Buckley v. State Correctional Institution - Pine Grove et al
Filing
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MEMORANDUM AND ORDER granting pltf's Motion to submit additional evidence 18 . Dfts shall submit any expert report withing 30 days of the date of this order.Signed by Honorable John E. Jones, III on 01/06/14 (ma)
IN THE UNITED STATES DISTRICT COURT
FOR THE MIDDLE DISTRICT OF PENNSYLVANIA
STEPHEN BUCKLEY,
:
:
Plaintiff,
:
:
v.
:
:
STATE CORRECTIONAL INSTITUTION-:
PINE GROVE and PENNSYLVANIA
:
DEPARTMENT OF CORRECTIONS,
:
:
Defendants.
:
1:13-cv-2022
Hon. John E. Jones III
MEMORANDUM & ORDER
January 6, 2014
Plaintiff is appealing the determination of a Special Education Hearing
Officer that he is not entitled to certain remedies under the Individuals with
Disabilities Education Act (“IDEA”). See 20 U.S.C. § 1400 et seq. Presently
pending before this Court is his Motion to Submit Additional Evidence (Doc. 18),
filed on November 15, 2013, seeking to supplement the administrative record for
our review of the Hearing Officer’s decision. For the reasons that follow, the
Court will allow Plaintiff to submit the additional evidence.
I.
BACKGROUND
Plaintiff is 20 years old (born October 8, 1993) and is presently
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incarcerated at SCI-Pine Grove, a young adult offender institution. (Doc. 17-2,
pp. 6, 7). He has been diagnosed with Attention Deficit Hyperactivity Disorder
and an Emotional Disturbance (id. at p. 6), and has been identified as eligible for
services under the IDEA. (Id. at p. 2). Before being incarcerated, Plaintiff’s
previous school district had developed an individualized education program
(“IEP”) for him, as required by statute. (Id. at p. 6); see 20 U.S.C. §
1414(d)(2)(A).
After his incarceration, on December 11, 2009, Plaintiff was sent to the
Department of Corrections’ Diagnostic and Classification Center, SCI-Camp Hill,
and later was transferred to SCI-Pine Grove. (Doc. 17-2, p. 6). Since February 2,
2010, he has consistently been confined in SCI-Pine Grove’s Restricted Housing
Unit (“RHU”), which unit houses inmates who have had disciplinary problems.
(Id. at pp. 6-7). RHU inmates spend 23 hours per day in their cells but may be
removed, for example, to receive visitors, medical assistance, or counseling. (Id.
at p. 7). Plaintiff has committed multiple assaults and other rule infractions,
resulting in his continued, restrictive detention. (Id. at pp. 7-8).1
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Specifically, Plaintiff has engaged in assaultive behavior on at least four occasions at
SCI-Pine Grove and has committed other serious misconduct on 25 separate occasions, such as
threatening prison personnel or their families, destroying property, refusing to obey orders, and
possessing contraband. (Doc. 17-2, p. 8).
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In terms of education, two IEPs were developed for Plaintiff while at SCIPine Grove. (Id. at p. 9). The first, dated June 8, 2010, stated one goal, related to
complying with rules and regulations, and contained the following modifications
and specially designed instructions: Feedback, Monitoring, and Modification to
materials when needed. (Id.). The second IEP, dated February 14, 2012, was
substantially similar to the first. (Id.). Before implementing the second IEP, SCIPine Grove issued a reevaluation report (“RR”), which did not contain new
assessment data but relied on a test previously administered at SCI-Camp Hill.
(Id.). Throughout his time in the RHU, pursuant to the prison’s policy for RHU
inmates, Plaintiff received only in-cell study. (Id. at p. 8). Specifically, a teacher
would provide “self study packets” to him through the tray aperture in his cell
door. (Id.). Without opening the door, the teacher would remain outside of his
cell to answer any questions, although he was not obligated to and did not
complete the packets and seldom spoke with the teacher. (Id.). No additional
educational services were provided to Plaintiff or any other student in the RHU.
(Id. at p. 9).
Plaintiff filed a complaint, centrally challenging that he was being denied a
free appropriate public education (“FAPE”). He demanded compensatory
education for the denial of a FAPE, an order to provide a FAPE going forward,
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and an independent educational evaluation (“IEE”). On March 22, 2013, a due
process hearing was conducted, and a decision was rendered on May 1, 2013. (Id.
at p. 1). Although the Hearing Officer found that the “[e]vidence overwhelmingly
supports the conclusion that [Plaintiff’s] IEPs did not comply with IDEA
standards and that [Plaintiff] received no special education, specially designed
instruction, or related services,” (id. at p. 14 (emphasis in original)), he concluded
that this failure did not violate the IDEA. The Hearing Officer noted that, for an
incarcerated student such as Plaintiff, the IDEA permits a student’s IEP to be
“modif[ied] . . . if the State has demonstrated a bona fide security or compelling
penological interest that cannot otherwise be accommodated,” 20 U.S.C. §
1414(d)(7)(B), and stated that the security-interest exception exists “so prisons
need not create or compound a particular, student-specific security risk in order to
comply with the IDEA.” (Doc. 17-2, p. 13). In determining that SCI-Pine Grove
had demonstrated a bona fide security interest by a preponderance of the evidence,
the Hearing Officer enumerated that Plaintiff was “a constant security risk,” and
that he was “assaultive, even while confined to the RHU, [managing] to commit
assaults even with the RHU protocols in place.” (Id.). The Hearing Officer
elaborated that “[p]roviding a greater level of special education and related
services [beyond cell study] would compel SCI-Pine Grove to frequently remove
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[Plaintiff] from his cell, increasing the security risk.” (Id.).
In rejecting Plaintiff’s argument that SCI-Pine Grove did not modify his IEP
but eliminated it entirely, the Hearing Officer reasoned that the security-interest
exception exempts the State from providing an IEP that includes special education
and related services and observed that Plaintiff possessed an IEP “[i]n a technical
sense.” (Id.). He ultimately determined that, “as a matter of law, whenever [a
local educational agency] is not required to provide an IEP, it is not required to
provide a FAPE.” (Id. (footnote omitted)).
In light of the security-interest exception, the Hearing Officer denied
Plaintiff’s demand for compensatory education and a FAPE. (Id. at p. 14).
However, he found that such exception does not negate SCI-Pine Grove’s duty to
evaluate Plaintiff in accordance with the IDEA. (Id.). Observing that the prison
had failed to appropriately evaluate Plaintiff, the Hearing Officer ordered an IEE
consisting of a Neuropsychological Evaluation, Functional Behavioral
Assessment, and Psychiatric Evaluation. (Id. at p. 16).
Plaintiff commenced the present action with the filing of a Complaint on
July 29, 2013 (Doc. 1), appealing the decision of the Special Education Hearing
Officer. Plaintiff contends that the Hearing Officer erred in concluding that
Plaintiff’s IEP was appropriately modified under Section 1414(d)(7)(B) of the
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IDEA and in reasoning that SCI-Pine Grove was not obligated to provide him with
a FAPE. (Id. ¶ 4). Plaintiff centrally requests an award of compensatory
education and a declaration that SCI-Pine Grove’s actions violated the IDEA and
the Americans with Disabilities Act. (Id. at pp. 21-22).
On November 15, 2013, Plaintiff filed a Motion to Submit Additional
Evidence (Doc. 18) and later a supporting brief (Doc. 20), seeking to admit two
documents to supplement the administrative record: the IEE performed by Dr.
Steven Kachmar, ordered by the Due Process Hearing Officer and dated October
15, 2013, and Plaintiff’s Inmate Cumulative Adjustment Records (“ICAR”), dated
October 17, 2013. The IEE is a 42-page report purposed to establish “additional
information related to [Plaintiff’s] cognitive abilities, academic strengths and
weaknesses, as well as his current social, emotional, and behavioral functioning.”
(Doc. 20-1, p. 2). The report describes that the psychologist conducted the
evaluation on September 14, 2013, in a secure visiting area, through safety glass
and by way of telephone. (Id. at p. 9). The evaluation includes a summary of
Plaintiff’s psychological and educational history; observations from the
psychological/educational assessment; the results of that assessment; and
recommended changes to Plaintiff’s IEP to be considered by his IEP team. Of
note, Dr. Kachmar recommended that Plaintiff’s education be provided in a
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separate and secure area of the institution, such as the one used to conduct the IEE,
and opined that such instruction could be furnished while maintaining the safety of
teachers, other inmates, and correctional officers. (Id. at p. 33).
Plaintiff’s ICAR (Doc. 20-2) documents various interactions between
Plaintiff and prison personnel occurring between January 8, 2013, and October 16,
2013. Relevantly, some of the entries note that Plaintiff was transported out of his
cell (e.g., in order to meet with a psychologist).
Defendants filed a Brief in Opposition (Doc. 21) on November 25, 2013,
and Plaintiff submitted a Reply Brief (Doc. 23) on December 9, 2013. The Motion
has thus been fully briefed and is ripe for our review.
II.
LEGAL STANDARD
Under the IDEA, a party aggrieved by the factual findings and decision
rendered after a due process hearing has the right to file a civil action. See 20
U.S.C. § 1415(i)(2)(A). In conducting such proceeding, the statute states that “the
court – (i) shall receive the records of the administrative proceedings; (ii) shall
hear additional evidence at the request of a party; and (iii) basing its decision on
the preponderance of the evidence, shall grant such relief as the court determines
is appropriate.” Id.§ 1415(i)(2)(C).
In terms of the scope of review of the hearing officer’s decision, the United
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States Supreme Court has stated that district courts should not substitute their own
view of educational policy for that of the agencies they review but, rather, should
give “due weight” to the administrative proceedings. Board of Educ. of the
Hendrick Hudson Cent. Sch. Dist. v. Rowley, 458 U.S. 176, 206 (1982); see also
Fuhrmann v. East Hanover Bd. of Educ., 993 F.2d 1031, 1034 (3d Cir. 1993). At
the same time, however, the statutory directive to receive additional evidence and
render a determination based on a preponderance of the evidence, granting relief
as deemed appropriate, indicates that “a district court ‘does not use the substantial
evidence standard typically applied in the review of administrative agency
decisions, but instead must decide independently whether the requirements of the
IDEA are met.’” Susan N. v. Wilson Sch. Dist., 70 F.3d 751, 757 (3d Cir. 1995)
(quoting Murray v. Montrose Cnty. Sch. Dist., 51 F.3d 921, 927 (10th Cir. 1995))
(internal quotation marks omitted).
As to the submission of additional evidence, “the question of what
additional evidence to admit . . . should be left to the discretion of the trial court.”
Susan N., 70 F.3d at 760. The Third Circuit has declined to explicitly interpret the
contours of the“additional evidence” provision, see id. at 759, but has stated that a
district court may consider additional evidence that is “relevant, non-cumulative,
and useful in determining whether [the goals of the IDEA have] been reached for
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the child involved.” Id. at 760.2 In light of the statutorily-required deference to
the administrative proceedings, a court must determine whether the party
proffering the additional evidence has demonstrated a sufficient justification for
not submitting the evidence at the due process hearing. See Antoine M. v. Chester
Upland Sch. Dist., 420 F.Supp.2d 396, 403 (E.D. Pa. 2006) (citing Susan N., 70
F.3d at 760). The court may consider, among other things, whether: (A) a
procedural bar existed to prevent the introduction of the evidence at the hearing;
(B) the evidence was purposely withheld below for strategic reasons; (C) the
introduction of the evidence here would prejudice the opposing party (i.e., the
evidence would obstruct the adverse party from rebutting it); and (D) the
administration of justice would be impacted, for example, by the introduction of a
new theory of entitlement to relief. See id.
III.
DISCUSSION
Upon reviewing Plaintiff’s proffer of additional evidence, the Court finds
such evidence to be useful, relevant, and non-cumulative. The IEE is noncumulative of the evidence submitted at the due process hearing, especially in
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Congress’s primary goal in enacting the IDEA was to ensure “that each child with
disabilities has access to a program that is tailored to his or her changing needs and designed to
achieve educational progress.” Susan N., 70 F.3d at 760 (citation and internal quotation marks
omitted).
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light of its recency, and is relevant to the appropriateness of Plaintiff’s IEP.
Further, it follows that Plaintiff did not intentionally withhold this evidence as the
evaluation was ordered by the Hearing Officer, occurring after his decision.
The Court is cognizant of Defendants’ concern that various of the opinions
contained in the IEE bear on security, which issues are outside Dr. Kachmar’s
expertise as a psychologist. However, we observe that the vast majority of the IEE
regards Plaintiff’s psychoeducational status, an area in which Defendants agree
Dr. Kachmar is qualified to testify, and note that if we deem Dr. Kachmar to be
unqualified to provide certain opinions, we may disregard those opinions.3 As in
other district court decisions permitting the submission of an expert report as
additional evidence, the Court will allow Defendants to submit their own expert
report to alleviate any perceived prejudice. See, e.g., Breanne C. v. Southern York
Sch. Dist., Civ. No. 1:08-1526, 2010 WL 773945, at *2 (M.D. Pa. Feb. 26, 2010).
As to Plaintiff’s ICAR, the Court finds this document helpful and germane
in that it evidences various occasions when Plaintiff was successfully removed
from his cell, and, here, Plaintiff is claiming that in-cell study alone is inadequate.
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Furthermore, as a general matter, it is the function of the Court in this proceeding to
determine what weight additional evidence deserves, see A.Y. v. Cumberland Valley Sch. Dist.,
569 F.Supp.2d 496, 508 (M.D. Pa. 2008), and we note that there is ample record evidence of the
security risks posed by Plaintiff. See, e.g., supra note 1.
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Notably, Defendants do not oppose the submission of this evidence so long as
“they be permitted to make arguments as to why the transports and services
reflected by these notes are distinguishable from transport and services for
educational purposes.” (Doc. 21, pp. 11-12). Certainly, Defendants may choose
to advance such contentions.
IV.
CONCLUSION
In sum, the Court finds that Plaintiff has sufficiently justified the
introduction of the proffered, additional evidence, and will permit Defendants to
submit an opposing expert report to mitigate any prejudice if they so elect.
NOW, THEREFORE, IT IS HEREBY ORDERED THAT:
1.
Plaintiff’s Motion to Submit Additional Evidence (Doc. 18) is
GRANTED.
2.
Defendants shall SUBMIT any expert report within thirty days of the
date of this Order.
s/ John E. Jones III
John E. Jones III
United States District Judge
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