v.
Lafayette School District
UNITED STATES COURT OF APPEALS
FOR THE NINTH CIRCUIT
M.M.; E.M., individually and on No. 12-15769
behalf of their minor son C.M.,
Plaintiffs-Appellants, D.C. No.
3:10-cv-04223-SI
v.
LAFAYETTE SCHOOL DISTRICT, a
local educational agency;
LAFAYETTE BOARD OF EDUCATION,
Defendants-Appellees.
M.M.; E.M., individually and on No. 12-15770
behalf of their minor son C.M.,
Plaintiffs-Appellants, D.C. No.
3:09-cv-04624-SI
v.
LAFAYETTE SCHOOL DISTRICT; AMENDED
LAFAYETTE BOARD OF EDUCATION; OPINION
STATE OF CALIFORNIA DEPARTMENT
OF EDUCATION; JACK O’CONNELL,
as State Superintendent of Public
Instruction for the State of
California; DANA SASSONE;
CALIFORNIA DEPARTMENT OF
GENERAL SERVICES; WILL BUSH,
Defendants-Appellees.
2 M.M. V. LAFAYETTE SCH. DIST.
Appeal from the United States District Court
for the Northern District of California
Susan Illston, Senior District Judge, Presiding
Argued and Submitted
November 5, 2013—San Francisco, California
Filed September 16, 2014
Amended October 1, 2014
Before: Sidney R. Thomas and Johnnie B. Rawlinson,
Circuit Judges, and Kevin Thomas Duffy, Senior District
Judge.*
Opinion by Judge Thomas;
Dissent by Judge Rawlinson
SUMMARY**
Individuals with Disabilities Education Act
Affirming in part and reversing in part the district court’s judgment, the panel held that a school district’s failure to provide educational testing data to parents violated the procedural requirements of the Individuals with Disabilities
*
The Honorable Kevin Thomas Duffy, Senior District Judge for the U.S. District Court for the Southern District of New York, sitting by designation. ** This summary constitutes no part of the opinion of the court. It has been prepared by court staff for the convenience of the reader.
M.M. V. LAFAYETTE SCH. DIST. 3
Education Act and prevented the parents from meaningfully
participating in the creation of their son’s individualized education program, thereby denying him a free appropriate public education under the IDEA.
The panel held that the school district did not fail to
properly incorporate “Response-to-Intervention” or “RTI” testing data into the student’s initial evaluation. The school district did, however, violate the IDEA by failing to insure that the RTI data was documented and carefully considered by the entire IEP team and failing to furnish the parents with the data, thereby making it unable for them to give informed consent for both the initial evaluation and the special education services their son received. The panel held that this procedural violation denied the student a FAPE because it seriously infringed his parents’ opportunity to participate in the IEP formulation process.
The panel did not reach questions of whether the resulting
IEPs were reasonably calculated to enable the student to
receive educational benefits, whether the school district
otherwise procedurally violated the IDEA, or whether an
assessment of the student was otherwise appropriate. In light of its holding that the student was denied a FAPE, the panel remanded for reconsideration of whether the parents were entitled to reimbursement for the cost of private instruction.
Addressing issues concerning two earlier proceedings
before the Office of Administrative Hearings, the panel
affirmed the district court’s conclusion that the parents’ claim for reimbursement of the cost of an evaluation was moot. The panel held that the parents were not denied due process in the first OAH proceeding. The panel affirmed the district
4 M.M. V. LAFAYETTE SCH. DIST.
court’s determination that two of the three claims raised in the second OAH proceeding were time-barred.
The panel affirmed the dismissal of claims against the
State of California Department of Education for failing to
properly oversee the OAH proceedings and for staying its
investigation.
The panel affirmed in part the dismissal of retaliation
claims under § 504 of the Rehabilitation Act and remanded
for the district court to consider one claim in the first
instance.
The panel remanded for reconsideration the issue of the
parents’ request for attorneys’ fees under 20 U.S.C.
§ 1415(i)(3)(B).
Judge Rawlinson dissented from the majority’s holding
that the school district failed to provide the student a FAPE and from the reversal of the award of attorneys’ fees. She wrote that no procedural violation of the IDEA was committed by the school district because the RTI assessments were not a mechanism used to identify students in need of special education. Judge Rawlinson also disagreed that the district court failed to address one Rehabilitation Act claim. She wrote that she would affirm the district court’s judgment in its entirety.
M.M. V. LAFAYETTE SCH. DIST. 5
COUNSEL
Lina Foltz, Oakland, California, for Plaintiffs-Appellants.
Amy R. Levine (argued), Dannis Woliver Kelley, San
Francisco, California; Louis Leone, Stubbs & Leone, Walnut Creek, California, for Defendants-Appellees Lafayette School District and Lafayette Board of Education.
Amy Bisson Holloway, General Counsel, Edmundo Aguilar,
Assistant General Counsel, and Leonard Garfinkel (argued),
Deputy General Counsel, California Department of
Education, Sacramento, California, for Defendants-Appellees
California Department of Education and Jack O’Connell.
OPINION
THOMAS, Circuit Judge:
In this appeal we consider, among other matters, whether a school district’s failure to provide educational testing data to parents violated the procedural requirements of the Individuals with Disabilities Education Act, 20 U.S.C. §§ 1400–1487 (“IDEA” or “Act”). We conclude that it did. We also conclude that the failure to provide the data prevented the parents from meaningfully participating in the creation of his individualized education program (“IEP”), thereby denying their son a free appropriate public education (“FAPE”) under the IDEA.
6 M.M. V. LAFAYETTE SCH. DIST.
I
These consolidated appeals arise out of three administrative complaints and three district court lawsuits concerning the educational opportunities provided to C.M., a child who has been identified as an individual with learning disabilities. C.M.’s parents, M.M. and E.M., appeal from the district court’s decision to affirm the Office of Administrative Hearings (“OAH”) judge’s conclusion that the Lafayette School District (the “District”) did not violate the IDEA.
During the 2005–2006 school year, the District implemented a new Response-to-Intervention (“RTI”) approach to assist struggling learners in the general education program. The District used RTI as an intermediate step before referring a student for special education placement. Reading Specialist Carol Harris conducted “universal assessments” of all students in kindergarten through third grade three times each school year, which included the Slosson Oral Reading Test (“SORT”) and the Dynamic Indicators of Basic Early Literacy Skills (“DIBELS”) test. District staff then came together after each assessment period to discuss each student’s results to “pinpoint children that need support beyond . . . general instruction,” to guide the intervention—or additional instruction—the child would then receive, and to monitor the progress the student made in response to the implemented intervention. These meetings were called “Assessment Wall” meetings, and they were attended by Principal Mary Maddux, Instructional Support Teacher (“IST”) Jane Jones, Reading Specialist Harris, and the general education teachers from each grade level. The complete RTI assessment results and related graphs were not given to parents.
M.M. V. LAFAYETTE SCH. DIST. 7
That same year, C.M. began kindergarten at Lafayette Elementary School when he was six years old. Through RTI, the District identified C.M. as in need of reading intervention and began providing him additional instruction, which continued throughout his kindergarten year and into the following summer via a special summer class. Specifically, C.M.’s DIBELS results during his kindergarten year placed him at benchmark in Phoneme Segmentation Fluency but below benchmark in Initial Sound Fluency, Letter Naming Fluency, and Nonsense Word Fluency. His kindergarten report card indicated some areas in reading and writing where he met grade level standard and some areas where he was approaching grade level standard.
In first grade, C.M. continued to receive reading intervention. In October, his parents submitted a written request to the District to perform an evaluation of C.M. for learning disabilities. The District convened two Student Study Team (“SST”) meetings with the parents in November and February before referring C.M. for the special education evaluation. The SST meeting notes referenced in narrative form C.M.’s difficulties, the parents’ and teachers’ concerns, and the interventions he was receiving. C.M.’s RTI data graphs were not reviewed during the SST meetings, and the February meeting notes reference only his mid-year SORT score and his overall DIBELS Strategic rating, which denotes a below benchmark rating.
The District eventually completed a special education Assessment Plan on February 20, 2007, and on that same day obtained E.M.’s consent to move forward with the initial evaluation. The District conducted the evaluation in March and April, which included an educational readiness assessment by IST Jones and intellectual development and
8 M.M. V. LAFAYETTE SCH. DIST.
developmental history assessments by School Psychologist Intern Michelle Charpentier. Although the Assessment Plan also included social/emotional and motor/perceptual development assessments those assessments were not performed.
The District emailed the assessment results to C.M.’s parents on April 17, 2007, and held the first meeting of C.M.’s IEP team the following day. Based on the evaluation, the IEP team, which included the parents, determined C.M. was eligible for special education because he had a phonological processing disorder.1 A phonological processing disorder is one subset of an auditory processing disorder and relates specifically to the phonemic awareness pillar of reading,2 which “refers to a person’s ability to detect and access the sound structure of language.” Based on this eligibility determination, the IEP team developed an education program in which C.M. would begin participating in the school’s Instructional Support Program (“ISP”), receiving instruction in language arts from IST Jones for 45 minutes a day, four times a week, to help him with his difficulties in reading and writing. The IEP team meeting lasted approximately 30 to 45 minutes.
1 C.M.’s Specific Learning Disability Eligibility Summary form, which commemorates his eligibility determination, provides a list for the IEP team to mark which particular Processing Disorder a child may have. The list included: Attention, Auditory Processing, Phonological Processing, Visual Processing, Working Memory, Sensory-Motor Skills, Cognitive Abilities, and Executive Functioning. 2 The five pillars of reading are phonemic awareness, decoding, fluency, comprehension, and vocabulary. M.M. V. LAFAYETTE SCH. DIST. 9 C.M. participated in the ISP for the remainder of his first grade year, and at the end of the year, his DIBELS results placed him above benchmark in Phoneme Segmentation Fluency but below benchmark in Nonsense Word Fluency and Oral Reading Fluency. His first grade report card indicated he was below grade level standard in reading and approaching grade level standard in writing. In second grade, C.M. continued to participate in the ISP. In late November, his parents obtained a private evaluation from Doctor of Audiology Dimitra Loomos. Dr. Loomos’s evaluation revealed that C.M. had a central auditory processing disorder (“CAPD”) that was related to his learning disability. Auditory processing “is defined as the execution and coordination of specific auditory mechanisms in an interactive manner . . . that allows the central nervous system to detect, decode, synthesize and interpret auditory information.” Similar to the DIBELS assessment, C.M. demonstrated good phonemic awareness as well as good auditory discrimination, auditory closure, auditory figure/ground ability, and auditory attention. Conversely, C.M.’s performance showed “a deficit for integrating auditory information within the central auditory nervous system. . . [and] in the ability to perform binaural separation of auditory signals.” Dr. Loomos explains in her report that “[b]ecause we view the world simultaneously through the individual senses, we are constantly working to fit all the pieces together in order to get the whole picture. If the central nervous system is not properly integrating the auditory input with other sensory input (visual, tactile, etc.), the child ends up with an 10 M.M. V. LAFAYETTE SCH. DIST. incomplete puzzle . . . . Children displaying signs of poor integration skills on CAP tests may also demonstrate deficits in auditory-visual and/or visual-motor integration skills (e.g. writing, reading recognition, spelling, etc.).” Dr. Loomos made a number of recommendations for C.M. in terms of environmental modifications, direct interventions, and compensatory strategies. C.M.’s second grade teacher, Jody Carson, was aware of Dr. Loomos’s evaluation because she completed a report for Dr. Loomos, and E.M. gave a copy of the final evaluation report to Ms. Carson, IST Jones, and the school front desk when school resumed after the holiday break. As of February, C.M.’s RTI SORT scores were declining. On March, 18, 2008, the District convened C.M.’s first annual IEP review meeting, and the IEP team developed a renewed IEP. However, the new IEP was not only identical to the previous IEP, it also failed to reference C.M.’s CAPD or provide for any modifications or accommodations to address his unique deficits. C.M.’s parents consented to the renewed IEP. About one week later, the parents received the final evaluation report for another private evaluation they obtained from Speech-Language Pathologist Deborah Swain, which found that C.M. “experiences a range from average ability to significant difficulty with specific skills of auditory- based language processing.” Thus, throughout the spring, the parents paid for C.M. to attend sound-based therapy, and conversations between E.M. and C.M.’s teachers were ongoing concerning C.M.’s CAPD and the recommendations contained in both evaluation reports. In May, an informal meeting was held at the parents’ request to discuss C.M.’s need for a speech and language M.M. V. LAFAYETTE SCH. DIST. 11 assessment and clarification of the IEP to address C.M.’s CAPD. No amendments were made to the IEP. By the end of his second grade year, C.M. scored Below Basic in language arts on a state standardized test, which was shared with his parents. His DIBELS results placed him below benchmark in Oral Reading Fluency. His second grade report card indicated he was below grade level standard in both reading and writing. Three weeks into C.M.’s third grade year, on September 17, 2008, the District convened an interim IEP team meeting at the parents’ request to discuss, inter alia, their concern over his lack of meaningful academic progress, the need for improved goals and objectives in the IEP, and amendments to the IEP to better address C.M.’s CAPD. At the meeting, the parents also advised the District that they disagreed with the 2007 Assessment results, and later that day they requested in writing an independent educational evaluation (“IEE”) at the District’s expense.[3] For two months, the District did not respond to the IEE request and instead sought the parents’ consent to reevaluate C.M., but the parents did not consent and they did not withdraw their request for an IEE. In December, the parents obtained an evaluation at their own expense by Licensed Psychologist Tina Guterman. Dr. Guterman’s educational evaluation, which included a review of C.M.’s prior evaluations and background, found that C.M.
[*1]In conducting the initial evaluation, the school district must “use a variety of assessment tools and strategies to gather relevant functional, developmental, and academic information” to determine both whether the child is a child with a disability and the content of the child’s IEP. 20 U.S.C. § 1414(b)(2)(A); accord 34 C.F.R. § 300.304(b)(1). The agency “shall not use any single measure or assessment as the sole criterion” for determining eligibility. 20 U.S.C. § 1414(b)(2)(B); accord 34 C.F.R. § 300.304(b)(2). In 2004, in response to scientific research establishing “that the ‘severe discrepancy model’ is not necessarily a good indicator of whether a child has a learning disability,” Congress eliminated the “severe discrepancy” requirement and expressly permitted use of the “response to intervention model,” allowing for either model to be used. Michael P. v. Dept. of Educ., 656 F.3d 1057, 1060–61 (9th Cir. 2011). See also 20 U.S.C. § 1414(b)(6) (“when determining whether a child has a specific learning disability . . . a local educational agency shall not be required to take into consideration whether a child has a severe discrepancy . . . [and] may use a process that determines if the child responds to scientific, research-based intervention as a part of the evaluation procedures”). We held in Michael P. that the Hawaii Department of Education violated the IDEA by using only the
18 M.M. V. LAFAYETTE SCH. DIST. severe discrepancy model without permitting use of the response to intervention model. 656 F.3d at 1067.
Here, although the District had the choice, it used the severe discrepancy model for C.M.’s initial evaluation. To the extent the District argues it used solely the severe discrepancy model, the District would have violated the IDEA. Id. However, the record reflects that the District not only used a variety of assessment tools, but it also used C.M.’s RTI data to corroborate the 2007 Assessment. C.M.’s Eligibility Summary form noted that his “learning problem [was] corroborated by other assessment data.” School Psychologist Patrick Gargiulo testified, while referencing that form, that “[w]e noted that the Student had been participating in response to intervention,” and that the RTI data was the corroborating data. Thus, the District properly used a variety of tools, including C.M.’s RTI assessment data.
The parents argue that the IEP team was required to review the RTI data as part of the initial evaluation, citing 20 U.S.C. § 1414(c)(1). That section provides that “[a]s part of an initial evaluation (if appropriate) and as part of any reevaluation under this section, the IEP Team and other qualified professionals, as appropriate, shall review existing evaluation data on the child, including . . . current classroom-based, local, or State assessments” to “identify what additional data, if any, are needed” to determine eligibility or other needs. The qualifier “if appropriate,” negates an express statutory requirement to review existing evaluation data as a part of the initial evaluation. We therefore conclude that the District did not procedurally violate the IDEA with respect to C.M.’s RTI data and the 2007 Assessment.
M.M. V. LAFAYETTE SCH. DIST. 19 The District violated the IDEA by failing to ensure that the RTI data was documented and carefully considered by the entire IEP team and failing to furnish the parents with the data, thereby making the parents unable to give informed consent for both the initial evaluation and the special education services C.M. received.
[*2]“In interpreting evaluation data for the purpose of determining [both] if a child is a child with a disability . . . and the educational needs of the child, each public agency must [d]raw upon information from a variety of sources, including aptitude and achievement tests, parent input, and teacher recommendations, as well as information about the child’s physical condition, social or cultural background, and adaptive behavior; and [e]nsure that information obtained from all of these sources is documented and carefully considered.” 34 C.F.R. § 300.306(c)(1) (emphasis added).
The District argues it drew upon a variety of sources and ensured the documentation and consideration of all information. As we have noted, the District drew upon a variety of sources, including C.M.’s RTI data. However, the record shows that the District failed to ensure that the RTI data was documented and carefully considered by the entire IEP team. Although C.M.’s Eligibility Summary form noted corroboration of his RTI data, the form also directs, “Attach documentation.” The District failed to attach or otherwise share with the entire IEP team any RTI documentation. Dr. Sassone testified that the documentation that should have been attached was the SST meeting notes that the parents already received. However, an email in which she instructed District staff to both attach the missing RTI documentation to
20 M.M. V. LAFAYETTE SCH. DIST. the form and provide her with better copies of the SST meeting notes conflicts with her testimony.
Additionally, “[u]pon completion of the administration and other evaluation measures, a copy of the evaluation report and the documentation of determination of eligibility shall be given to the parent.” 20 U.S.C. §§ 1414(b)(4)(B); accord 34 C.F.R. § 300.306(a)(2) (and “at no cost to the parent”). The “documentation of the determination of eligibility” must contain a number of particular statements. The first relevant statement is “[t]he basis for making the determination, including an assurance that the determination has been made in accordance with § 300.306(c)(1).” 34 C.F.R. § 300.311(a)(2). The second relevant statement comes into play “[i]f the child has participated in a process that assesses the child’s response to scientific, research-based intervention” and requires a statement of “[t]he instructional strategies used and the student-centered data collected; and [t]he documentation that the child’s parents were notified about” certain state policies, strategies to increase the child’s learning rate, and the parent’s right to request an evaluation. 34 C.F.R. § 300.311(a)(7).
The District argues first that § 300.311 requires only a statement, not documentation, and that it provided such a statement. The regulation does require only a statement, and the Eligibility Summary form does provide a statement that the determination is in accordance with § 300.306, to satisfy § 300.311(a)(2). As for § 300.311(a)(7), the form provides statements that C.M. participated in RTI and that there was corroboration with other assessment data, and it provides a statement covering all documentation of which the parents were notified. However, it does not include a statement of
M.M. V. LAFAYETTE SCH. DIST. 21 the instructional strategies used and the student-centered data collected.[5]
The District argues that § 300.311(a)(7) is only applicable if RTI was used to determine C.M.’s eligibility, it did not use an RTI method to determine C.M.’s eligibility, and neither of the formal evaluations relied on the RTI data. However, the District fails to cite to any authority establishing that § 300.311(a)(7) is limited to when RTI was used to determine eligibility, and the regulation conditions a statement if the child participated in a “process that assesses the child,” not a process that determines the child’s eligibility. That C.M. participated in RTI assessments and the severe discrepancy model was corroborated by C.M.’s RTI data is sufficient to deem the data applicable to the regulation. Dr. Sassone testified that she cannot say that the RTI that C.M. participated in would be the same as the scientific, research-