Richmond v JA Croson Company Brief of Amicus Curiae Supporting Appellee
Public Court Documents
June 1, 1988

19 pages
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Brief Collection, LDF Court Filings. Richmond v JA Croson Company Brief of Amicus Curiae Supporting Appellee, 1988. 07a9fb43-c29a-ee11-be36-6045bdeb8873. LDF Archives, Thurgood Marshall Institute. https://ldfrecollection.org/archives/archives-search/archives-item/6ac0cb23-1dbc-4dd4-8ffd-d5a9da2a8b74/richmond-v-ja-croson-company-brief-of-amicus-curiae-supporting-appellee. Accessed April 27, 2025.
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No. 87-99* 3n ttjc Supreme Court of tftc ®mteb stated O ctober T erm , 1987 C ity of R ichm ond , appellant v. J.A. C roson Company ON APPEAL FROM THE UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT BRIEF FOR THE UNITED STATES AS AMICUS CURIAE SUPPORTING APPELLEE Charles Fried Solicitor General Wm. Bradford Reynolds Assistant Attorney General Donald B. Ayer Deputy Solicitor General Roger Clegg Deputy Assistant Attorney General Glen D. Nager Assistant to the Solicitor General David K. Flynn Michael P. Socarras A ttorneys Department o f Justice Washington, D.C. 20530 (202) 633-2217 01 I SI ION PRESENTED Whether the Riehmoiul eity ordinance, which retinites every nonminorily prime construetion contractor to subcontract at least 30"/o of the value of its eity contracts to minority business enterprises, violates the Equal Protection C lause of the four teenth Amendment. FABLE OF CON I I N I s Page Inieresl ol I he United S l a t e s ............................................................. ^ Statement .............................................................................................. 1 Summary of a rg u m e n t .................................................................. Argument: The Richmond city ordinance, which requires every non minority prime construction contractor to subcontract at least 30% of the value of its city contracts to minority business enterprises, violates the Equal Protection Clause of the Fourteenth Amendment A. l aws which classify on the basis ol race should be sustained only if “narrowly tailored” to achieve a “compelling” interest, regardless of the identity ol the plaintiff challenging them or the purpose for which they are a d o p te d .................................................................. B. Appellant’s ordinance is not “narrowly tailored to the accomplishment of a “compelling” governmental purpose ................................................................................. *' C. The Court’s decision in F ulldovedoes not support the constitutionality of this MBE preference ordinance 25 Conclusion ............................................................................................ TABLE OF AUTHORITIES Cases: Associated Gen. Contractors v. City <* C ounty o f San Francisco, 813 F.2d 922 (9th Cir. 1987) 23, 28 Brown v. Board oJF duc., 347 U.S 483 (1954) 8, 14 City o f New Orleans v. Dukes, 427 U.S. 297 (1976) 15 City o j Renton v. Playtime Theatres, Inc., 475 U.S. 41 (1 9 8 6 ) .......................................................................................... 21 De funis v. Odeyaard, 416 U.S. 312 (1974) ............................. '5 Dot hard v. Rawlinson, 433 U.S. 321 (1977) 20 Full,love v. Klutzntck, 448 U.S. 448 (1980) pusstm General Bldy. Contractors A ss ’n v. Pennsylvania, 458 U.S. 375 (1982 ) ......................................................................... 20 (III) IV Cases —Continued: Page (Iriggs v . Duke Ptnver Co., 401 U.S. 424 (1971) 20 Hampton v. M ow Sun ( i ong, 426 U.S. 88(1976) 28 Hazelwood School Pisi. v. United States, 433 U.S. 299 (1 9 7 7 ) .......................................................................................... IH Heart o) A tlanta Motel, Inc. v. United States, 379 U.S. 241 (1 9 6 4 ) ................................................................................. 14 Htrahavasht v . United Stales, 320U.S. 81 (1943)............... 9 Johnson v. Transportation Agency, No. 85-1129 (Mar. 25, 1987) .......................................................................................... 20, 23 Korematsu v. United Slates, 323 U.S. 2J4 (1944) ................. 8-9 l e e v . W ashington, 390 U.S. 333 (1968) ............................... 9 lo c a l 28. Sheet Metal W orkers' In t’l Ass'n v. EEOC, 478 U.S. 421 (1 9 8 6 ) ............................................................... 21, 22 lo v in g v. Virginia, 388 U.S. I (1967) ..................................... 8, 9 Mississippi Untv. fo r H omen v. Hogan, 458 U.S. 718 ( 1 9 8 2 ) .......................................................................................... 11 Patmore v. Sidoti, 466 U.S. 429 (1984 ) ................................. 8, 9 Parker v. l evy, 4 17 U .S. 733 (1974 ) ....................................... 25 Pasadena City lid. o f Educ. v. Spangler, 427 U.S. 424 (1 9 7 6 ) .......................................................................................... 20 Personnel Adm inistrator v. Eeenev, 442 U.S. 256 (1979) 13 Regents o f the Univ. of California v. Hukke, 438 U.S. 265 (1978) I, I I , 12, 14, 15-16 Roberts v. United Stales Javcees, 468 11 S. 609 (1984) 13-14 Runyon \ . Mc( rare, 427 U.S 160(1976) 17 Shelley v. Kraemer, 334 U.S. 1 (1948) II Strauderv. West \irgim a, I00U.S. 303 (1879) 8 Swann v. Charlotte-M ecklenburg lid. o f Educ., 402 U.S I (1 971 ) ............................................................................. 9 United Jewish Orgs. s. Carey, 430 U.S. 144 (1977) 9 United States s . Paradise, No. 85-999 (I eh. 25, 1987) 9, 10, II , 13, 21, 22 United Steelworkers v . M eber, 443 U.S. 193 (1979) 20 U ashington s . Davis, 426 U.S. 229(1976) 13, 20 Hvgant s . Jackson lid of Educ., 476 U S. 267 (1986) passim Vick Wo s . Hopkins, 118 U S. 356 (1886)............................ II V Constitution and statutes: U.S. Const.: Art. 1: § 8, Cl. I (Spending Clause)............................ 27 § 8, Cl. 3 (Commerce Clause).......................... 27 Amend. V (Due Process Clause).............................. 7, 27 Amend. XIII........................................................... 27 Amend. XIV (Equal Protection Clause)...................passim Civil Rights Act of 1964: Tit. VII, 42 U.S.C. 2000e el seq................................ 19, 20 42 U.S.C. 2000e 5(f)(1).................................... I Tit. IX, 42 U.S.C. 2000H-2..................................... I Public Works Employment Act of 1977, Pub. 1.. No. 95 28, 91 Slat. 116..................................................... 20 § 103, 91 Stat. 117.................................................. 25, 26 Voting Rights Act of 1965, § 5, 42 U.S.C. 1973c............ 9 42 U.S.C. 1981 .......................................................... 4, 20, 24 42 U.S.C. 1983 .............................................................. 4 Miscellaneous: Days, Fullilove, 96 Yale L.J. 453 (1987)......................... II The Federalist Ho. I0(C. Rossitered. 1961)................... 28 C. Wright & A. Miller, Federal Practice A Procedure (1971) ... 17 3!n ttje Supreme Court of ttje Huiteb state d Oc tober Term, 1987 No. 87-998 C ity oh R ichm ond , a p p e i.i ant V. J.A. C roson C om pany ON APPEAL PROM THE UNITED STATES COURT OE APPEALS TOR THE FOURTH CIRCUIT BRIEF FOR THE UNITED STATES AS AMICUS CURIAE SUPPORTING APPELLEE INTEREST OF THE UNITED STATES The United States is responsible for enforcing numerous statutes prohibiting discrimination on the basis of race or na tional origin (see, e.g., 42 U.S.C. 200()e-5(0(1)), and may in tervene in cases brought under the Fourteenth Amendment (see, e.g., 42 U.S.C. 200()h-2). The United States has in the past par ticipated both as a party and as an amicus curiae in cases pre senting constitutional claims of race discrimination. See, e.g., Regents o f I he Univ. o f California v. Rakke, 438 U.S. 265 (1978); Fullilove v. Klutznick, 448 U.S. 448 (1980); Wygant v. Jackson Bd. o f Educ., 476 U.S. 267 (1986). The Court recently invited the Solicitor General to present (he views of the United States in another case involving a constitutional challenge to a minority business enterprise program. See U K. Porter Co. v. Metropolitan Dade County, No. 87-1001. STATEMENT I. Appellant, the City of Richmond, Virginia, has a popula tion that is over 50% minority, of which blacks are by far the ( I ) 2 largest group (J.A. 12, 29; J.S. Supp. App. 207). In early 1983, appellant released a study indicating that, notwithstanding this heavy minority population, only two-thirds of one percent — 0.67% — of the value of the city’s construction contracts had been awarded or subcontracted to minority-owned businesses in the previous five years (J.A. 41, 43). In light ol this study, ap pellant’s City Council was asked to adopt an ordinance requir ing that 30% of its construction expenditures over the next live years be set aside for minority business enterprises (MBEs) (J.A. II; J.S. App. 2a). On April II, 1983, the City Council held a public hearing con cerning this proposed ordinance (J.A. II). Proponents of the ordinance argued that the city had “not reached a successful or an admirable goal in terms of minority participation” in public construction contracting (ibid.); that there was “evidence of general discrimination-at least discriminatory effect in the en tire industry — construction industry” (J.A. 15, 41); that local construction industry organizations in the city and state had few, if any, black members (J.A. 27-28, 34-35, 36-37, 39-40); and that, in a similar context, Congress enacted, and this Court upheld, a federal set-aside program for minority-owned businesses (J.A. 24, 25). Opponents of the ordinance argued that it would result in reduced competition and higher public construction costs (J.A. 1921); that it would violate both Virginia law anil the federal Constitution (J.A. 22-23); that the trade associations to which the proponents of the ordinance referred had not engaged in prior race discrimination (J.A. 20, .39); that comparisons between the percentage ol minorities in the city’s population and the percentage ol minority businesses receiving public construction funds were not probative of prior discrimination by either the city or the construction industry (J.A. 30); and that, since only 4.7% of the construction firms in the country are minority owned, minority owned subcontrac tors were not available or qualified in sullicient numbers to allow prime contractors to satisfy the 30% MBE participation requirement (J.A. .32-36). At the close of the hearing, the nine- member City C ouncil adopted the ordinance by a 6-2-1 vote (J.A. 49). 3 As adopted, the ordinance provides that “|a]ll contractors awarded construction contracts by the City shall subcontract at least thirty per cent of the contract to minority business enter prises” (J.S. Supp. App. 247). The ordinance defines an MBE to be a “business at least fifty-one per cent of which” is owned by “(c)itizens of the United Slates who are Blacks, Spanish speaking, Orientals, Indians, Eskimos, or Aleuts” (id. at 241-242 (italics deleted)). It allows the 30% MBE goal to be relaxed only “where a contractor can prove to the satisfaction of the director [of the city’s Department of General Services) that the requirements herein cannot be achieved” (id. at 247). And it characterizes itself as “remedial and * * * [as being) enacted for the purpose o[f[ promoting wider participation by minority business enterprises in the construction of public projects, either as general contractors or subcontractors” (id. at 248). By its terms, the ordinance expires on June 30, 1988 (ibid.). 2. In September 1983, appellant invited bids for the installa tion of stainless steel urinals and water closets in its jail (J.S. App. 2a). Appellee, J.A. Croson Company, a non-MBE plumb ing and heating contractor based in Ohio, was the only bidder on the contract (id. at 2a-3a; J.S. Supp. App. 119-120). In preparing its bid, appellee attempted to subcontract 30% of the value of the contract to MBEs (id. at 120-124). But only one MBE was interested in participating and that MBE was unable to provide a timely price quotation (id. at 124). Appellee therefore submitted its bid without achieving the requisite 30% MBE participation and, instead, requested that appellant waive the MBE goal for this contract (J.S. App. 3a). When the untimely minority subcontractor learned of ap pellee’s request for a waiver, however, it notified appellant that it could in fact provide the plumbing fixtures required by the contract’s specifications (J.S. Supp. App. 125). Appellant ac cordingly denied the requested waiver and directed appellee to submit a revised bid form (id. at 125-126). Appellee elected not to do so (J.S. App. 3a). Instead, it renewed its request for a waiver, arguing that, if it were required to use this minority sub 4 contractor, the cost ol the project would rise by $7,663.16 and its hid would have to rise along with it (ibid.). But appellant turned appellee down again, stating that the minority subcon tractor was qualified and that the bid could not be increased (ibid.). Appellant subsequently decided to rebid the contract (ibid.). 3. Shortly thereafter, appellee instituted this action for monetary and injunctive relief under 42 U.S.C . 1981 and 1983,' arguing that the 30% MBE participation requirement violated both Virginia competitive bidding law and the Equal Protection C lause of the Constitution (J.S. App. 3a; J.S. Supp. App. 4, 112-114). On the parties’ cross-motions for summary judgment, the district court ruled that the ordinance was consistent with both Virginia and federal law (id. at 112-232). On appeal, a divided panel of the Fourth C ircuit affirmed (id. at 1-109). On petition for a will of certiorari, however, this Court vacated the Fourth C ircuit’s judgment and remanded for further considera tion in light of Wyganl v. Jackson Od. o f kduc., 476 U.S. 267 (1986) (J.S. App. 3a). 4. On reconsideration, a divided panel of the Fourth Circuit reversed and remanded (J.S. App. Ia-26a). It found (id. at 4a) that “|t)he very infirmities which marked the preferential provi sion in IVvganl are present in this case.” hirst, the court determined (J.S. App. 6a-9a) that appellant had not established the predicate of prior discrimination by the city that (he court said is necessary for justifying a preference program as being remedial in nature. It noted that “|t]he debate, at the very end ol a five-hour council meeting, revealed no record of piior discrimination by the city in awarding public contracts, aside from some conclusory and highly general statements * * *" (id. at 6a). It added that “|t|he only other evidence purporting to show discrimination in the assignment of contracts |was the statistics) compar|ing| the percentage of minority contracts with the total number of minority residents 1 1 Appellee oiiginally brought the action in the C ircuil I'ourl of llie City ot Richmond, hul appellant later removed it to federal district court. See J.S. Supp. App. 113. I he court then consolidated the action with another suit against appellant See ui. at 129-138. 5 in the community” (ibid.)', but it found that such “|g)eneral population statistics suggest, if anything, more of a political than a remedial basis for the racial preference,” and that, after Wyganl, “this is exactly the kind of evidence that will not pass muster” (id. at 6a-7a). And it stated (id. at 8a-9a) that, if ap pellant “thought it was permissible simply to adopt the contract set-aside program upheld by [this) Court in Fullilove v. Klulz- nick, 448 U.S. 448 * * * (1980),” “it was in error” to do so, since “(n)ational findings do not alone establish the need for action in a particular locality.” Second, the court found (J.S. App. I la) that, even if the or dinance had a proper remedial predicate, it was “not narrowly tailored to that remedial goal,” as required by Wyganl. The court determined (ibid.) that “(tjhe thirty percent goal was chosen arbitrarily,” noting that “it was not tied * * * to a show ing that thirty percent of Richmond subcontractors are minority-owned.” It further found (ibid.) that “|i]he com petitive disadvantage is far greater than the thirty percent minimum set-aside suggests,” since, “(i)n many construction contracts, the dollar allocation among subcontractors will not break into a thirty percent block,” and, in such situations, the ordinance will “ ‘unnecessarily trammel the rights of innocent individuals directly and adversely affected by the plan’s racial preference’ ” (ibid, (citation omitted)). In addition, it found (id. at 12a) that “(he definition of minority-owned business is itself not narrowly tailored to the remedying of past discrimination,” noting that the definition in the ordinance “nearly duplicates the definition that drew fire in Wyganl” (ibid.), and stating that “(a) record of prior discrimination against blacks by a governmental unit would not justify a remedial plan that also favors other minority races” (ibid ). Finally, it found (id. at 12a-13a) that, while “the presence of an expiration date and a waiver provision may help to narrow the scope of a plan’s operation,” “|w)hether the Richmond plan will be retired or renewed in 1988 is * * * nothing more than speculation” and “the waiver here |does not) cure the constitutional defects defined by the Wyganl decisions,” since a waiver "is to be granted ‘only in exceptional circumstances’ and as a matter of administrative discretion.” 6 SIMMAHY Oh A K t . I M F M A. The ordinance at issue classifies on the basis of race and is therefore constitutionally suspect. The Court has, however, yet to reach a consensus on the appropriate constitutional analysis where race is used for remedial purposes. We believe that the Court should now hold that the standard of review ap plicable to remedial uses of race is the same as the standard of review applicable to non-remedial uses of such criteria — i.e., that the racial classification must be “narrowly tailored” to achieve a “compelling” governmental interest. The Equal Pro tection Clause is a guarantee of equality to all individuals. Ac cordingly, (he standard of justification for a racial classification should remain constant, regardless of the identity of the plain tiff or the articulated purpose of the classification. B. This ordinance does not serve a compelling governmen tal interest. The ordinance’s asserted interest in increasing MBE participation in local public construction projects is not, stand ing apart from any historical predicate justifying race con sciousness, a legitimate governmental interest at all, much less a compelling one. Nor can the ordinance be justified as a remedy for prior discriminatory actions. While a state or local govern ment has a compelling interest in remedying the effects of its own past and present discrimination, there is no basis for find ing that appellant has engaged in any such discrimination; in deed, appellant does not even claim that such evidence exists. Moreover, while a state or local government has a compelling interest in remedying the effects of identified unlawful actions by private parties, appellant has not identified any such illegal acts of discrimination. It has at most identified race-neutral conditions perpetuating the effects of past discrimination. Ac cordingly, the ordinance cannot be justified as a remedy for unlawful discrimination by others in the local construction in dustry. Even if appellant’s ordinance could be justified by reference to unidentified acts of discrimination in the local construction industry, it would still fail for lack of narrow tailoring. Ap pellant has never attempted to address the problem of low minority participation —whatever its causes may be —by race- 7 neutral means. Appellant might have considered revising its bid ding practices, adopting special advertising and outreach pro grams, authorizing special public financing, or providing train ing and certification for potential entrants to the industry. But it has not done so. Instead, it adopted a 30% set-aside that bears no relation to the percentage of qualified minority group members in the relevant pool of those able to participate as sub contractors. Its action imposes substantial burdens on non minority contractors for a five-year period. Concomitantly, it does not provide adequate mechanisms to relieve nonminority contractors of the program’s harsh effects, to relieve contractors with no history of discrimination of the program’s re quirements, or to disqualify MBEs that are not suffering the ef fects of prior discrimination from receiving the program’s benefits. C. The decision in Fullilove v. Klutznick, supra ̂ oes not in dicate that this ordinance is constitutional. The Court in Fullilove merely upheld the facial constitutionality of an MBE program, without addressing the constitutionality of any con crete application of that or any other MBE program. Moreover, the program upheld in Fullilove is in critical respects different from the program in issue here. And, finally, the Court rested its holding in Fullilove on the special authority and competence of Congress to address at a national level in broad-brush terms a problem of overriding national interest — i.e., the need to redress an unyielding pattern of discrimination against minority contractors in many parts of the nation. That overriding na tional interest was said to justify a federal statute touching the outer limits of congressional authority and constrained only by the Due Process Clause of the Fifth Amendment. It does not justify a racial classification by a city directly constrained by the Equal Protection Clause of the Fourteenth Amendment. 8 AIMilJMKNT I ||K Kl< HMOND C l I V ORDINANCE, WHICH REQUIRES KVKRY NONMINORIIY PRIME CONSTRUCTION CON- I RAC FOR TO SUBCONTRACT AT LEAST 30% OF THE value of its city contracts to minority BUSINESS ENTERPRISES, VIOLATES THE EQUAL PRO TECTION CLAUSE OF THE FOURTEENTH AMENDMENT Appellant contends that its ordinance requiring every non- minority prime construction contractor to subcontract at least 30% of the value of its city contracts to MBEs is consistent with the Equal Protection Clause of the Fourteenth Amendment. Based on our understanding of the scrutiny required by that Clause, the substantive constraints that the Clause imposes on state and local governments, and (he purposes and operation of this ordinance, we submit that this Court should reject ap pellant’s contention. A. Laws Which Classify On The Basis Of Race Should Be Sus tained Only If "Narrowly Tailored" To Achieve A “Compell ing" Interest, Regardless Of The Identity Of The Plaintiff Challenging Them Or The Purpose For Which They Are Adopted The ordinance at issue in this case gives a preference to black, Hispanic, Oriental, Indian, Eskimo, and Aleutian contractors. It plainly classifies on the basis of race and is thus in tension with the fundamental principles embodied in the Equal Protec tion Clause that skin color and national origin are generally in appropriate bases upon which to rest ollicial distinctions be tween people. Brown v. Board oj tduc., 347 U.S. 483, 493-495 (1954); Koremalsu v. United States, 323 U.S. 214, 216 (1944); Strauder v. West Virginia, I (HI U.S. 303, 307-308 (1879). Ac cordingly, under the Court’s modern equal protection cases, the ordinance is constitutionally suspect. See Patmore v. Sidoti, 466 U.S. 429, 432-433 (1984); Loving v. Virginia, 388 U.S. 1, 10-11 (1967). The Court has made clear, ol course, that, while suspect, government action based on race is not always constitutionally invalid. See, e g., Koremalsu v. United States, 323 U.S. 214 9 (1944); see also Lee v. Washington, 390 U.S. 333, 334 (1968) (Black, Harlan, Stewart, JJ., concurring). A court of equity may, for example, permissibly take race into account in remedy ing past acts of intentional, unlawful discrimination on the basis of race. See, e.g., United States v. Paradise, No. 85-999 (F eb. 25, 1987); Swann v. Charlotte-Mecklenburg Bd. o f Educ., 402 U.S. 1 (1971). Similarly, a competent governmental authority may permissibly take race into account in remedying its own identified history of prior illegal discrimination. See Wygant v. Jackson Bd. o f Educ., 476 U.S. 267, 277 (1986) (plurality opin ion). And a state may permissibly take race into account in en suring that its reapportionment plan complies with Section 5 ol the Voting Rights Act of 1965, 42 U.S.C. 1973c. See United Jewish Orgs. v. Carey, 430 U.S. 144, 160 (1977). But “ ‘[dis tinctions between citizens solely because of their ancestry’ * * * [are] ‘odious to a free people whose institutions are founded upon the doctrine of equality’ ” (Loving v. Virginia, 388 U.S. at 11, quoting Hirabayashi v. United States, 320 U.S. 81, 100 (1943)). And on that account, in many cases covering a wide- range of circumstances, the Court has unanimously ruled that, to pass constitutional muster, a law classifying on the basis of race or ethnicity ordinarily “must be justified by a compelling governmental interest and must be ‘necessary * * * to the ac complishment’ of [its] legitimate purpose” (Patmore v. Sidoti, 466 U.S. at 432-433 (citation omitted)). The Court, however, “has yet to reach consensus on the ap propriate constitutional analysis” to be applied where a race or ethnic classification is invoked to achieve a remedial purpose (United States v. Paradise, slip op. 14-15). Several Justices have said that the level of judicial scrutiny should not change in the remedial context and that even the remedial use of race or ethnicity must be “narrowly tailored” to the accomplishment ol a “compelling” governmental purpose. See Wygant v. Jackson Bd. o f Educ., 476 U.S. at 273-274 (plurality opinion); United States v. Paradise, slip op. I (O’Connor, J., dissenting, joined by the Chief Justice and Scalia, J.). Other Justices, by contrast, have said that, while elevated judicial scrutiny is necessary, the 10 “remedial use of race is permissible if it serves ‘important governmental objectives’ and is ‘substantially related to achieve ment of those objectives’ ” (Wygant v. Jackson Bd. o f Educ., 476 U S. at 301-302 (citation omitted) (Marshall, J., dissenting, joined by Brennan and Blackmun, JJ.)). The remaining Justices have not clearly settled on a standard of review for remedial uses of race.2 i jusiice Stevens lias rejected the argument that a district court’s remedial use of race must be "narrowly tailored to achieve a compelling governmental interest” {Untied States v. Paradise, slip op. 2 (Stevens, J., concurring in the judgment)) Hut he did so on the ground that equitable decrees of federal courts are ordinarily subject to an “abuse of discretion" standard and that “a uniform standa.d should govern our review of all such decrees entered by District Courts" {id at 6 7 n.4). At the same time Justice Stevens expressly recognized {ibid ) that the review of remedial court orders “is dramatically dif ferent from the question whether a statutory racial classification can be justified as a response to a past societal wrong.” He has indicated that, in the instance of statutory classifications, a more exacting level of judicial scrutiny is appropriate-one that ascertains whether the purpose ol the racial classification is constitutionally legitimate, whether the procedures used to adopt the ordinance were thorough and fair, whether the classification shows disrespect for, or imposes an unfair burden on, any person, and whether the classification is “narrowly tailored” to achieve its objective. See Hyganl v. Jackson Hd oj tduc.. 476 U S at 317 320 (Stevens, J., dissenting); Fulltlove v Klutznick. 44K U S. at 537-539, 548 554 (Stevens, J., dissenting). justice White has not clearly indicated the standard of review that he would apply to remedial uses ol race. Without specifying a standard of review, he has twice voted to hold invalid certain remedial uses of race by government. See Untied States v. Paradise, slip op. I (While, J.. dissenting); Wygant v. Jackson Hd oj tduc.. 476 U S. at 294 295 (White, J., concurring in the judg ment). Hy contrast, in / till time \ klutznick. he voted to uphold the constitu tionality of an Mill prelerence enacted by Congress; but, in doing so, he joined with Cluel luslicc lluiger in declining (448 U S. at 491 492) to "adopt, either expressly ot implicitly, the formulas of analysis articulated in such cases as Kegenls ol the I ‘me. of ( alijornta v. Hakke. 438 U S. 265 (1978).’ And in Hakke. where he voted to uphold the constitutionality ol the affirmative ac tion measure in issue. Justice White joined (438 U S. at 387 n 7) both Part III A of Justice Powell's opinion, which said that all uses of race by govern ment must be subjected to the strictest ol judicial scrutiny (438 U.S. at 287 291), and Jusiice Brennan's opinion, which indicated that the remedial use of race by government may be sustained tl n is “substantially related to II The lower courts need guidance on this issue and, lor I he reasons set forth in our Wygant brief (at 9-22),’ we believe that the Court should now hold that the standard of review of racial or ethnic statutory classifications is the same regardless of the purpose underlying il or the groups at which it is directed — i.e., the racial or ethnic classification must be “narrowly tailored” to the accomplishment of a “compelling governmental interest.” That a governmental classification has a remedial objective may make the classification more likely to withstand judicial scrutiny, but the level of judicial scrutiny should not change. Accord Mississippi Univ. for Women v. Hogan, 458 U.S. 718, 724 n.9 (1982); Wygant v. Jackson Bd. o f Educ., 476 U.S. at 285-286 (O’Connor, J., concurring). The Equal Protection Clause is a guarantee of equality to all individuals. See Shelley v. Kraemer, 334 U.S. 1, 22 (1948); Yick Wo v. Hopkins. 118 U.S. 356, 369 (1886). “If it is the individual who is entitled to judicial protection against classifications based on his racial or ethnic background because such distinctions impinge upon per sonal rights, rather than the individual only because of his membership in a particular group, then * * * (he standard of justification [should] remain constant” (Regents o f the Univ. o f California v. Bakke, 438 U.S. at 299 (opinion of Powell, J.)). Accord Wygant v. Jackson Bd. o f Educ., 476 U.S. at 273-274 (plurality opinion); cf. United Stales v. Paradise, slip op. 7 n.4 (Stevens, J., concurring in the judgment) (“a uniform standard should govern our review of the merits of an equal protection claim”). See generally Days, Fullilove, 96 Yale L..J. 453 (1987). B. Appellant’s Ordinance Is Not “Narrowly Tailored" To I lie Accomplishment Of A “Compelling” Governmental Purpose The question for decision in this case, therefore, has two components: first, whether any “compelling” governmen tal interest on appellant’s part may reasonably be found to * 1 the achievement of “important governmental objectives" (438 U.S. at 356-362). Justice Kennedy has yet to express an opinion concerning the standard ot review applicable to the remedial use ol race. 1 We are providing counsel for appellant and appellee with copies ol our Wvgant brief. 12 justify its MBF preference program; and, second, whether ap pellant’s MBF preference program is “narrowly tailored” to the accomplishment of that compelling governmental purpose. We submit that both of these questions should be answered in (he negative. I Three justifications have been offered for this ordinance. First, the ordinance itself proclaims that it is “remedial and is enacted for the purpose or (v/cj promoting wider participation by minority business enterprises in the construction of public projects, either as general contractors or_subcontractors” (J.S. Supp. App. 248). Second, the dissent below and at least one of appellant’s amici suggest (J.S. App. 18a-2la; Lawyers Comm. For Civil Rights Under Law, el al. Br. 22-24) that the ordinance can be justified as a remedy for the city’s own prior discrimina tion in the awarding of public construction contracts. Finally, appellant argues (Br. 20-33) that the ordinance is a remedy for the effects of prior discrimination in the local construction in dustry. On the record as it stands, none of these asserted in terests is sufficient to sustain this racial classification. a. The interest in increasing MBE participation in the con struction of public projects is not, standing apart from any historical predicate justifying race consciousness, a legitimate governmental interest, much less a compelling one. While the government has a legitimate interest in ensuring equal access of all races to construction projects involving public funds, and in remedying prior identified discrimination, it has no legitimate interest in ensuring —as an end in itsell—any specific represen tation of minorities in the construction ol those projects. As Justice Powell explained in Bakke (438 U.S. at 307), “If (ap pellant’s] purpose is to assure within its (local construction in dustry) some specilied percentage ol a particular group merely because of its race or ethnic origin, such a preferential purpose must be rejected not as insubstantial but as facially invalid. Preferring members ol any one group lor no reason other than race or ethnic origin is discrimination lor its own sake. 1 his the Constitution forbids." b. Nor can this ordinance be justified as a remedy for ap pellant’s own prior discriminatory actions. To be sure, a slate or local government has a compelling interest in remedying its own 13 past and present discrimination. See United Stales v. Paradise, slip op. 15; Wygant v. Jackson Bd. o f Educ., 476 U.S. at 274 (plurality opinion); id. at 288-294 (O’Connor, J., concurring). But no basis has been offered for finding that appellant has engaged in any such discrimination. The ordinance does not say that it is a remedy for prior discrimination by the city or identity any basis for believing that such discrimination has occurred. Nor did the members of the City Council in debating the or dinance refer to any instances of prior or present discrimination by the city. See, e.g., J.A. 15-16. And, most importantly, the record does not provide “convincing evidence that remedial ac tion is warranted” to correct discrimination in the city’s awards of public construction contracts. Wygant, 476 U.S. at 277. Nor does even appellant itself suggest a basis for a contrary conclu sion.4 c. Rather, appellant argues (Br. 19-20) that the ordinance is a remedy for discrimination that is attributable to others-spe cifically, private firms in the local construction industry. While it is permissible for a state or local government, in appropriate circumstances, to seek to remedy unlawful discrimination by others, appellant has not identified the acts of unlawful dis crimination it is allegedly seeking to remedy. Accordingly, this race-based ordinance cannot be justified as a remedy for dis crimination by others. (1) State and local governments plainly have a legitimate in terest in preventing race discrimination and in remedying past and present discrimination. See Roberts v. United States 4 Amici plainly err in suggesting (see, e.g., l awyers’ C omm. lor C ivil Rights Under l aw, el al. Br. 13-15) that, where it purchases goods and services Irom firms in a particular industry, a city government may be held legally response hie for private disci unination occurring in that industry ol which it is awaic. Under the Equal Protection C lause, government may be held liable only tor intentionally discriminatory actions (Washington v. Davis, 426 U.S. 229 (1976)), and “ jd|iscrimmaiory purpose’ * * * implies more than intent as voli tion or intent as awareness of consequences.’ ” Personnel Administrator v. Feeney, 442 U.S. 256, 279 (1979). 14 Javcees, 468 U S. 609, 624 (1984).' Race discrimination deprives members ol the communities that those governments represent ol their individual dignity. Accord Heart o f Atlanta Motel. Inc. v. United States, 379 U.S. 241, 250 (1964). More over it denies the community as a whole the benelits associated with'wide participation by all persons in political, ec«nomtc, and cultural life. See Roberts v. United States Jaycees. 468 J. . at 625. Accordingly, since at least the time of Brown v Board o f I duc.. 347 U.S. 483 (1954), this Court has recognized the com pelling nature of the government’s interest “in ameliorating, or eliminating where feasible, the disabling effects of identified discrimination” (Regents o f the Untv. o f California v. Bakke 438 U S at 307 (opinion of Powell, J.)), whether that tden lined discrimination” is attributable to governmental or private parties. See Roberts v. United States Jayceess 461B 'U.S at 624 625; Wvgant v. Jackson Bd. o f Educ., 476 U. (plurality opinion). .. (2) On the other hand, the Court has been quite demanding regarding the showing that will serve as a predicate lor a racial classification that purports to remedy prior discrimination. As justices Powell and O’Connor have noted, the Court has never “held that societal discrimination alone is sufficient to justify a racial classification” ( Wygant v. Jackson Bd. o ftd u c ., 476 U.S. a. 274 (plurality opinion)). Id. a. 288 (O’Connor, J., concur ring). Societal discrimination is “an amorphous concept of in jury that may be ageless in its reach into the past” (Regents o f \he Univ. o f California v. Bakke. 438 U.S. at 307 (opinion of Powell, J.)). and “timeless in |itsl ability to affect the future (Wygant v Jackson Bd. o f Educ.. 476 U.S. a, 276 (plurality opinion)). It has “no logical stopping point, because it does no. necessarily bear a relationship to the harm caused by prior discriminatory * * * practices” (id. at 275, 276). Thus, while ' II Should bo Oinpliasj/cd lhill Robert% is in sharp eonlrast in this oase. Koher,s .ho Minnesota Human Kigh.s Ac, la. horn authorizing special treal- mcm on .ho b a s is ol race o, gende.. piolnb.icd any snob discrimination. and so as a remedy tor a p.esiously esisimg pa.iern o. d.scrmnna.ory ireai- inenl. 468 U.S. at 623 624 15 there is no “doubt[ ) that there has been serious racial discrimination in this country,” a plurality of four Justices in Wygant held that, “as the basis for imposing discriminatory legal remedies that work against innocent people, societal discrimination is insufficient and overexpansive” (id. at 276 (emphasis in original)). And while Justice White did not join the plurality’s opinion, there is reason to believe that he agreed with the plurality on this point. See id. at 295 (White, J., concurring in the judgment) (”[n]one of the interests asserted by the [government), singly or together, justified! thlel racially discriminatory layoff policy and save[d] it from the strictures of the Equal Protection Clause”). (3) No opinion of this Court has explicitly defined the distinction between “societal discrimination,” which is insuffi cient to justify a racial remedy,6 and the kind of prior discrimination proof of which will justify recourse to a racial remedy Since, however, that distinction has received particular emphasis in opinions of Justice Powell, it is not surprising that those opinions also provide the doctrinal basis for the distinc tion- . „ . . . In Bakke. Justice Powell argued that this Court has never approved a classification that aids persons perceived as members of relatively victimized groups at the expense of other innocent individuals in the absence of judicial, legislative, or ad ministrative. findings of constitutional or statutory violations (438 U.S. at 307). He explained (id. at 307-308) that “[ajfter such findings have been made, the governmental interest in pre ferring members of the injured groups at the expense of others is substantial, since the legal rights of the victims must be vin dicated. In such a case, the extent of the injury and the conse quent remedy will have been judicially, legislatively, or admini stratively defined.” He added that “[w|ithout such findings of constitutional or statutory violations, it cannot be said that the ‘ Societal discrimination would, no doubt, provide a legitimate justification for a non-race based mechanism that is rationally connected lo us remedial goal See generally O f , o f New Orleans v. Pages. 427 U.S. 297 ,.976,; c . Defunis v. Odegaard. 416 U.S. 312. 337 340 (1974) (Douglas, J.. dissenting). 16 government has any greater interest in helping one individual than in refraining from harming another” (id. at 308-309 (foot note omitted)). This conclusion is necessary, Justice Powell slated, because “(t)o hold otherwise would be to convert a remedy heretofore reserved for violations ot legal rights into a privilege that all institutions throughout the Nation could grant at their pleasure to whatever groups are perceived as victims of societal discrimination. That is a step [the Court) ha|s] never ap proved” (id. at 310). Justice Powell’s concurring opinion in Fullilove reiterated (448 U S. at 497) that “this Court has'never approved race conscious remedies absent judicial, administrative, or legislative findings of constitutional or statutory violations.” And he added (id. at 498) that “|b|ecause the distinction between per missible remedial action and impermissible racial preference rests on the existence of a constitutional or statutory violation, the legitimate interest in creating a race-conscious remedy is not compelling unless an appropriate governmental authority has found that such a violation has occurred. The plurality opinion in Wygant also appears to rest on this theme. It rejected the effort of a public school board to justify its race-based layoffs by reference to the effects ol prior societal discrimination. 476 U.S. at 274-276. It stated that such a racial classification can be justified only if the public employer has “sufficient evidence to justify the conclusion that there has been prior discrimination” inconsistent with the Constitution (id. at 277). Without such evidence, the opinion added, the public employer would simply be attempting to remedy prior “societal discrimination,” and that is not a compelling justification for a racial classification (id. at 277-278). (4) In short, under (he view explicitly adopted by four Justices in Wyxant, and quite possibly adhered to by Justice White as well, a racial classification can be justified as a remedy for prior discrimination, and thus satisfy scrutiny under the Liqual Protection Clause, only if a prior history of unlawful discriminatory action, whose effects are to be remedied, has been identified with some particularity. Appellant has not done 17 so. Assuming for purposes of this case that a private person’s racially-motivated refusal to contract with a minority-owned construction firm is unlawful (see Appellant Br. 30-31 & n.53, citing Runyon v. McCrary, 427 U.S. 160 (1976)), appellant has nonetheless failed to identify a single such act of discrimination.7 Appellant responds (Br. 20-21) that the substantial disparity between the percentage of city contracts awarded to minority businesses and the percentage of minorities in Richmond is evi dence of discrimination.8 But, for all that has been shown, that disparity is the result of many discrete and isolated decisions by many actors exercising their independent and unrelated authori ty to determine where to allocate scarce resources and capital-e .g ., city contracting officers awarding contracts, prime contractors entering into subcontracts, banks and bond ing officers issuing loans and providing bonds, and minority and non-minority subcontractors seeking construction work. The simple percentage comparison advanced by appellant can not support a conclusion of discriminatory intent in those numerous separate decisions, each made in distinct cir cumstances and for numerous (and perhaps entirely lawful) reasons, none of which appellant has considered or analyzed. * • i Appellant errs in suggesting (Br. 27-28) that the district court made “find ings” with respect to past discrimination that may not be overturned on ap peal. The district court decided this case on cross-motions for summary judg ment and thus was in no position to, and did not, make any findings of disputed fact. SeeC. Wright & A. Miller, Federal Practice A Procedure § 2575 (1971). • At most, the claim sounds like the “societal discrimination” rejected in Wvftant. Just as an amorphous assertion of unspecified discrimination levelled at society at large suggests no “compelling" basis for remedial action, so, too, a similarly amorphous claim of unspecified discrimination levelled at a par ticular industry at large fails to warrant this sort of legislative attention. In deed, dispensing with the requirement for some measure of identification ol past discrimination eviscerates the correlative requirement that the remedy tor such discrimination he narrowly tailored. 18 Appellant’s statistics are fundamentally defective in another sense as well. There is no reason to suppose that the racial com position of the relevant market of those available to undertake work as contractors and subcontractors in any way reflects the minority-nonminority breakdown of the population of Rich mond. Construction is a skilled trade, and participation in con struction contracting is limited by a bidder’s ability, among other things, to obtain working capital, to meet bonding re quirements, to follow bidding procedures, and to demonstrate an adequate “track record." The general population is not qualified to bid on and participate in public (or private) con struction contracts. General population figures therefore pro vide no basis for interring prior intentional discrimination by the industry, much less by any particular firm or firms in the in dustry. See Hazelwood School Disl. v. United States, 433 U.S. 299, 308 n. 13 (1977). And, of course, if it is only this differential capacity that the city is seeking to remedy, then we are back again to societal discrimination. furthermore, construction contractors and subcontractors from outside ol the City ol Richmond, including appellee, which is an Ohio-based firm, apparently bid on and receive city construction contracts. The minority population outside of the City of Richmond is, however, much lower than either ap pellant’s 50% minority population figure or its 30% MBE par ticipation goal. Thus, even if general population figures were relevant, the Richmond city figures would not be the ap propriate ones for use in a meaningful statistical comparison. Appellant’s testimonial evidence (Br. 23-27) provides no sounder basis foi the city’s program. The record reveals only “some conclusory and highly general statements made by a member of the public, a City Council member who supported the plan, and the City Manager” (J.S. App. 6a). The member of the public who testified about discrimination was not even involved in the construction industry (ibid.). I he C ity Council member neither cited specific instances ol discrimination nor 19 identified any perpetrators or victims. And the “City Manager’s comments mainly had to do with the city of Pittsburgh” (ibid.). “Such meager evidence is not a sufficient finding of prior discrimination” by anyone (ibid ), much less by an entire in dustry. Appellant cannot escape these deficiencies in its evidentiary base by noting (Br. 21-22) that the local construction industry trade associations have few, if any, black members. The record does not indicate that blacks have ever attempted to join these other industry organizations; that they have been denied membership because of their race; or that they have failed to ap ply because they reasonably believed that they would be denied membership because of their race. On the contrary, the record indicates that only 4.7% of the construction firms in the coun try are minority-owned, and that 41 % of these firms are concen trated in California, Illinois, New York, Florida, and Hawaii (J.A. 35). In these circumstances, one would not expect the various local trade associations to have many black members. There are not many black-owned construction firms to begin with, and these few firms have concentrated their business ac tivities elsewhere. Nor can appellant escape the deficiencies in its evidence by noting (Br. 22-24, 33-38) that minorities, having for many years been purposely excluded from employment in the construction industry (presumably also in the Richmond area), on that ac count now face barriers to entry in this field because they have been prevented from obtaining the experience necessary to start construction businesses. This is, again, the “societal discrimina tion” claim rejected by this Court. Moreover, any such inten tional discrimination in employment has been illegal since at least 1964 (see 42 U.S.C. 2()00e et seq ), and appellant provides no evidence of a substantial unremedied recurrence of this discrimination since that time. Furthermore, the unintentional perpetuation of the effects of this past discrimination, which may result from imposition of certain race-neutral criteria in the 20 selection of subcontractors — e.g., bonding requirements, ex perience requirements, working capital requirements-does not itself involve unlawful conduct (see General Bldg. Contractors Ass’n v. Pennsylvania, 458 U.S. 375 (1982) (no disparate impact claims under 42 U.S.C. 1981)), and thus provides no basis for a race-conscious remedy. See Wvgant v. Jackson Bd. o f Educ., 476 U.S. at 276 (plurality opinion); Pasadena City Bd. ofEduc. v. Spangler, 427 U.S. 424, 434-439 (1976).’ Finally, appellant cannot properly justify its ordinance by reference (Br. 25-26) to the national paUern of discrimination that Congress identified and relied upon in enacting the 10% MBE participation requirement of the Public Works Employ ment Act of 1977 (PWEA), Pub. L. No. 95-28, 91 Stat. 116, which this Court upheld in Eullilove v. Klutznick, supra. The fact that Congress found a national pattern of discrimination in the construction industry does not absolve particular localities wishing to adopt race-conscious relief from identifying such discrimination in their areas. Moreover, as we read Lullilove, the fact that Congress in 1977 enacted a national program pro viding a basis for race-conscious relief for prior discrimination * I « By contrast, certain employment practices which have a disparate impact may constitute a violation ol I tile VII, even though no discriminatory intent is shown See Grims v. Duke /'.over Or., 401 U.S. 424 (1971). United Steel worker, v. W eber, 443 U.S. 193, 209 (1979); Dolhardv. Rawlmson, 433 U.S. 321 330 (1977) 1 lie same is not generally true outside the Title VII context. See Washington v. Dims. 426 U.S. 229 (1976) (Equal Protection Clause); (,enerul Bldg ( onlractors A vs '/i v. Pennsylvania. 458 U .S. 375 (1982) (Section 1981). , Appellant errs in suggesting (B, 30-31 n.53, 34-38) that the reasoning of cases decided under I ille VII of the Civil Rights Act of 1964, 42 U.S.C. 2000e el seif. - such as Johnson v. Transportation Agency. No. 85 1129 (Mar. 25, I9 g 7 )_ justify its race-based actions. Those cases merely address the per missibility of certain race conscious actions by employers which may escape I he strictu.es contained m Title i’ll, those cases do not address the per missibility of race-conscious action by employers in light of the prohibitions contained the Equal I'ro.ec.ion Clause. While I ille VII and the Equal Pro tection Clause promote certain common objectives, this Court does “not regard as identical the constraints of I ille VII and the federal constitution on voluntarily adopted affirmative action plans” (Johnson v. Transportation Agency, slip op 14) 21 in the construction industry-with particular applications being justified case-by-case, on the basis of local history and cir cumstances (see Eullilove, 448 U.S. at 470-471) —does not of itself establish that there were discriminatory effects remaining in 1983 sufficient without more to justify the additional race conscious remedy adopted here. Appellant has thus not shown that it was reasonable to rely in 1983 in Richmond on Congress’s national findings made in 1977. See City o f Renton v. Playtime Theatres, Inc., 475 U.S. 41, 51-52 (1986) (government may rely on studies by other governments that are “reasonably” applied in its particular context). In particular, there is no basis for con cluding that there were actual acts of unlawful discrimination whose effects remained uncorrected.10 2. Of course, even if appellant’s ordinance could be justified by general reference to unspecified acts of discrimination in the local construction industry, it would still need to be “narrowly tailored” as necessary to remedy that alleged discrimination. The Court has indicated that, in determining whether a remedy is narrowly tailored, a number of factors are relevant: the necessity for the relief and the efficacy of alternative remedies; the relationship of any numerical requirements to available minority members in the relevant market; the effect of the remedy on third-persons; the planned duration of the remedy; and the availability of meaningful waiver provisions. Of these, surely the Crucial factor should be that non-race-specific remedies have been or clearly would be unavailing. See United States v. Paradise, slip op. 19 (plurality opinion); Local 28, Sheet Metal Workers Int’l Ass’n v. EEOC, 478 U.S. 421, 475-481 (1986) (plurality opinion). Consideration of these fac- lu Requiring slate or local governments to establish these (acts by firm evidence —either contemporaneously or by proof at trial —will not discourage voluntary action by government to remedy violations of law. C l. W vgant v. Jackson Bd. o f Educ.. 476 U.S. al 290-293 (O'Connor, J., concurring). In these circumstances, government is not trapped between liability to minorities if affirmative action is not taken to remedy the apparent discrimination and liability to nonminorities if affirmative action is taken. Cf. ibid. It is the ac tions of non governmental actors that are in question and thus the government need not be concerned about its own liability at all. 22 tors indicates that appellant’s ordinance is not “narrowly tailored" to the accomplishment of its purported objective. Appellant has no basis lor suggesting either that its race- based ordinance was necessary or that race-neutral alternatives were unavailable. The record does not indicate that appellant ever considered, much less tried, less intrusive means of remedy ing any effects of the alleged prior discrimination in the local construction industry. There is no indication that appellant has ever reviewed its bidding practices to make sure that they are in telligible and accessible to all; that it has ever instituted special advertising and outreach programs to attract MBEs to its con struction projects; that it has ever authorized special public financing for firms that have been or are unable to post bonds or to borrow money lor reasons unrelated to their credit rating, or that it has ever provided training and certification programs to ensure that experience requirements do not bar entry into this field. On the contrary, appellant apparently turned to a race- based program without any ellort whatever to put in place a less drastic remedy. Such a course is not constitutionally permissi ble. Cf. United States v. Paradise, slip op. 20-25 (non-victim- specilic, race-conscious remedies appropriate only in instances of “egregious” discrimination); Local 28, Sheet Metal Workers hit7 Ass’n v. EEOC, supra (same). Moreover, appellant chose a percentage set-aside that bears no reasonable relationship to the percentage of minority group members in the relevant market of businesses available to sup ply these services. The term “MBE” is defined in the ordinance to include businesses owned not only by blacks, but also by Hispanics, Orientals, Indians, Eskimos, and Aleuts. Thus, even if the disparity between the proportion of blacks in the popula tion and the proportion ol black-owned businesses receiving contracts was evidence ol prior discrimination against blacks, the ordinance would still be unjustified as providing a race- based preference to groups that have not previously been discriminated against. See If ygunt v. Jackson Bd. oj Educ., 476 U.S. at 284 n.13 (plurality opinion) (criticizing affirmative ac tion plan lor its “undillerenlialed nature ). And, in all events, as we explained above, appellant has not shown the statistical 23 relevance of the 30% figure, or in any way sought to determine the actual make-up of the relevant subcontractor market, look ing to geography and qualifications. Its 30% MBE requirement cannot, therefore, constitute a reasonable estimate of the amount of city contracting dollars that would have reached minorities in the absence of discrimination. See Johnson v. Transportation Agency, slip op. 7-8 (O’Connor, J., concurring in the judgment)." Furthermore, the burden that the 30% MBE participation re quirement requires nonminority construction firms to shoulder is substantial. The set-aside here is quite large and, unlike smaller set-aside programs, constitutes a significant denial of public contracting opportunities to non-minority contractors. Further, as the court below noted (J.S. App. 1 la), “(i]n many construction contracts, the dollar allocation among subcontrac tors will not break into a thirty percent block.” In that cir cumstance, the set-aside could easily amount effectively to a much higher percentage. That this denial affects the economic- fortunes of businesses operating on the local level, where small businesses predominate, and where businesses live from subcon tract to subcontract, only aggravates the ordinance’s adverse ef fect. It means that the set-aside may have a substantial adverse effect on a number of businesses and require the layoff of inno cent workers. The Court has made clear that such adverse ef fects are cause for serious constitutional concern. See Wygant v. Jackson Bd. o f Educ., 476 U.S. at 282-284 (plurality opinion); id. at 295 (While, J., concurring in the judgment); see also Associated Gen. Contractors v. City & County o f San Eran- cisco, 813 F.2d 922, 936 (9th Cir. 1987). The duration of appellant’s MBE preference further magnifies these tailoring problems. This ordinance is not a one- shot funding measure, enacted, as in Eullilove, to ward off the 11 11 Indeed, ihe “piece of ihe action” (Eullilove v. Klutznuk, 448 U.S. at 516 (Stevens, J., dissenting)) nature of this ordinance becomes clear when one ap preciates that it is irrelevant to appellant's scheme that a business may have significant minority participation in its ownership or management, so long as it is less than 50% minority owned. 24 foreseeable effects ol an imminent economic recession and to provide minority contractors with the experience necessary lor continued success without governmental assistance. C I. l ull,love v. Klutznick, 448 U.S. at 511512 (Powell, J., concur ring). Rather, it is a long-term element ol appellant’s construc tion contract award criteria. Appellant has committed itself to engaging in race discrimination for a five-year period, whether the prior discrimination that the preference allegedly seeks to redress is remedied before the end ol that period or not.12 f inally, the waiver and exemption provisions of the ordinance do not cure the ordinance’s overbreaefth and other constitu tional deficiencies. There is no exemption for nonminority con tractors that can prove a history tree of racial discrimination.I 11 There is no adequate relief mechanism for nonminority contrac tors who are harshly effected by this ordinances operation, or even for those who have significant minority participation in their management or ownership. And there is no disqualifica tion of minority contractors who are not suffering from the ef fects of identified illegal discrimination —such as minority con tractors who were formed alter the enactment ol this statute, or who have successfully vindicated their rights through suits under 42 U.S.C. 1981.14 Such a law is not a “narrowly tailored” remedy for the past intentional exclusion of minorities from the construction industry, but rather a racial “bloc grant of the kind deplored by Justice Powell in his Wygant opinion. See 476 U.S. at 281 n.8. I lie tael that llie set aside program is now scheduled to expire in June 1988 does not allei the tact that the Court must assess the constitutionality ol a program projected at the tune ot enactment to he in place, and which lias in tact been in place, lot Ine veats. ii i | ,e record pi os ides, Im example, no basis lot believing the appellee, an ( Jliio based coultacloi, played any mle in discrimination in the local construc tion mdusliy. m || ,e record does not suggest, loi example, that the MBK that provided the untimely price spiole in tins case is itsell a victim ol identified discrimina tion m the past. 25 The Court’s Decision In Fullilove Does Not Support The Con stitutionality Of I his MBK Preference Ordinance Appellant and its amici respond (Ur. 21 n.33, 24 n.39, 35-36 & n.60, 40; Nat’l League of Cities, et a i, Ur. 7-14) that, in Full Hove v. Klutznick, supru, this Court approved an MBE preference program with all of the aforementioned features and that, accordingly, this ordinance must be approved as well. Hut appellant and its amici misunderstand both the basis for and the limited holding of the Fullilove decision. In Fullilove, the Court faced the question whether the 10°/o MHE preference requirement of Section 103 of the PWEA (91 Slat. 117) was facially constitutional- i .e ., whether it could be constitutionally applied in a substantial number of situations. See 448 U.S. at 480-481 (plurality opinion); Parker v. Levy, 417 U.S. 733, 760 (1974). In seeking to answer this question, three Justices found that the PWEA was a stop-gap funding measure designed to offset the effects of an imminent recession (id. at 456-458); that MUEs had historically received a relatively small percentage of federal contracting funds and that Congress at tributed much of this nonparticipation by minorities to pur poseful discrimination by private and public contractors (id. at 458-463); see also id. at 506 (Powell, J., concurring)); that, since at least 1953, the federal government had unsuccessfully at tempted through non-racial means to remedy this history of prior discrimination and to eliminate some of the barriers to MHE participation in federal contracting (id. at 463-467 (plurality opinion)); and that, as fleshed out by the responsible administrative agency, the PWEA accorded a preference in the competitive bidding process only to those MBEs whose inability to compete effectively could be attributed to the effects of iden tifiable race discrimination committed in the past (id. at 470-471). On these premises, the Court, with no majority opin ion and three dissenting Justices, held that the MHE. provision of the PWEA should be upheld against a facial constitutional challenge. See id. at 473-492; id. at 517-522 (Marshall, J., con curring in the judgment). 26 In reaching this judgment, however, the Justices casting the determinative votes made clear that they were no. addressing any questions relating to specific applications of the MBb pro gram. hull,love v. Kluiznuk, 448 U.S. a. 480-481. Indeed, they specifically declined to address whether the Constitution re quires a more specific identification of perpetrators, victims, and/or discriminatory acts before a racial preference may ac- mally be implemented in any particular case. See id. at 486-488 & n.73 (opinion of Burger, C.J.). That, of course, is the precise question that appellee has raised here in challenging the applica tion of appellant’s ordinance to it. . Moreover, the MBE preference program approved in hull,love is, as just discussed, quite different from the MBE preference program a. issue here. As Chief Justice Burger characterized it. the national MBE preference program ap proved in hull Hove was enacted by Congress at least in part as a remedy for an identified history of purposeful discrimination against MBEs by private and public contracting agencies; here, as explained above, no such history of identified purposeful discrimination against minority contractors has been suffluent ly established, and certainly no such history of identified discrimination traceable to appellee.15 Similarly, as the plurality “ ^ A p p ^ l a ^ H l a,me, pones, (Appellant Hr. 2. ...33; Nal’l league of Cues e, ill Hr 7 X) Dial die sia.isiieal disparity relied upon by appellant in enacting tins ordinance is idenneal to the sia.isiieal disparity relied upon by Congress in enact,ng See,ion 103 o. the I’WI A. But Congress relied upon he statistical disparity erred by appellant and us anno only as a hasrs for sug- gestrng. as a general marie,. that a race conscious remedy was necessary r order to remedy instances ol pool rnleniional discrimination to be add,esse in parlie.ilai cases as esrabhshed m the course of the detailed admrn,stratum of program. Congress did no. rely upon the srarrsucal disparrty to establish rhe history ol identrlied discrimmalron necessary to lustily any parUcu ar, ac- ;„al race conscious contract awaid. See 448 U.S. a, 459, 462-463 (plurality opinion); id. ar 5(14 506. 511 (Howell, I., concurring). Appellant and amici likewise er, in suggesting (Appellant Hr. 23. 2 N it I I eague ol ( ilics, er <//. U, 9) that the nonsialisiieal evidence relied upon In appellant is identical lo the nonsialisiieal evidence relied upon by ongiess in enacting Section 103 of the I'W I A. I he ,wo siluaiions simply are no, eom- ,salable. Appellant relied upon general and conclusory observations by (luce 27 characterized it, the MBE program approved in Fullilove was appropriately tailored to accomplish its remedial goal. I he government had already unsuccessfully attempted to remedy, by race-neutral measures, the prior discrimination it found; the race-based measure adopted was a one-shot measure enacted in the face of an oncoming recession; at 10%, the set-aside re quired non-minority contractors to shoulder a lighter burden than in the present case; and, most significantly, the MBE preference was no more than a presumption (i.e., in applica tion, the set-aside could be waived where an MBE was not suf fering from the effects of prior illegal discrimination). As discussed above, appellant’s MBE program is not tailored in this fashion. In any event, the MBE preference program approved in Fullilove is embodied in an Act of Congress, not in a city or dinance, and thus, in a constitutional sense, is fundamentally different from this ordinance. Congress has broad remedial powers deriving from the enforcement provisions of the Thir teenth and Fourteenth Amendments and the Commerce and Spending Clauses. See Fullilove v. Klutznick, 448 U.S. at 472-475, 483-484, 490 (opinion of Burger, C.J.); id. at 500, 508-510, 516-517 (Powell, J., concurring). Moreover, the Equal Protection Clause was expressly adopted to limit the authority of state and local governments (and not the federal government) to use race in making governmental decisions. Acts of C ongress, by contrast, are restrained by the equal justice component of the Due Process Clause of the Fifth Amendment. While that provi sion places restraints on Congress and the President that are similar to those the Equal Protection Clause places on state and local governments, “the two protections are not always coexten sive,” and the Court has recognized that “there may be over riding national interests which justify selective federal legisla tion that would be unacceptable for an individual State.” persons at a city council hearing. C ongress relied upon studies done over a lengthy period of lime by various legislative committees and administrative agencies. See 448 U.S. at 456 467 (plurality opinion). 28 Hampton v. Mow Son ll'ong, 426 U.S. 88, 1(8) (1976).16 In Fullilove, (he Court found such an overriding national in terest —/.e., the need to remedy the economic inequality at tributable to an unyielding nationwide pattern of past discrimination-and, in view of the unique powers ol and limitations on the Congress, was thus impelled to approve a racial criterion even though it “press|ed| the outer limits of con gressional authority” (448 U.S. at 490). See also id. at 483. No such congressional powers or determination ot national interest is implicated here, and the city government is constrained direct ly by the Equal Protection Clause of the Fourteenth Amend ment Especially in view of these circumstances, the ordinance’s use of racial criteria cannot be sustained.17 i» This is reasonable in pari due to ihe indirect protections that individuals derive when power is located in an oi l ice of government responsible to all who can be affected by its exercise, which is irue of Congress, but not ot stale and local governments, where parochial interests may sometimes hold much more uninhibited sway. See Associated Gen Contractors v. City A County o f San Francisco. 813 f 2d at 928 934; see generally, The Federalist No. 10, at 22 (J. Madison) (l Rossiler ed. 1961). 17 Amicus Nat'I I eaguc ol C 'Hies, el al. errs in suggesting (Br. 9-10, 19-21) (hat state and local governments should not he required to make more detailed findings concerning prior disciimination than those made by C ongress in justi fying the 10% MB! preference ol the PWtA Congress legislates with respect to problems ol great scope and, accordingly, should not have to confine its vi sion to the facts and evidence adduced by particular parties, but should be able to paint with a broad biush in Us legislative action. State and local govern ments, by contrast, opeiale on a substantially smaller scale. It is therefore reasonable to requite them to bear a greater burden ol just if icat ion in delend ing race-based actions. Accord fullilove v. hlulzmek, 448 U.S. al 515-516 n 14 (Powell, J , concuiring) (“|i|he degree ol specilicity required in the find ings of discrimination and the breadth ol discretion in the choice of remedies • ♦ • var|ies) with the nature and authority of a governmental body”). Indeed, the language and put pose ol the I qual Protection ( la use would seem to re quire as much. See II vguni v. Jackson Hri. of h.dui., 476 U.S. at 273-278 (plurality opinion). 29 CONCLUSION The judgment of the court of appeals should be affirmed. Respectfully submitted. C hari ls F rii d Solicitor General W m Bradford Reynoi ds Assistant A ttorney General DONAI I) B A yfr D eputy Solicitor General Roger C i egg D eputy Assistant A ttorney General G len D. Nager Assistant to the Solicitor General Da v id K. Ft ynn MlCHAEI P. Soc ARRAS A ttorneys J une 1988 U S G O V E R N M E N T P R IN T IN G O F F IC E 1988 20203/(60494