Pursuant to New York statutes requiring that chiropractic
practitioners obtain a state license either by passing an
examination or obtaining a waiver of the examination requirement
from petitioner Board of Regents (Board), respondent practitioner
applied to the Board for a waiver of the examination requirement.
In November, 1971, the Board notified respondent that her waiver
application was denied, but respondent was not afforded an
evidentiary hearing or given a statement of reasons for the denial.
In January, 1972, respondent commenced state court proceedings,
attacking the Board's decision as arbitrary and capricious but not
raising any constitutional challenge to the decision. Ultimately,
in November, 1975, the New York Court of Appeals affirmed an order
holding that the Board had not abused its discretion in denying
respondent's waiver Application. In June, 1976, respondent
instituted this action in Federal District Court under 42 U.S.C.
§ 1983, alleging that petitioners' refusal to grant her a
license violated due process as guaranteed by the Fourteenth
Amendment. Holding that the § 1983 action was not barred by
the applicable 3-year New York statute of limitations even though
respondent's claim arose in November, 1971, when her waiver
application was denied by the Board, the District Court concluded
that it was appropriate to adopt a federal rule to toll the running
of the statute of limitations during the pendency of respondent's
state court litigation. Under the New York tolling rule, the time
for filing an action is not tolled during the period in which a
litigant pursues a related but independent cause of action. On the
merits of the federal constitutional claim, the District Court held
that respondent was entitled to a hearing before the Board on her
eligibility for waiver of the examination requirement. The Court of
Appeals affirmed as to both the statute of limitations issue and
the merits.
Held: Respondent's action was barred by the New York
statute of limitations. The federal courts were obligated not only
to apply the analogous New York statute of limitations to
respondent's federal constitutional claims, but also to apply the
New York rule for tolling that statute of limitations.
Robertson v. Wegmann, 436 U. S. 584;
Johnson v.
Railway
Page 446 U. S. 479
Express Agency, Inc., 421 U. S. 454;
Monroe v. Pape, 365 U. S. 167. Pp.
446 U. S.
483-492.
(a) Under 42 U.S.C. § 1988, federal courts are instructed
to refer to state statutes when federal law provides no rule of
decision for actions brought under § 1983, and § 1988
authorizes federal courts to disregard an otherwise applicable
state rule of law only if the state law is "inconsistent with the
Constitution and laws of the United States." Since Congress did not
establish a statute of limitations or a body of tolling rules
applicable to federal court actions under § 1983, the
analogous state statute of limitations and the coordinate tolling
rules are binding rules of law in most cases. This "borrowing" of
the state statute of limitations includes rules of tolling unless
they are "inconsistent" with federal law. Pp.
446 U. S.
483-486.
(b) New York's tolling rule is not "inconsistent" with the
policies of deterrence and compensation underlying § 1983.
Neither of these policies is significantly affected by New York's
rule, since plaintiffs can still readily enforce their claims,
thereby recovering compensation and fostering deterrence, simply by
commencing their actions within three years. And there is no need
for nationwide uniformity so as to warrant displacement of state
statutes of limitations for civil rights actions. Nor are policies
of federalism undermined by adoption of the New York rule. When
Congress establishes a remedy (such as § 1983) separate and
independent from other remedies that might also be available, a
state rule which does not allow a plaintiff to litigate such
alternative claims in succession, without risk of time bar, is not
"inconsistent." Pp.
446 U. S.
486-492.
REHNQUIST, J., delivered the opinion of the Court, in which
BURGER, C.J., and STEWART, WHITE, BLACKMUN, and POWELL, JJ.,
joined. STEVENS, J., filed an opinion concurring in the result,
post, p.
446 U. S. 492.
BRENNAN, J., filed a dissenting opinion, in which MARSHALL, J.,
joined,
post, p.
446 U. S.
494.
MR. JUSTICE REHNQUIST delivered the opinion of the Court.
We granted certiorari in this case, 444 U.S. 939, to review a
judgment of the Court of Appeals for the Second Circuit
Page 446 U. S. 480
holding that petitioners, the Board of Regents of the University
of the State of New York and the Commissioner of Education, were
required by the Fourteenth Amendment to the United States
Constitution, to afford a hearing to respondent, Mary Tomanio,
before denying her request for a waiver of professional licensing
examination requirements. In so doing, the Court of Appeals
rejected petitioners' claims that both the statute of limitations
and the doctrine of estoppel by judgment barred respondent's
maintenance of an action under 42 U.S.C. § 1983 in the federal
courts. We find it necessary to consider only the defense based on
the statute of limitations, since the resolution of that issue is
virtually foreordained in favor of petitioners by our prior cases
when the indisputably lengthy series of events which ultimately
brought this case here is described.
I
Respondent has practiced chiropractic medicine in the State of
New York since 1958. Prior to 1963, the State did not require
chiropractic practitioners to be licensed. But in that year, the
State enacted a statute which required state licensing, and
established three separate methods by which applicants could obtain
a license to practice chiropractic in the State of New York. 1963
N.Y. Laws, ch. 780, codified as amended, N.Y.Educ.Law §§
6506(5), 6554, 6556 (McKinney 1972 and Supp. 1979-1980). First, the
statute established education and examination requirements for
applicants who had not previously engaged in chiropractic practice.
An alternative qualifying examination was made available to
individuals already engaged in practice in New York on the date
that the licensing statute became effective. Finally, the Act
established a third means for current practitioners to qualify
without taking any state-administered examination. Under §
6506(5), they could obtain a waiver of
"education, experience and examination requirements for a
professional license . . . provided the board of regents shall be
satisfied
Page 446 U. S. 481
that the requirements of such article have been substantially
met. [
Footnote 1]"
Respondent has been unsuccessful in her efforts to obtain a
license to practice in New York. On seven separate occasions
between 1964 and 1971, she attempted to qualify by taking the
special examinations designed for current practitioners. Respondent
failed, by a narrow margin, to ever receive a passing score on the
examinations. [
Footnote 2]
After this series of failures, she applied to the Board of Regents
for waiver of the examination requirements pursuant to §
6506(5). This application was based upon her claim that she had
failed the examinations by only a very narrow margin, that she was
licensed in the States of Maine and New Hampshire, and that she had
passed an examination given by the National Board of Chiropractic
Examiners. On November 22, 1971, the Board notified respondent that
they had voted to deny her application for a waiver at a meeting
held on November 19. Respondent was not afforded an evidentiary
hearing on the denial of the waiver or given a statement of reasons
for it.
In January, 1972, respondent commenced a proceeding in the New
York state courts attacking the decision of the Board of Regents
not to grant a waiver as arbitrary and capricious, and seeking an
order directing the Board to license her. She did not raise any
constitutional challenge to the Board's decision in this judicial
proceeding. The trial court granted the requested relief, but its
order was reversed by the Appellate Division. In November, 1975,
the New York State Court of Appeals affirmed the order of the
Appellate Division holding that the Board of Regents had not abused
their discretion in denying respondent's application for a waiver.
Tomanio v. Board of Regents, 38 N.Y.2d 724, 343 N.E.2d 755
(1975),
Page 446 U. S. 482
aff'g 43 App.Div.2d 643, 349 N.Y.S.2d 806 (3d
Dept.1973).
Seven months later, on June 25, 1976, respondent instituted this
action in Federal District Court under 42 U.S.C. § 1983.
Respondent alleged that the refusal of petitioners to grant her a
license to practice violated due process as guaranteed by the
Fourteenth Amendment. Petitioners invoked
res judicata and
the statute of limitations as affirmative defenses to respondent's
action.
The District Court rejected these defenses. First, the court
found that
res judicata would not bar consideration of a
§ 1983 claim in federal court if the constitutional claim was
not actually litigated and determined in the prior state court
proceeding. Since respondent had not raised any constitutional
challenge to the Board's action in state court, the trial court
ruled that
res judicata did not preclude the federal
action.
The District Court also found that the § 1983 action was
not barred by the statute of limitations. Respondent's claim arose
in November, 1971, when her application for waiver was denied, more
than three years prior to the date on which the suit in federal
court was commenced. Although the District Court found that a
3-year New York statute of limitations was applicable to
respondent's action, the court held that it was appropriate to toll
the running of that statute during the pendency of her state court
litigation. Relying on
Mizell v. North Broward Hospital
District, 427 F.2d 468 (CA5 1970), the judge concluded that a
federal tolling rule was appropriate, reasoning that
"[i]n my judgment, the present overburdening of the federal
courts and the increased filings of civil rights complaints are
factors that mitigate in favor of encouraging the utilization of
effective and feasible administrative and judicial remedies, which
exist under state law, in certain situations."
Since respondent had diligently pursued her state court
Page 446 U. S. 483
remedy after the denial of waiver, and then diligently pursued
her federal action after a final dismissal of her state law claims
in the New York State Court of Appeals, the judge found that "it
cannot be said that plaintiff has slept on her rights." On the
merits of the federal constitutional claim, the District Court
found that respondent was entitled to a hearing before the Board,
relief which was more limited than she had sought. The Court of
Appeals for the Second Circuit affirmed the District Court in its
rejection of estoppel by judgment and the statute of limitations
defense, finding that the tolling of the statute was justified "in
the interests of advancing the goals of federalism." 603 F.2d 255.
The court also agreed with the ruling of the District Court that
respondent was entitled, as a matter of federal constitutional law,
to a hearing before the Board on her eligibility for waiver of the
examination requirements.
In unraveling this tangle of federal and state claims and
federal and state court judgments, we have decided that the case is
best disposed of by resolving the statute of limitations question,
which we believe has been all but expressly resolved against the
respondent by our decisions in
Robertson v. Wegmann,
436 U. S. 584
(1978);
Johnson v. Railway Express Agency, Inc.,
421 U. S. 454
(1975); and
Monroe v Pape, 365 U.
S. 167 (1961). Under the reasoning of these decisions,
the federal courts were obligated not only to apply the analogous
New York statute of limitations to respondent's federal
constitutional claims, but also to apply the New York rule for
tolling that statute of limitations.
II
Congress did not establish a statute of limitations or a body of
tolling rules applicable to actions brought in federal court under
§ 1983 -- a void which is commonplace in federal statutory
law. When such a void occurs, this Court has repeatedly "borrowed"
the state law of limitations governing an analogous
Page 446 U. S. 484
cause of action. [
Footnote
3] Limitation borrowing was adopted for civil rights actions
filed in federal court as early as 1914, in
O'Sullivan v.
Felix, 233 U. S. 318.
Although the Court of Appeals found that respondent's action was
governed by a 3-year New York statute of limitations, [
Footnote 4] the court did not apply the
New York rules governing the circumstances under which that statute
of limitations could be tolled.
In § 1983 actions, however, a state statute of limitations
and the coordinate tolling rules are more than a technical obstacle
to be circumvented if possible. In most cases, they are binding
rules of law. In 42 U.S.C. § 1988, Congress "quite clearly
instructs [federal courts] to refer to state statutes" when federal
law provides no rule of decision for actions brought under §
1983. [
Footnote 5]
Robertson v. Wegmann, supra. See
Page 446 U. S. 485
also Carlson v. Green, ante at
446 U. S. 22, n.
10. As we held in
Robertson, by its terms, § 1988
authorizes federal courts to disregard an otherwise applicable
state rule of law only if the state law is "inconsistent with the
Constitution and laws of the United States."
In another action subject to § 1988, we held that the state
statute of limitations and the state tolling rules governed federal
actions brought under 42 U.S.C. § 1981 except when
"inconsistent with the federal policy underlying the cause of
action under consideration."
Johnson v. Railway Express Agency,
Inc., supra at
421 U. S. 465.
We there restated the general principle that, since there was no
specifically stated or otherwise relevant federal statute of
limitations for the federal substantive claim created by Congress
in that case, "the controlling period would ordinarily be the most
appropriate one provided by state law." 421 U.S. at
421 U. S. 462,
and cases cited therein. We went on to observe that this
"borrowing" logically included rules of tolling:
"Any period of limitation . . . is understood fully only in the
context of the various circumstances that suspend it from running
against a particular cause of action. Although any statute of
limitations is necessarily arbitrary, the length of the period
allowed for instituting suit inevitably reflects a value judgment
concerning the point at which the interests in favor of protecting
valid claims are outweighed by the interests in prohibiting the
prosecution of stale ones. In virtually all statutes of
limitations, the chronological length of the limitation period is
interrelated with provisions regarding tolling,
Page 446 U. S. 486
revival, and questions of application. In borrowing a state
period of limitation for application to a federal cause of action,
a federal court is relying on the State's wisdom in setting a
limit, and exceptions' thereto on the prosecution of a closely
analogous claim."
Id. at
421 U. S.
463-464. As
Robertson and
Johnson make
clear, therefore, resolution of this case requires us to identify
the New York rule of tolling and determine whether that rule is
"inconsistent" with federal law.
III
New York has codified the limitations of actions and the
circumstances under which those limitations can be tolled together.
N.Y.Civ.Prac.Law §§ 201-218 (McKinney 1972 and Supp.
1979-1980). The general rule is set forth unambiguously in §
201 (McKinney 1972):
"An action . . . must be commenced within the time specified in
this article. . . . No court shall extend the time limited by law
for the commencement of an action."
The statute codifies a number of the tolling rules developed at
common law. [
Footnote 6] No
section of the law provides, however, that the time for filing a
cause of action is tolled during the period in which a litigant
pursues a related but independent cause of action. [
Footnote 7] If a plaintiff wishes to pursue
his claims in succession, rather than concurrently, the legislature
has required the plaintiff either to obtain a
Page 446 U. S. 487
judicial stay of the time for commencing an action, or to
litigate at risk.
See § 204. The New York Legislature
has apparently determined that the policies of repose underlying
the statute of limitations should not be displaced by whatever
advantages inure, whether to the plaintiff or the system, in a
scheme which encourages the litigation of one cause of action prior
to another.
Respondent's failure to comply with the New York statute of
limitations, therefore, precluded maintenance of this action unless
New York's tolling rule is "inconsistent" with the policies
underlying § 1983. [
Footnote
8] In order to gauge consistency, of course, the state and
federal policies which the respective legislatures sought to foster
must be identified and compared. On many prior occasions, we have
emphasized the importance of the policies underlying state statutes
of limitations. Statutes of limitations are not simply
technicalities. On the contrary, they have long been respected as
fundamental to a well ordered judicial system. Making out the
substantive elements of a claim for relief involves a process of
pleading, discovery, and trial. The process of discovery and trial
which results in the finding of ultimate facts for or against the
plaintiff by the judge or jury is obviously more reliable if the
witness or testimony in question is relatively fresh. Thus, in the
judgment of most legislatures and courts, there comes a point at
which the delay of a plaintiff in asserting a claim is sufficiently
likely either to impair the accuracy of the factfinding process or
to upset settled expectations that a substantive claim will be
barred without respect to whether it is meritorious. By the same
token, most courts and legislatures have recognized that there are
factual circumstances which justify an exception to these strong
policies of repose. For example, defendants may not, by tactics of
evasion, prevent the plaintiff from litigating the merits of a
claim, even though,
Page 446 U. S. 488
on its face, the claim is time-barred. These exceptions to the
statute of limitations are generally referred to as "tolling," and,
as more fully discussed in
Johnson v. Railway Express Agency,
Inc., 421 U. S. 454
(195), are an integral part of a complete limitations policy.
The importance of policies of repose in the federal, as well as
in the state, system is attested to by the fact that, when Congress
has provided no statute of limitations for a substantive claim
which is created, this Court has nonetheless "borrowed" what it
considered to be the most analogous state statute of limitations to
bar tardily commenced proceedings.
Supra at
446 U. S.
483-484. This is obviously a judicial recognition of the
fact that Congress, unless it has spoken to the contrary, did not
intend by the mere creation of a "cause of action" or "claim for
relief" that any plaintiff filing a complaint would automatically
prevail if only the necessary elements of the federal substantive
claim for relief could be established. Thus, in general, state
policies of repose cannot be said to be disfavored in federal law.
Nonetheless, it is appropriate to determine whether Congress has
departed from the general rule in § 1983.
In
Robertson v. Wegmann, 436 U.
S. 584 (1978), the Court first emphasized that
"a state statute cannot be considered 'inconsistent' with
federal law merely because the statute causes the plaintiff to lose
the litigation. If success of the § 1983 action were the only
benchmark, there would be no reason at all to look to state law,
for the appropriate rule would then always be the one favoring the
plaintiff, and its source would be essentially irrelevant."
Id. at
436 U. S. 593.
The Court went on to identify two of the principal policies
embodied in § 1983 as deterrence and compensation. Neither of
these policies is significantly affected by this rule of
limitations since plaintiffs can still readily enforce their
claims, thereby recovering compensation and fostering deterrence,
simply by commencing their actions within three years.
Page 446 U. S. 489
Uniformity has also been cited as a federal policy which
sometimes necessitates the displacement of an otherwise applicable
state rule of law.
Carlson v. Green, ante p.
446 U. S. 14;
Occidental Life Ins. Co. of California v. EEOC,
432 U. S. 355,
432 U. S. 362
(1977). The need for uniformity, while paramount under some federal
statutory schemes, has not been held to warrant the displacement of
state statutes of limitations for civil rights actions.
Johnson
v. Railway Express Agency, Inc., supra. In
Robertson v.
Wegmann, supra, we held:
"[W]hatever the value of nationwide uniformity in areas of civil
rights enforcement where Congress has not spoken, in the areas to
which § 1988 is applicable, Congress has provided direction,
indicating that state law will often provide the content of the
federal remedial rule. This statutory reliance on state law
obviously means that there will not be nationwide uniformity on
these issues."
436 U.S. at
436 U. S. 594,
n. 11.
The Court of Appeals and the District Court in this case
apparently believed that policies of federalism would be undermined
by the adoption of the New York tolling rule, since litigants would
not be encouraged to resort to state remedies prior to the
maintenance of a federal civil rights action under § 1983. The
conclusion of the lower courts that this result would be
"inconsistent" with federal law is at odds with the reasoning in
our prior opinions in this field, as well as at odds with
federalism itself.
On several prior occasions, we have reasoned that, when Congress
intended to establish a remedy separate and independent from other
remedies that might also be available, a state rule which does not
allow a plaintiff to litigate such alternative claims in
succession, without risk of a time bar, is not "inconsistent." In
Johnson v. Railway Express, supra, the Court found that a
state rule which did not toll the statute of limitations applicable
to a claim under 42 U.S.C. § 1981 during the pendency of a
charge under Title VII of the Civil
Page 446 U. S. 490
Rights Act of 1964 filed with the Equal Employment Opportunity
Commission, was not inconsistent with § 1981 because Congress
had "retained § 1981 as a remedy . . . separate from and
independent of the . . . procedures of Title VII." 421 U.S. at
421 U. S. 466.
The Court premised its conclusion that Title VII and § 1981
were separate and independent on the fact that Congress had not
required resort to Title VII as a prerequisite to an action under
§ 1981, and did not "expect that a § 1981 court action
usually would be resorted to only upon a completion of Title VII
procedures. . . ." 421 U.S. at
421 U. S. 461.
Adopting the same reasoning, we held in
Electrical Workers v.
Robbins & Myers, Inc., 429 U. S. 229
(1976), that it would not be inconsistent with Title VII to decline
to toll the statute of limitations during labor grievance or
arbitration procedures
because
"contractual rights under a collective bargaining agreement and
the statutory right provided by Congress under Title VII 'have
legally independent origins, and are equally available to the
aggrieved employee.'"
Id. at
429 U. S. 236,
quoting
Alexander v. Gardner-Denver Co., 415 U. S.
36,
415 U. S. 52
(1974). Applying the converse of this reasoning, this Court found
in
Occidental Life Ins. Co. of California v. EEOC, supra,
that it
would be inconsistent with federal law to apply a
state statute of limitations to actions instituted by the EEOC
under Title VII, since the EEOC was "required by law to refrain
from commencing a civil action until it ha[d] discharged its
administrative duties." 432 U.S. at
432 U. S.
368.
The District Court's conclusion that state remedies should be
utilized before resort to the federal courts may be an entirely
sound and sensible observation, but, in our opinion, it does not
square with what must be presumed to be congressional intent in
creating an independent federal remedy. Unless that remedy is
structured to require previous resort to state proceedings, so that
the claim may not even be maintained in federal court unless such
resort be had,
see Love v. Pullman Co., 404 U.
S. 522 (1972), it cannot be assumed that Congress wishes
to hold open the independent federal remedy
Page 446 U. S. 491
during any period of time necessary to pursue alternative state
court remedies. It is difficult to conclude that a state policy of
repose which likewise does not encourage litigants to resort to
other available remedies is inconsistent with such congressional
intent. We find the congressional intent here to be virtually
indistinguishable from that found in
Johnson v. Railway
Express, supra, and
Electrical Workers v. Robbins &
Myers, Inc., supra, to be consistent with a rule prohibiting
tolling.
As in those cases, there is no question that respondent's §
1983 action was "separate and independent" from the state judicial
remedy pursued in state court. [
Footnote 9] This Court has not interpreted § 1983 to
require a litigant to pursue state judicial remedies prior to
commencing an action under this section. In
Monroe v.
Pape, 365 U.S. at
365 U. S. 183,
we held:
"It is no answer that the State has a law which, if enforced,
would give relief. The federal remedy is supplementary to the state
remedy, and the latter need not be first sought and refused before
the federal one is invoked."
Thus the very independence of § 1983 reveals that the New
York rule precluding tolling in the circumstances of this case is
not "inconsistent" with the provisions of § 1983.
Finally, we do not believe that this construction of
congressional intent is overridden, as the Court of Appeals found,
"in the interests of advancing the goals of federalism." We believe
that the application of the New York law of tolling is, in fact,
more consistent with the policies of "federalism" invoked by the
Court of Appeals than a rule which displaces
Page 446 U. S. 492
the state rule in favor of an
ad hoc federal rule. The
result reached by the District Court and Court of Appeals might
encourage more plaintiffs with both state and federal
constitutional claims to initially bring an action in the state
courts. But it would just as surely frustrate the often complex
combination of limitations and tolling provisions enacted by the
State in question. While New York might have chosen a tolling rule
designed to encourage prior resort to state law remedies, it has
not. Here, New York has expressed by statute its disfavor of
tolling its statute of limitations for one action while an
independent action is being pursued. Considerations of federalism
are quite appropriate in adjudicating federal suits based on 42
U.S.C. § 1983.
See, e.g., Younger v. Harris,
401 U. S. 37
(1971). But the Court of Appeals' rule allowing tolling can
scarcely be deemed a triumph of federalism when it necessitates a
rejection of the rule actually chosen by the New York
Legislature.
Since we therefore hold that respondent's action was barred by
the New York statute of limitations, we find it unnecessary to
reach petitioners' other contentions. The judgment of the Court of
Appeals is accordingly
Reversed.
[
Footnote 1]
This waiver section is available to all applicants for
professional licenses, and not just those seeking admission to the
practice of chiropractic.
[
Footnote 2]
In 1972, respondent also took, and failed, the examinations
administered to applicants without prior experience in
practice.
[
Footnote 3]
See, e.g., the authorities cited in
Johnson v.
Railway Express Agency, Inc., 421 U.
S. 454,
421 U. S. 462
(1975).
[
Footnote 4]
The Court of Appeals for the Second Circuit established a number
of years ago that New York's 3-year time limitation for actions "to
recover upon a liability, penalty or forfeiture created or imposed
by statute," N.Y.Civ.Prac.Law § 214(2) (McKinney Supp.
1979-1980), governs § 1983 actions brought in Federal District
Court in New York.
Romer v. Leary, 425 F.2d 186 (1970);
Meyer v. Frank, 550 F.2d 726,
cert. denied, 434
U.S. 830 (1977). While petitioners suggest that § 217
(McKinney 1972) of the New York statutes of limitations, requiring
the commencement of proceedings to review administrative action
within four months, more appropriately governs this action, we need
only hold that the Court of Appeals erred by tolling the 3-year
limitation. The respondent does not maintain that a limitation
period longer than three years governs this action. Thus, we may
assume for the purposes of this opinion that the 3-year period was
applicable, since respondent is, in any event, barred.
[
Footnote 5]
Section 1988 provides:
"The jurisdiction in civil and criminal matters conferred on the
district courts by the provisions of this [Chapter and Title 18],
for the protection of all persons in the United States in their
civil rights, and for their vindication, shall be exercised and
enforced in conformity with the laws of the United States, so far
as such laws are suitable to carry the same into effect; but in all
cases where they are not adapted to the object, or are deficient in
the provisions necessary to furnish suitable remedies and punish
offenses against law, the common law, as modified and changed by
the constitution and statutes of the State wherein the court having
jurisdiction of such civil or criminal cause is held, so far as the
same is not inconsistent with the Constitution and laws of the
United States, shall be extended to and govern the said courts in
the trial and disposition of the cause, and, if it is of a criminal
nature, in the infliction of punishment on the party found
guilty."
[
Footnote 6]
See, e.g., § 207 (McKinney 1972) (tolling during
defendant's absence from State or residence under false name);
§ 208 (McKinney Supp. 19791980) (tolling during period in
which plaintiff is under a disability such as infancy, insanity, or
imprisonment).
[
Footnote 7]
Section 204(b) does provide that, if a plaintiff attempts to
submit a claim for arbitration, but it is ultimately held that
there is no obligation to arbitrate, the limitations period will
not run during the time between the date of demand and the date of
the judgment providing that arbitration is unavailable. This
section does not provide for general tolling during arbitration,
but only in situations where the plaintiff is unable to obtain an
adjudication on the merits because the remedy is legally
unavailable.
[
Footnote 8]
We note that respondent does not maintain that any provision of
New York law operated to toll the statute of limitations.
[
Footnote 9]
The remedy pursued by plaintiff in state court was a state
judicial remedy authorizing actions against administrative bodies
to review
"whether a determination was made in violation of lawful
procedure, was affected by an error of law or was arbitrary and
capricious or an abuse of discretion. . . ."
N.Y.Civ.Prac.Law § 7803 (McKinney 1963). While the parties
and the courts below were in agreement that a constitutional
challenge to the agency action could have been brought under Art.
78, only the state law claims were pursued by respondent in that
proceeding.
MR. JUSTICE STEVENS, concurring in the result.
The federal claim asserted by respondent was that New York had
deprived her of the right to practice her profession without the
due process of law required by the Fourteenth Amendment to the
United States Constitution. [
Footnote
2/1] The New York proceedings that ultimately determined that
she had no such right as a matter of state law were not concluded
until November, 1975. Since her federal action was filed only seven
months later, I believe it was timely, though for somewhat
different reasons than those stated by the Court of Appeals.
Page 446 U. S. 493
Having relied on developments in the state court litigation to
defend the merits of respondent's due process challenge, [
Footnote 2/2] I would not permit the State
simultaneously to contend that all aspects of the federal
controversy had crystalized before respondent sought review in the
state court system.
Cf. Bonner v. Coughlin, 517 F.2d 1311,
1319 (CA7 1975),
modified, 545 F.2d 565 (1976) (en banc),
cert. denied, 435 U.S. 932. As the Court notes,
ante at
446 U. S. 491,
a litigant is not required to exhaust state remedies before
bringing a § 1983 action in federal court.
Monroe v.
Pape, 365 U. S. 167,
365 U. S. 183.
But I would not penalize a litigant who decides to bring suit in
the state courts first; for such a decision gives the State an
opportunity to correct, through construction of state law, a
potential constitutional error, and may obviate entirely any need
to present the claim to a federal court. It would also make no
sense to me in terms of either federalism or judicial
administration to require a litigant who files an action in state
court to proceed simultaneously in federal court in order to avoid
a time bar. I therefore disagree with the Court's holding that
respondent's claim is barred by limitations. [
Footnote 2/3]
On the merits, however, I am not persuaded that New York's
licensing procedure is unfair. Examinations are a permissible
method of determining qualifications, and lines must be drawn
somewhere. The fact that respondent was just short of the passing
mark does not raise any federal question. Indeed, respondent does
not claim that the examination itself denied her due process. And I
agree with Judge Lumbard, who dissented in the Court of Appeals,
that the fact that
Page 446 U. S. 494
New York has provided for a waiver in the discretion of the
Board of Regents does not substantially change the State's
licensing procedure. Respondent was given an adequate opportunity
to advise the Board of the reasons why she should receive a waiver,
and she ultimately received an adequate explanation for the
refusal. She does not allege that others who have failed the
examination have obtained a waiver, or, indeed, any facts
suggesting any arbitrariness in the New York procedure.
In short, I find no merit in respondent's constitutional
challenge, and would reverse for that reason.
[
Footnote 2/1]
"[N]or shall any State deprive any person of life, liberty, or
property, without due process of law. . . ." U.S.Const., Amdt. 14,
§ 1.
[
Footnote 2/2]
Petitioners rely on the papers in the New York action as having
provided respondent with an adequate statement of the reasons for
the denial of a waiver.
See Brief for Petitioners 4.
[
Footnote 2/3]
Even if I agreed with the view that the federal claim was
complete in November, 1971, when respondent's application for a
waiver was denied, I would remand to the Court of Appeals to
determine the state law tolling issue, rather than have this Court
decide that state law question in the first instance.
MR. JUSTICE BRENNAN, with whom MR. JUSTICE MARSHALL joins,
dissenting.
I cannot agree with the Court that respondent's federal action
is time-barred. In my view, when applied to these facts, the New
York statute of limitations and tolling rules are "inconsistent
with the Constitution and laws of the United States," and thus
should not be "extended to . . . govern" respondent's suit. 42
U.S.C. § 1988.
While the precise content of New York's statute of limitations
and tolling rules is not crucial to my analysis, I think it
appropriate to note that the Court's conclusion that respondent's
action would be time-barred under state law is far from persuasive.
The Court relies heavily upon the absence of any provision that
expressly tolls the statute of limitations "during the period in
which a litigant pursues a related, but independent cause of
action,"
ante at
446 U. S. 486.
[
Footnote 3/1] I would not attach
controlling significance to the absence of particular statutory
language. Nor would I conclude on the basis of that absence that
New York had consciously determined
"that the policies of repose underlying the statute of
Page 446 U. S. 495
limitations should not be displaced by whatever advantages
inure, whether to the plaintiff, or the system, in a scheme which
encourages the litigation of one cause of action prior to
another."
Ante at
446 U. S. 487.
Legislative silence is simply not that communicative. [
Footnote 3/2] Indeed, there may be no New
York rule that actually deals with the present situation. That
State has a unitary court system, and, in consequence, its judges
and legislators are unlikely to have focussed upon the filing in
two different court systems of two different suits dealing with the
same transaction or occurrence. Further, the situation upon which
they probably have focussed -- the filing in a single system of two
consecutive suits -- would not really be analogous, because there
would be no conceivable reason for separating the actions.
Moreover, even in that case, it is not clear that state lawmakers
would expect to derail the second action by applying the statute of
limitations. On the contrary, the doctrine of
res judicata
would seem a more probable reason for dismissal. [
Footnote 3/3] In sum, I think the precise content
of state law, when applied to a case such as the present one, is
sufficiently opaque to render any supposition as to what state
policies are at stake extremely speculative. [
Footnote 3/4]
More broadly, I would not find respondent's § 1983 action
time-barred even were I confident that application of the New York
rules would produce that result.
Monroe v Pape,
365 U. S. 167,
365 U. S. 183
(1961), settled that the plaintiff in a § 1983 case need not
resort to state judicial remedies prior to filing a federal suit.
There are, however, circumstances in
Page 446 U. S. 496
which this Court has decided that a federal determination may be
delayed pending resolution of certain state law issues,
see
Railroad Comm'n v. Pullman Co., 312 U.
S. 496 (1941). Beyond that, even in cases not
technically within the abstention doctrine, advantages may be
realized from permitting the state courts to decide claims that
state administrative determinations were arbitrary, capricious, or
otherwise contrary to state law. Accordingly, I can conceive of
situations in which a plaintiff in a case like the present one
might resort initially to state courts either under the view that
he would be required to do so by the abstention doctrine or because
doing so, while not compulsory, would be a more efficacious way of
resolving his claim. Either reason strikes me as entirely
legitimate. [
Footnote 3/5]
Abstention decisions are presumably there to be read by plaintiffs
as well as district courts, and permitting plaintiffs to act upon
them might spare the federal courts some unnecessary work. More
generally, where the plaintiff voluntarily concludes that it is
worth the time and money, resort to state judicial review under
state law would not be inconsistent with
Monroe v. Pape,
supra, and could both reduce strains on federal-state
relations and ease the task facing the district courts that must
eventually resolve those cases not settled in state
proceedings.
While I believe the foregoing benefits may be substantial, I
think it vital to ensure that they are not obtained at the expense
of the plaintiff's right ultimately to try his federal claims in a
federal forum. Thus, while I recognize that a plaintiff may be
bound by a deliberate choice to present both state and federal
claims to the state court, I would not be too quick to find that
such a choice has been made. In the present case, there is no
indication that respondent had any intention of relinquishing her
right to a federal forum, and I would eschew any course that, in
effect, forces her to do so.
Page 446 U. S. 497
In consequence, on these facts I would think it inconsistent
with federal law and the Constitution to enforce state timing or
res judicata rules that close the door of the federal
courthouse.
In the abstention context,
England v. Louisiana State Board
of Medical Examiners, 375 U. S. 411
(1964), sets forth a procedure for preserving a plaintiff's right
to a federal forum for his federal claims while giving effect to
the concerns and policies underlying
Railroad Comm'n v. Pullman
Co., supra. Under that procedure, a plaintiff remitted to
state court may file a formal reservation in that court preserving
his federal claims. If he does so, he can litigate those claims on
his return to federal court. If he fails to do so, he risks being
held to have submitted all his claims to the state court. It seems
to me that the present case is, in many respects, simply a
variation of the basic
England situation. Accordingly, I
believe that a similar reservation procedure would be appropriate
here. Permitting a plaintiff to reserve his federal claims would
make the choice to litigate state claims in state court a palatable
one; and where that choice is exercised, the parties and system
alike may benefit. Further, requiring that plaintiffs who want to
make such a reservation do so expressly would supply a relatively
simple means of preventing the relitigation of claims submitted to
and decided by state courts. [
Footnote
3/6]
Page 446 U. S. 498
While I would impose a reservation requirement on cases like
this for the future, I would not be inclined to do so on the
present facts, for reasons akin to those that led us to make
England itself prospective. 375 U.S. at
375 U. S.
421-423. Specifically, there is no reason why respondent
should have anticipated that she would be required to reserve her
federal questions. On the contrary, I think she could reasonably
have assumed that, so long as her federal claims were not raised or
decided in state court, she could try them in a subsequent §
1983 action. [
Footnote 3/7] I would
give effect to that assumption, and make the reservation
requirement wholly prospective. [
Footnote 3/8]
Page 446 U. S. 499
Because I think the importation of either the state statute of
limitations or its estoppel by judgment rule would be inconsistent
with federal law and the Constitution, I would reach the merits.
The courts below were of the view that the licensing scheme in
general and the waiver provisions in particular conferred on
respondent some minimal property right. I see no reason to
second-guess that determination. [
Footnote 3/9] As a result, it is axiomatic that some
procedural protections are required by the Due Process Clause. The
extent of those protections is a difficult question, and I think
the Court of Appeals may have gone too far when it ordered an
adjudicative hearing. It does, however, seem quite clear that, at
minimum, respondent was entitled to a statement of the reasons for
her rejection. Further, I cannot agree with MR. JUSTICE STEVENS
that this requirement was satisfied by the statement given by the
Board in its answer to respondent's original complaint.
Respondent's right was to receive a statement of reasons when a
waiver was denied, not upon her resort to state judicial remedies.
[
Footnote 3/10] As a result, I
would affirm the Court of Appeals insofar as it held that
respondent was entitled as a matter of federal constitutional law
to some additional procedures, but would reverse insofar as that
court held that she was entitled to a full adjudicative hearing.
Accordingly, I dissent.
[
Footnote 3/1]
The Court also makes reference to respondent's failure to
"maintain that any provision of New York law operated to toll the
statute of limitations."
Ante at
446 U. S. 487,
n. 8.
[
Footnote 3/2]
Cf. Powell, The Still Small Voice of the Commerce
Clause, in 3 Selected Essays on Constitutional Law 931, 932
(1938).
[
Footnote 3/3]
See Winters v. Lavine, 574 F.2d 46, 56 (CA2 1978)
(citing New York cases).
[
Footnote 3/4]
If the Court is persuaded that state law should govern, I agree
with MR. JUSTICE STEVENS that it would be appropriate to seek the
advice of the Court of Appeals as to the precise content of the
state rule as applied to facts such as these.
Ante at
446 U. S. 493,
n. 3.
[
Footnote 3/5]
In this regard, too, I am in agreement with my Brother STEVENS.
See ante at
446 U. S.
493.
[
Footnote 3/6]
Curiously, the Court's decision regarding the New York statute
of limitations could have a broadly parallel effect. As I
understand it, the Court would simply require plaintiffs either to
lodge a federal complaint in federal court before the limitations
period expires or to obtain an order from the state court tolling
the running of that period. Either step would put the State on
notice that a federal constitutional challenge loomed,
cf.
Government Employees v. Windsor, 353 U.
S. 364 (1957), and, assuming that the Court would not
give effect to the state
res judicata rules, either would
ultimately permit plaintiffs in future cases to raise their federal
claims in federal forums. Thus, while I am not persuaded by the
Court's reasoning, and while I think the result in this particular
case anomalous, the overall effect of the Court's rule may be
satisfactory.
[
Footnote 3/7]
In 1970, the Court of Appeals for the Fifth Circuit concluded
that a state statute of limitations would be tolled in such a
situation.
Mizell v. North Broward Hospital District, 427
F.2d 468, 473-474. The Court of Appeals for the Second Circuit
apparently had not ruled on this precise issue at the time of
respondent's suit, although it had held that New York's
res
judicata and collateral estoppel rules would not bar a federal
civil rights suit dealing with issues not actually litigated in a
prior state court suit,
Ornstein v. Regan, 574 F.2d 115
(1978);
Lombard v. Board of Education, 502 F.2d 631,
635-637 (1974).
[
Footnote 3/8]
Even were the
England requirement fully applicable,
respondent's failure to make an express reservation might not be
dispositive on these facts. Normally the reservation rule will
serve two functions -- it will force the plaintiff to declare his
intentions, and thus keep him from getting two chances to litigate
a single claim, and it will put the parties and the state court on
notice that there lurks a constitutional issue. Here, the first
purpose is not implicated, because respondent's federal claims were
not litigated in state court. And while it may be appropriate to
hold that a plaintiff who fails to reserve federal claims will be
bound by a state court's actual determination of those claims, the
proper result where a failure to reserve has led only to silence on
the federal issue is less obvious.
Government Employees v.
Windsor, supra, for example, merely concluded that a state law
determination made without warning or discussion of related
constitutional claims was inadequate, and ordered a remand to give
the state courts an opportunity to construe their statute in a
different manner. 353 U.S. at
353 U. S. 366.
Neither party has requested such a disposition here, and I am not
convinced that one would be appropriate. But it does seem that the
consequence of failure to reserve in the present context need not
be a complete bar to pursuit of respondent's federal claims in
federal court.
[
Footnote 3/9]
In the wake of
Bishop v. Wood, 426 U.
S. 341,
426 U. S. 347
(1976), it is clear that such second-guessing will rarely, if ever,
be appropriate.
[
Footnote 3/10]
Cf. Home Telephone & Telegraph Co. v. Los Angeles,
227 U. S. 278
(1913).