Section 504 of the Rehabilitation Act of 1973 provides that
"[n]o otherwise qualified handicapped individual . . . shall,
solely by reason of his handicap, be excluded from the
participation in, be denied the benefits of, or be subjected to
discrimination under any program or activity receiving Federal
financial assistance."
In 1984, the Secretary of Health and Human Services (Secretary)
promulgated regulations requiring: (1) health care providers
receiving federal funds to post notices that, because of §
504's prohibition against discrimination on the basis of handicap,
health care should not be withheld from infants on the basis of
their mental or physical impairments; (2) state child protective
services agencies to establish procedures to prevent unlawful
medical neglect of handicapped infants, and when considered
necessary, in the judgment of the responsible official of the
Department of Health and Human Services, to protect a handicapped
infant's life or health; (3) immediate access to patient records;
and (4) expedited compliance actions. In consolidated actions in
Federal District Court, respondents sought to declare the
regulations invalid and to enjoin their enforcement. The court
granted the requested relief on the authority of
United States
v. University Hospital, 729 F.2d 144 (CA2), and the Court of
Appeals affirmed on the basis of that earlier decision.
Held: The judgment is affirmed.
794 F.2d 676, affirmed.
JUSTICE STEVENS, joined by JUSTICE MARSHALL, JUSTICE BLACKMUN,
and JUSTICE POWELL, concluded that the regulations in question are
not authorized by § 504. Pp.
476 U. S.
624-647.
(a) A hospital's withholding of treatment from a handicapped
infant when no parental consent has been given cannot violate
§ 504, for, without the parents' consent, the infant is
neither "otherwise qualified" for treatment nor has he been denied
care "solely by reason of his handicap." There is nothing in the
administrative record documenting the Secretary's belief that there
exists "discriminatory withholding of medical care" in violation of
§ 504 which would justify federal regulation. None
Page 476 U. S. 611
of the examples cited by the Secretary as justification for the
regulation suggests that the hospitals receiving federal funds, as
opposed to parents, withheld medical care on the basis of handicap.
Pp.
476 U. S.
630-636.
(b) The complaint-handling process the Secretary would impose on
unwilling state agencies is totally foreign to the authority to
prevent discrimination conferred on him by § 504. While the
Secretary can require state agencies to document their
own
compliance with § 504, nothing in § 504 authorizes him to
commandeer state agencies to enforce compliance by
other
recipients of federal funds (in this instance, hospitals). Pp.
476 U. S.
637-642.
(c) The Secretary's basis for federal intervention is perceived
discrimination against handicapped infants in violation of §
504, and yet the Secretary has pointed to no evidence that such
discrimination occurs. The administrative record does not contain
the reasoning and evidence necessary to sustain federal
intervention into a historically state-administered decisional
process that appears -- for lack of any contrary evidence -- to be
functioning in full compliance with § 504. Nothing in §
504 authorizes the Secretary to dispense with the law's focus on
discrimination, and instead to employ federal resources to save the
lives of handicapped newborns without regard to whether they are
victims of discrimination by recipients of federal funds or not.
Section 504 does not authorize the Secretary to give unsolicited
advice either to parents, to hospitals, or to state officials who
are faced with difficult treatment decisions concerning handicapped
children. The administrative record demonstrates that the Secretary
has asserted the authority to conduct on-site investigations, to
inspect hospital records, and to participate in the decisional
process in emergency cases in which there was no colorable basis
for believing that a violation of § 504 had occurred or was
about to occur. These investigative actions are not authorized by
§ 504, and the regulations that purport to authorize a
continuation of them are invalid. Pp.
476 U. S.
642-647.
STEVENS, J., announced the judgment of the Court, and delivered
an opinion in which MARSHALL, BLACKMUN, and POWELL, JJ., joined.
BURGER, C.J., concurred in the judgment. WHITE, J., filed a
dissenting opinion, in which BRENNAN, J., joined and in Parts I,
II, IV, and V of which O'CONNOR, J., joined,
post, p.
476 U. S. 648.
O'CONNOR, J., filed a dissenting opinion,
post, p.
476 U. S. 665.
REHNQUIST, J., took no part in the consideration or decision of the
case.
Page 476 U. S. 612
JUSTICE STEVENS announced the judgment of the Court and
delivered an opinion, in which JUSTICE MARSHALL, JUSTICE BLACKMUN,
and JUSTICE POWELL join.
This case presents the question whether certain regulations
governing the provision of health care to handicapped infants are
authorized by § 504 of the Rehabilitation Act of 1973. That
section provides, in part:
Page 476 U. S. 613
"No otherwise qualified handicapped individual . . . shall,
solely by reason of his handicap, be excluded from the
participation in, be denied the benefits of, or be subjected to
discrimination under any program or activity receiving Federal
financial assistance."
87 Stat. 394, 29 U.S.C. § 794. [
Footnote 1]
I
The American Medical Association, the American Hospital
Association, and several other respondents [
Footnote 2] challenge the validity of Final Rules
promulgated on January 12, 1984, by the Secretary of the Department
of Health and Human Services. [
Footnote 3] These Rules establish "Procedures relating to
health care for handicapped infants," and in particular require the
posting of informational notices, authorize expedited access to
records and expedited compliance actions, and command state child
protective services agencies to "prevent instances of unlawful
medical neglect of handicapped infants." 45 CFR § 84.55
(1985).
Although the Final Rules comprise six parts, only the four
mandatory components are challenged here. [
Footnote 4] Subsection (b)
Page 476 U. S. 614
is entitled "Posting of informational notice," and requires
every "recipient health care provider that provides health care
services to infants in programs or activities receiving
Page 476 U. S. 615
Federal financial assistance" -- a group to which we refer
generically as "hospitals" -- to post an informational notice in
one of two approved forms. 45 CFR § 84.55(b) (1985). Both
forms include a statement that § 504 prohibits discrimination
on the basis of handicap, and indicate that, because of this
prohibition
"nourishment and medically beneficial treatment (as determined
with respect for reasonable medical judgments) should not be
withheld from handicapped infants solely on the basis of their
present or anticipated mental or physical impairments."
45 CFR §§ 84.55(b)(3), (4) (1985). The notice's
statement of the legal requirement does not distinguish between
medical care for which parental consent has been obtained and that
for which it has not. The notice must identify the telephone number
of the appropriate child protective services agency and, in
addition, a toll-free number for the Department that is available
24 hours a day.
Ibid. Finally, the notice must state that
the "identity of callers will be kept confidential," and that
federal law prohibits retaliation "against any person who provides
information about possible violations."
Ibid.
Subsection (c), which contains the second mandatory requirement,
sets forth "Responsibilities of recipient state child protective
services agencies." Subsection (c) does not mention § 504 (or
any other federal statute), and does not even use the word
"discriminate." It requires every designated agency to establish
and maintain procedures to ensure that
Page 476 U. S. 616
"the agency utilizes its full authority pursuant to state law to
prevent instances of unlawful medical neglect of handicapped
infants." 45 CFR § 84.55(c)(1). Mandated procedures must
include (1)
"[a] requirement that health care providers report on a timely
basis . . . known or suspected instances of unlawful medical
neglect of handicapped infants,"
§ 84.55(c)(1)(i); (2) a method by which the state agency
can receive timely reports of such cases, § 84.55(c)(1)(ii);
(3) "immediate" review of those reports, including "on-site
investigation," where appropriate, § 84.55(c)(1)(iii); (4)
protection of "medically neglected handicapped infants" including,
where appropriate, legal action to secure "timely court order[s] to
compel the provision of necessary nourishment and medical
treatment," § 84.55(c)(1)(iv); and (5) "[t]imely notification"
to HHS of every report of "suspected unlawful medical neglect" of
handicapped infants. The preamble to the Final Rules makes clear
that this subsection applies
"where a refusal to provide medically beneficial treatment is a
result, not of decisions by a health care provider, but of
decisions by parents."
49 Fed.Reg. 1627 (1984).
The two remaining mandatory regulations authorize "[e]xpedited
access to records" and "[e]xpedited action to effect compliance."
45 CFR §§ 84.55(d), (e) (1985). Subsection (d) provides
broadly for immediate access to patient records on a 24-hour basis,
with or without parental consent,
"when, in the judgment of the responsible Department official,
immediate access is necessary to protect the life or health of a
handicapped individual."
§ 84.55(d). Subsection (e) likewise dispenses with
otherwise applicable requirements of notice to the hospital
"when, in the judgment of the responsible Department official,
immediate action to effect compliance is necessary to protect the
life or health of a handicapped individual."
§ 84.55(e). The expedited compliance provision is intended
to allow "the government [to] see[k] a temporary restraining order
to sustain the life of a handicapped infant in
Page 476 U. S. 617
imminent danger of death." 49 Fed.Reg. 1628 (1984). Like the
provision affording expedited access to records, it applies without
regard to whether parental consent to treatment has been withheld
or whether the matter has already been referred to a state child
protective services agency.
II
The Final Rules represent the Secretary's ultimate response to
an April 9, 1982, incident in which the parents of a Bloomington,
Indiana, infant with Down's syndrome and other handicaps refused
consent to surgery to remove an esophageal obstruction that
prevented oral feeding. On April 10, the hospital initiated
judicial proceedings to override the parents' decision, but an
Indiana trial court, after holding a hearing the same evening,
denied the requested relief. On April 12 the court asked the local
Child Protection Committee to review its decision. After conducting
its own hearing, the Committee found no reason to disagree with the
court's ruling. [
Footnote 5]
The infant died six days after its birth.
Citing "heightened public concern" in the aftermath of the
Bloomington Baby Doe incident, on May 18, 1982, the director of the
Department's Office of Civil Rights, in response to a directive
from the President, "remind[ed]" health care providers receiving
federal financial assistance that newborn infants
Page 476 U. S. 618
with handicaps such as Down's syndrome were protected by §
504. 47 Fed.Reg. 26027 (1982). [
Footnote 6]
This notice was followed, on March 7, 1983, by an "Interim Final
Rule" contemplating a "vigorous federal role." 48 Fed.Reg. 9630.
The Interim Rule required health care providers receiving federal
financial assistance to post
"in a conspicuous place in each delivery ward, each maternity
ward, each pediatric ward, and each nursery, including each
intensive care nursery,"
a notice advising of the applicability of § 504 and the
availability of a telephone "hotline" to report suspected
violations of the law to HHS.
Id. at 9631. Like the Final
Rules, the Interim Rule also provided for expedited compliance
actions and expedited access to records and facilities when, "in
the judgment of the responsible Department official," immediate
action or access was "necessary to protect the life or health of a
handicapped individual."
Id. at 9632. The Interim Rule
took effect on March 22.
On April 6, 1983, respondents American Hospital Association
et al. filed a complaint in the Federal District Court for
the Southern District of New York seeking a declaration that the
Interim Final Rule was invalid and an injunction against its
enforcement. Little more than a week later, on April 14, in a
similar challenge brought by the American Academy of Pediatrics and
other medical institutions, the Federal District Court for the
District of Columbia declared the Interim Final Rule "arbitrary and
capricious, and promulgated in violation of the Administrative
Procedure Act."
American Academy of Pediatrics v.
Heckler, 561 F.
Supp. 395,
404
(1983). The District Judge in that case "conclude[d] that haste and
inexperience ha[d] resulted in agency action based on inadequate
consideration" of several relevant concerns
Page 476 U. S. 619
and, in the alternative, found that the Secretary had improperly
failed to solicit public comment before issuing the Rule.
Id. at 399-401.
On July 5, 1983, the Department issued new "Proposed Rules" on
which it invited comment. Like the Interim Final Rule, the Proposed
Rules required hospitals to post informational notices in
conspicuous places and authorized expedited access to records to be
followed, if necessary, by expedited compliance action. 48 Fed.Reg.
30851. In a departure from the Interim Final Rule, however, the
Proposed Rules required federally assisted state child protective
services agencies to utilize their "full authority pursuant to
State law to prevent instances of medical neglect of handicapped
infants."
Ibid. Mandated procedures mirrored those
contained in the Final Rules described above.
Ibid. The
preamble and appendix to the Proposed Rules did not acknowledge
that hospitals and physicians lack authority to perform treatment
to which parents have not given their consent. [
Footnote 7]
Page 476 U. S. 620
After the period for notice and comment had passed, HHS, on
December 30, 1983, promulgated the Final Rules and announced that
they would take effect on February 13, 1984. On March 12 of that
year, respondents American Hospital Association
et al.
amended their complaint, and respondents American Medical
Association
et al. filed suit, to declare the new
regulations invalid and to enjoin their enforcement. The actions
were consolidated in the Federal District Court for the Southern
District of New York, which awarded the requested relief on the
authority of the decision of the United States Court of Appeals for
the Second Circuit in
United States v. University
Hospital, 729 F.2d 144 (1984).
American Hospital Assn. v.
Heckler, 585 F.
Supp. 541 (1984); App. to Pet. for Cert. 50a. On appeal, the
parties agreed that the reasoning of the Court of Appeals in
University Hospital, if valid, required a judgment against
the Government in this case. [
Footnote 8] In accordance with its earlier decision, the
Court of Appeals summarily affirmed the District Court. 694 F.2d
676 (1984). Since the judgment here thus rests entirely on the
reasoning of
University Hospital, it is appropriate to
examine that case now.
III
On October 11, 1983, after the Department's Interim Final Rule
had been declared invalid but before it had promulgated the Final
Rules challenged here, a child with multiple congenital defects
known as "Baby Jane Doe" was born in Long
Page 476 U. S. 621
Island, New York, and was promptly transferred to University
Hospital for corrective surgery. After consulting with physicians
and other advisers, the parents decided to forgo corrective surgery
that was likely to prolong the child's life, but would not improve
many of her handicapping conditions.
On October 16, 1983, an unrelated attorney named Washburn filed
suit in the New York Supreme Court, seeking the appointment of a
guardian
ad litem for the infant who would direct the
hospital to perform the corrective surgery. The trial court granted
that relief on October 20, but was reversed the following day by
the Appellate Division which found that the "concededly concerned
and loving parents" had "chosen one course of appropriate medical
treatment over another," and made an informed decision that was "in
the best interest of the infant."
Weber v. Stony Brook
Hospital, 95 App. Div.2d 587, 589, 467 N.Y.S.2d 685, 687 (per
curiam). On October 28, the New York Court of Appeals affirmed, but
on the ground that the trial court should not have entertained a
petition to initiate child neglect proceedings by a stranger who
had not requested the aid of the responsible state agency.
Weber v. Stony Brook Hospital, 60
N.Y.2d 208, 211-213, 456 N.E.2d 1186, 1187-1188 (per
curiam).
While the state proceedings were in progress, on October 19, HHS
received a complaint from a "private citizen" that Baby Jane Doe
was being discriminatorily denied medically indicated treatment.
HHS promptly referred this complaint to the New York State Child
Protective Service. (The agency investigated the charge of medical
neglect, and soon thereafter concluded that there was no cause for
state intervention.) In the meantime, before the State Child
Protective Service could act, HHS, on October 22, 1983, made
repeated requests of the hospital to make its records available for
inspection in order to determine whether the hospital was in
compliance with § 504. The hospital refused the requests
Page 476 U. S. 622
and advised HHS that the parents had not consented to a release
of the records.
Subsequently, on November 2, 1983, the Government filed suit in
Federal District Court invoking its general authority to enforce
§ 504 and 45 CFR § 84.61 (1985), a regulation broadly
authorizing access to information necessary to ascertain
compliance. The District Court allowed the parents to intervene as
defendants, expedited the proceeding, and ruled against the
Government. It reasoned that the Government had no right of access
to information, because the record clearly established that the
hospital had not violated the statute.
United States v.
University Hospital, State Univ. of N.Y. at Stony
Brook, 575 F.
Supp. 607, 614 (EDNY). Since the uncontradicted evidence
established that the hospital "ha[d] at all times been willing to
perform the surgical procedures in question, if only the parents .
. . would consent," the hospital
"failed to perform the surgical procedures in question, not
because Baby Jane Doe [wa]s handicapped, but because her parents
ha[d] refused to consent."
Ibid.
The Court of Appeals affirmed. In an opinion handed down on
February 23, 1984, six weeks after promulgation of the Final Rules,
it agreed with the District Court that "an agency is not entitled
to information sought in an investigation that
overreaches the
authority Congress has given.'" 729 F.2d at 150 (quoting
Oklahoma Press Publishing Co. v. Walling, 327 U.
S. 186, 327 U. S. 217
(1946)). It further held that, although Baby Jane Doe was a
"handicapped individual," she was not "otherwise qualified" within
the meaning of § 504 because, "where medical treatment is at
issue, it is typically the handicap itself that gives rise to, or
at least contributes to, the need for services;" as a result "the
`otherwise qualified' criterion of section 504 cannot be
meaningfully applied to a medical treatment decision." 729 F.2d at
156. For the same reason, the Court of Appeals rejected the
Government's argument that Baby Jane Doe had been "subjected to
discrimination" under § 504:
"Where the handicapping condi
Page 476 U. S. 623
tion is related to the condition(s) to be treated, it will
rarely, if ever, be possible to say with certainty that a
particular decision was 'discriminatory.'"
Id. at 157. The difficulty of applying § 504 to
individual medical treatment decisions confirmed the Court of
Appeals in its view that
"[C]ongress never contemplated that Section 504 of the
Rehabilitation Act would apply to treatment decisions involving
defective newborn infants when the statute was enacted in 1973,
when it was amended in 1974, or at any subsequent time."
Id. at 161. It therefore rejected "the far-reaching
position advanced by the government in this case," and concluded
that, until Congress had spoken, "it would be an unwarranted
exercise of judicial power to approve the type of investigation
that ha[d] precipitated this lawsuit."
Ibid.
Judge Winter dissented. He pointed out that § 504 was
patterned after § 601 of the Civil Rights Act of 1964, which
prohibits discrimination on the basis of race in federally funded
programs, and asserted that a refusal to provide medical treatment
because of a person's handicapping condition is as clearly covered
by § 504 as a refusal based on a person's race is covered by
§ 601:
"A judgment not to perform certain surgery because a person is
black is not a
bona fide medical judgment. So too, a
decision not to correct a life-threatening digestive problem
because an infant has Down's Syndrome is not a
bona fide
medical judgment. The issue of parental authority is also quickly
disposed of. A denial of medical treatment to an infant because the
infant is black is not legitimated by parental consent."
Id. at 162.
The Government did not file a certiorari petition in
University Hospital. It did, however, seek review of the
judgment in this case. We granted certiorari, 472 U.S. 1016 (1985),
and we now affirm.
Page 476 U. S. 624
IV
The Solicitor General is correct that "handicapped individual,"
as used in § 504, includes an infant who is born with a
congenital defect. If such an infant is "otherwise qualified" for
benefits under a program or activity receiving federal financial
assistance, § 504 protects him from discrimination "solely by
reason of his handicap." [
Footnote
9] It follows, under our decision in
Alexander v.
Choate, 469 U. S. 287,
469 U. S. 301
(1985), that handicapped infants are entitled to "meaningful
access" to medical services provided by hospitals, and that a
hospital rule or state policy denying or limiting such access would
be subject to challenge under § 504.
However, no such rule or policy is challenged, or indeed has
been identified, in this case. Nor does this case, in contrast to
the
University Hospital litigation, involve a claim that
any specific individual treatment decision violates § 504.
This suit is not an enforcement action, and, as a consequence, it
is not necessary to determine whether § 504 ever applies to
individual medical treatment decisions involving handicapped
infants. Respondents brought this litigation to challenge the four
mandatory components of the Final Rules on their face, [
Footnote 10] and the Court of
Appeals' judgment which we review merely affirmed the judgment of
the District Court which
"declared invalid and enjoined enforcement of [the final]
regulations,
Page 476 U. S. 625
purportedly promulgated pursuant to section 504 of the
Rehabilitation Act of 1973, 29 U.S.C. § 794 (1982)."
App. to Pet. for Cert. 2a. [
Footnote 11] The specific question presented by this
Page 476 U. S. 626
case, then, is whether the four mandatory provisions of the
Final Rules are authorized by § 504.
V
It is an axiom of administrative law that an agency's
explanation of the basis for its decision must include "a
rational connection between the facts found and the choice
made.'" Motor Vehicle Mfrs. Assn. v. State Farm Mut. Automobile
Ins. Co., 463 U. S. 29,
463 U. S. 43
(1983) (quoting Burlington Truck Lines, Inc. v. United
States, 371 U. S. 156,
371 U. S. 168
(1962)). [Footnote 12]
Agency deference has not come so far that we will uphold
regulations whenever it is possible to "conceive a basis" for
administrative action. To the contrary, the "presumption
of
Page 476 U. S. 627
regularity afforded an agency in fulfilling its statutory
mandate" is not equivalent to "the minimum rationality a statute
must bear in order to withstand analysis under the Due Process
Clause."
Motor Vehicle Mfrs. Assn. v. State Farm Mut.
Automobile Ins. Co., 463 U.S. at
463 U. S. 43, n.
9. Thus, the mere fact that there is "some rational basis within
the knowledge and experience of the [regulators],"
United
States v. Carolene Products Co., 304 U.
S. 144,
304 U. S. 152
(1938) (footnote omitted), under which they "might have concluded"
that the regulation was necessary to discharge their statutorily
authorized mission,
Williamson v. Lee Optical Co.,
348 U. S. 483,
348 U. S. 487
(1955), will not suffice to validate agency decisionmaking.
See
Industrial Union Dept. v. American Petroleum Inst.,
448 U. S. 607,
448 U. S.
639-659 (1980) (opinion of STEVENS, J.);
Burlington
Truck Lines, Inc. v. United States, 371 U.
S. 156,
371 U. S. 169
(1962). Our recognition of Congress' need to vest administrative
agencies with ample power to assist in the difficult task of
governing a vast and complex industrial Nation carries with it the
correlative responsibility of the agency to explain the rationale
and factual basis for its decision, even though we show respect for
the agency's judgment in both.
Before examining the Secretary's reasons for issuing the Final
Rules, it is essential to understand the preexisting state law
framework governing the provision of medical care to handicapped
infants. In broad outline, state law vests decisional
responsibility in the parents, in the first instance, subject to
review in exceptional cases by the State acting as
parens
patriae. [
Footnote 13]
Prior to the regulatory activity culminating
Page 476 U. S. 628
in the Final Rules, the Federal Government was not a participant
in the process of making treatment decisions for newborn infants.
We presume that this general framework was familiar to Congress
when it enacted § 504.
See Cannon v. University of
Chicago, 441 U. S. 677,
441 U. S.
696-697 (1979). It therefore provides an appropriate
background for evaluating the Secretary's action in this case.
The Secretary has identified two possible categories of
violations of § 504 as justifications for federal oversight of
handicapped infant care. First, he contends that a hospital's
refusal to furnish a handicapped infant with medically beneficial
treatment "solely by reason of his handicap" constitutes unlawful
discrimination. Second, he maintains that a hospital's failure to
report cases of suspected medical neglect to a
Page 476 U. S. 629
state child protective services agency may also violate the
statute. We separately consider these two possible bases for the
Final Rules. [
Footnote
14]
Page 476 U. S. 630
VI
In the immediate aftermath of the Bloomington Baby Doe incident,
the Secretary apparently proceeded on the assumption that a
hospital's statutory duty to provide treatment to handicapped
infants was unaffected by the absence of parental consent.
See
supra at
476 U. S.
617-619. He has since abandoned that view. Thus, the
preamble to the Final Rules correctly states that, when
"a non-treatment decision, no matter how discriminatory, is made
by parents, rather than by the hospital, section 504 does not
mandate that the hospital unilaterally overrule the parental
decision and provide treatment notwithstanding the lack of
consent."
49 Fed.Reg. 1631 (1984). A hospital's withholding of treatment
when no parental consent has been given cannot violate § 504,
for without the consent of the parents or a surrogate
decisionmaker, the infant is neither "otherwise qualified" for
treatment nor has he been denied care "solely by reason of his
handicap." [
Footnote 15]
Indeed, it would almost certainly be a tort as a matter of state
law to operate on an infant without parental consent. This analysis
makes clear that the Government's heavy reliance on the analogy to
race-based refusals which violate § 601
Page 476 U. S. 631
of the Civil Rights Act is misplaced. If, pursuant to its normal
practice, a hospital refused to operate on a black child whose
parents had withheld their consent to treatment, the hospital's
refusal would not be based on the race of the child even if it were
assumed that the parents based their decision entirely on a
mistaken assumption that the race of the child made the operation
inappropriate.
Now that the Secretary has acknowledged that a hospital has no
statutory treatment obligation in the absence of parental consent,
it has become clear that the Final Rules are not needed to prevent
hospitals from denying treatment to handicapped infants. The
Solicitor General concedes that the administrative record contains
no evidence that hospitals have ever refused treatment authorized
either by the infant's parents or by a court order. Tr. of Oral
Arg. 8. Even the Secretary never seriously maintained that posted
notices, "hotlines," and emergency on-site investigations were
necessary to process complaints against hospitals that might refuse
treatment requested by parents. The parental interest in calling
such a refusal to the attention of the appropriate authorities
adequately vindicates the interest in enforcement of § 504 in
such cases, just as that interest obviates the need for a special
regulation to deal with refusals to provide treatment on the basis
of race which may violate § 601 of the Civil Rights Act.
The Secretary's belated recognition of the effect of parental
nonconsent is important, because the supposed need for federal
monitoring of hospitals' treatment decisions rests entirely on
instances in which parents have refused their consent. Thus, in the
Bloomington, Indiana, case that precipitated the Secretary's
enforcement efforts in this area, [
Footnote 16] as
Page 476 U. S. 632
well as in the
University Hospital case that provided
the basis for the summary affirmance in the case now before us,
[
Footnote 17] the hospital's
failure to perform the treatment at issue rested on the lack of
parental consent. The Secretary's own summaries of these cases
establish beyond doubt that the respective hospitals did not
withhold medical care on the basis of handicap, and therefore did
not violate § 504; as a result, they provide no support for
his claim that federal regulation is needed in order to forestall
comparable cases in the future.
The Secretary's initial failure to recognize that withholding of
consent by parents does not equate with discriminatory denial of
treatment by
hospitals likewise undermines the Secretary's
findings in the preamble to his proposed rulemaking. In that
statement, the Secretary cited four sources in support of the claim
that "Section 504 [is] not being uniformly followed." 48 Fed.Reg.
30847 (1983). None of the cited examples, however, suggests that
recipients of federal financial assistance, as opposed to parents,
had withheld medical care on the basis of handicap. [
Footnote 18]
Page 476 U. S. 633
Notwithstanding the ostensible recognition in the preamble of
the effect of parental nonconsent on a hospital's obligation to
provide care, in promulgating the Final Rules, the Secretary
persisted in relying on instances in which parents had refused
consent to support his claim that, regardless of its "magnitude,"
there is sufficient evidence of "illegality" to justify
"establishing basic mechanisms to allow for effective enforcement
of a clearly applicable statute." 49 Fed.Reg. 1645 (1984). We have
already discussed one source of this evidence -- "the several
specific cases cited in the preamble to the proposed rule."
Ibid. Contrary to the Secretary's belief, these cases do
not "support the proposition that handicapped infants may be
subjected to unlawful discrimination."
Ibid. In addition
to the evidence relied on in prior notices, the Secretary included
a summary of the 49 "Infant Doe
Page 476 U. S. 634
cases" that the Department had processed before December 1,
1983. [
Footnote 19]
Curiously, however, by the Secretary's own admission
none
of the 49 cases had "resulted in a finding of discriminatory
withholding of medical care."
Id. at 1649. In fact, in the
entire list of 49 cases there is no finding that a hospital failed
or refused to provide treatment to a handicapped infant for which
parental consent had been given. [
Footnote 20]
Notwithstanding this concession, the Secretary "believes three
of these cases demonstrate the utility of the procedural
Page 476 U. S. 635
mechanisms called for in the final rules."
Ibid.
Accord, ibid. ("[T]hese cases provide additional
documentation of the need for governmental involvement and the
appropriateness of the procedures established by the final rules").
However, these three cases, which supposedly provide the strongest
support for federal intervention, fail to disclose any
discrimination against handicapped newborns in violation of §
504. For example, in Robinson, Illinois, the Department conducted
an on-site investigation when it learned that the "hospital (
at
the parents' request) failed to perform necessary surgery."
Id. at 1646 (emphasis added). After "[t]he parents refused
consent for surgery," "the hospital referred the matter to state
authorities, who accepted custody of the infant and arranged for
surgery and adoption," all "in compliance with section 504."
Ibid. The Secretary concluded that "the involvement of the
state child protective services agency," at the behest of the
hospital,
"was the most important element in bringing about corrective
surgery for the infant. . . . Had there been no
governmental involvement in the case, the outcome might
have been much less favorable."
Id. at 1649 (emphasis added). [
Footnote 21]
The Secretary's second example illustrates with even greater
force the effective and nondiscriminatory functioning of state
mechanisms and the consequent lack of support for federal
intervention. In Daytona Beach, Florida, the Department's hotline
received a complaint of medical neglect of a handicapped infant;
immediate contact with the hospital and state agency revealed that
"the parents did not consent to surgery" for the infant.
Id. at 1648. Notwithstanding this information, which was
confirmed by both the hospital and the state agency, and despite
the fact that the state agency had "obtained a court order to
provide surgery" the day before HHS was notified, the Department
conducted an
Page 476 U. S. 636
on-site investigation.
Ibid. In the third case, in
Colorado Springs, Colorado, the Department intervened so soon after
birth that "the decisionmaking process was in progress at the time
the OCR [Office of Civil Rights] inquiry began," and "it is
impossible to say the surgery would not have been provided without
this involvement."
Id. at 1649. "However," the Secretary
added, "the involvement of OCR and the OCR medical consultant was
cooperatively received by the hospital, and apparently
constructive."
Ibid.
In sum, there is nothing in the administrative record to justify
the Secretary's belief that "discriminatory withholding of medical
care" in violation of § 504 provides any support for federal
regulation: in two of the cases (Robinson, Illinois, and Daytona
Beach, Florida), the hospital's refusal was based on the absence of
parental consent, but the parents' decision was overridden by state
authorities and the operation was performed; in the third case
(Colorado Springs, Colorado), it is not clear whether the parents
would have given their consent or not, but the corrective surgery
was in fact performed. [
Footnote
22]
Page 476 U. S. 637
VII
As a backstop to his manifestly incorrect perception that
withholding of treatment in accordance with parental instructions
necessitates federal regulation, the Secretary contends that a
hospital's failure to report parents' refusals to consent to
treatment violates § 504, and that past breaches of this kind
justify federal oversight.
By itself, § 504 imposes no duty to report instances of
medical neglect -- that undertaking derives from state law
reporting obligations or a hospital's own voluntary practice.
Although a hospital's selective refusal to report medical neglect
of handicapped infants might violate § 504, [
Footnote 23] the Secretary
Page 476 U. S. 638
has failed to point to any specific evidence that this has
occurred. The 49 actual investigations summarized in the preamble
to the Final Rules do not reveal
any case in which a
hospital either failed, or was accused of failing, to make an
appropriate report to a state agency. [
Footnote 24] Nor can we accept the Solicitor General's
invitation to infer discriminatory nonreporting from the studies
cited in the Secretary's proposed rulemaking. Even assuming that
cases in which parents have withheld consent to treatment for
handicapped infants have gone unreported, that fact alone would not
prove
Page 476 U. S. 639
that the hospitals involved had discriminated on the basis of
handicap, rather than simply failed entirely to discharge their
state law reporting obligations, if any, a matter which lies wholly
outside the nondiscrimination mandate of § 504.
The particular reporting mechanism chosen by the Secretary --
indeed the entire regulatory framework imposed on state child
protective services agencies -- departs from the nondiscrimination
mandate of § 504 in a more fundamental way. The mandatory
provisions of the Final Rules omit any direct requirement that
hospitals make reports when parents refuse consent to recommended
procedures. [
Footnote 25]
Instead, the Final Rules command
state agencies to require
such reports, regardless of the state agencies' own reporting
requirements (or lack thereof). 45 CFR § 84.55(c)(1)(i)
(1985). Far from merely preventing state agencies from remaining
calculatedly indifferent to handicapped infants while they tend to
the needs of the similarly situated nonhandicapped, the Final Rules
command state agencies to utilize their "full authority" to
"prevent instances of unlawful medical neglect of handicapped
infants." § 84.55(c)(1). The Rules effectively make medical
neglect of handicapped newborns a state investigative priority,
possibly forcing state agencies to shift scarce resources away from
other enforcement activities -- perhaps even from programs designed
to protect handicapped children outside hospitals. The Rules also
order state agencies to "immediate[ly]" review reports from
hospitals, § 84.55(c)(1)(iii), to conduct "on-site
investigation[s],"
ibid., and to take legal action "to
compel the provision of necessary nourishment and medical
treatment,"
Page 476 U. S. 640
§ 84.55(c)(1)(iv) -- all without any regard to the
procedures followed by state agencies in handling complaints filed
on behalf of nonhandicapped infants. These operating procedures
were imposed over the objection of several state child protective
services agencies that the requirement that they turn over reports
to HHS "conflicts with the confidentiality requirements of state
child abuse and neglect statutes," 49 Fed.Reg. 1627 (1984) --
thereby requiring under the guise of nondiscrimination a service
which state law denies to the nonhandicapped. [
Footnote 26]
The complaint-handling process the Secretary would impose on
unwilling state agencies is totally foreign to the authority to
prevent discrimination conferred on him by § 504. "Section 504
seeks to assure evenhanded treatment,"
Alexander v.
Choate, 469 U.S. at
469 U. S. 304;
"neither the language, purpose, nor history of § 504 reveals
an intent to impose an affirmative action obligation" on recipients
of federal financial assistance,
Southeastern Community College
v. Davis, 442 U. S. 397,
442 U. S. 411
(1979). [
Footnote 27] The
Solicitor General also recognizes that § 504 is concerned with
discrimination, and with discrimination alone. In his attempt to
distinguish the Secretary's 1976 determination that it "is beyond
the authority of section 504" to promulgate regulations
"concerning adequate
Page 476 U. S. 641
and appropriate psychiatric care or safe and humane living
conditions for persons institutionalized because of handicap or
concerning payment of fair compensation to patients who perform
work,"
41 Fed.Reg. 29548, 29559, the Solicitor General explains:
"This conclusion of course was consistent with the fact that, as
relevant here, Section 504 is essentially concerned only with
discrimination in the
relative treatment of handicapped
and nonhandicapped persons, and does not confer any
absolute right to receive particular services or benefits
under federally assisted programs."
Brief for Petitioner 40, n. 33.
See also 48 Fed.Reg.
30846 (1983) ("Section 504 is in essence an equal treatment,
nondiscrimination standard"). [
Footnote 28]
The Final Rules, however, impose just the sort of absolute
obligation on state agencies that the Secretary had previously
disavowed. The services state agencies are required to make
available to handicapped infants are in no way tied to the level of
services provided to similarly situated nonhandicapped infants.
Instead, they constitute an "
absolute right to receive
particular services or benefits" under a federally assisted
program. Even if a state agency were scrupulously impartial as
between the protection it offered handicapped and nonhandicapped
infants, it could still be denied federal funding for failing to
carry out the Secretary's mission with sufficient zeal.
It is no answer to state, as does the Secretary, that these
regulations are a necessary "
metho[d] . . . to give reasonable
assurance' of compliance." 49 Fed.Reg. 1627 (1984) (quoting 45 CFR
§ 80.4(b), which requires state agencies to
Page 476 U. S.
642
report on their compliance with Title VI). For while the
Secretary can require state agencies to document their own
compliance with § 504, nothing in that provision authorizes
him to commandeer state agencies to enforce compliance by
other recipients of federal funds (in this instance,
hospitals). State child protective services agencies are not field
offices of the HHS bureaucracy, and they may not be conscripted
against their will as the foot soldiers in a federal crusade.
[Footnote 29] As we stated
in Alexander v. Choate, 469 U.S. at 469 U. S.
307,
"nothing in the pre- or post-1973 legislative discussion of
§ 504 suggests that Congress desired to make major inroads on
the States' longstanding discretion to choose the proper mix"
of services provided by state agencies.
VIII
Section 504 authorizes any head of an Executive Branch agency --
regardless of his agency's mission or expertise -- to promulgate
regulations prohibiting discrimination against the handicapped.
See S.Rep. No. 93-1297, pp. 39-40 (1974). [
Footnote 30] As a result of this rulemaking
authority, the Secretary of
Page 476 U. S. 643
HHS has
"substantial leeway to explore areas in which discrimination
against the handicapped pos[es] particularly significant problems
and to devise regulations to prohibit such discrimination."
Alexander v. Choate, 469 U.S. at
469 U. S. 304,
n. 24.
Even according the greatest respect to the Secretary's action,
however, deference cannot fill the lack of an evidentiary
foundation on which the Final Rules must rest. The Secretary's
basis for federal intervention is perceived discrimination against
handicapped infants in violation of § 504, and yet the
Secretary has pointed to no evidence that such discrimination
occurs. Neither the fact that regulators generally may rely on
generic information in a particular field or comparable experience
gained in other fields, nor the fact that regulations may be
imposed for preventative or prophylactic reasons, can substitute
for evidence supporting the Secretary's own chosen rationale. For
the principle of agency accountability recited earlier means that
"an agency's action must be upheld, if at all, on the basis
articulated by the agency itself."
Motor Vehicle Mfrs. Assn. v.
State Farm Mut. Automobile Ins. Co., 463 U.S. at
463 U. S. 50
(citations omitted). [
Footnote
31]
The need for a proper evidentiary basis for agency action is
especially acute in this case, because Congress has failed to
indicate, either in the statute or in the legislative history, that
it envisioned federal superintendence of treatment decisions
traditionally entrusted to state governance.
"[W]e must assume that the implications and limitations of our
federal system constitute a major premise of all congressional
legislation, though not repeatedly recited therein."
United States v. Gambling Devices, 346 U.
S. 441,
346 U. S. 450
(1953) (opinion
Page 476 U. S. 644
of Jackson, J.). [
Footnote
32] Congress therefore "will not be deemed to have
significantly changed the federal-state balance,"
United States
v. Bass, 404 U. S. 336,
404 U. S. 349
(1971) -- or to have authorized its delegates to do so -- "unless
otherwise the purpose of the Act would be defeated,"
FTC v.
Bunte Bros., Inc., 312 U. S. 349,
312 U. S. 351
(1941). [
Footnote 33]
Although the nondiscrimination
Page 476 U. S. 645
mandate of § 504 is cast in language sufficiently broad to
suggest that the question is
"not one of authority, but of its appropriate exercise[,] [t]he
propriety of the exertion of the authority must be tested by its
relation to the purpose of the [statutory] grant and with suitable
regard to the principle that, whenever the federal power is exerted
within what would otherwise be the domain of state power, the
justification of the exercise of the federal power must clearly
appear."
Florida v. United States, 282 U.
S. 194,
282 U. S.
211-212 (1931).
Accord, Chicago, M., St. P. & P.
R. Co. v. Illinois, 355 U. S. 300,
355 U. S. 306
(1958). That is, "it must appear that there are findings, supported
by evidence, of the essential facts . . . which would justify [the
Secretary's] conclusion."
Florida v. United States, 282
U.S. at
282 U. S. 212.
The administrative record does not contain the reasoning and
evidence that is necessary to sustain federal intervention into a
historically state-administered decisional process that appears --
for lack of any evidence to the contrary -- to be functioning in
full compliance with § 504.
The history of these regulations exposes the inappropriateness
of the extraordinary deference -- virtually a
carte
blanche -- requested by the Government. The Secretary's
Page 476 U. S. 646
present reading of § 504 has evolved only after previous
patently erroneous interpretations had been found wanting.
[
Footnote 34] The checkered
history of these regulations began in 1982, when the Department
notified hospitals that they would violate § 504 if they
"allow[ed] an infant" to remain in their care after "the infant's
parents or guardian [had withheld consent to] treatment or
nourishment discriminatorily." 47 Fed.Reg. 26027. By the time the
Proposed Rules were announced one year later, the Secretary had
abandoned that construction. But the Department substituted the
equally untenable view that "the basic provision of nourishment,
fluids, and routine nursing care" was "not an option for medical
judgment," and that
"[t]he decision to forego medical treatment of a correctable
life-threatening defect because an infant also suffers from a
permanent irremediable handicap that is not life-threatening, such
as mental retardation, is a violation of Section 504,"
insinuating by omission that lack of parental consent did not
alter the hospital's obligation to provide corrective surgery. 48
Fed.Reg. 30852, 30847 (1983). Although the preamble to the Final
Rules corrects the prior erroneous signals from the Department that
§ 504 authorizes it to override parental decisions and to save
the lives of handicapped infants, it persists in advocating federal
regulation on the basis of treatment denials precipitated by
refusals of parental consent and on the ground that its experience
with the Baby Doe hotline has demonstrated that "the assumption
that handicapped infants will receive medically beneficial
treatment is not always justified." 49 Fed.Reg. 1646 (1984).
This response, together with its previous remarks, makes
irresistible the inference that the Department regards its
Page 476 U. S. 647
mission as one principally concerned with the quality of medical
care for handicapped infants, rather than with the implementation
of § 504. We could not quarrel with a decision by the
Department to concentrate its finite compliance resources on
instances of life-threatening discrimination, rather than instances
in which merely elective care has been withheld.
Cf. Heckler v.
Chaney, 470 U. S. 821
(1985). But nothing in the statute authorizes the Secretary to
dispense with the law's focus on discrimination, and instead to
employ federal resources to save the lives of handicapped newborns
without regard to whether they are victims of discrimination by
recipients of federal funds or not. Section 504 does not authorize
the Secretary to give unsolicited advice either to parents, to
hospitals, or to state officials who are faced with difficult
treatment decisions concerning handicapped children. We may assume
that the "qualified professionals" employed by the Secretary may
make valuable contributions in particular cases, but neither that
assumption nor the sincere conviction that an immediate "on-site
investigation" is "necessary to protect the life or health of a
handicapped individual" can enlarge the statutory powers of the
Secretary.
The administrative record demonstrates that the Secretary has
asserted the authority to conduct on-site investigations, to
inspect hospital records, and to participate in the decisional
process in emergency cases in which there was no colorable basis
for believing that a violation of § 504 had occurred or was
about to occur. The District Court and the Court of Appeals
correctly held that these investigative actions were not authorized
by the statute, and that the regulations which purport to authorize
a continuation of them are invalid.
The judgment of the Court of Appeals is affirmed.
It is so ordered.
Page 476 U. S. 648
CHIEF JUSTICE BURGER concurs in the judgment.
JUSTICE REHNQUIST took no part in the consideration or decision
of this case.
[
Footnote 1]
"Handicapped individual" is defined in § 7(7)(B) of the
Act, as amended, as
"any person who (i) has a physical or mental impairment which
substantially limits one or more of such person's major life
activities, (ii) has a record of such an impairment, or (iii) is
regarded as having such an impairment."
92 Stat. 2985, 29 U.S.C. § 706(7)(B).
[
Footnote 2]
Respondents include the Hospital Association of New York State,
the American College of Obstetricians and Gynecologists, the
Association of American Medical Colleges, the American Academy of
Family Physicians, and certain individual physicians.
[
Footnote 3]
Margaret Heckler occupied the position of Secretary throughout
the rulemaking period. On December 13, 1986, after certiorari had
been granted, Dr. Otis Bowen assumed that position. Despite the
fact that Dr. Bowen was not responsible for promulgation of the
Final Rules, for the sake of continuity, our references assume that
he was. For ease of reference, we refer to the Secretary, the
Department, and HHS interchangeably.
[
Footnote 4]
In subsection (a), the Department "encourages each recipient
health care provider that provides health care services to infants"
to establish an "Infant Care Review Committee (ICRC)" to assist in
the development of treatment standards for handicapped infants and
to provide assistance in making individual treatment decisions. 45
CFR § 84.55(a) (1985). In subsection (f), the Department
describes its version of a model ICRC.
Subsection (f) also provides that "[t]he activities of the ICRC
will be guided by . . . [t]he interpretative guidelines of the
Department." 45 CFR § 84.55(f)(1)(ii)(A) (1985). These
guidelines, which are "illustrative" and "do not independently
establish rules of conduct," pt. 84, Appendix C, � (a), set
forth the Department's interpretation of § 504. Although they
do not contain any definition of "discrimination," they do state
that § 504 is not applicable to parents, and that the
regulation applies to only two categories of activities of
hospitals: (1) refusals to provide treatment or nourishment to
handicapped infants whose parents have consented to, or requested,
such treatment; and (2) the failure or refusal to take action to
override a parental decision to withhold consent for medically
beneficial treatment or nourishment. With respect to the second
category, the guidelines state that the hospital may not
"solely on the basis of the infant's present or anticipated
future mental or physical impairments, fail to follow applicable
procedures on reporting such incidents to the child protective
services agency or to seek judicial review."
45 CFR pt. 84, Appendix C, 11(a)(4) (1985).
With respect to the first category, the guidelines do not state
that § 504 categorically prohibits a hospital from withholding
requested treatment or nourishment "solely on the basis of present
or anticipated physical or mental impairments of an infant." 45 CFR
pt. 84, Appendix C, 11(a)(1). Rather, the substantive guidelines
and two of the illustrative examples recognize that the etiology of
and prognosis for particular handicapping conditions may justify "a
refusal to treat solely on the basis of those handicapping
conditions." 11(a)(2) (§ 504 does not require "futile
treatment"); 11(a)(5)(iii) (§ 504 does not require treatment
of anencephaly, because it would "do no more than temporarily
prolong the act of dying"); 11(a)(iv) (same with severely premature
and low birth weight infants). In general, the guidelines seem to
make a hospital's liability under § 504 dependent on proof
that (1) it refused to provide requested treatment or nourishment
solely on the basis of an infant's handicapping condition, and (2)
the treatment or nourishment would have been medically beneficial.
See �� (a)(1)-(2), (5).
The guidelines also describe how HHS will respond to "complaints
of suspected life-threatening noncompliance" with § 504 in
this context, progressing from telephone inquiries to the hospital
to obtain information about the condition of the infant, to
requests for access to records, and finally to on-site
investigations and litigation in appropriate cases. � (b).
The guidelines do not draw any distinction between cases in which
parental consent has been withheld and those in which it has been
given. Nor do they draw any distinction between cases in which
hospitals have made a report of parental refusal to consent to
treatment and those in which no report to a state agency has been
made. They do announce that the
"Department will also seek to coordinate its investigation with
any related investigations by the state child protective services
agency so as to minimize potential disruption,"
� (b)(4), indicating that the Department's investigations
may continue even in cases that have previously been referred to a
state agency.
[
Footnote 5]
At the instance of the local prosecutor, the Indiana courts, on
April 13, held another hearing at which the court concluded that
"Baby Doe" had not been neglected under Indiana's Child in Need of
Services statute. Additional attempts to seek judicial intervention
were rebuffed the same day. On the following day, the Indiana Court
of Appeals denied a request for an immediate hearing.
In re
Infant Doe, No. GU 8204-004A (Monroe County Cir.Ct., Apr. 12,
1982). The Indiana Supreme Court, by a vote of 3 to 1, rejected a
petition for a writ of mandamus.
State ex rel. Infant Doe v.
Baker, No. 482 S 140 (May 27, 1982). The infant died while a
stay was being sought in this Court, and we subsequently denied
certiorari.
Infant Doe v. Bloomington Hospital, 464 U.S.
961 (1983).
[
Footnote 6]
The notice maintained that hospitals would violate § 504 if
they "allow[ed] [an] infant" to remain in their care after "the
infant's parents or guardian [had withheld consent to] treatment or
nourishment discriminatorily." 47 Fed.Reg. 26027 (1982). The
Secretary no longer subscribes to this reading of the statute.
See 49 Fed.Reg. 1631 (1984).
[
Footnote 7]
In explaining the need for the Proposed Rules, the preamble,
although mentioning "parental rights over their children," insisted
that physicians' "acquiescence in nontreatment of Down's children
is apparently because of the handicap," rather than, it must be
supposed, lack of parental consent. 48 Fed.Reg. 30848 (1983).
The effect of parental nonconsent was not even mentioned in the
appendix to the Proposed Rules. That section, which set forth the
Department's view of "the manner in which Section 504 applies to
the provision of health care services to handicapped infants,"
id. at 30851, declared that § 504 mandated "the basic
provision of nourishment, fluids, and routine nursing care."
Id. at 30852. The provision of sustenance, according to
the Department, was "not an option for medical judgment."
Ibid. Thus,
"[e]ven if a handicapped infant faces imminent and unavoidable
death, no health care provider should take upon itself to cause
death by starvation or dehydration."
Ibid.
In addition to its unqualified endorsement of nourishment as
required by § 504, the appendix announced that
"[a]ny decision not to correct intestinal atresia in a Down's
Syndrome child, unless an additional complication medically
warrants such decision,
must be deemed a denial of
services based on the handicap of Down's Syndrome. The same
reasoning applies to a case of Down's Syndrome [infant] with
esophageal atresia, and the denial of surgery to correct
atresia."
Ibid. (emphasis added). The Department did not discuss
the relevance of parental nonconsent to the hospital's treatment
obligation under § 504, presumably because it was irrelevant,
given its understanding of the provision at that time.
[
Footnote 8]
Indeed, although the Government took an appeal from the District
Court's judgment, it filed a motion for summary disposition after
the Court of Appeals denied its motion for initial consideration en
banc. Its motion expressly acknowledged that an affirmance was
compelled by the decision in
University Hospital.
[
Footnote 9]
As the case comes to us, we have no reason to review the Court
of Appeals' assumption that the provision of health care to infants
in hospitals receiving Medicare or Medicaid payments is a part of a
"program or activity receiving Federal financial assistance."
See Consolidated Rail Corp. v. Darrone, 465 U.
S. 624,
465 U. S.
635-636 (1984).
[
Footnote 10]
See, e.g., Brief in Opposition for Respondents American
Medical Assn.
et al. 7-8, n. 8; Record, Doc. No. 4,
Memorandum of Points and Authorities in Support of Plaintiffs'
Motion for Preliminary Injunction 12 ("The Final Regulation which
is challenged in this action contains four mandatory provisions"
(citations omitted));
id. at 28 ("After
University
Hospital . . . must fall all of the mandatory obligations
imposed by the Final Regulation").
Cf. App. 138-140
(complaint of American Medical Association
et al.).
[
Footnote 11]
It is true that the District Court, in addition to declaring
"[t]he Final Regulation . . . invalid and unlawful as exceeding"
§ 504, and enjoining petitioner from "any further
implementation of the Final Regulation," also declared invalid and
enjoined "[a]ny other actions" of the Secretary
"to regulate treatment involving impaired newborn infants taken
under authority of Section 504, including currently pending
investigation and other enforcement actions."
App. to Pet. for Cert. 51a. This language must, however, be
given a limited construction. The complaints in this case did not
challenge the Department's authority to regulate all treatment
decisions, but, more precisely, the mandatory provisions of the
Final Rules and enforcement activity along those lines but
undertaken pursuant to the Department's "general authority" to
enforce § 504, as occurred in the
University Hospital
litigation and in 41 of the 49 full-scale investigations conducted
by the Secretary up to that point in time.
See App.
138-139 (complaint of American Medical Association
et
al.);
id. at 145 (same);
id. at 159
(complaint of American Hospital Association
et al.).
See also Record, Doc. No. 4, Memorandum of Points and
Authorities in Support of Plaintiffs' Motion for Preliminary
Injunction 10-11. From these pleadings, the Court of Appeals
apparently interpreted the District Court's use of the word "any"
to forbid "[a]ny other actions" resembling the "currently pending
investigation and other enforcement actions" specified in the
injunction, App. to Pet. for Cert. 51a, rather than all possible
regulatory and investigative activity that might involve the
provision of health care to handicapped infants. Thus, as will
become clear from our analysis of the Final Rules below, the
injunction forbids continuation or initiation of regulatory and
investigative activity directed at instances in which parents have
refused consent to treatment and, if the Secretary were to
undertake such action, efforts to seek compliance with affirmative
requirements imposed on state child protective services
agencies.
"Because of the rightly serious view courts have traditionally
taken of violations of injunctive orders, and because of the
severity of punishment which may be imposed for such
violation,"
Pasadena City Bd. of Education v. Spangler,
427 U. S. 424,
427 U. S. 439
(1976);
see Longshoremen v. Marine Trade Assn.,
389 U. S. 64,
389 U. S. 76
(1967);
Gunn v. University Committee, 399 U.
S. 383,
399 U. S. 389
(1970), the Court of Appeals properly construed the District
Court's judgment as pertaining to the regulations challenged in
this litigation (and enforcement activity independent of the Final
Rules, but paralleling the procedures set forth therein).
Cf.
Schmidt v. Lessard, 414 U. S. 473,
414 U. S. 477
(1974) (per curiam) (noting desirability of precise construction of
injunction orders to facilitate appellate review). It is, of
course, the Court of Appeals' judgment that we are called on to
review, not the District Court's.
See Union Pacific R. Co. v.
Chicago, R. I. & P. R. Co., 163 U.
S. 564,
163 U. S. 593
(1896).
Cf. 31 U. S.
Packard, 6 Pet. 41,
31 U. S. 49
(1832). Accordingly, we give great weight to the Court of Appeals'
construction of the judgment it affirmed.
Cf United States v.
Colgate & Co., 250 U. S. 300,
250 U. S.
301-302 (1919). For purposes of comparison, the
dissent's expansive reading of the judgment is supported neither by
the Court of Appeals nor by the parties.
See Brief for
Respondents American Medical Assn.
et al. 14, 48, n. 60.
Cf. Brief for Respondents American Hospital Assn.
et
al. 4 (quoting final judgment of the District Court). In view
of the fact that we affirm this judgment on reasoning narrower than
that employed by the lower courts, it bears repetition that this
Court "reviews judgments, not opinions."
Chevron
U.S.A. Inc. v. Natural Resources Defense Council,
Inc., 467 U. S. 837,
467 U. S. 842
(1984).
See, e.g., Black v. Cutter Laboratories,
351 U. S. 292,
351 U. S. 297
(1956);
J. E. Riley Investment Co. v. Commissioner,
311 U. S. 55,
311 U. S. 59
(1940);
Williams v.
Norris, 12 Wheat. 117,
25 U. S. 120
(1827);
McClung v.
Silliman, 6 Wheat. 598,
19 U. S. 603
(1821).
[
Footnote 12]
See Baltimore Gas & Electric Co. v. Natural Resources
Defense Council, Inc., 462 U. S. 87,
462 U. S.
105-106 (1983);
Bowman Transportation, Inc. v.
Arkansas-Best Freight System, Inc., 419 U.
S. 281,
419 U. S.
285-286 (1974);
FTC v. Sperry & Hutchinson
Co., 405 U. S. 233,
405 U. S. 249
(1972);
FPC v. United Gas Pipe Line Co., 393 U. S.
71,
393 U. S. 72-73
(1968) (per curiam);
Siegel Co. v. FTC, 327 U.
S. 608,
327 U. S. 613
(1946).
[
Footnote 13]
The basic pattern of decisionmaking is well summarized in the
1983 report of the President's Commission for the Study of Ethical
Problems in Medicine and Biomedical and Behavioral Research:
"The paucity of directly relevant cases makes characterization
of the law in this area somewhat problematic, but certain points
stand out. First, there is a presumption, strong but rebuttable,
that parents are the appropriate decisionmakers for their infants.
Traditional law concerning the family, buttressed by the emerging
constitutional right of privacy, protects a substantial range of
discretion for parents. Second, as persons unable to protect
themselves, infants fall under the
parens patriae power of
the state. In the exercise of this authority, the state not only
punishes parents whose conduct has amounted to abuse or neglect of
their children, but may also supervene parental decisions before
they become operative to ensure that the choices made are not so
detrimental to a child's interests as to amount to neglect and
abuse."
". . . [A]s long as parents choose from professionally accepted
treatment options, the choice is rarely reviewed in court, and even
less frequently supervened. The courts have exercised their
authority to appoint a guardian for a child when the parents are
not capable of participating in the decisionmaking, or when they
have made decisions that evidence substantial lack of concern for
the child's interests. Although societal involvement usually occurs
under the auspices of governmental instrumentalities -- such as
child welfare agencies and courts -- the American legal system
ordinarily relies upon the private initiative of individuals,
rather than continuing governmental supervision, to bring the
matter to the attention of legal authorities."
Report, at 212-214 (footnotes omitted). This summary accords
with the Secretary's understanding of the state law framework, at
least in other contexts.
See 60 Fed.Reg. 14880 (1985)
(final rule implementing Child Abuse Amendments of 1984) ("The
decision to provide or withhold medically indicated treatment is,
except in highly unusual circumstances, made by the parents or
legal guardian").
[
Footnote 14]
Rather than address these issues, JUSTICE WHITE's dissent would
remand to the Court of Appeals.
See post at
476 U. S. 656.
In light of its willingness to address the broader hypothetical
question whether § 504 ever authorizes regulation of medical
treatment decisions -- "even if the judgment below were limited to
invalidation of these regulations,"
post at
476 U. S. 650,
n. 4 -- it comes as something of a surprise to read the references
to the Solicitor General's argument that "this claim in its current
form is not properly in the case,"
post at
476 U. S. 657,
n. 9. The procedural objections are plainly without substance.
Respondents AMA
et al. raised the lack of factual support
in their brief in opposition to the petition for certiorari.
See Brief in Opposition for Respondents American Medical
Assn.
et al. 20 ("First, the fundamental problem with the
Secretary's position is that it is based on a situation that has
not occurred -- and will not occur -- in real life. . . . Not
surprisingly, the Secretary cites no case where this hypothetical
problem has occurred");
id. at 20-21;
id. at 26
("B. The Secretary Has Shown No Problem With the Historic State Law
Framework That Warrants Direct Federal Investigation and
Regulation");
id. at 26-29. The Solicitor General,
although responding that such evidence exists,
see Reply
Memorandum for Petitioner 9, did not raise a procedural bar. As a
result, the objection is waived.
See Oklahoma City v.
Tuttle, 471 U. S. 808,
471 U. S.
815-816 (1985). Although further discussion of this
objection is therefore unnecessary, the dissent is also wrong in
suggesting that respondents' complaints did not raise "the lack of
a factual basis involving situations in which parents
have
consented to treatment."
Post at
476 U. S. 657,
n. 9. In fact, the complaint of respondents AMA
et al.
alleged "COUNT II: Violation of the Administrative Procedure Act,"
App. 146, and incorporated by reference the allegation that "None
of the mandatory provisions of the Final Regulation has a basis in
fact or is designed to meet a documented problem,"
id. at
140.
Accord, id. at 158 (complaint of respondents AHA
et al.). The fact that our decision rests on grounds
narrower than that relied on by the lower courts is surely not an
infirmity. We can only add that the lack of factual support for
these regulations was fully briefed in this Court,
see
especially Brief for Respondents American Medical Assn.
et
al. 39-41; Brief for Respondents American Hospital Assn.
et al. 48-49, and the fact that the Solicitor General
responds with so little, so late, bespeaks the absence of
evidentiary support for the regulations, not an inadequate
opportunity to direct us to it.
The Solicitor General also contends, for the first time in his
reply brief on the merits,
see Reply Brief for Petitioner
16, n. 6, that the Final Rules are "interpretative guidelines"
which "merely explained the Secretary's construction of Section 504
in this setting,"
ibid. This assertion was rejected the
only occasion on which it was tendered,
see American Academy of
Pediatrics v. Heckler, 561 F.
Supp. 395, 401 (DC 1983), is belied by the Secretary's own
decision to provide notice and request comment on the regulations,
cf. 5 U.S.C. § 553(b), and is patently without merit.
To its credit, the dissent does not ultimately rely on either of
these arguments.
See post at
476 U. S. 657,
n. 9.
[
Footnote 15]
Just as "[t]he failure of the hospital to itself provide the
treatment" because of the unavailability of medical equipment or
expertise would not be "on the basis of the handicap," but "on the
fact that the hospital is incapable of providing the treatment,"
according to the Secretary's regulations, 49 Fed.Reg. 1637 (1984),
it is equally clear that a refusal to provide care because of the
absence of parental consent would not be "solely by reason of [the
infant's] handicap."
[
Footnote 16]
The Secretary's summary of this case makes it clear that the
hospital's failure to perform surgery was based on the parents'
refusal of consent:
"
Bloomington, Indiana. Investigation into April, 1982,
death of infant with Down's syndrome and esophageal atresia from
whom surgery was withheld
on the instructions of the
parents."
Id. at 1646 (emphasis added). As recounted earlier, the
hospital initiated judicial review to override the parents'
decision, but its efforts proved unavailing. The Solicitor General
now acknowledges that there was no basis for finding a violation of
§ 504 in this case.
See Tr. of Oral Arg. 12.
[
Footnote 17]
Notwithstanding that the Secretary's summary of this case
demonstrates both that treatment was withheld because of refusal of
parental consent and that state court proceedings to override the
parents' decision had been instituted before the Department
intervened, the Department proceeded with its own investigation
anyway:
"
Long Island, New York. October 19, 1983, complaint,
based on newspaper article, that infant with spina bifida not
receiving surgery
due to refusal of parents to consent; legal
proceedings ha[d] been instituted in State court. Inquiry
initiated October 19. On October 27, HHS asked Department of
Justice to commence legal action to overcome refusal of hospital to
permit review of pertinent records.\\49 Fed.Reg. 1649 (1984)
(emphasis added)."
[
Footnote 18]
The Secretary first cited a 1973 survey by Raymond Duff and A.
G. M. Campbell calculating that 14% of deaths in the special
nursery of the Yale New Haven hospital "were related to withholding
treatment." 48 Fed.Reg. 30847 (1983). The Secretary's solitary
quotation from this study, accurately illustrating the locus of the
treatment decisions reviewed by the authors, involved refusal of
parental consent:
"'An infant with Down's syndrome and intestinal atresia, like
the much publicized one at Johns Hopkins Hospital, was not treated
because his parents thought the surgery was wrong for their
baby and themselves. He died several days after birth.'"
Ibid. (emphasis added) (quoting Duff & Campbell,
Moral and Ethical Dilemmas in the Special-Care Nursery, 289 New
Eng.J.Med. 890, 891 (1973)). The Secretary next referred to an
incident at Johns Hopkins Hospital which, as the above quotation
intimates, also concerned parental refusal of consent. Then
followed brief mention of the "Bloomington Baby Doe" incident, in
which the parents, as the Secretary now admits, refused consent to
treatment despite the hospital's insistence that it be provided.
The Secretary's fourth and final example involved "a 1979 death of
an infant with Down's syndrome and an intestinal obstruction at the
Kapiolani Children's Medical Center in Honolulu, Hawaii," 48
Fed.Reg. 30847 (1983), which again appears to have resulted from "a
lack of parental consent,"
id. at 30848.
Generalizing from these examples, the Secretary reported the
results of a survey of physician attitudes. He faulted "[t]heir
acquiescence in nontreatment of Down's children" which he surmised
was "apparently
because of the handicap represented by
Down's syndrome."
Ibid. See n.
22 infra.
[
Footnote 19]
The Secretary also reprinted selected quotations from various
commenters reporting the existence of "discriminatory" decisions
denying sustenance and care to handicapped infants. None of these
comments disclosed whether those "discriminatory" decisions were
made by parents or by hospitals.
[
Footnote 20]
The Secretary's repeated inability to identify a single
treatment decision in violation of § 504 lends an aura of
unreality to JUSTICE WHITE's criticism of the Court of Appeals'
decision in
University Hospital. In explaining why he
believes "the stated basis for the Court of Appeals' holding in
University Hospital was incorrect,"
post at
476 U. S. 656;
see post at
476 U. S. 655,
n. 8, JUSTICE WHITE completely ignores the fact that the case
involved a specific treatment decision made by parents. Since
JUSTICE WHITE elsewhere agrees that parental decisions are not
covered by § 504,
post at
476 U. S. 657,
n. 10, and that the infant involved in the
University
Hospital case was therefore not "otherwise qualified" for
treatment,
post at
476 U. S. 654,
n. 7, he implicitly acknowledges that the
judgment in
University Hospital is correct; only by ignoring the
actual facts of that case -- as well as the actual facts of the 49
cases that were investigated by the Secretary -- and speculating
about nonexistent hypothetical cases in which a hospital might
refuse to provide treatment requested by parents, does the dissent
offer any basis for questioning the decision in
University
Hospital.
Indeed, even the dissent's criticism of the
reasoning
of the Court of Appeals' decision is based on a hypothetical
situation that the Court of Appeals did not address. That court was
concerned with the treatment of cases in which "the handicapping
condition
is related to the condition(s) to be treated,"
729 F.2d at 157 (emphasis added);
see id. at 147, whereas
JUSTICE WHITE has carefully limited his hypothetical discussion to
cases in which "the treatment
is completely unrelated to
the baby's handicapping condition."
Post at
476 U. S. 655
(emphasis added). Thus, like bishops of opposite colors, the
opinions of JUSTICE WHITE and the Court of Appeals do not even
touch one another.
[
Footnote 21]
The preamble repeatedly makes the assumption that evidence
showing the need for
governmental involvement provides a
basis for
federal involvement.
See, e.g., 49
Fed.Reg. 1649 (1984).
[
Footnote 22]
JUSTICE WHITE's dissent suggests that regulation of health care
providers can be justified on a theory the Secretary did not
advance -- a supposed need to curtail discriminatory advice by
biased physicians.
See post at
476 U. S.
658-661. After observing that at least some handicapped
infants have not been treated, the dissent identifies physician
attitudes as a likely explanation, and concludes that mandated
informational notices were presumably designed to
"foste[r] an awareness by health care professionals of their
responsibility not to act in a discriminatory manner with respect
to medical treatment decisions for handicapped infants."
Post at
476 U. S.
660.
The dissent's theory finds no support in the text of the
regulation, the reasoning of the Secretary, or the briefs filed on
his behalf in this Court. The regulations in general -- and the
informational notices in particular -- do not purport to place any
constraints on the advice that physicians may give their patients.
Moreover, since it is now clear that parental decisionmaking is not
covered by § 504,
supra, at
476 U. S.
630-631, the dissent's theory rests on the unstated
premise that the statute may prevent the giving of advice to do
something which § 504 does not itself prohibit. It is hardly
obvious that the Rehabilitation Act of 1973 prohibits physicians
from "aiding and abetting" a parental decision which parents
admittedly have a right to make. And if Congress did intend this
counterintuitive result, one might expect an explanation from the
Secretary as to how the hotlines and emergency on-site inspections
contemplated by the Final Rules square with the constitutional
doctrines on regulation, direct or indirect, of speech in general
and of decisionmaking by health professionals in particular.
In reality, the Secretary neither found nor implied that
physicians' predispositions against treating handicapped infants
had resulted in parental refusals to consent to treatment. Indeed,
he principally relied on attitudinal surveys for the converse
proposition that regulation is necessary because parents refuse
consent to treatment and physicians will "acquiesce in parental
refus[als] to treat." 48 Fed.Reg. 30848 (1983). To the extent
any theory may be discerned in the Secretary's two-column
summary of physician surveys, it is that doctors would not
correct "bad" parental decisions, not that they were
responsible for helping them to make such choices in the first
place. Moreover, even if the Secretary had relied on this evidence
to insinuate that doctors imposed their own value judgments on
parents by lobbying them to refuse consent, he never explains that
the parental decisionmaking process is one in which doctors
exercise the decisive influence needed to force such results.
Compare ibid. with post at
476 U. S.
658-659. The Secretary, in short, has not even
adumbrated a theory of "discrimination" remotely resembling the one
invented by the dissent, and therefore has not made the essential
connection between the evidence of physician attitudes and the
regulatory choice made here.
[
Footnote 23]
Of course, § 504 would be violated only if the hospital
failed to report medical neglect of a handicapped infant when it
would report such neglect of a similarly situated nonhandicapped
infant. Because respondents have challenged the Secretary's
regulations on their face, we have no occasion to address the
question whether infants with birth defects are similarly situated
with infants in need of blood transfusions (the paradigm case in
which hospitals have reported or have sought to override parental
decisions, according to the Solicitor General, Brief for Petitioner
28, and n. 16), or whether a hospital could legitimately
distinguish between the two situations on the basis of the
different risks and benefits inhering in certain operations to
correct birth defects, on the one hand, and blood transfusions, on
the other hand.
[
Footnote 24]
To the contrary, the Secretary's case summaries reveal numerous
instances in which hospitals have voluntarily reported instances of
suspected medical neglect and have even initiated legal proceedings
themselves. In the Bloomington, Indiana, case which prompted these
regulations, and in the
University Hospital case which
supported the summary affirmance now before us, the parents'
decision was the subject of judicial review in the state courts. In
the Robinson, Illinois, case on which the Secretary relies as one
of three examples illustrating the need for federal regulation, the
hospital reported the parents' refusal to consent to state
authorities, who arranged for surgery and adoption. 49 Fed.Reg.
1646 (1984). Most dramatically, in the Daytona Beach, Florida,
case, HHS received its hotline complaint the day
after the
state agency had already obtained a court order overriding the
parents' refusal to consent to surgery.
Id. at 1648.
Notwithstanding the Department's "immediate contact" with the
hospital
and the state agency -- which surely must have
made it clear that the case had already been reported to that
agency and that there was no colorable basis for suspecting a
violation of § 504 -- the Department conducted an on-site
investigation.
Ibid. In the third case on which the
Secretary placed special emphasis, the Department intervened before
the parents had decided whether to authorize treatment or not, so
that no reporting obligation could have been triggered.
Ibid.
[
Footnote 25]
The interpretative guidelines appended to the Final Rules do
impose on hospitals and other health care providers the duty not to
discriminate against handicapped infants in reporting instances of
parental neglect. We do not address the question whether reporting,
either as a hospital practice or as a requirement of state law,
constitutes a "program or activity receiving Federal financial
assistance" under § 504.
See Consolidated Rail Corp. v.
Darrone, 465 U.S. at
465 U. S.
635-636.
Cf. Grove City College v. Bell,
465 U. S. 555,
465 U. S.
570-574 (1984).
[
Footnote 26]
JUSTICE WHITE's dissent, quoting the Secretary's explanation for
these requirements, concludes that they form, in "substance," a
nondiscrimination requirement.
Post at
476 U. S. 663.
This assertion is repetitive, not responsive. The rules governing
state child protective services agencies operate independently of
any provisions of state law; they go further than them in several
respects; they flatly contradict them in others (
e.g.,
confidentiality); and they do not accommodate the revision,
modification, or repeal of state laws. To say that the Secretary
can give detailed marching orders to state agencies upon
discovering that both the agencies and HHS are working toward the
same general objective -- at least when defined with sufficient
abstractness -- would countenance a novel and serious intrusion on
state autonomy.
[
Footnote 27]
See Southeastern Community College v. Davis, 442 U.S.
at
442 U. S. 410
(language and structure of 1973 Rehabilitation Act recognizes "the
distinction between . . . evenhanded treatment . . . and
affirmative efforts").
[
Footnote 28]
The Secretary notes that,
"by enacting section 504, Congress intended to eliminate all of
the 'many forms of potential discrimination' against handicapped
people through 'the establishment of a broad governmental policy.'
S.Rep. No. 1297, 93d Cong., 2d Sess. 38 (1974)."
49 Fed.Reg. 1636 (1984). But no matter how broad the prohibition
contained in § 504 may be, what it prohibits is
discrimination.
[
Footnote 29]
Important principles of federalism are implicated by any
"federal program that compels state agencies . . . to function as
bureaucratic puppets of the Federal Government."
FERC v.
Mississippi, 456 U. S. 742,
456 U. S. 783
(1982) (opinion of O'CONNOR, J.).
[
Footnote 30]
Twenty-seven agencies, including the National Endowment for the
Arts, the Nuclear Regulatory Commission, and the Tennessee Valley
Authority, have promulgated regulations forbidding discrimination
on the basis of handicap in programs or activities receiving
federal financial assistance. The Department of Housing and Urban
Development has issued a proposed rulemaking.
See Jones
& Wolfe, Regulations Promulgated Pursuant to Section 504 of the
Rehabilitation Act of 1973: A Brief History and Present Status 8-9
(Congressional Research Service, Feb. 28, 1986). There is thus not
the same basis for deference predicated on expertise as we found
with respect to the Environmental Protection Agency's
interpretation of the 1977 Clean Air Act Amendments in
Chevron
U.S.A. Inc. v. Natural Resources Defense Council, Inc., 467
U.S. at
467 U. S.
842-846, and with respect to the Federal Reserve Board's
construction of the Bank Holding Act in
Board of Governors, FRS
v. Investment Company Inst., 450 U. S. 46,
450 U. S. 56,
and n. 21 (1981).
[
Footnote 31]
Accord, American Textile Mfrs. Institute, Inc. v.
Donovan, 452 U. S. 490,
452 U. S. 539
(1981);
Burlington Truck Lines, Inc. v. United States,
371 U. S. 156,
371 U. S. 168
(1962);
SEC v. Chenery Corp., 332 U.
S. 194,
332 U. S. 196
(1947);
SEC v. Chenery Corp., 318 U. S.
80,
318 U. S. 87
(1943).
[
Footnote 32]
See Frankfurter, Some Reflections on the Reading of
Statutes, 47 Colum.L.Rev. 627, 540 (1947) ("The underlying
assumptions of our dual form of government, and the consequent
presuppositions of legislative draftsmanship which are expressive
of our history and habits, cut across what might otherwise be the
implied range of legislation").
[
Footnote 33]
Cf. Heublein, Inc. v. South Carolina Tax Comm'n,
409 U. S. 275,
409 U. S.
281-282 (1972) ("
[U]nless Congress conveys its
purpose clearly, it will not be deemed to have significantly
changed the Federal-State balance.'" (quoting United States v.
Bass, 404 U.S. at 404 U. S.
349); Davies Warehouse Co. v. Bowles,
321 U. S. 144,
321 U. S. 152
(1944) ("Where Congress has not clearly indicated a purpose to
precipitate conflict [between federal agencies and state
authority], we should be reluctant to do so by decision" (footnote
omitted)); Penn Dairies, Inc. v. Milk Control Comm'n,
318 U. S. 261,
318 U. S. 275
(1943) ("An unexpressed purpose of Congress to set aside statutes
of the states regulating their internal affairs is not lightly to
be inferred, and ought not to be implied where the legislative
command, read in the light of its history, remains ambiguous");
FTC v. Bunte Bros., Inc., 312 U.S. at 312 U. S.
354-355 ("The construction of § 5 [of the Federal
Trade Commission Act] urged by the Commission would thus give a
federal agency pervasive control over myriads of local businesses
in matters heretofore traditionally left to local custom or local
law. . . . An inroad upon local conditions and local standards of
such far-reaching import as is involved here ought to await a
clearer mandate from Congress"); Apex Hosiery Co. v.
Leader, 310 U. S. 469,
310 U. S. 513
(1940) ("The maintenance in our federal system of a proper
distribution between state and national governments of police
authority and of remedies private and public for public wrongs is
of far-reaching importance. An intention to disturb the balance is
not lightly to be imputed to Congress"); United States v.
Altobella, 442 F.2d 310, 313-316 (CA7 1971); 3 C. Sands,
Sutherland on Statutory Construction § 62.01, p. 64 (4th
ed.1974) ("[T]he rule of strict construction [of statutes in
derogation of sovereignty] serves a quasi-constitutional purpose in
our federal system of split sovereignty by helping to secure both
levels of sovereign power against encroachment by each other"
(footnote omitted))).
The legislative history of the Rehabilitation Act does not
support the notion that Congress intended intervention by federal
officials into treatment decisions traditionally left by state law
to concerned parents and the attending physicians or, in
exceptional cases, to state agencies charged with protecting the
welfare of the infant. As the Court of Appeals noted, there is
nothing in the legislative history that even remotely suggests that
Congress contemplated the possibility that "section 504 could or
would be applied to treatment decisions involving defective newborn
infants." 729 F.2d 144, 159 (1984).
"'As far as can be determined, no congressional committee or
member of the House or Senate ever even suggested that section 504
would be used to monitor medical treatment of defective newborn
infants or establish standards for preserving a particular quality
of life. No medical group appeared alert to the intrusion into
medical practice which some doctors apprehend from such an
undertaking, nor were representatives of parents or spokesmen for
religious beliefs that would be affected heard.'"
Id. at 158 (quoting
American Academy of Pediatrics
v. Heckler, 561 F.Supp. at 401).
[
Footnote 34]
The fact that the agency's interpretation
"has been neither consistent nor longstanding . . .
substantially diminishes the deference to be given to HEW's [now
HHS's] present interpretation of the statute."
Southeastern Community College v. Davis, 442 U.S. at
442 U. S. 412,
n. 11 (citing
General Electric Co. v. Gilbert,
429 U. S. 125,
429 U. S. 143
(1976)).
JUSTICE WHITE, with whom JUSTICE BRENNAN joins and with whom
JUSTICE O'CONNOR joins as to Parts I, II, IV, and V,
dissenting.
Section 504 of the Rehabilitation Act of 1973 forbids
discrimination solely on the basis of handicap in programs or
activities receiving federal financial assistance. The issue before
us is whether the Secretary of Health and Human Services has any
authority under the Act to regulate medical treatment decisions
concerning handicapped newborn infants. Relying on its prior
decision in
United States v. University Hospital, 729 F.2d
144 (CA2 1984), the Court of Appeals held that the Secretary was
without power in this respect, and affirmed a decision of the
District Court that § 504 does not extend so far and that the
Secretary may not regulate such decisions in any manner.
Although it is my view that we granted certiorari to address
this issue, the plurality avoids it by first erroneously reading
the decision below as enjoining only the enforcement of specific
regulations, and by then affirming on the basis that the
promulgation of the regulations did not satisfy established
principles of administrative law, a matter that the Court of
Appeals had no occasion to, and did not, discuss. With all due
respect, I dissent.
I
The plurality's initial and fundamental error is its statement
that the only question presented here is the specific question
whether the four mandatory provisions of the Final Rules issued by
the Secretary are authorized by § 504. This conclusion
misconstrues the opinion and judgment of the Court of Appeals. The
plurality concedes that the District Court's judgment, on its face,
did not stop with enjoining the
Page 476 U. S. 649
enforcement of the final regulations.
Ante at
476 U. S.
625-626, n. 11. In fact, the District Court permanently
enjoined the Secretary from implementing the final regulations, and
also from
"continuing or undertaking any other actions to investigate or
regulate treatment decisions involving impaired newborn infants
taken under authority of Section 504, including pending
investigation and other enforcement actions."
App. to Pet. for Cert. 51a-52a. This broad injunction ousted the
Secretary from the field entirely, and granted the precise relief
sought by the complaint, which was filed after
University
Hospital and which sought to take full advantage of that
decision. [
Footnote 2/1] The Court
of Appeals affirmed, and in no way modified the injunction that the
District Court had entered. In doing so, the Court of Appeals
relied on its previous determination in
University
Hospital that the Secretary had no statutory authority to
regulate medical treatment decisions regarding newborn infants.
See App. to Pet. for Cert. 2a-3a. [
Footnote 2/2]
Page 476 U. S. 650
It is true that the regulations themselves were invalidated, and
their enforcement enjoined. This result, however, was directly
compelled by the
University Hospital conclusion that the
Secretary was without power to issue any regulations whatsoever
that dealt with infants' medical care, and it did not comprise the
whole relief awarded by the District Court and affirmed by the
Court of Appeals. I thus see no justification for the plurality's
distortion of the Court of Appeals' affirmance of the District
Court's all-inclusive injunction, which, like
University
Hospital, now represents the law in the Second Circuit.
[
Footnote 2/3] We should resolve
the threshold statutory question that this case and
University
Hospital clearly pose -- namely, whether the Secretary has any
authority at all under the Act to regulate medical care decisions
with respect to the handicapped newborn. [
Footnote 2/4]
II
Section 504 of the Act, which was construed in
University
Hospital, provides:
"No otherwise qualified handicapped individual in the United
States, as defined in section 706(7) of this title,
Page 476 U. S. 651
shall, solely by reason of his handicap, be excluded from the
participation in, be denied the benefits of, or be subjected to
discrimination under any program or activity receiving Federal
financial assistance."
29 U.S.C. § 794. After determining that § 706(7),
which defines handicapped persons, is not limited to adults and
includes the newborn, the Court of Appeals in
University
Hospital construed the "otherwise qualified" language of
§ 504 to limit the reach of the section to situations in which
the handicap is "unrelated to, and thus improper to consideration
of, the services in question." 729 F.2d at 156. [
Footnote 2/5] This, concluded the Court of Appeals,
would exclude most handicapped newborns, because their handicaps
are not normally irrelevant to the need for medical services.
Furthermore, the Court of Appeals thought that the "otherwise
qualified" limitation should not be applied in the "comparatively
fluid context of medical treatment decisions," because,
"[w]here the handicapping condition is related to the
condition(s) to be treated, it will
Page 476 U. S. 652
rarely, if ever, be possible to say with certainty that a
particular decision was 'discriminatory.'"
Id. at 156-157.
Having identified these perceived incongruities between the
language of § 504 and the potential regulation of medical
decisions regarding handicapped newborns, the Court of Appeals
concluded that,
"[b]efore ruling that congress intended to spawn this type of
litigation under section 504, we would want more proof than is
apparent from the face of the statute."
Id. at 157. Thus, the Court of Appeals turned to the
legislative history, where it again found nothing to persuade it
that Congress intended § 504 to apply to medical treatment of
handicapped infants, and hence to enter a field so traditionally
occupied by the States. Neither did it consider the current
administrative interpretation of § 504 to be a longstanding
agency construction calling for judicial deference. In the Court of
Appeals' view, therefore, the section was inapplicable to medical
treatment decisions regarding the newborn absent some further
indication of congressional intent.
I disagree with this conclusion, which the Court of Appeals
adhered to in the case before us now. Looking first at the language
of the statute, I agree with the Court of Appeals' preliminary
conclusion that handicapped newborns are handicapped individuals
covered by the Act. There is no reason for importing an age
limitation into the statutory definition, and this Court has
previously stated that
"§ 504 protects handicapped persons of all ages from
discrimination in a variety of programs and activities receiving
federal financial assistance."
Smith v. Robinson, 468 U. S. 992,
468 U. S.
1016-1017 (1984). [
Footnote
2/6] This leaves the critical question whether a
handicapped
Page 476 U. S. 653
infant can ever be "otherwise qualified" for medical treatment,
and hence possibly subjected to unlawful discrimination when he or
she is denied such treatment. [
Footnote
2/7]
Page 476 U. S. 654
It may well be that our prior consideration of this language has
implied that the Court of Appeals' construction is correct. In
Southeastern Community College v. Davis, 442 U.
S. 397,
442 U. S. 406
(1979), we held that "[a]n otherwise qualified person is one who is
able to meet all of a program's requirements in spite of his
handicap." This formulation may be read as implying that, where a
handicapped person meets all of the requirements normally necessary
to receive a program's benefits, regardless of his or her handicap,
he or she is otherwise qualified, because that handicap does not
interfere with, and is thus irrelevant to, his or her qualification
for the program. Thus, the Court of Appeals' view -- that refusing
treatment that is called for only because of the handicapping
condition cannot constitute discrimination on the basis of
handicap, since there will be no similarly situated nonhandicapped
newborn,
i.e., one who needs the same treatment -- draws
support from our holding in
Davis, since it turns on the
same underlying perception that discrimination occurs only when the
handicapping condition is irrelevant to the qualification for the
program.
Page 476 U. S. 655
Even under the Court of Appeals' interpretation of "otherwise
qualified," however, it does not follow that § 504 may never
apply to medical treatment decisions for the newborn. An esophageal
obstruction, for example, would not be part and parcel of the
handicap of a baby suffering from Down's syndrome, and the infant
would benefit from, and is thus otherwise qualified for, having the
obstruction removed in spite of the handicap. In this case, the
treatment is completely unrelated to the baby's handicapping
condition. If an otherwise normal child would be given the
identical treatment, so should the handicapped child if
discrimination on the basis of the handicap is to be avoided.
[
Footnote 2/8]
It would not be difficult to multiply examples like this. And
even if it is true that, in the great majority of cases, the
handicap itself will constitute the need for treatment, I doubt
that this consideration or any other mentioned by the Court of
Appeals justifies the wholesale conclusion that § 504 never
applies to newborn infants with handicaps. That some or most
failures to treat may not fall within § 504, that discerning
which failures to treat are discriminatory may be difficult, and
that applying § 504 in this area may intrude into the
traditional functions of the State do not support the
categorical
Page 476 U. S. 656
conclusion that the section may never be applied to medical
decisions about handicapped infants. And surely the absence in the
legislative history of any consideration of handicapped newborns
does not itself narrow the reach of the statutory language.
See
Jefferson County Pharmaceutical Assn. v. Abbott Laboratories,
460 U. S. 150,
460 U. S.
159-162, and n. 18 (1983). Furthermore, the broad
remedial purpose of the section would be undermined by excluding
handicapped infants from its coverage; and if, as the plurality
indicates,
ante at
476 U. S.
642-643, the Secretary has substantial leeway to explore
areas in which discrimination against the handicapped poses serious
problems and to devise regulations to prohibit the discrimination,
it is appropriate to take note of the Secretary's present view that
§ 504 properly extends to the subject matter at issue here.
Thus, I believe that the Court of Appeals in
University
Hospital incorrectly concluded that § 504 may never apply
to medical treatment decisions concerning handicapped newborn
infants. Where a decision regarding medical treatment for a
handicapped newborn properly falls within the statutory provision,
it should be subject to the constraints set forth in § 504.
Consequently, I would reverse the judgment below.
III
Having determined that the stated basis for the Court of
Appeals' holding in
University Hospital was incorrect and
that the decision below cannot be supported by
University
Hospital's blanket prohibition, I would remand the case to the
Court of Appeals. Respondents have, as the plurality's opinion
itself demonstrates, raised significant issues aside from the
threshold statutory issue presented here. There are, for example,
substantial questions regarding the scope of the Secretary's
statutory authority in this area, and whether these particular
regulations are consistent with the statute. I would decline to
reach and decide these questions for the first time in this Court
without the benefit of the
Page 476 U. S. 657
lower courts' deliberations. [
Footnote 2/9] The plurality, however, has chosen to
reach out and address one of those subsidiary issues. Because the
plurality has resolved that issue in a manner that I find
indefensible on its own terms, I too address it.
The plurality concludes that the four mandatory provisions of
the final regulations are invalid because there is no "
rational
connection between the facts found and the choice made.'" Motor
Vehicle Mfrs. Assn., Inc. v. State Farm Mutual Automobile Ins.
Co., 463 U. S. 29,
463 U. S. 43
(1983) (quoting Burlington Truck Lines, Inc. v. United
States, 371 U. S. 156,
371 U. S. 168
(1962)). The basis for this conclusion is the plurality's
perception that two and only two wholly discrete categories of
decisions are the object of the final regulations: (1) decisions
made by hospitals to treat or not treat where parental consent has
been given and (2) decisions made by hospitals to refer or not to
refer a case to the state child protective services agency where
parental consent has been withheld. [Footnote 2/10]
Page 476 U. S. 658
Since the Secretary has not specifically pointed to
discriminatory actions that provably resulted from either of these
two specific types of decisions, the plurality finds that the
Secretary's conclusion that discrimination is occurring is
unsupported factually. The plurality's characterization of the
Secretary's rationale, however, oversimplifies both the complexity
of the situations to which the regulations are addressed and the
reasoning of the Secretary.
First, the Secretary's proof that treatment is in fact being
withheld from handicapped infants is unquestioned by the plurality.
It is therefore obvious that whoever is making them,
decisions to withhold treatment from such infants are in
fact being made. This basic understanding is critical to the
Secretary's further reasoning, and the discussion accompanying the
proposed regulations clearly indicates that this was the
Secretary's starting point.
See 48 Fed.Reg. 30847-30848
(1983). Proceeding with this factual understanding, the next
question is whether such withholding of treatment constitutes
prohibited discrimination under § 504 in some or all
situations. It is at this point that the plurality errs. In the
plurality's view, only two narrow paradigmatic types of decisions
were contemplated by the Secretary as potentially constituting
discrimination in violation of the statute.
See ante at
476 U. S.
628-629. The plurality does not explain, however,
precisely what in the Secretary's discussion gives rise to this
distillation, and my reading of the explanation accompanying the
regulations does not leave me with so limited a view of the
Secretary's concerns.
The studies cited by the Secretary in support of the regulations
and other literature concerning medical treatment in this area
generally portray a decisionmaking process in which the parents and
the doctors, and often other concerned persons as well, are
involved -- although the parental decision to consent or not is
obviously the critical one. [
Footnote
2/11] Thus, the parental
Page 476 U. S. 659
consent decision does not occur in a vacuum. In fact, the
doctors (directly) and the hospital (indirectly) in most cases
participate in the formulation of the final parental decision, and
in many cases substantially influence that decision. [
Footnote 2/12] Consequently,
discrimination against a handicapped infant may assume guises other
than the outright refusal to treat once parental consent has been
given. Discrimination may occur when a doctor encourages or fails
to discourage a parental decision to refuse consent to treatment
for a handicapped child when the doctor would discourage or
actually oppose a parental decision to refuse consent to the same
treatment for a nonhandicapped child. Or discrimination may occur
when a doctor makes a discriminatory treatment recommendation that
the parents simply follow. Alternatively, discrimination may result
from a hospital's explicit
laissez-faire attitude about
this type of discrimination on the part of doctors.
Contrary to the plurality's constrained view of the Secretary's
justification for the regulations, the stated basis for those
regulations reveals that the Secretary was cognizant of this more
elusive discrimination. For example, the evidence cited most
extensively by the Secretary in his initial proposal of these
regulations was a study of attitudes of practicing and teaching
pediatricians and pediatric surgeons.
See 48 Fed.Reg.
30848 (1983) (citing Shaw, Randolph, & Manard, Ethical Issues
in Pediatric Surgery: A National Survey of Pediatricians and
Pediatric Surgeons, 60 Pediatrics 588 (1977)). This study indicated
that a substantial number of these doctors (76.8% of pediatric
surgeons and 49.5% of pediatricians)
Page 476 U. S. 660
would "acquiesce in parents' decision to refuse consent for
surgery in a newborn with intestinal atresia if the infant also had
. . . Down's syndrome."
Id. at 590. It also indicated that
a substantial minority (23.6% of pediatric surgeons and 13.2% of
pediatricians) would in fact encourage parents to refuse consent to
surgery in this situation, and that only a small minority (3.4% of
pediatric surgeons and 15.8% of pediatricians) would attempt to get
a court order mandating surgery if the parents refused consent. In
comparison, only a small minority (7.9% of pediatric surgeons and
2.6% of pediatricians) would acquiesce in parental refusal to treat
intestinal atresia in an infant with no other anomaly. And a large
majority (78.3% of pediatric surgeons and 88.4% of pediatricians)
would try to get a court order directing surgery if parental
consent were withheld for treatment of a treatable malignant tumor.
The Secretary thus recognized that there was evidence that doctors
would act differently in terms of attempts to affect or override
parental decisions depending on whether the infant was
handicapped.
Based on this evidence, the Secretary conceded that "[t]he full
extent of discriminatory and life-threatening practices toward
handicapped infants is not yet known," but concluded "that for even
a single infant to die due to lack of an adequate notice and
complaint procedure is unacceptable." 48 Fed.Reg. 30847 (1983).
Thus, the Secretary promulgated the regulations at issue here.
These regulations, in relevant part, require that a notice of the
federal policies against discrimination on the basis of handicap be
posted in a place where a hospital's health care professionals will
see it. This requirement is, as the Secretary concluded,
"[c]onsistent with the Department's intent to target the notice to
nurses and other health care professionals." App. 25. The notice
requirement, therefore, may reasonably be read as aimed at
fostering an awareness by health care professionals of their
responsibility not to act in a discriminatory manner with respect
to medical treatment decisions for handicapped infants.
Page 476 U. S. 661
The second requirement of the regulations, that state agencies
provide mechanisms for requiring and reporting medical neglect of
handicapped children, is also consistent with the Secretary's focus
on discrimination in the form of discriminatory reporting.
[
Footnote 2/13]
I therefore perceive a rational connection between the facts
found by the Secretary and the regulatory choice made. The
Secretary identified an existing practice that there was reason to
believe resulted from discrimination on the basis of handicap.
Given this finding, the amorphous nature of much of the possible
discrimination, the Secretary's profession that the regulations are
appropriate no matter how limited the problem, [
Footnote 2/14] and the focus of the regulations on
loci where unlawful discrimination seems most likely to
occur, and on persons likely to be responsible for it, I conclude
that these regulations are not arbitrary and capricious, and that
the Court errs in striking them down on that basis. Although the
Secretary's path here may be marked with "
less than ideal
clarity,'" we will uphold such a decision "`if the agency's path
may reasonably be discerned.'" Motor Vehicles Mfrs. Assn.,
463 U.S. at 463 U. S. 43
(quoting Bowman Transportation, Inc. v. Arkansas-Best Freight
System, Inc., 419 U. S. 281,
419 U. S. 286
(1974)).
The plurality also objects to the regulations' requirement
concerning the state protective agencies' reporting procedures
Page 476 U. S. 662
on another ground. Specifically, the plurality finds that this
requirement is, in fact, a substantive prescription, rather than a
prohibition of discrimination. The plurality bases this conclusion
on the fact that the regulation sets forth specific procedures that
must be adopted by state agencies.
The plurality's conclusion disregards the Secretary's
explanation for this requirement. In the preamble to the proposed
regulations, the Secretary explicitly stated:
"The Department has determined that under every state's law,
failure of parents to provide necessary, medically indicated care
to a child is either explicitly cited as grounds for action by the
state to compel treatment or is implicitly covered by the state
statute. These state statutes also provide for appropriate
administrative and judicial enforcement authorities to prevent such
instances of medical neglect, including requirements that medical
personnel report suspected cases to the state child protective
services agency, agency access to medical files, immediate
investigations and authority to compel treatment."
48 Fed.Reg. 30848 (1983). This finding was repeated in the
statement accompanying the final regulations:
"Although there are some variations among state child protective
statutes, all have the following basic elements: a requirement that
health care providers report suspected cases of child abuse or
neglect, including medical neglect; a mechanism for timely receipt
of such reports; a process for administrative inquiry and
investigation to determine the facts; and the authority and
responsibility to seek an appropriate court order to remedy the
apparent abuse and neglect, if it is found to exist."
49 Fed.Reg. 1627 (1984).
The regulations, in turn, require that the State provide these
same services with respect to medical neglect of handicapped
infants.
See 45 CFR § 84.55(c) (1985). The only
Page 476 U. S. 663
additional requirements imposed by the regulations involve
provisions enabling the Department itself to review for compliance
with the nondiscrimination requirements. Consequently, the
regulations simply track the existing state procedures found to
exist by the Secretary, requiring that funded state agencies
provide those same procedures for handicapped children. The fact
that the regulations specify the procedures that are necessary to
ensure an absence of discrimination, and do not instead speak in
"nondiscrimination" terms, is irrelevant. The substance of the
requirement is nondiscrimination. The plurality's conclusion in
this regard, however, apparently rests on a determination that
implementation of a nondiscrimination mandate may be accomplished
in only one form -- even if the same result may be accomplished by
another route.
See ante at
476 U. S. 640,
n. 26. I would not elevate regulatory form over statutory substance
in this manner. In sum, the plurality's determination that the
regulations were inadequately supported and explained as a matter
of administrative law does not withstand examination of the
Secretary's discussion of the underlying problem and of the
contours of the regulations themselves.
IV
My disagreement with the plurality in this case does not end
here, however. For even under its chosen rationale, I find its
ultimate conclusion dubious. Having assiduously restricted its
discussion to the validity of the regulations only, the plurality
ends up concluding expansively that not only the regulations, but
also other investigations taken by the Secretary independent of the
regulations, are invalid. Thus, the Court apparently enjoins the
Secretary's on-site investigations, as well as "the regulations
which purport to authorize a continuation of them."
Ante
at
476 U. S. 647.
And the plurality rests this action on the conclusion that the
lower courts "correctly held that these investigative actions were
not authorized by the statute."
Ibid.
Page 476 U. S. 664
I am at a loss to understand the plurality's reasoning in this
respect. In construing the judgment below, the plurality appears to
conclude that, although the injunction entered by the District
Court and affirmed by the Court of Appeals did not purport to
prohibit
all actions by the Secretary under the statute,
the injunction did, in fact, extend beyond merely these particular
regulations. Thus, the plurality indicates that the judgment below
applied as well to actions that "resemble," "parallel," or are
"along [the] lines [of]" the regulations.
Ante at
476 U. S.
625-626, n. 11. The plurality further defines what
actions it believes the Court of Appeals and District Court
contemplated:
"[T]he injunction forbids continuation or initiation of
regulatory and investigative activity directed at instances in
which parents have refused consent to treatment and, if the
Secretary were to undertake such action, efforts to seek compliance
with affirmative requirements imposed on state child protective
services agencies."
Ante at
476 U. S. 625,
n. 11.
Aside from the fact that I see absolutely nothing in either the
District Court's or the Court of Appeals' judgment that would
support a constrained reading of the broadly phrased relief awarded
by the District Court and affirmed without modification by the
Court of Appeals, [
Footnote 2/15]
I have some doubt as to how different the Court's holding today is
from a holding that § 504 gives HHS no authority whatsoever
over decisions to treat handicapped infants. The plurality's lack
of coherence on this crucial point raises substantial doubts as to
the reach of the holding and as to the basis for that holding.
Finally, I am puzzled as to how and why the plurality's
determination that the regulations are invalid because they are
arbitrary and capricious extends to other actions not taken under
the regulations. The plurality apparently would enjoin all
enforcement actions by the Secretary in situations in which parents
have refused to consent to treatment.
See ante at
476 U. S.
625-626, n. 11. Yet it is not clear to me that the
Page 476 U. S. 665
plurality's basis for invalidating these regulations would
extend to all such situations. I do not see, for example, why the
plurality's finding that the Secretary did not adequately support
his conclusion that failures to report refusals to treat likely
result from discrimination means that such a conclusion will never
be justified. The Secretary might be able to prove that a
particular hospital generally fails to report nontreatment of
handicapped babies for a specific treatment where it reports
nontreatment of nonhandicapped babies for the same treatment. In
essence, a determination that these regulations were inadequately
supported factually would not seem to be properly extended beyond
actions taken pursuant to these regulations: the fact that the
Secretary has not adequately justified generalized action under the
regulations should not mean that individualized action in
appropriate circumstances is precluded.
V
In sum, the plurality today mischaracterizes the judgment below
and, based on that mischaracterization, is sidetracked from the
straightforward issue of statutory construction that this case
presents. The plurality incorrectly resolves an issue that was not
fully addressed by the parties, gives no guidance to the Secretary
or the other parties as to the proper construction of the governing
statute, and fails adequately to explain the precise scope of the
holding or how that holding is supported under the plurality's
chosen rationale. From this misguided effort, I dissent.
[
Footnote 2/1]
I disagree with the plurality's conclusion that
"[t]he complaints in this case did not challenge the
Department's authority to regulate all treatment decisions, but
more precisely the mandatory provisions of the Final Rules and
enforcement activity along those lines but undertaken pursuant to
the Department's 'general authority' to enforce § 504."
Ante at
476 U. S. 625,
n. 11. Although focusing most extensively on the regulations and
pending HHS investigations, the complaint specifically cited the
University Hospital holding that "Section 504 [does] not apply to
treatment decisions involving defective newborn infants.'" App.
138. The complaint also specifically requested that the District
Court
"issue a preliminary and permanent injunction prohibiting the
defendant from enforcing her final rule embodied in 45 CFR §
84.55, 49 Fed.Reg. 1622,
et seq. (Jan. 12, 1984), and
prohibiting defendant from otherwise acting pursuant to the claimed
authority of Section 504 of the Rehabilitation Act of 1973 in
regard to the medical treatment of infants with birth defects."
Id. at 159. The complaint thus requested both
invalidation of the regulations and an injunction against all other
actions by the Secretary in this area.
[
Footnote 2/2]
The Court of Appeals' brief order affirming the District Court's
judgment, although characterizing that judgment generally as having
struck down the regulations, cited
University Hospital and
made no changes in the broad relief awarded by the District Court.
The Court of Appeals gave absolutely no indication that it was
construing the District Court's judgment one whit less broadly than
that judgment's language indicated. Nowhere, therefore, is there a
justification for the plurality's reconstructive reading of the
Court of Appeals' judgment.
[
Footnote 2/3]
I note in this regard that the parties as well do not appear to
have contemplated the more limited reading of the judgment below
adopted by the plurality.
See Brief for Petitioner 9;
Brief for Respondents American Hospital Association
et al.
4; Brief for Respondents American Medical Association
et
al. 14.
[
Footnote 2/4]
I would not avoid the issue of the validity of
University
Hospital even if the judgment below were limited to
invalidation of these regulations. Given that the judgment below,
whether it extends as far as
University Hospital or not,
was based on the
University Hospital view that all
regulation of medical treatment decisions is outside the
Secretary's § 504 authority because of the nature of those
decisions, I believe that the better approach here would be for the
Court to determine the correctness of
University Hospital
in any case.
[
Footnote 2/5]
The Court of Appeals first addressed and reserved the question
whether the hospital or its functions comprised a program or
activity receiving federal financial assistance. Noting that this
was a fact-specific inquiry,
cf. Grove City College v.
Bell, 465 U. S. 555
(1984), the Court of Appeals assumed that the entire hospital was
covered by § 504 and proceeded to consider "whether, assuming
the entire hospital is covered by section 504, the statute
authorizes the type of investigation initiated here." 729 F.2d at
151.
I also do not consider whether or under what circumstances
hospitals or hospital neonatal programs may constitute programs or
activities receiving federal financial assistance. The judgment of
the District Court which was affirmed by the Court of Appeals does
not set forth guidelines for interpreting this language in this
context; it merely enjoins actions directed at such programs or
activities. The regulations as well simply adopt the statutory
language without interpreting it. Thus, I assume here that the
§ 504 strictures would be applied only to appropriate programs
or activities, and I therefore would leave discussion of this
fact-specific issue for further proceedings. I would not now hold
that § 504 may never apply on this basis.
[
Footnote 2/6]
Although infants with birth defects are clearly handicapped
individuals covered by § 504, there is one manner in which
they may differ from most other handicapped individuals for §
504 purposes. Specifically, they may have a combination of
conditions -- some of which are medically correctable and some of
which are not. In older handicapped individuals, medically
correctable conditions may have been corrected, so that only
irreparable handicapping conditions remain. In a newborn infant,
however, both correctable and uncorrectable conditions may exist.
Thus, since both of these may interfere with major life activities,
both types of conditions may be considered to be handicaps. In this
context, however, it might make more sense to consider as handicaps
only those conditions that cannot be medically treated to the point
that they will not impair major life activities. For such
correctable conditions would not be likely to cause the infant to
be regarded as handicapped. In any case, I believe that defining an
infant's handicap may well be a delicate problem, and one that
deserves some consideration.
[
Footnote 2/7]
It would appear that, for an infant to be qualified for
treatment, his or her parents must have consented to such
treatment. For the purposes of this discussion of whether the Court
of Appeals was correct that medical treatment decisions may
never be regulated by § 504, I assume that parental
consent has been given and that the arguably discriminatory
treatment decision is being made by the hospital or doctor. The
Court of Appeals in
University Hospital concentrated on
the nature of these decisions in concluding that § 504 may not
properly be applied, and I concentrate on that as well. That a
situation in which treatment is refused where parental consent has
been given may not have been shown to have arisen does not
undermine this assumption here. The critical question is whether
the operative provisions of § 504 may ever apply here, given
the nature of the decision.
For the purposes of addressing the Court of Appeals'
University Hospital analysis, the most straightforward
fact situation to consider is one in which the benefit provided is
the medical treatment itself, and in which a hospital refuses
treatment in the face of parental consent. In this context, the
Court of Appeals' conclusion that the nature of the decisions
themselves precludes application of § 504 may be addressed
with maximum simplicity. I note, however, that it may well be that
the benefits provided by hospitals and doctors and covered by
§ 504 extend beyond treatment itself. For example, one benefit
provided by hospitals and doctors to patients who cannot make their
own medical treatment decisions may be medical advice in those
patients' best interest to those who must ultimately make the
relevant medical treatment decisions. To the extent that the
provision of this benefit is a program or activity covered by the
statute, I would think that the statute requires that the same
advice be given to parents of a handicapped baby as to the parents
of a similarly situated nonhandicapped baby. Another benefit
provided may be the reporting of nontreatment to the relevant state
agency in the case of a parental decision not to treat. Again, to
the extent that the provision of this benefit is a program or
activity covered by the statute,
see 476
U.S. 610fn2/13|>n. 13,
infra, I would think that
§ 504 requires that the hospital or doctor report nontreatment
of a handicapped baby when it would report the denial of the same
treatment for a nonhandicapped baby.
My conclusions in this regard are buttressed by my view of
§ 504's coverage in the case of a medical treatment decision
regarding a black baby. If a hospital or doctor advised different
or less efficacious treatment for a black baby than for a white
baby, I believe that this would be discrimination under the
statute. Similarly, a failure to report a parental decision not to
treat because of race would seem to me to be illegally
discriminatory -- assuming that this decision otherwise came within
the statute.
In sum, although these additional situations present the same
issue as to when a handicapped baby is otherwise qualified and when
such a baby is subjected to discrimination as does the direct
example of a refusal to treat, and although it may well be that it
would be in these contexts that the statute would most likely be
given effect, for simplicity's sake, I have centered my discussion
of
University Hospital on the refusal-to-treat
example.
[
Footnote 2/8]
There are substantial arguments that could be made that the
Court of Appeals too narrowly read the statute. It could be argued,
for example, that the benefit provided by hospitals is not defined
in terms of specific treatments. Rather, the benefit is "general
medical care for whatever happens to need treating." If this is the
benefit, then a much broader application of the statute in this
context is reasonable. Alternatively, even if the benefit is
defined more narrowly, "reasonable accommodation" might require
more than mere impartial dispensing of identical treatment.
See
Alexander v. Choate, 469 U. S. 287,
469 U. S.
299-300, and nn.19, 20 (1985). I need not resolve this
issue of the exact meaning of § 504 and
Davis in this
context, however, because my conclusion that
University
Hospital's broad reasoning was incorrect does not depend on
it. Although I do not resolve these issues, I note that, while the
more expansive interpretations seem consistent with the
interpretation adopted by the Secretary in the regulations, the
more restrictive one does not.
See 45 CFR pt. 84, Appendix
C, � (a) (1985).
[
Footnote 2/9]
In addition, although the Secretary did not brief the merits of
respondents' claim that the regulations are invalid because
arbitrary and capricious, the Secretary did indicate his view that
this claim in its current form is not properly in the case, and
that it is inadequate on its face.
See Reply Brief for
Petitioner 16, n. 6.
Specifically, the Secretary first asserts that respondents'
argument as to the lack of factual basis involving situations in
which parents
have consented to treatment was not raised
in the complaint.
See App. 146 (challenging lack of
showing of instances where "erroneous" parental decisions were made
and where medical authorities did not take proper measures under
state law). Thus, the Secretary contends that the first major claim
addressed and relied on by the plurality was never properly raised.
Second, the Secretary contends that these are interpretative
regulations that impose no new substantive duties,
see 49
Fed.Reg. 1628 (1984), and that no factual basis for their issuance
need therefore be given.
Cf. 5 U.S.C. § 553(b).
These contentions, although not perhaps representing a
procedural bar to our reaching this claim,
see ante at
476 U. S. 629,
n. 14, do provide an additional sign that the plurality's
resolution of this case rests on shaky ground.
[
Footnote 2/10]
At this point in the case, as the plurality observes, all
parties concerned agree that parental decisions are not included in
§ 504's application.
See ante at
476 U. S.
630.
[
Footnote 2/11]
See, e.g., Duff & Campbell, Moral and Ethical
Dilemmas in the Special-Care Nursery, 289 N.Eng.J.Med. 890 (1973).
See also Gross, Cox, Tatyrek, Pollay, & Barnes, Early
Management and Decision Making for the Treatment of
Myelomeningocele, 72 Pediatrics 450 (1983).
[
Footnote 2/12]
Presumably, the program or activity that § 504 would apply
to in this context would be the hospital's neonatal program of
medical care or the hospital's program of medical care generally.
In either case, actions of both doctors and hospitals that cause or
permit discriminatory decisions that are taken as part of the
program or activity would be subject to § 504's
constraints.
[
Footnote 2/13]
The plurality reserves the question whether reporting would be a
program or activity receiving federal financial assistance,
ante at
476 U. S. 639,
n. 25, and I follow that course.
[
Footnote 2/14]
The plurality itself says that "regulations may be imposed for
preventative or prophylactic reasons,"
ante at
476 U. S. 643,
but concludes that the Secretary here proceeded based on the
perception of an actual problem, rather than a need for
prophylactic rules. To me, however, the Secretary's statement that
the rules are appropriate if necessary for even one problem
situation makes the plurality's distinction in this respect
questionable: the line between a prophylactic rule and a rule that
draws its justification from the likely existence of even one
unlawful action seems to me a very fine one.
[
Footnote 2/15]
See nn.
476
U.S. 610fn2/1|>1-
476
U.S. 610fn2/2|>2,
supra, and accompanying text.
JUSTICE O'CONNOR, dissenting.
I fully agree with JUSTICE WHITE's conclusion that the only
question properly before us is whether the Court of Appeals
correctly concluded that the Secretary has no power under 29 U.S.C.
§ 794 to regulate medical treatment decisions concerning
handicapped newborn infants. I also agree that application of
established principles of statutory construction and of the
appropriate standard for judicial review
Page 476 U. S. 666
of agency action leads inescapably to the conclusion that the
Secretary has the authority to regulate in this area. Because,
however, I see no need at this juncture to address the details of
the regulations or to assess whether they are sufficiently rational
to survive review under 5 U.S.C. § 706 (2)(A), I join only
parts
476 U. S.
476 U. S.
476 U. S. and
476 U. S.