were decided by co-equal panels of different judges in the same court.  On the surface, they are dramatically different.  In one case, it was acceptable for the school district to impose discipline.  In the other case, under nearly identical facts, disciplining the student ran afoul of the First Amendment.

For a detailed, two-part analysis of how the court reached different results in each of these cases – and why the decisions are important – please go to http://bit.ly/9cdVnx for part one and http://bit.ly/bhZKcW for part two.  I hope you will take advantage of this blog to discuss these evolving issues.

Court Rejects Damages in Special Education Claim

December 16th, 2009
Portions of this post originally appeared in the Education Law News Letter published by Dischell, Bartle, Yanoff & Dooley, P.C. My colleague, Kyle J. Somers, Esquire was helped me draft the original article, which is subject to the same disclaimer that ran in the original post.
This post dives into a major special education case that was decided on November 20, 2009. In that case, the Third U.S. Judicial Circuit joined the majority of the country by holding that compensatory damages are not allowed in special education cases. But first, a cautionary note: this post assumes that you’ve read prior posts and newsletters that describe the IDEA, the concept of FAPE and the basic structure of the federal judiciary. If you have not, start here – then here.
For this post, it is also important to understand what compensatory damages are. Compensatory damages and compensatory education are not the same thing. Compensatory damages are paid to compensate victims for loss, injury, or harm suffered by another’s breach of duty. Compensatory education is an “in-kind” remedy, meaning that the victim gets the thing he or she should have gotten all along. In-kind remedies are more often seen in some types of employment law cases. For instance, when an employee is denied overtime, the employee may receive what he would have earned if overtime had been properly allocated as an “in-kind” remedy. In contrast, compensatory damages would involve a more in-depth analysis of how the denial of overtime really hurt the employee and what it would take to make the employee whole.
The case is Chambers v. School District of Philadelphia, and it is from the United States Court of Appeals for the Third Circuit. The Student in this case has Dandy-Walker syndrome. In 2005, the Student’s parents sued the School District of Philadelphia, alleging that it failed to provide FAPE to the Student. The Parents initiated the hearing on their own behalf and on the Student’s behalf. Taking into account prior lawsuits, due process hearings and agency complaints, this was – approximately – the family’s 10th action against the school district.
In the 2005 lawsuit, the Parents claimed that the District owed compensatory damages for violating the Student’s right to FAPE. Notably, the Parents brought this claim on the Student’s behalf and on their own behalf. This means that they claimed the District owed the Student compensatory damages for not providing an appropriate education and they also claimed that the District owed the Parents compensatory damages for not providing an appropriate education.
The Parents’ attempt to assert their own right was a major focus at the trial court level. For reasons that are not particularly relevant for this newsletter, the trial judge decided that the Parents were not allowed to bring claims on their own behalf under the IDEA. Therefore, the judge dismissed the Parents’ IDEA claims without addressing the demand for compensatory damages.
It turns out that the trial judge’s analysis, according to the U.S. Supreme Court, was wrong. This issue reached the U.S. Supreme Court in 2007 in a case called Winkelman v. Parma City School District. In Winkelman, the Court said, “parents enjoy enforceable rights at the administrative stage . . . it would be inconsistent with the statutory scheme to bar them from continuing to assert these rights in federal court.” This means that the IDEA does give some substantive rights to parents. The extent of those rights is still being sorted out.
Winkleman was decided after the Chambers case was argued but before it was decided (yes, Chambers was initiated in 2005 and not decided until 2007). Therefore, when the Parents appealed to the Third Circuit, the appeals court decided that the trial judge should have found that the Parents had standing and then should have gone on to address Parents’ claim for compensatory damages. Usually, the Third Circuit would bounce the case back to the trial court and let the trial judge work out the damages issue. In this case, however, the Third Circuit decided to do the work itself.
First, the Third Circuit looked to see what the Supreme Court has said about compensatory damages in IDEA cases. The answer, as usual, is “not much.” The Supreme Court has held that reimbursement for out-of-pocket expenses that a school district should have been paying all along is permissible under the IDEA because such reimbursement is not – technically – a form of damages. This distinction comes from a 1985 case called School Committee of the Town of Burlington v. Department of Education of Massachusetts. Noting the distinction is, however, a far cry from saying that compensatory damages are or are not allowable.
Next, the Third Circuit looked to its sister circuits. The issue of compensatory damages has come up in the First, Second, Fourth, Sixth, Seventh, Eighth, Ninth and Eleventh circuits. All of these courts have held that compensatory damages are not allowed under the IDEA. The Third Circuit indicated previously that it may be inclined to agree with its sisters, although it has never actually done so before. This time, the Third Circuit was blunt. It said:
“Given the Supreme Court’s pronouncement in Burlington as well as the plain language and structure of the IDEA, we agree with our sister circuits, and now hold, that compensatory and punitive damages are not an available remedy under the IDEA. That language and structure make plain that Congress intended to ensure that disabled children receive a FAPE under appropriate circumstances, not to create a mechanism for compensating disabled children and their families for their pain and suffering where a FAPE is not provided. Accordingly, to the extent the Chambers seek such damages on their IDEA claim, that claim fails as a matter of law.”
What does this mean for IDEA claims? After all, students are still entitled to compensatory education to remedy denials of FAPE. The change, we think, may be about money. When hearing officers award compensatory education, they typically award a bank of hours. Parents can then take those hours and obtain services for children at public expense. Sometimes, however, there is a good deal of additional litigation to assign a dollar value to the bank of hours. This is particularly important when parents want to use compensatory education to purchase physical products, not just educational services.
Currently, there are two competing theories about how to value compensatory education hours. Under one theory, hours are valued at the costs that the school district should have incurred if it had provided the necessary services all along. Under this analysis, the value remains constant regardless of the student’s current needs. Under the other theory, hours are valued at the cost of services that are now required to bring the student to where she or he would be but for the denial of FAPE. This results in huge variability – sometimes favoring the student and sometimes favoring the school district (assigning dollars to hours is a “zero sum game”).
If compensatory education is truly an in-kind remedy and compensatory damages are not allowed, it is possible that the dollar-to-hour analysis used by some courts may no longer be applicable. Those courts currently emphasize that the value of the services that it would take to make the student whole is an important factor. Based on the Third Circuit’s holding in Chambers, it is clear that compensatory damages are not available under an IDEA claim. We at DBYD believe that the courts must now clarify the procedure for valuing an award of compensatory education. For that purpose, the issue that must be settled is whether the courts should ask “what should the school district have spent” or “what must the school district spend to make the student whole.”
This post is subject this blog’s disclaimer and the disclaimer on the original post.

When SCOTUS Says No

October 28th, 2009
When SCOTUS Says No
- A look at one of the cases that the Supreme Court will not hear this term -

This article originally appeared in the Education Law News Letter published by Dischell, Bartle, Yanoff & Dooley, P.C. It is subject to the same disclaimer that ran in the original post.

Can you just give me the short-short version? I’m not going to read all of this.

On October 5, 2009, the U.S. Supreme Court declined to review a special education law case that was decided by the Ohio Court of Appeals. This means the case will gain significant prominence and therefore people involved in special education should know about it. It does not mean that the case establishes a national precedent.

The Ohio Court’s decision was about pendency (a.k.a. the “stay put” provision in the IDEA). The court said that some IEP changes do not trigger pendency. This means that, in some cases, a school district may implement a change in a student’s IEP over parental objection because pendency does not apply. This is different from the usual analysis in which courts try to figure out what placement is pendent. Schools must proceed with great caution before acting on this precedent – especially because it is not applicable in all jurisdictions.

A secondary issue in the case was about the extent of parental consent to evaluation. In this case, the parents gave consent for an evaluator to conduct an evaluation and to participate in IEP development. The court concluded that these facts allowed the evaluator to testify. The case, however, raises major questions about what an evaluator can and cannot do after an evaluation report is written – but does imply that an evaluator can continue to make observations as long as the parents are informed and do not object. This has serious implications for “ongoing” evaluations and the increasingly popular RTI model in regular education.

I’m interested. Tell me the whole story.

As a few special education law luminaries have noted, the Supreme Court declined to hear appeals of special education cases in the 2009-2010 term. See Hearing Officer Gerl’s blog at http://specialeducationlawblog.blogspot.com/2009/10/u-s-supreme-court-declines-review-of.html. In legalese, this is called a denial of certiorari or cert for short. It is worthwhile to take a close look at one of the cases that the Court declined in order to get a sense of where special education law may be going.

It is very important to note that precedents are not established when the Supreme Court does nothing. It is incorrect to think of a case as the law of the land (on a national level) simply because the Court declined to review it. Nevertheless, when cert is denied attention is drawn to the case and the likelihood that other courts will reference it, or rely on it, goes up.

The case in question is Stancourt ex rel. Stancourt v. Worthington City Sch. Dist., 51 IDELR 19 (Ohio Ct. App., 2008). There are two particularly interesting issues in this case that are starting to cause a bit of an uproar in the parent advocacy community. The first issue concerns what triggers the so-called “stay put” provision in the IDEA. The second issue (which has received less coverage) is about how long parental consent to evaluate is good for.

What are the facts of the case?

The basic facts of the case are as follows: Gregory Stancourt had an IEP with a Behavior Support Plan (BSP). After an evaluation and an IEP team meeting, the Worthington City School District (District) proposed an addendum to the BSP that would titrate the behavioral interventions as Gregory’s behavior improved. Under the addendum, Gregory’s behavioral supports would be removed once they were no longer needed. The Stancourts did not approve the addendum, but they did not reject it either, and the District implemented the change. Six weeks later, the Stancourts requested a Due Process Hearing and claimed that pre-addendum BSP was “pendent” under the stay put rule – meaning that the District had to implement the pre-addendum BSP during the hearing and any subsequent appeals.

What did the court say about the stay put rule?

As the Ohio Court of Appeals noted, the stay put rule requires students to remain in their current program and placement while dispute resolution is pending. Generally, there is not much dispute regarding what program and placement are pendent. When there is a dispute, judges and hearing officers tend to examine both the last IEP and/or NOREP that was approved by the parents and the student’s actual current program and placement. In other words, the fact finder looks at the last document that everybody actually agreed to and what is actually happening in the real world. Arguably, the law strictly requires implementation of the last approved NOREP, but few judges and hearing officers will dramatically alter a student’s actual program and placement for this reason alone (especially given the jurisprudence on the purpose of the stay put rule).

In this case, however, the fight was not about what services Gregory actually received or about what documents were most recently signed. Instead, the case hinged on whether the addendum actually triggered the stay put provision at all. In this case, the court determined that the District could implement the addendum while the parties fought it out because the addendum did not trigger the stay put provision. It reached this conclusion because the addendum did not create a “fundamental change in, or elimination of, a basic element of the student’s educational program.”

The court considered several factors in reaching this conclusion. It held that the addendum:

  1. Did not change Gregory’s placement (i.e. his physical location),
  2. Did not alter Gregory’s opportunities to participate in academic, non-academic or extra-curricular activities, and
  3. Did not affect the extent of Gregory’s education with non-disabled students (i.e. the change did not make the placement more restrictive).

Interestingly, the court also carefully considered whether the addendum constituted a “detrimental change” to Gregory’s IEP. The fact that the changes were, in the court’s opinion, helpful to Gregory contributed to the court’s conclusion that the pendency rules did not apply. The court also noted that the District complied with the IDEA’s procedural requirements by making sure that Gregory’s parents had an opportunity to meaningfully participate in the development of their son’s IEP. As a result, the District could implement the addendum not because the addendum was pendent – but because pendency did not apply to it.

What does this mean for School Districts?

It is important to stress that this case does not create a national precedent. That said, put yourself in the shoes of a special education administrator in Ohio. Assume that you have just proposed a minor change to a student’s IEP and, after an IEP meeting, the parents reject the change and request a hearing. Most school district solicitors would advise you that you may not implement the change. This case changes that advice. Now, if after meaningful parental participation the proposed change meets the factors described in Stancourt you may implement the change despite parental objection. The usual question of “what is pendent?” becomes “does pendency apply?”

Yet that same administrator must proceed with extreme caution. First, the parents and their attorney will challenge your assessment of the factors and argue that pendency does apply. Moreover, the parents (and the court) will examine whether the change is “detrimental.” In my opinion, this examination encourages the sort of Monday morning quarterbacking that school districts have fought hard to prevent. As long as school districts insist that IEPs cannot be judged in hindsight, they must also argue that a change can only be detrimental based on the information available at the time the change was proposed. Unfortunately for school districts, the Ohio Court of Appeals did not directly address this issue explicitly. To whatever extent this theory of the non-applicability of pendency opens the door to judging IEPs in hindsight, wise school district solicitors will stick to arguing about what is pendent, not whether pendency applies.

What did the court say about parental consent to evaluate?

To be sure, this case focused on pendency. Yet the court relied on evidence from two expert witnesses to figure out how the District’s addendum squared with the test it established to determine whether pendency applies. One witness testified for Gregory’s parents, the other for the District. It seems that the District’s expert, a Dr. Arnold, was a District-employed psychologist who had evaluated Gregory and participated in the development of his IEP. Gregory’s parents argued that the court should exclude Dr. Arnold’s testimony because he relied on observations and assessments that occurred without their consent.

To clarify, Gregory’s parents did give consent for Dr. Arnold to “assist in the development and implementation of Gregory’s IEP by conducting a consultative psychological evaluation…” Gregory’s parents, however, argued that their consent ended when the evaluation was complete and that any “future action was without their consent and in violation of the [IDEA’s parental consent rules].”

For a number of technical reasons, the Ohio Court of Appeals determined that they could consider Dr. Arnold’s testimony whether or not the Stancourts’ consent extended past the evaluation. More importantly, in the broader sense, the court paid attention to the fact that the Stancourts had “knowledge of Dr. Arnold’s continuing involvement regarding Gregory’s IEP, the Stancourts did not object to Dr. Arnold’s participation… [and they] did not object to Dr. Arnold’s continued involvement in the IEP process…”

The court did not say these facts extended the Stancourts’ consent beyond the initial evaluation (the focus was on whether Dr. Arnold’s testimony was admissible), but the court strongly implies that, as a general matter, parents can consent to an evaluators participation in IEP development simply by not objecting.

What does this mean for School Districts?

The IDEA is frustratingly silent about evaluations that, by their nature, do not have a definite stopping point. The functional behavioral assessment (FBA) is a prime example. FBAs are “ongoing” evaluations in which evaluators constantly test hypotheses as they drill down on what triggers a student’s behavior. Of course, there comes a time when the evaluator must memorialize her or his impressions into an evaluation report that will yield a BSP but, in theory, the generation of a report does not mean that the evaluator’s job is finished. If the evaluator continues to be a member of the student’s IEP team, he or she should continue to review data and, preferably, observe the student to make sure that the BSP is working. Arguably, these actions are the way in which the evaluator participates in the IEP process. It would be very frustrating to school districts if parents could consent to an evaluator’s membership – for lack of a better word – on an IEP team, but object to the evaluator’s participation.

All of this forces school districts to carefully consider where the line that divides “observation” and “participation” from “evaluation” is drawn. This effort will not be easy in a world where the laws were drafted in contemplation of discrete tests (e.g. IQ testing, reading evaluations, etc.). This is, in many ways, analogous to persistent questions about the RTI model which, for all of its benefits, blurs the line between regular and special education.

As the law in this area develops, the most consistent thread is that courts will examine these questions on a case-by-case basis. Every court, including the Ohio Court of Appeals, explicitly notes that these cases are fact-specific. As a result, school districts do themselves a great service by establishing clear lines of communication with parents. When parents have a clear understanding of what is happening with their children and what actions the school district are taking, the risk of dispute goes down, cooperation is increased and children are better served. Even from the most cynical perspective, both the consent and pendency issues presented in this case illustrate the point that school districts are more likely to win in court when they let parents know what is happening.

Analysis of Forest Grove v. T.A

June 22nd, 2009
By Brian Jason Ford, Esq., Legal Editor

This post first appeared as a special edition of the DBYD Difference, the education law newsletter of Dischell, Bartle, Yanoff & Dooley, P.C.

It’s just a little bit of history repeated…
Analysis of Forest Grove v. T.A. – SCOTUS’s latest take on the IDEA
A special edition of the DBYD Difference
In this special edition of the DBYD Difference, we will cover the Supreme Court’s decision in Forest Grove v. T.A. in an easy-to-digest Q&A format. Also, I am going to play fast and loose with syntax. So you will have an easier read, I will sometimes refer to the student’s entitlement to tuition reimbursement even though the parents are technically entitled.
Q: Where can I read the decision for myself?
A: Here: http://www.supremecourtus.gov/opinions/08pdf/08-305.pdf. You’ll get the majority opinion as well as a dissent by Justice Souter, who was jointed by Justices Scalia and Thomas.
Q: What issue was the Court deciding?
A: The Court was trying to figure out if a student who had never received special education from his public school district could be eligible for private school tuition reimbursement.
Q: What are the basic facts of the case?
A: T.A. was a student in Forest Grove for many years. His teachers all recognized ADHD-like behaviors, but T.A. was not evaluated until his freshman year. At that point, T.A. received an evaluation from the District, and was found ineligible for special education. In T.A.’s junior year, he obtained a private evaluation and received an ADHD diagnosis from the private evaluator. The private evaluator also recommended placement in a private, residential school. T.A.’s parents took the evaluator’s advice and enrolled him in the private, residential school. At this point T.A. parents hired an attorney and, to make a long story short, sought tuition reimbursement from Forest Grove.
Q: What is so important about 1997?
A: Until 1997, the IDEA said nothing about tuition reimbursement explicitly. Rather, the IDEA said that students are entitled to “such relief as the court determines is appropriate.” 20 U.S.C. § 1415(i)(2)(C)(iii). The Supreme Court used this language to allow tuition reimbursement in two very important cases: School Comm. of Burlington v. Department of Ed. of Mass., 471 U. S. 359 (1985) and Florence County School Dist. Four v. Carter, 510 U. S. 7 (1993). The Burlington and Carter cases established a framework by which courts determine tuition reimbursement cases. Congress amended the IDEA in 1997 to address tuition reimbursement directly. The law now says quite a few things about tuition reimbursement, but the part that matters most for this case reads as follows:
“If the parents of a child with a disability, who previously received special education and related services under the authority of a public agency, enroll the child in a private elementary school or secondary school without the consent of or referral by the public agency, a court or a hearing officer may require the agency to reimburse the parents for the cost of that enrollment if the court or hearing officer finds that the agency had not made a free appropriate public education available to the child in a timely manner prior to that enrollment.”
You can find the above at 20 U.S.C. § 1412(a)(10)(C)(ii). The emphasis is mine. For our purposes, “under the authority of a public agency” means “from a public school district.”
Q: What did Forest Grove argue?
A: Forest Grove argued that the italicized language is a limitation on parents’ rights to tuition reimbursement. Their logic is that if students who previously received special education from their district are entitled to tuition reimbursement, then students who did not receive special education from their district are not entitled to tuition reimbursement.
Q: What did T.A. argue?
A: T.A. argued that the language in the IDEA entitling students to “ such relief as the court determines is appropriate” was not changed in 1997. It is this unchanged language that forms the basis of Burlington and Carter – the cases that allow tuition reimbursement even before the IDEA said anything about tuition reimbursement. Therefore, T.A. argued, courts could still award tuition reimbursement as equitable relief despite the new language about students who previously received special education.
Moreover, Forest Grove’s argument would create an unfair loophole for school districts – according to T.A. If you use Forest Grove’s logic, school districts could avoid all tuition reimbursement by simply withholding special education. According to T.A., Forest Grove is really saying: if you never received special education you can never be entitled to tuition reimbursement; and Forest Grove gets to decide if you get special education to begin with.
To be fair, I should note that Forest Grove disagreed with this characterization more than a little bit. Forest Grove claimed that the IDEA and state law determined who gets special education.
Q: Cut to the chase! Who won?
A: T.A. won. The Court decided that the 1997 amendments impose no “categorical bar” to tuition reimbursement, even if the student had never received special education from a public school before enrollment in the private school.
Q: Huh?
A: The Court said that the general rule in Burlington / Carter still applies. When school districts fail to offer FAPE (a free, appropriate public education) to students who qualify for special education under the IDEA, parents are allowed to go out and buy FAPE on their own… then seek reimbursement from their school district. Whether or not the school district ever offered an IEP to the student does not matter. All that matters is that (1) the student was entitled to FAPE, (2) the school district did not offer FAPE, and (3) the private school was appropriate to meet the student’s needs.
Q: So the Court is just upholding old cases? Did anything change?
A: The answer to this question depends largely on where you live. One of the reasons why SCOTUS took this case was because different courts in different jurisdictions answered this question differently. If you live in a place where courts placed a blanket prohibition on tuition reimbursement unless the student received an IEP prior to private placement, your life just changed quite a bit.
Q: BONUS QUESTION FOR EDUCATION LAW NERDS – What about limitations on reimbursement such as those provided at 20 U.S.C. § 1412(a)(10)(C)(iii)?
A: Great question! The Court did not answer it. Instead, they sent that question back down to the lower courts to figure it out. This clearly implies that the limitations are still in place and, at the end of the day, T.A.’s parents may still be left holding the bag.
This post is subject to a disclaimer.

Take the Sotomayor Quiz!

May 28th, 2009
By Brian Jason Ford, Esq., Legal Editor
This post origionally appeard as the May, 2009 issue of the DBYD Education Law Newsletter.
Obama Nominates Sotomayor to U.S. Supreme Court
How well do you know the nominee?
Take our quiz and find out!
WARNING – This edition of the newsletter a bit heavy with acronyms and legalese but, every now and then, those of you down in the weeds deserve a little “inside baseball.”
This week, President Obama nominated Federal appeals court judge Sonia Sotomayor to the United States Supreme Court. Writing for Education Week’s School Law Blog, Erik W. Robelen noted that Judge Sotomayor sat on appellate panels in Second Circuit education law decisions including Garcia v. Yonkers School District (awarding legal fees to students in a student protest case) and Somoza v. New York City Department of Education (regarding the interplay between the IDEA’s two-year statute of limitations and New York state law). You can read Mr. Robelen’s post at this link.
A cursory glance will reveal almost 60 education and disability law cases that Judge Sotomayor has either participated in or decided throughout her career. I will not attempt to use these cases to pigeonhole Judge Sotomayor. But, if prior decisions forecast future holdings, consider these additional highlights as we play…
Better Know A SCOTUS Nominee!
Olson v. State of New York
U.S. Court of Appeals, Second Circuit
Written by Sotomayor
A New York State Police investigator who was also a union official was hospitalized for depression. After getting out of the hospital, he returned to work but started fighting with and cursing at his supervisors and stopped following orders. Later when the investigator was fired, he brought an ADA action against the state police but lost in front of a jury. The investigator appealed to Judge Sotomayor, who affirmed because…
A) The trial judge properly placed the burden of proof on the investigator; OR
B) The trial judge properly placed the burden of proof on the state; OR
C) The trial judge’s jury instructions, although far from ideal in that they did not properly explain “mixed-motive” burden shifting, were harmless.
ANSWER: C – This is Judge Sotomayor saying, “no harm no foul.”
Cortese v. New Fairfield Board of Education
U.S. Court of Appeals, Second Circuit
Acting without a lawyer, Mother brought an IDEA action (denial of FAPE) against her school district. She brought the lawsuit on her own behalf and on behalf Son, a student with disabilities. Son was 17 years old when Mother filed the lawsuit, but turned 18 – the age of majority – eight days later. The trial judge dismissed Mother’s clams, reasoning that students have rights under the IDEA, not their parents. At this point, Mother asked the trial judge to let the case go forward under Son’s name (i.e. treat Son as a separate plaintiff pursuing his own case). The trial judge refused, dismissing the case in its entirety, because Son was an unrepresented minor when the claim was filed. Mom and Son appealed to a panel of judges including Judge Sotomayor. The panel concluded…
A) The trial judge got it wrong. Parents have rights under the IDEA so Mother’s claims should not have been dismissed. Also, no matter how old the student was when the case was filed, he is now 18 and can speak for himself in court; OR
B) The trial judge got it wrong. Parents are entitled to FAPE so Mother’s claims should have continued no matter what Son’s status was; OR
C) The trial judge got it right. Students, not parents, are entitled to FAPE and minors are not allowed to represent themselves.
ANSWER: A – This is Judge Sotomayor showing deference to a pro se litigant.
Bonus fact! After this case was decided, the Supreme Court ruled that lawyer-less parents can represent their minor children in court! See Winkelman ex rel. Winkelman v. Parma City School Dist., 550 U.S. 516 (2007).
Mr. and Mrs. B. ex rel. M.B. v. East Granby Board of Education
U.S. Court of Appeals, Second Circuit
Mr. B. sued his school district alleging a denial of FAPE and seeking tuition reimbursement. Mr. B. lost both at the Due Process Hearing and Federal District Court level. He could not obtain reimbursement because, according to both the Hearing Officer and the trial judge, M.B.’s evaluations and IEPs were appropriate. Nevertheless, the trial judge upheld the Hearing Officer’s award of 10% of Mr. B.’s attorney’s fees. When the case reached Judge Sotomayor’s panel, on the issue of fees…
A) Parents were awarded 100% of their attorney’s fees. Parents are entitled to “fee shifting” if they prevail in even the slightest part of their case; OR
B) Judge Sotomayor’s panel ordered the trial judge to reconsider his opinion because (1) the Hearing Officer did not actually award attorney’s fees, (2) the Hearing Officer would not be allowed to order attorney’s fees even if she did and (3) the trial judge has to determine how successful – or not – the parents are before he can determine if they are entitled to anything; OR
C) Lets keep this simple. In the words of Willie Wonka, the panel said to Mr. B., “You lose! You get nothing!”
ANSWER: B – it’s messy, but legally correct.
State of Connecticut Office for Protection and Advocacy for Persons with Disabilities v. Hartford Board of Education
U.S. Court of Appeals, Second Circuit
Written by Sotomayor
The Connecticut Office for Protection and Advocacy (OPA) is a state-created agency authorized to investigate suspected abuse or neglect of individuals with disabilities or mental illness in Connecticut and to advocate on their behalf. OPA wanted to (1) observe and interview students a district-operated therapeutic school for students who are seriously emotionally disturbed, in order to investigate complaints of abuse and neglect at the school, and (2) obtain a directory of students with contact information for their parents or guardians. The Hartford Board of Education refused. Judge Sotomayor ruled…
A) OPA gets in because the Protection and Advocacy for Individuals with Mental Illness Act (“PAIMI”), the Developmental Disabilities Assistance and Bill of Rights Act of 2000 (“DD Act”), and the Protection and Advocacy of Individual Rights Act (“PAIR”) say they can; OR
B) Despite all of those laws, OPA stays out because students have privacy rights under both FERPA and the IDEA; OR
C) OPA gets in under all the laws listed in (A) and because neither FERPA nor the IDEA keeps them out.
ANSWER: C – Hartford was all by itself on this one.
Bonus fact! The U.S. Departments of Education and Health and Human Services filed amicus briefs in this case to say that the access that OPA sought was okay under both FERPA and the IDEA.
As the confirmation process moves forward (or drags on – depending on your point of view), we will let you know if Judge Sotomayor faces any education law question on her way to the bench.
This post is subject to a disclaimer.

Oral Argument Recap – Forrest Grove v. T.A.

April 28th, 2009

by Brian Jason Ford, Esq.

I am digesting the argument transcript from today’s oral argument before the Supreme Court in Forrest Grove v. T.A., a special education case about private school tuition reimbursement. I will provide a thorough overview of the Court’s decision when it is released, but the argument itself is noteworthy (and not because it is good for a laugh). I encourage anybody who has even the slightest interest in special education law to read the argument, which you can download here. In this post, I will examine the argument and give background that may help you better understand the decision when it comes out.

I am going to assume that readers of this blog have a general understanding of how special education law works and that you know acronyms like IDEA, IEP and FAPE. If I’m wrong, that’s what comments are for. Also, I am simplifying the facts of the case to focus on substantive issues, not procedural details.

In this case, Forrest Grove evaluated one of its students, T.A., and found him ineligible for special education. When this happened, T.A.’s parents decided unilaterally (i.e. without consulting Forrest Grove) to place him in a private school – to the tune of $5,200 per month. The parents also initiated a special education due process hearing. The hearing officer considered Forrest Grove’s evaluation and other evaluations obtained by the parents, and determined that Forrest Grove got it wrong. T.A. had been eligible for special education all along. Forrest Grove appealed that decision, but developed and offered an IEP while the appeal was pending. In other words, Forrest Grove honored the hearing officer’s order even while fighting in court to have it overturned. The parents rejected the Forrest Grove’s IEP and, instead, pursued claims for tuition reimbursement

On the topic of tuition reimbursement, the IDEA says, in part, “If the parents of a child with a disability, who previously received special education and related services… enroll the child in a private elementary school or secondary school without the consent of… the public agency, a court or a hearing officer may require the agency to reimburse the parents for the cost of that enrollment if… the agency had not [offered FAPE to the student]… in a timely manner prior to that enrollment.” To get the full text, click here and scroll down to (10)(C).

Forrest Grove keyed in on the language, “who previously received special education and related services.” They argued that language means students are entitled to private school tuition reimbursement if their school district fails to offer FAPE and they had previously received special education. In this case, T.A. had not previously received special education because, at first, Forrest Grove said he did not qualify and later, because his parents rejected services. Thus, Forrest Grove argued that T.A. was not entitled to tuition reimbursement as a matter of law.

T.A. (in conjunction with the Obama administration) argued that the Court must not allow school districts to circumvent their obligations to students with disabilities simply by refusing to find such students eligible for special education. In essence, T.A. focused on the consequences of the rule proposed by Forrest Grove: that school districts could avoid all potential liability for tuition reimbursement by simply refusing to find students eligible for special education. This, according to T.A., would set up a perverse incentive for school districts to deny services. Moreover, according to T.A., when the IDEA is read as a whole, Congress wanted school districts to pay tuition reimbursement if they deny FAPE and parents have to find services on their own. In T.A.’s point of view, Forrest Grove is arguing for a loophole that would thwart the intent of Congress.

One topic that kept creeping into the arguments is truly fascinating: If students must receive special education from their school districts before they are entitled to reimbursement, how much time must they spend in public school before switching to private education? Can a student spend one day in public school and then seek reimbursement? Forrest Grove told the Court that ten days in public school would suffice, and that timeline is supported by the IDEA. T.A. argued that the IDEA does not say how much time students must spend in public school because spending time in public school is not a prerequisite to a tuition reimbursement claim. I hope the Court will discuss this distinction in detail, as it may have an unexpected impact on school personnel decisions (e.g. how can schools make staffing decisions when some students will be in school for only 10 days as a means of securing a tuition reimbursement claim).

Forrest Grove is asking the Court to literally apply what the law actually says. T.A. is asking the Court to give deference to what, in their point of view, the law was intended to do. Of course, the arguments on both sides are much more complex than what I’ve laid out here. If you are interested in special education law, you should read the transcript.

Disclaimer

Strip Search Argument Highlights

April 24th, 2009

I’ve pulled out some gems from the oral argument in Stafford Unified School District v. Redding, the student strip search case now pending in the Supreme Court. Even non-attorneys may enjoy this. Read on for a discussion about what kids do with permanent markers, the “ick factor” of “crotching” drugs and, maybe, an over-share from Justice Breyer. Get the full transcript here (pdf).

JUSTICE SCALIA: Any contraband, like the black marker pencil that — that astounded me. That was contraband in that school, wasn’t it, a black marker pencil?
MR. WRIGHT: Well, for sniffing.
JUSTICE SCALIA: Oh, is that what they do?
MR. WRIGHT: It’s a permanent marker.
JUSTICE SCALIA: They sniff them?
MR. WRIGHT: Well, that’s the — I mean, I’m a school lawyer. That’s what kids do, Your Honor, unfortunately, Your Honor. But –
JUSTICE SCALIA: Really?

JUSTICE SCALIA: Could I come back to your distinguishing a strip search from a cavity search. What would you require before you would allow a cavity search?
MR. WRIGHT: Nothing at all. A bright line rule. I would not allow it.
JUSTICE SCALIA: No cavity search in school, no matter what?
MR. WRIGHT: We’re not even clinically trained to do that, Your Honor. I would submit that if a child has something stuffed up one of their cavities — and I assume we mean private parts, the very private parts — that the first thing to do would be to send them to the hospital. I mean, we just don’t have that clinical training.

JUSTICE SCALIA: Now, if — if you have a reasonable suspicion that the student has drugs and you search every other place, you search in the student’s pack, you search the student’s outer garments, and you have a reasonable suspicion that the student has drugs, don’t you have, after conducting all these other searches, a reasonable suspicion that she has drugs in her underpants?
MR. O’NEIL: No, Justice Scalia, we believe that you don’t –
JUSTICE SCALIA: All right.
MR. O’NEIL: — without — without –
JUSTICE SCALIA: Your logic fails me.
MR. O’NEIL: Well, Justice –
JUSTICE SCALIA: You — you reasonably suspect the student has drugs. You’ve searched everywhere else. By God, the drugs must be in her underpants.

MR. O’NEIL: No, because we believe that where you have reasonable suspicion that there is contraband in the underwear, then you could go directly to that location, and you wouldn’t have to work from the outside in. But, Justice Scalia, it takes –
CHIEF JUSTICE ROBERTS: Oh, surely not. You are saying if you have reasonable suspicion that it’s in the underwear, you shouldn’t even bother searching the pack or the pockets. You should go straight to the underwear. That can’t be right.

JUSTICE SOUTER: But you are — you are saying basically there is — there is no general understanding that people carry ibuprofen in — in their undergarments.
MR. O’NEIL: That is — that is true.

MR. WOLF: Well, I mean, to start, that’s not what T.L.O. said. T.L.O. said that there needs to be a reasonable –
JUSTICE SOUTER: I’m — I’m saying it.
(Laughter.)
JUSTICE SOUTER: We — We’ve got a new case.
(Laughter.)

JUSTICE GINSBURG: Do you agree with Mr. O’Neil when he said if the drug had been cocaine, and it’s well known that cocaine is carried in underwear, that then this would not run afoul of the Fourth Amendment? He gave an example of a drug where there was a custom of carrying it in a certain way.
MR. WOLF: Right. I think if it were readily known that this student had previously been suspected of — to use the term that’s used in the court of appeal cases — “crotching” that drug, well, then, perhaps that would have been appropriate.

MR. WOLF: Well if there’s probable cause and they want to call the police officers in, then they can do that. But that’s not what happened here. What this school official did was act on nothing more than a hunch, if that, that Savana was currently concealing Ibuprofen pills underneath her underpants for other’s oral consumption. I mean there’s a certain ick factor to this.

JUSTICE BREYER: It’s not like you have any studies on this. But I mean, I hate to tell you, but it seems to me like a logical thing when an adolescent child has some pills or something, they know people are looking for them, they will stick them in their underwear. I’m not saying everyone would, but I mean, somebody who thinks that that’s a fairly normal idea for some adolescent with some illegal drugs to think of, I don’t think he’s totally out to lunch, is he?

JUSTICE BREYER: So what am I supposed to do? In my experience when I was 8 or 10 or 12 years old, you know, we did take our clothes off once a day, we changed for gym, okay? And in my experience, too, people did sometimes stick things in my underwear –
(Laughter.)
JUSTICE BREYER: Or not my underwear. Whatever. Whatever. I was the one who did it? I don’t know. I mean, I don’t think it’s beyond human experience, not beyond human experience.

This post is subject to a disclaimer.

Education Law Newsletter for April 2009

April 17th, 2009

(by Brian Jason Ford) Each month, my law firm publishes an education law newsletter that offers insight and the latest news in school law. This month we address a Pennsylvania Due Process Hearing discussing a school district’s duty to transport students with disabilities. As such, it is a bit too Pennsylvania-specific to publish here. You are welcome to get a copy of the newsletter here: http://bit.ly/hsZ9r

This post is subject to a disclaimer.

New Case About Special Education Appeals Timelines

April 14th, 2009

On April 14, the United States Court of Appeals for the Third Circuit decided Jonathan H. v. Souderton Area School District. This case sets the standard for special education appeals procedures in Pennsylvania, New Jersey, Delaware and the U.S. Virgin Islands. I’ll dissect what happened and what it means. For purposes of this blog, I’m going to ignore the fact that Pennsylvania used a “two tier” hearing system at the time of this case. PA’s shift to a “one tier” system makes no difference.

What Happened?

Feeling that his needs were not being met, Jonathan’s parents placed him in a private school. Jonathan then sued his school district, Souderton, alleging that Souderton failed to offer him an appropriate special education as required by the IDEA (the primary, federal special education law). Jonathan demanded both compensatory education (i.e. hours of services to remedy educational failures) and tuition reimbursement.

Although there is significant variation from state to state, the first step of a special education lawsuit is called a Due Process Hearing. In Pennsylvania, where this case arose, Due Process Hearings are conducted by Hearing Officers. In this case, the Hearing Officer gave Jonathan half of what he demanded. Jonathan won compensatory education but lost tuition reimbursement.

Under the IDEA, if you go through a state’s entire administrative system and lose, you have 90 days to bring your case to state or federal court. Although the court case looks like an appeal of the Hearing Officer’s decision, technically, the court case is a brand new lawsuit. This case hinges on that distinction.

On the 90th day, right at the deadline, Jonathan started a lawsuit in federal court against Souderton in an attempt to get the tuition reimbursement that the Hearing Officer would not give him. Jonathan officially initiated this lawsuit by filing a document called a Complaint. 70 days after Jonathan filed his Complaint – 160 days after the Hearing Officer’s decision – Souderton responded by way of a document called (uncreatively) an Answer. Souderton’s Answer stated its defenses, but it also included something called a Counterclaim. Without dicussing the finer points of the federal rules of civil procedure, Souderton’s Counterclaim attacked the Hearing Officer’s prior compensatory education award.

Jonathan had no problem with the District’s Answer, but took issue with its Counterclaim. Jonathan argued that the Counterclaim was – in reality – an appeal of the Hearing Officer’s award. As such, Souderton was over the 90 day deadline. The counterclaim, according to Jonathan, was made on the 160th day and must be dismissed. In short, Jonathan argued that Souderton should not be allowed to challenge the compensatory education award because it waited longer than 90 days to do so.

After some initial success, the Third Circuit ultimately disagreed with Jonathan. Technically, Jonathan’s attempt to get tuition reimbursement through the federal courts was a new case. Therefore, Souderton’s timeline to respond and to file counterclaims runs from the day that Jonathan moved the lawsuit into federal court.

What It Means.

This case does not establish a national precedent. I would not be surprised, however, if other courts look to this decision when deciding similar cases.

Under the standard set by this case, school districts and parents must proceed with caution when bringing special education matters before federal judges. Here, Jonathan thought he had compensatory education all locked up. He had the Hearing Officer’s award, which was affirmed by the appeals panel. Moreover, 90 days had gone by and Souderton had not challenged the compensatory education award. Jonathan must have been shocked when the court decided that Souderton was allowed to challenge that award on the 160th day.

The shoe could easily be on the other foot. The precedent set by this case may prove to be just as harmful to schools as it is to students and parents. Unfortunately, I fear that this case will be used as a vehicle for both sides to punish each other for moving cases into the courts after the conclusion of administrative proceedings. So much for finality.

The Bottom Line

Parents who win only part of a special education due process hearing jeopardize all that they achieved when they go to court to get the rest.

This post is subject to a disclaimer.

Education Law Comes to The Edurati Review

April 8th, 2009

Hello Edurati readers! Chad and his team have clearly put a great amount of thought and energy into The Edurati Review. I was honored when I was asked to join the Edurati team as their Legal Editor. You should know that my posts will be a little different from the typical Edurati fair. First, I am based in Pennsylvania, not Virginia. Second, my focus is legal, not political. However, many education laws are federal – meaning that they are nationally applicable. I will concentrate on these laws, decisions from the Supreme Court, and developing national trends.

Special education is my particular niche. The largest part of my practice is advising school districts about what they must do to comply with special education laws and regulations. I defend school districts that stand accused of violating these laws. I also recognize that special education is an emotional topic, and I encourage your comments if you disagree with my point of view.
Some of my posts to The Edurati Review will be versions of an education law newsletter that I write for my law firm, Dischell, Bartle, Yanoff & Dooley, P.C. When possible, I will tweak these newsletters for a national audience. Please comment or contact me if you would like to receive the raw newsletter, which can run a bit PA-centric.
Finally, I am licensed to practice law in Pennsylvania and New Jersey – and nowhere else. Even so, what kind of lawyer would I be if I didn’t leave you with a disclaimer? I will link back to this disclaimer in future posts, but it is best to get this out of the way here…

DISCLAIMER: My posts to The Edurati Review do not, and are not intended to, constitute legal advice. Your receipt of this publication does not create or constitute an attorney-client relationship. You should not consider this publication to be an invitation for an attorney-client relationship, you should not rely on the information provided in this publication without first obtaining separate legal advice, and you should always seek the advice of competent legal counsel in your own state. This publication should not be viewed as an offer to perform legal services. DO NOT send me or DBYD any information concerning a potential legal representation unless you have obtained authorization to send that information.