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Petitioner, a black woman, was employed by respondent credit union as a teller and file coordinator for 10 years until she was laid off. Thereafter, she brought this action in District Court under 42 U.S.C. 1981, alleging that respondent had harassed her, failed to promote her to accounting clerk, and then discharged her, all because of her race. The District Court determined that a claim for racial harassment is not actionable under 1981 and declined to submit that part of the case to the jury. The court instructed the jury, inter alia, that in order to prevail on her promotion-discrimination claim, petitioner had to prove that she was better qualified than the white employee who allegedly had received the promotion. The jury found for respondent on this claim, as well as on petitioner's discriminatory-discharge claim. The Court of Appeals affirmed the judgment in favor of respondent.
Held:
KENNEDY, J., delivered the opinion of the Court, in which REHNQUIST, C. J., and WHITE, O'CONNOR, and SCALIA, JJ., joined. BRENNAN, J., filed an opinion concurring in the judgment in part and dissenting in part, in which MARSHALL and BLACKMUN, JJ., joined, and in Parts II-B, II-C, and III of which STEVENS, J., joined, post, p. 189. STEVENS, J., filed an opinion concurring in the judgment in part and dissenting in part, post, p. 219.
Julius LeVonne Chambers reargued the cause for petitioner. Penda D. Hair argued the cause for petitioner on the original argument. With them on the briefs were Charles Stephen Ralston, Gail J. Wright, Eric Schnapper, Ronald L. Ellis, Harold L. Kennedy III, and Harvey L. Kennedy.
Roger S. Kaplan reargued the cause for respondent. H. Lee Davis, Jr., argued the cause for respondent on the original argument. With them on the briefs were George E. Doughton, Jr., Anthony H. Atlas, Gary R. Kessler, and Earl M. Maltz. *
[ Footnote * ] Briefs of amici curiae urging reversal were filed for the United States by Solicitor General Fried, Assistant Attorney General Reynolds, Deputy Solicitor General Ayer, Deputy Assistant Attorney General Clegg, Glen D. Nager, and Jessica Dunsay Silver; and for the American Civil Liberties Union Foundation et al. by Steven R. Shapiro, John A. Powell, Helen Hershkoff, and Adam Stein.
Robert E. Williams, Douglas S. McDowell, and Lorence L. Kessler filed a brief for the Equal Employment Advisory Council as amicus curiae urging affirmance.
Briefs of amici curiae were filed for 66 Members of the United States Senate et al. by John H. Pickering, Timothy B. Dyk, James E. Coleman, Jr., John Payton, Kerry W. Kircher, Edward H. Levi, Laurence H. Tribe, and William L. Taylor; for the State of New York et al. by Robert Abrams, Attorney General of New York, O. Peter Sherwood, Solicitor General, Suzanne M. Lynn and Sanford M. Cohen, Assistant Attorneys General, James M. Shannon, Attorney General of Massachusetts, Barbara B. Dickey and Douglas T. Shwarz, Assistant Attorneys General, Hubert H. Humphrey III, Attorney General of Minnesota, Robert M. Spire, Attorney General of Nebraska, Dave Frohnmayer, Attorney General of Oregon, T. Travis Medlock, Attorney General of South Carolina, W. J. Michael Cody, Attorney General of Tennessee, Don Siegelman, Attorney General of Alabama, Grace Berg Schaible, Attorney General of Alaska, John Steven Clark, Attorney General of Arkansas, John K. Van [491 U.S. 164, 168] de Kamp, Attorney General of California, Duane Woodard, Attorney General of Colorado, Joseph Lieberman, Attorney General of Connecticut, Charles M. Oberly, Attorney General of Delaware, Robert Butterworth, Attorney General of Florida, Michael J. Bowers, Attorney General of Georgia, Warren Price III, Attorney General of Hawaii, Jim Jones, Attorney General of Idaho, Neil F. Hartigan, Attorney General of Illinois, Linley E. Pearson, Attorney General of Indiana, Thomas J. Miller, Attorney General of Iowa, Robert T. Stephan, Attorney General of Kansas, Frederick J. Cowan, Attorney General of Kentucky, William J. Guste, Jr., Attorney General of Louisiana, James E. Tierney, Attorney General of Maine, J. Joseph Curran, Jr., Attorney General of Maryland, Frank J. Kelley, Attorney General of Michigan, Michael C. Moore, Attorney General of Mississippi, William L. Webster, Attorney General of Missouri, Mike Greely, Attorney General of Montana, Brian McKay, Attorney General of Nevada, Stephen E. Merrill, Attorney General of New Hampshire, Cary Edwards, Attorney General of New Jersey, Lacy H. Thornburg, Attorney General of North Carolina, Nicholas Spaeth, Attorney General of North Dakota, Anthony J. Celebrezze, Jr., Attorney General of Ohio, Robert Henry, Attorney General of Oklahoma, LeRoy S. Zimmerman, Attorney General of Pennsylvania, James E. O'Neil, Attorney General of Rhode Island, Roger A. Tellinghuisen, Attorney General of South Dakota, Jim Mattox, Attorney General of Texas, Jeffrey Amestoy, Attorney General of Vermont, Mary Sue Terry, Attorney General of Virginia, Kenneth O. Eikenberry, Attorney General of Washington, Charles G. Brown, Attorney General of West Virginia, Don Hanaway, Attorney General of Wisconsin, Joseph B. Meyer, Attorney General of Wyoming, Godfrey R. deCastro, Acting Attorney General of the Virgin Islands, Frederick D. Cooke, Corporation Counsel of the District of Columbia, Hector Rivera-Cruz, Attorney General of Puerto Rico, and Elizabeth Barrett-Anderson, Attorney General of Guam; for the American Bar Association by Robert MacCrate, William H. Allen, and Mitchell F. Dolin; for the American Jewish Congress et al. by Marvin E. Frankel and Marc D. Stern; for the Association of the Bar of the City of New York et al. by Jonathan Lang, Howard J. Aibel, and Charles S. Sims; for the Center for Civil Rights by Clint Bolick, Jerald L. Hill, and Mark J. Bredemeier; for the Center for Constitutional Rights et al. by Esmeralda Simmons, Arthur Kinoy, Frank E. Deale, and Wilhelm Joseph; for the Lawyers' [491 U.S. 164, 169] Committee for Civil Rights Under Law by Thomas D. Barr, Robert F. Mullen, Conrad K. Harper, Stuart J. Land, Norman Redlich, William L. Robinson, Judith A. Winston, Richard T. Seymour, Stephen L Spitz, Albert E. Arent, Thomas I. Atkins, St. John Barrett, Wiley A. Branton, Sr., Paul A. Brest, David R. Brink, William H. Brown III, Ramsey Clark, Jerome A. Cooper, Michael A. Cooper, Lloyd N. Cutler, James T. Danaher, Drew S. Days III, Armand Derfner, Paul R. Dimond, John W. Douglas, Victor M. Earle III, Robert Ehrenbard, Fred N. Fishman, MacDonald Flinn, Laurence S. Fordham, Eleanor M. Fox, John D. French, Lloyd K. Garrison, A. Spencer Gilbert III, Joan Hall, Herbert J. Hansell, John B. Jones, Stuart L. Kadison, Robert H. Kapp, Nicholas deB. Katzenbach, Robert M. Landis, Jerome B. Libin, John V. Lindsay, Hans F. Loeser, Henry L. Marsh III, Robert W. Meserve, Robert B. McKay, Peter P. Mullen, Robert A. Murphy, John E. Nolan, Jr., Kenneth Penegar, Charles S. Rhyne, Elliot L. Richardson, James Robertson, Mitchell Rogovin, Edwin A. Rothschild, Stephen H. Sachs, Bernard G. Segal, Jerome G. Shapiro, Jerome J. Shestack, Asa D. Sokolow, Chesterfield Smith, David S. Tatel, Randolph W. Thrower, John E. Tobin, Michael Traynor, Marna S. Tucker, Harold R. Tyler, Jr., Herbert M. Wachtell, and Howard P. Willens; for the Washington Legal Foundation et al. by Daniel J. Popeo and Paul D. Kamenar; for J. Philip Anderegg, pro se; for Carol L. Bisharat et al. by Eva Jefferson Paterson, Nathaniel Colley, William C. McNeill III, and Robert L. Harris; for Curtis McCrary et al. by Gary T. Brown; and for Eric Foner et al. by Richard D. Parsons. [491 U.S. 164, 168]
JUSTICE KENNEDY delivered the opinion of the Court.
In this case, we consider important issues respecting the meaning and coverage of one of our oldest civil rights statutes, 42 U.S.C. 1981. [491 U.S. 164, 169]
Petitioner Brenda Patterson, a black woman, was employed by respondent McLean Credit Union as a teller and a file coordinator, commencing in May 1972. In July 1982, she was laid off. After the termination, petitioner commenced this action in the United States District Court for the Middle District of North Carolina. She alleged that respondent, in violation of 14 Stat. 27, 42 U.S.C. 1981, had harassed her, failed to promote her to an intermediate accounting clerk position, and then discharged her, all because of her race. Petitioner also claimed this conduct amounted to an intentional infliction of emotional distress, actionable under North Carolina tort law.
The District Court determined that a claim for racial harassment is not actionable under 1981 and declined to submit [491 U.S. 164, 170] that part of the case to the jury. The jury did receive and deliberate upon petitioner's 1981 claims based on alleged discrimination in her discharge and the failure to promote her, and it found for respondent on both claims. As for petitioner's state-law claim, the District Court directed a verdict for respondent on the ground that the employer's conduct did not rise to the level of outrageousness required to state a claim for intentional infliction of emotional distress under applicable standards of North Carolina law.
In the Court of Appeals, petitioner raised two matters which are relevant here. First, she challenged the District Court's refusal to submit to the jury her 1981 claim based on racial harassment. Second, she argued that the District Court erred in instructing the jury that in order to prevail on her 1981 claim of discriminatory failure to promote, she must show that she was better qualified than the white employee who she alleges was promoted in her stead. The Court of Appeals affirmed. 805 F.2d 1143 (1986). On the racial harassment issue, the court held that, while instances of racial harassment "may implicate the terms and conditions of employment under Title VII [of the Civil Rights Act of 1964, 78 Stat. 253, 42 U.S.C. 2000e et seq.] and of course may be probative of the discriminatory intent required to be shown in a 1981 action," id., at 1145 (citation omitted), racial harassment itself is not cognizable under 1981 because "racial harassment does not abridge the right to `make' and `enforce' contracts," id., at 1146. On the jury instruction issue, the court held that once respondent had advanced superior qualification as a legitimate nondiscriminatory reason for its promotion decision, petitioner had the burden of persuasion to show that respondent's justification was a pretext and that she was better qualified than the employee who was chosen for the job. Id., at 1147.
We granted certiorari to decide whether petitioner's claim of racial harassment in her employment is actionable under 1981, and whether the jury instruction given by the District
[491
U.S. 164, 171]
Court on petitioner's 1981 promotion claim was error.
In Runyon, the Court considered whether 1981 prohibits private schools from excluding children who are qualified for admission, solely on the basis of race. We held that 1981 did prohibit such conduct, noting that it was already well established in prior decisions that 1981 "prohibits racial discrimination in the making and enforcement of private contracts." Id., at 168, citing Johnson v. Railway Express Agency, Inc.,
The Court has said often and with great emphasis that "the doctrine of stare decisis is of fundamental importance to the rule of law." Welch v. Texas Dept. of Highways and Public Transportation,
Our precedents are not sacrosanct, for we have overruled prior decisions where the necessity and propriety of doing so has been established. See Patterson v. McLean Credit Union, supra, at 617-618 (citing cases). Nonetheless, we have held that "any departure from the doctrine of stare decisis demands special justification." Arizona v. Rumsey,
We conclude, upon direct consideration of the issue, that no special justification has been shown for overruling Runyon. In cases where statutory precedents have been overruled, the primary reason for the Court's shift in position has been the intervening development of the law, through either the growth of judicial doctrine or further action taken by Congress. Where such changes have removed or weakened the conceptual underpinnings from the prior decision, see, e. g., Rodriguez de Quijas v. Shearson/American Express, Inc.,
Another traditional justification for overruling a prior case is that a precedent may be a positive detriment to coherence and consistency in the law, either because of inherent confusion created by an unworkable decision, see, e. g., Continental T. V., Inc. v. GTE Sylvania, Inc.,
Finally, it has sometimes been said that a precedent becomes more vulnerable as it becomes outdated and after being "`tested by experience, has been found to be inconsistent with the sense of justice or with the social welfare.'" Runyon,
We decline to overrule Runyon and acknowledge that its holding remains the governing law in this area.
Our conclusion that we should adhere to our decision in Runyon that 1981 applies to private conduct is not enough to decide this case. We must decide also whether the conduct [491 U.S. 164, 176] of which petitioner complains falls within one of the enumerated rights protected by 1981.
Section 1981 reads as follows:
By its plain terms, the relevant provision in 1981 protects two rights: "the same right . . . to make . . . contracts" and "the same right . . . to . . . enforce contracts." The first of these protections extends only to the formation of a contract, but not to problems that may arise later from the conditions of continuing employment. The statute prohibits, [491 U.S. 164, 177] when based on race, the refusal to enter into a contract with someone, as well as the offer to make a contract only on discriminatory terms. But the right to make contracts does not extend, as a matter of either logic or semantics, to conduct by the employer after the contract relation has been established, including breach of the terms of the contract or imposition of discriminatory working conditions. Such postformation conduct does not involve the right to make a contract, but rather implicates the performance of established contract obligations and the conditions of continuing employment, matters more naturally governed by state contract law and Title VII. See infra, at 179-180.
The second of these guarantees, "the same right . . . to . . . enforce contracts . . . as is enjoyed by white citizens," embraces protection of a legal process, and of a right of access to legal process, that will address and resolve contract-law claims without regard to race. In this respect, it prohibits discrimination that infects the legal process in ways that prevent one from enforcing contract rights, by reason of his or her race, and this is so whether this discrimination is attributed to a statute or simply to existing practices. It also covers wholly private efforts to impede access to the courts or obstruct nonjudicial methods of adjudicating disputes about the force of binding obligations, as well as discrimination by private entities, such as labor unions, in enforcing the terms of a contract. Following this principle and consistent with our holding in Runyon that 1981 applies to private conduct, we have held that certain private entities such as labor unions, which bear explicit responsibilities to process grievances, press claims, and represent member in disputes over the terms of binding obligations that run from the employer to the employee, are subject to liability under 1981 for racial discrimination in the enforcement of labor contracts. See Goodman v. Lukens Steel Co.,
Applying these principles to the case before us, we agree with the Court of Appeals that petitioner's racial harassment claim is not actionable under 1981. Petitioner has alleged that during her employment with respondent, she was subjected to various forms of racial harassment from her supervisor. As summarized by the Court of Appeals, petitioner testified that
With the exception perhaps of her claim that respondent refused to promote her to a position as an accountant, see Part IV, infra, none of the conduct which petitioner alleges as part of the racial harassment against her involves either a refusal to make a contract with her or the impairment of her ability to enforce her established contract rights. Rather, the conduct which petitioner labels as actionable racial harassment is postformation conduct by the employer relating to the terms and conditions of continuing employment. This is apparent from petitioner's own proposed jury instruction on her 1981 racial harassment claim:
This type of conduct, reprehensible though it be if true, is not actionable under 1981, which covers only conduct at the initial formation of the contract and conduct which impairs the right to enforce contract obligations through legal process.
[491
U.S. 164, 180]
Rather, such conduct is actionable under the more expansive reach of Title VII of the Civil Rights Act of 1964. The latter statute makes it unlawful for an employer to "discriminate against any individual with respect to his compensation, terms, conditions, or privileges of employment." 42 U.S.C. 2000e-2(a)(1). Racial harassment in the course of employment is actionable under Title VII's prohibition against discrimination in the "terms, conditions, or privileges of employment." "[T]he [Equal Employment Opportunity Commission (EEOC)] has long recognized that harassment on the basis of race . . . is an unlawful employment practice in violation of 703 of Title VII of the Civil Rights Act." See 2 EEOC Compliance Manual 615.7 (1982). While this Court has not yet had the opportunity to pass directly upon this interpretation of Title VII, the lower federal courts have uniformly upheld this view,
3
and we implicitly have approved it in a recent decision concerning sexual harassment, Meritor Savings Bank v. Vinson,
Interpreting 1981 to cover postformation conduct unrelated to an employee's right to enforce his or her contract, such as incidents relating to the conditions of employment, is not only inconsistent with that statute's limitation to the making and enforcement of contracts, but would also undermine the detailed and well-crafted procedures for conciliation and resolution of Title VII claims. In Title VII, Congress set up an elaborate administrative procedure, implemented through the EEOC, that is designed to assist in the investigation [491 U.S. 164, 181] of claims of racial discrimination in the workplace and to work towards the resolution of these claims through conciliation rather than litigation. See 42 U.S.C. 2000e-5(b). Only after these procedures have been exhausted, and the plaintiff has obtained a "right to sue" letter from the EEOC, may he or she bring a Title VII action in court. See 42 U.S.C. 2000e-5(f)(1). Section 1981, by contrast, provides no administrative review or opportunity for conciliation.
Where conduct is covered by both 1981 and Title VII, the detailed procedures of Title VII are rendered a dead letter, as the plaintiff is free to pursue a claim by bringing suit under 1981 without resort to those statutory prerequisites. We agree that, after Runyon, there is some necessary overlap between Title VII and 1981, and that where the statutes do in fact overlap we are not at liberty "to infer any positive preference for one over the other." Johnson v. Railway Express Agency, Inc.,
By reading 1981 not as a general proscription of racial discrimination in all aspects of contract relations, but as limited to the enumerated rights within its express protection, specifically the right to make and enforce contracts, we may preserve the integrity of Title VII's procedures without sacrificing [491 U.S. 164, 182] any significant coverage of the civil rights laws. 4 Of course, some overlap will remain between the two statutes: specifically, a refusal to enter into an employment contract on the basis of race. Such a claim would be actionable under Title VII as a "refus[al] to hire" based on race, 42 U.S.C. 2000e-2(a), and under 1981 as an impairment of "the same right . . . to make . . . contracts . . . as . . . white citizens," 42 U.S.C. 1981. But this is precisely where it would make sense for Congress to provide for the overlap. At this stage of the employee-employer relation Title VII's mediation and conciliation procedures would be of minimal effect, for there is not yet a relation to salvage.
The Solicitor General and JUSTICE BRENNAN offer two alternative interpretations of 1981. The Solicitor General argues that the language of 1981, especially the words "the same right," requires us to look outside 1981 to the terms of particular contracts and to state law for the obligations and covenants to be protected by the federal statute. Under this view, 1981 has no actual substantive content, but instead mirrors only the specific protections that are afforded under the law of contracts of each State. Under this view, racial harassment in the conditions of employment is actionable when, and only when, it amounts to a breach of contract under state law. We disagree. For one thing, to the extent that it assumes that prohibitions contained in 1981 incorporate only those protections afforded by the States, this theory is directly inconsistent with Runyon, which we today
[491
U.S. 164, 183]
decline to overrule. A more fundamental failing in the Solicitor's argument is that racial harassment amounting to breach of contract, like racial harassment alone, impairs neither the right to make nor the right to enforce a contract. It is plain that the former right is not implicated directly by an employer's breach in the performance of obligations under a contract already formed. Nor is it correct to say that racial harassment amounting to a breach of contract impairs an employee's right to enforce his contract. To the contrary, conduct amounting to a breach of contract under state law is precisely what the language of 1981 does not cover. That is because, in such a case, provided that plaintiff's access to state court or any other dispute resolution process has not been impaired by either the State or a private actor, see Goodman v. Lukens Steel Co.,
In addition, interpreting 1981 to cover racial harassment amounting to a breach of contract would federalize all state-law claims for breach of contract where racial animus is alleged, since 1981 covers all types of contracts, not just employment contracts. Although we must do so when Congress plainly directs, as a rule we should be and are "reluctant to federalize" matters traditionally covered by state common law. Santa Fe Industries, Inc. v. Green,
JUSTICE BRENNAN, for his part, would hold that racial harassment is actionable under 1981 when "the acts constituting harassment [are] sufficiently severe or pervasive as effectively to belie any claim that the contract was entered into in a racially neutral manner." See post, at 208. We do not find this standard an accurate or useful articulation of which contract claims are actionable under 1981 and which are not. The fact that racial harassment is "severe or pervasive" does not by magic transform a challenge to the conditions of employment, not actionable under 1981, into a viable challenge to the employer's refusal to make a contract. We agree that racial harassment may be used as evidence that a divergence in the explicit terms of particular contracts is explained by racial animus. 5 Thus, for example, if a potential employee is offered (and accepts) a contract to do a job for less money than others doing like work, evidence of racial harassment in the workplace may show that the employer, at the time of formation, was unwilling to enter into a nondiscriminatory contract. However, and this is the critical point, the question under 1981 remains whether the employer, at the time of the formation of the contract, in fact intentionally refused to enter into a contract with the employee on racially neutral terms. The plaintiff's ability to plead that the racial harassment is "severe or pervasive" should not allow him to boot-strap a challenge to the conditions of employment (actionable, if at all, under Title VII) into a claim under 1981 that the employer refused to offer petitioner the "same right . . . to make" a contract. We think it clear that the conduct challenged by petitioner relates not to her employer's refusal to [491 U.S. 164, 185] enter into a contract with her, but rather to the conditions of her employment. 6
Petitioner's claim that respondent violated 1981 by failing to promote her, because of race, to a position as an intermediate accounting clerk is a different matter. As a preliminary point, we note that the Court of Appeals distinguished between petitioner's claims of racial harassment and discriminatory promotion, stating that although the former did not give rise to a discrete 1981 claim, "[c]laims of racially discriminatory . . . promotion go to the very existence and nature of the employment contract and thus fall easily within 1981's protection." 805 F.2d, at 1145. We think that somewhat overstates the case. Consistent with what we have said in Part III, supra, the question whether a promotion claim is actionable under 1981 depends upon whether the nature of the change in position was such that it involved the opportunity to enter into a new contract with the employer. If so, then the employer's refusal to enter the new contract is actionable under 1981. In making this determination, a lower court should give a fair and natural reading to the statutory phrase "the same right . . . to make . . . contracts," and should not strain in an undue manner the language of 1981. Only where the promotion rises to the level of an opportunity for a new and distinct relation between the employee and the employer is such a claim actionable under 1981. Cf. Hishon v. King & Spaulding,
This brings us to the question of the District Court's jury instructions on petitioner's promotion claim. We think the District Court erred when it instructed the jury that petitioner had to prove that she was better qualified than the white employee who allegedly received the promotion. In order to prevail under 1981, a plaintiff must prove purposeful discrimination. General Building Contractors Assn., Inc. v. Pennsylvania,
Although the Court of Appeals recognized that the McDonnell Douglas/Burdine scheme of proof should apply in 1981 cases such as this one, it erred in describing petitioner's burden. Under our well-established framework, the plaintiff has the initial burden of proving, by a preponderance of the evidence, a prima facie case of discrimination. Burdine,
Once the plaintiff establishes a prima facie case, an inference of discrimination arises. See Burdine,
Although petitioner retains the ultimate burden of persuasion, our cases make clear that she must also have the opportunity to demonstrate that respondent's proffered reasons for its decision were not its true reasons. Ibid. In doing so, petitioner is not limited to presenting evidence of a certain type. This is where the District Court erred. The evidence which petitioner can present in an attempt to establish that respondent's stated reasons are pretextual may take a variety of forms. See McDonnell Douglas, supra, at 804-805; Furnco Construction Corp., supra, at 578; cf. United States Postal Service Bd. of Governors v. Aikens,
The law now reflects society's consensus that discrimination based on the color of one's skin is a profound wrong of tragic dimension. Neither our words nor our decisions should be interpreted as signaling one inch of retreat from Congress' policy to forbid discrimination in the private, as well as the public, sphere. Nevertheless, in the area of private discrimination, to which the ordinance of the Constitution does not directly extend, our role is limited to interpreting what Congress may do and has done. The statute before us, which is only one part of Congress' extensive civil rights legislation, does not cover the acts of harassment alleged here. [491 U.S. 164, 189]
In sum, we affirm the Court of Appeals' dismissal of petitioner's racial harassment claim as not actionable under 1981. The Court of Appeals erred, however, in holding that petitioner could succeed in her discriminatory promotion claim under 1981 only by proving that she was better qualified for the position of intermediate accounting clerk than the white employee who in fact was promoted. The judgment of the Court of Appeals is therefore vacated insofar as it relates to petitioner's discriminatory promotion claim, and the case is remanded for further proceedings consistent with this opinion.
JUSTICE BRENNAN objects also to the fact that our stare decisis analysis places no reliance on the fact that Congress itself has not overturned the interpretation of 1981 contained in Runyon, and in effect has ratified our decision in that case. See post, at 200-205. This is no oversight on our part. As we reaffirm today, considerations of stare decisis have added force in statutory cases because Congress may alter what we have done by amending the statute. In constitutional cases, by contrast, Congress lacks this option, and an incorrect or outdated precedent may be overturned only by our own reconsideration or by constitutional amendment. See supra, at 172-173. It does not follow, however, that Congress' failure to overturn a statutory precedent is reason for this Court to adhere to it. It is "impossible to assert with any degree of assurance that congressional failure to act represents" affirmative congressional approval of the Court's statutory interpretation. Johnson v. Transportation Agency, Santa Clara County,
[ Footnote 2 ] In addition, another of respondent's managers testified that when he recommended a different black person for a position as a data processor, petitioner's supervisor stated that he did not "need any more problems [491 U.S. 164, 179] around here," and that he would "search for additional people who are not black." Tr. 2-160 to 2-161.
[
Footnote 3
] See, e. g., Firefighters Institute for Racial Equality v. St. Louis, 549 F.2d 506, 514-515 (CA8), cert. denied sub nom. Banta v. United States,
[ Footnote 4 ] Unnecessary overlap between Title VII and 1981 would also serve to upset the delicate balance between employee and employer rights struck by Title VII in other respects. For instance, a plaintiff in a Title VII action is limited to a recovery of backpay, whereas under 1981 a plaintiff may be entitled to plenary compensatory damages, as well as punitive damages in an appropriate case. Both the employee and employer will be unlikely to agree to a conciliatory resolution of the dispute under Title VII if the employer can be found liable for much greater amounts under 1981.
[ Footnote 5 ] This was the permissible use of evidence of racial harassment that the Fourth Circuit, in its decision below, envisioned for 1981 cases. See 805 F.2d 1143, 1145 (1986).
[ Footnote 6 ] In his separate opinion, JUSTICE STEVENS construes the phrase "the same right . . . to make . . . contracts" with ingenuity to cover various postformation conduct by the employer. But our task here is not to construe 1981 to punish all acts of discrimination in contracting in a like fashion, but rather merely to give a fair reading to scope of the statutory terms used by Congress. We adhere today to our decision in Runyon that 1981 reaches private conduct, but do not believe that holding compels us to read the statutory terms "make" and "enforce" beyond their plain and commonsense meaning. We believe that the lower courts will have little difficulty applying the straightforward principles that we announce today.
[ Footnote 7 ] Here, respondent argues that petitioner cannot make out a prima facie case on her promotion claim because she did not prove either that respondent was seeking applicants for the intermediate accounting clerk position or that the white employee named to fill that position in fact received a "promotion" from her prior job. Although we express no opinion on the merits of these claims, we do emphasize that in order to prove that she was denied the same right to make and enforce contracts as white citizens, petitioner must show, inter alia, that she was in fact denied an available position.
JUSTICE BRENNAN, with whom JUSTICE MARSHALL and JUSTICE BLACKMUN join, and with whom JUSTICE STEVENS joins as to Parts II-B, II-C, and III, concurring in the judgment in part and dissenting in part.
What the Court declines to snatch away with one hand, it takes with the other. Though the Court today reaffirms 1981's applicability to private conduct, it simultaneously gives this landmark civil rights statute a needlessly cramped interpretation. The Court has to strain hard to justify this choice to confine 1981 within the narrowest possible scope, selecting the most pinched reading of the phrase "same right to make a contract," ignoring powerful historical evidence about the Reconstruction Congress' concerns, and bolstering its parsimonious rendering by reference to a statute enacted nearly a century after 1981, and plainly not intended to affect its reach. When it comes to deciding whether a civil rights statute should be construed to further our Nation's commitment to the eradication of racial discrimination, the Court adopts a formalistic method of interpretation antithetical to Congress' vision of a society in which contractual opportunities are equal. I dissent from the Court's holding that 1981 does not encompass Patterson's racial harassment claim. [491 U.S. 164, 190]
Thirteen years ago, in deciding Runyon v. McCrary,
The Court's reaffirmation of this long and consistent line of precedents establishing that 1981 encompasses private discrimination is based upon its belated decision to adhere to the principle of stare decisis - a decision that could readily, and would better, have been made before the Court decided to put Runyon and its progeny into question by ordering reargument in this case. While there is an exception to stare decisis for precedents that have proved "outdated, . . . unworkable, or otherwise legitimately vulnerable to serious
[491
U.S. 164, 191]
reconsideration," Vasquez v. Hillery,
Having decided, however, to reconsider Runyon, and now to reaffirm it by appeal to stare decisis, the Court glosses over what are in my view two very obvious reasons for refusing to overrule this interpretation of 1981: that Runyon was correctly decided, and that in any event Congress has ratified our construction of the statute.
A survey of our cases demonstrates that the Court's interpretation of 1981 has been based upon a full and considered review of the statute's language and legislative history, assisted by careful briefing, upon which no doubt has been cast by any new information or arguments advanced in the briefs filed in this case. [491 U.S. 164, 192]
In Jones v. Alfred H. Mayer Co., supra, this Court considered whether 1982, which provides that "[a]ll citizens of the United States shall have the same right, in every State and Territory, as is enjoyed by white citizens thereof to inherit, purchase, lease, sell, hold, and convey real and personal property," prohibits private discrimination on the basis of race, and if so, whether the statute is constitutional. The Court held, over two dissenting votes, that 1982 bars private, as well as public, racial discrimination, and that the statute was a valid exercise of Congress' power under 2 of the Thirteenth Amendment to identify the badges and incidents of slavery and to legislate to end them.
The Court began its careful analysis in Jones by noting the expansive language of 1982, and observing that a black citizen denied the opportunity to purchase property as a result of discrimination by a private seller cannot be said to have the "same right" to purchase property as a white citizen.
The Court then engaged in a particular thorough analysis of the legislative history of 1 of the 1866 Act, id., at 422-437, which had been discussed at length in the briefs of both parties and their amici.
3
While never doubting that the prime targets of the 1866 Act were the Black Codes, in which the Confederate States imposed severe disabilities on the freedmen in an effort to replicate the effects of slavery, see, e. g., 1 C. Fairman, Reconstruction and Reunion 1864-1888, pp. 110-117 (1971) (discussing Mississippi's Black Codes), the Court concluded that Congress also had intended 1 to reach private discriminatory conduct. The Court cited
[491
U.S. 164, 194]
a bill (S. 60) to amend the Freedmen's Bureau Act, introduced prior to the civil rights bill, and passed by both Houses during the 39th Congress (though it was eventually vetoed by President Johnson), as persuasive evidence that Congress was fully aware that any newly recognized rights of blacks would be as vulnerable to private as to state infringement.
The Court further noted that there had been "an imposing body of evidence [before Congress] pointing to the mistreatment of Negroes by private individuals and unofficial groups, mistreatment unrelated to any hostile state legislation." Id., at 427. This evidence included the comprehensive report of Major General Carl Schurz on conditions in the Confederate States. This report stressed that laws were only part of the problem facing the freedmen, who also encountered private discrimination and often brutality. 4 The congressional [491 U.S. 164, 195] debates on the Freedmen's Bureau and civil rights bills show that legislators were well aware that the rights of former slaves were as much endangered by private action as by legislation. See id., at 427-428, and nn. 37-40. To be sure, there is much emphasis in the debates on the evils of the Black Codes. But there are also passages that indicate that Congress intended to reach private discrimination that posed an equal threat to the rights of the freedmen. See id., at 429-437. Senator Trumbull, for example, promised to introduce a bill aimed not only at "local legislation," but also at any "prevailing public sentiment" that blacks in the South "should continue to be oppressed and in fact deprived of their freedom." [491 U.S. 164, 196] Cong. Globe, 39th Cong., 1st Sess., 77 (1866), quoted in Jones, supra, at 431. 5 In the Jones Court's view, which I share, Congress said enough about the injustice of private discrimination, and the need to end it, to show that it did indeed intend the Civil Rights Act to sweep that far.
Because the language of both 1981 and 1982 appeared traceable to 1 of the Civil Rights Act of 1866, the decision in Jones was naturally taken to indicate that 1981 also prohibited private racial discrimination in the making and enforcement of contracts. Thus, in Tillman v. Wheaton-Haven Recreation Assn., Inc.,
Although the Court in Runyon treated it as settled by Jones, Tillman, and Johnson that 1981 prohibited private racial discrimination in contracting, it nevertheless discussed in detail the claim that 1981 is narrower in scope than 1982. The primary focus of disagreement between the majority in Runyon and JUSTICE WHITE's dissent, a debate renewed by the parties here on reargument, concerns the origins of 1981. Section 1 of the 1866 Act was expressly reenacted by 18 of the Voting Rights Act of 1870. Act of May 31, 1870, ch. 114, 18, 16 Stat. 144. Section 16 of the 1870 Act nevertheless also provided that "all persons within the jurisdiction of the United States shall have the same right in every State and Territory in the United States to make and enforce contracts . . . ." Ibid. Section 1 of the 1866 Act, as reenacted by 18 of the 1870 Act, was passed under Congress' Thirteenth Amendment power to identify and legislate against the badges and incidents of slavery, and, we held in Jones, applied to private acts of discrimination. The dissent in Runyon, however, argued that 16 of the 1870 Act was enacted solely under Congress' Fourteenth Amendment power to prohibit States from denying any person the equal protection of the laws, and could have had no application to purely private discrimination. See Runyon, supra, at 195-201 (WHITE, J., dissenting). But see District of Columbia v. Carter,
The Court concluded in Runyon, however - correctly, I believe - that 1977 derived both from 1 of the 1866 Act (as reenacted) and from 16 of the 1870 Act, and thus was to be interpreted, in light of the decision in Jones, as applying to private conduct. See also General Building Contractors Assn., Inc. v. Pennsylvania,
Even were there doubts as to the correctness of Runyon, Congress has in effect ratified our interpretation of 1981, a fact to which the Court pays no attention. We have justified our practice of according special weight to statutory precedents, see ante, at 172-173, by reference to Congress' ability to correct our interpretations when we have erred. To be sure, the absence of legislative correction is by no means in all cases determinative, for where our prior interpretation of a statute was plainly a mistake, we are reluctant to "`place on the shoulders of Congress the burden of the Court's own error.'" Monell v. New York City Dept. of Social Services,
There is no cause, though, to consider the precise weight to attach to the fact that Congress has not overturned or otherwise undermined Runyon. For in this case we have more positive signs of Congress' views. Congress has considered and rejected an amendment that would have rendered 1981 unavailable in most cases as a remedy for private employment discrimination, which is evidence of congressional acquiescence that is "something other than mere congressional silence and passivity." Flood v. Kuhn,
After the Court's decision in Jones v. Alfred H. Mayer Co., Congress enacted the Equal Employment Opportunity Act of 1972, Pub. L. 92-261, 86 Stat. 103, amending Title VII of the Civil Rights Act of 1964, 42 U.S.C. 2000e et seq. During Congress' consideration of this legislation - by which time there had been ample indication that 1981 was being [491 U.S. 164, 202] interpreted to apply to private acts of employment discrimination 10 - it was suggested that Title VII rendered redundant the availability of a remedy for employment discrimination under provisions derived from the Civil Rights Act of 1866. Some concluded that Title VII should be made, with limited exceptions, the exclusive remedy for such discrimination. See H. R. Rep. No. 92-238, pp. 66-67 (1971) (minority views). Senator Hruska proposed an amendment to that effect. 118 Cong. Rec. 3172 (1972). Speaking for his amendment, Senator Hruska stated his belief that under existing law private employment discrimination would give rise to a 1981 claim. He complained specifically that without a provision making Title VII an exclusive remedy, "a black female employee [alleging] a denial of either a promotion or pay raise . . . because of her color," might "completely by-pass" Title VII by filing "a complaint in Federal court under the provisions of the Civil Rights Act of 1866 against . . . the employer." Id., at 3368, 3369. In speaking against the Hruska amendment, Senator Williams, floor manager of the bill, stated that it was not the purpose of the bill "to repeal existing civil rights laws," and that to do so "would severely weaken our overall effort to combat the presence of employment discrimination." Id., at 3371. He referred to 1981 as an existing protection that should not be limited by the amendments to Title VII:
Events since our decision in Runyon confirm Congress' approval of our interpretation of 1981. In 1976 - shortly after the decision in Runyon, and well after the Court had indicated in Tillman and Johnson that 1981 prohibits private discrimination - Congress reacted to the ruling in Alyeska Pipeline Service Co. v. Wilderness Society,
Congress was well aware when it passed the 1976 Act that this Court had interpreted 1981 to apply to private discrimination. The House Judiciary Committee Report had expressly stated:
I turn now to the two issues on which certiorari was originally requested and granted in this case. The first of these is whether a plaintiff may state a cause of action under 1981 based upon allegations that her employer harassed her because of her race. In my view, she may. The Court reaches a contrary conclusion by conducting an ahistorical analysis that ignores the circumstances and legislative history of 1981. The Court reasons that Title VII or modern state contract law "more naturally govern[s]" harassment actions, ante, at 177 - nowhere acknowledging the anachronism at tendant upon the implication that the Reconstruction Congress would have viewed state law, or a federal civil rights [491 U.S. 164, 206] statute passed nearly a century later, as the primary basis for challenging private discrimination.
The legislative history of 1981 - to which the Court does not advert - makes clear that we must not take an overly narrow view of what it means to have the "same right . . . to make and enforce contracts" as white citizens. The very same legislative history that supports our interpretation of 1981 in Runyon also demonstrates that the 39th Congress intended, in the employment context, to go beyond protecting the freedmen from refusals to contract for their labor and from discriminatory decisions to discharge them. Section 1 of the Civil Rights Act was also designed to protect the freedmen from the imposition of working conditions that evidence an intent on the part of the employer not to contract on nondiscriminatory terms. See supra, at 194, and n. 4. Congress realized that, in the former Confederate States, employers were attempting to "adher[e], as to the treatment of the laborers, as much as possible to the traditions of the old system, even where the relations between employers and laborers had been fixed by contract." Report of C. Schurz, S. Exec. Doc. No. 2, 39th Cong., 1st Sess., p. 19 (1865) (emphasis added). These working conditions included the use of the whip as an incentive to work harder - the commonplace result of an entrenched attitude that "[y]ou cannot make the negro work without physical compulsion," id., at 16 - and the practice of handing out severe and unequal punishment for perceived transgressions. See id., at 20 ("The habit [of corporal punishment] is so inveterate with a great many persons as to render, on the least provocation, the impulse to whip a negro almost irresistible"). Since such "acts of persecution" against employed freedmen, ibid., were one of the 39th Congress' concerns in enacting the Civil Rights Act, it is clear that in granting the freedmen the "same right . . . to make [491 U.S. 164, 207] and enforce contracts" as white citizens, Congress meant to encompass postcontractual conduct.
The Court holds that 1981, insofar as it gives an equal right to make a contract, "covers only conduct at the initial formation of the contract." Ante, at 179; see also ante, at 183. This narrow interpretation is not, as the Court would have us believe, ante, at 176-177, the inevitable result of the statutory grant of an equal right "to make contracts." On the contrary, the language of 1981 is quite naturally read as extending to cover postformation conduct that demonstrates that the contract was not really made on equal terms at all. It is indeed clear that the statutory language of 1981 imposes some limit upon the type of harassment claims that are cognizable under 1981, for the statute's prohibition is against discrimination in the making and enforcement of contracts; but the Court mistakes the nature of that limit. 12 In my view, harassment is properly actionable under the language of 1981 mandating that all persons "shall have the same right . . . to make . . . contracts . . . as is enjoyed by white citizens" if it demonstrates that the employer has in [491 U.S. 164, 208] fact imposed discriminatory terms and hence has not allowed blacks to make a contract on an equal basis.
The question in a case in which an employee makes a 1981 claim alleging racial harassment should be whether the acts constituting harassment were sufficiently severe or pervasive as effectively to belie any claim that the contract was entered into in a racially neutral manner. Where a black employee demonstrates that she has worked in conditions substantially different from those enjoyed by similarly situated white employees, and can show the necessary racial animus, a jury may infer that the black employee has not been afforded the same right to make an employment contract as white employees. Obviously, as respondent conceded at oral argument, Tr. of Oral Arg. 30 (Feb. 29, 1987), if an employer offers a black and a white applicant for employment the same written contract, but then tells the black employee that her working conditions will be much worse than those of the white hired for the same job because "there's a lot of harassment going on in this workplace and you have to agree to that," it would have to be concluded that the white and black had not enjoyed an equal right to make a contract. I see no relevant distinction between that case and one in which the employer's different contractual expectations are unspoken, but become clear during the course of employment as the black employee is subjected to substantially harsher conditions than her white co-workers. In neither case can it be said that whites and blacks have had the same right to make an employment contract. 13 The Court's failure to consider such examples, and to explain the abundance of legislative history that confounds [491 U.S. 164, 209] its claim that 1981 unambiguously decrees the result it favors, underscore just how untenable is the Court's position. 14
Having reached its decision based upon a supposedly literal reading of 1981, the Court goes on to suggest that its grudging interpretation of this civil rights statute has the benefit of not undermining Title VII. Ante, at 180-182. It is unclear how the interpretation of 1981 to reach pervasive post-contractual harassment could be thought in any way to undermine Congress' intentions as regards Title VII. Congress has rejected an amendment to Title VII that would have rendered 1981 unavailable as a remedy for employment discrimination, and has explicitly stated that 1981 "protects similar rights [to Title VII] but involves fewer technical prerequisites to the filing of an action," see supra, at 205; that the Acts "provide alternative means to redress individual grievances," see supra, at 203; and that an employee who is discriminated against "should be accorded [491 U.S. 164, 210] every protection that the law has in its purview, and . . . the person should not be forced to seek his remedy in only one place," ibid. Evidently, Title VII and 1981 provide independent remedies, and neither statute has a preferred status that is to guide interpretation of the other. The Court, indeed, is forced to concede this fact, admitting that where the statutes overlap "we are not at liberty `to infer any positive preference for one over the other.'" Ante, at 181. But the Court then goes on to say that the existence of Title VII "should lessen the temptation for this Court to twist the interpretation of [ 1981] to cover the same conduct." Ibid. This, of course, brings us back to the question of what 1981, properly interpreted, means. The Court's lengthy discussion of Title VII adds nothing to an understanding of that issue.
The Court's use of Title VII is not only question begging; it is also misleading. Section 1981 is a statute of general application, extending not just to employment contracts, but to all contracts. Thus we have held that it prohibits a private school from applying a racially discriminatory admissions policy, Runyon, and a community recreational facility from denying membership based on race, Tillman. The lower federal courts have found a broad variety of claims of contractual discrimination cognizable under 1981. E. g., Wyatt v. Security Inn Food & Beverage, Inc., 819 F.2d 69 (CA4 1987) (discriminatory application of hotel bar's policy of ejecting persons who do not order drinks); Hall v. Bio-Medical Application, Inc., 671 F.2d 300 (CA8 1982) (medical facility's refusal to treat black person potentially cognizable under 1981); Hall v. Pennsylvania State Police, 570 F.2d 86 (CA3 1978) (bank policy to offer its services on different terms dependent upon race); Cody v. Union Electric, 518 F.2d 978 (CA8 1975) (discrimination with regard to the amount of security deposit required to obtain service); Howard Security Services, Inc. v. Johns Hopkins Hospital, 516 F. Supp. 508 (Md. 1981) (racially discriminatory award of contract to
[491
U.S. 164, 211]
supply services); Grier v. Specialized Skills, Inc., 326 F. Supp. 856 (WDNC 1971) (discrimination in admissions to barber school); Scott v. Young, 307 F. Supp. 1005 (ED Va. 1969) (discrimination in amusement park admissions policy), aff'd, 421 F.2d 143 (CA4), cert. denied,
Even as regards their coverage of employment discrimination, 1981 and Title VII are quite different. As we have previously noted, "the remedies available under Title VII and under 1981, although related, and although directed to most of the same ends, are separate, distinct, and independent." Johnson,
Applying the standards set forth above, I believe the evidence in this case brings petitioner's harassment claim firmly within the scope of 1981. Petitioner testified at trial that during her 10 years at McLean she was subjected to racial slurs; given more work than white employees and assigned the most demeaning tasks; passed over for promotion, not informed of promotion opportunities, and not offered training [491 U.S. 164, 213] for higher level jobs; denied wage increases routinely given other employees; and singled out for scrutiny and criticism.
Robert Stevenson, the general manager and later president of McLean, interviewed petitioner for a file clerk position in 1972. At that time he warned her that all those with whom she would be working were white women, and that they probably would not like working with a black. Tr. 1-19. In fact, however, petitioner testified that it was Stevenson and her supervisors who subjected her to racial harassment, rather than her co-workers. For example, petitioner testified that Stevenson told her on a number of occasions that "blacks are known to work slower than whites by nature," id., at 1-87 to 1-88, 2-80 to 2-81, or, as he put it in one instance, that "some animals [are] faster than other animals." Id., at 2-83. Stevenson also repeatedly suggested that a white would be able to do petitioner's job better than she could. Id., at 1-83. 16
Despite petitioner's stated desire to "move up and advance" at McLean to an accounting or secretarial position, id., at 1-22, she testified that she was offered no training for a higher level job during her entire tenure at the credit union. Id., at 1-25. White employees were offered training, id., at 1-93, including a white employee at the same level as petitioner but with less seniority. That less senior white employee was eventually promoted to an intermediate accounting clerk position. Id., at 1-48 to 1-49, 2-114 to 2-115. As with every other promotion opportunity that occurred, petitioner was never informed of the opening. Id., at 1-46, 1-91 to 1-92. During the 10 years petitioner worked for McLean, white persons were repeatedly hired for more senior [491 U.S. 164, 214] positions, without any notice of these job openings being posted, and without petitioner ever being informed of, let alone interviewed for, any of these opportunities. Id., at 1-93 to 1-97. Petitioner claimed to have received different treatment as to wage increases as well as promotion opportunities. Thus she testified that she had been denied a promised pay raise after her first six months at McLean, though white employees automatically received pay raises after six months. Id., at 1-84 to 1-85. See also id., at 1-60 to 1-65 (denial of merit increase).
Petitioner testified at length about allegedly unequal work assignments given by Stevenson and her other supervisors, id., at 1-27 to 1-28, 1-30, and detailed the extent of her work assignments. Id., at 1-31, 1-101 to 1-120, 2-18, 2-119 to 2-121. When petitioner complained about her workload, she was given no help with it. Id., at 1-82 to 1-83. In fact, she was given more work and was told she always had the option of quitting. Id., at 1-29. Petitioner claimed that she was also given more demeaning tasks than white employees and was the only clerical worker who was required to dust and to sweep. Id., at 1-31. She was also the only clerical worker whose tasks were not reassigned during a vacation. Whenever white employees went on vacation, their work was reassigned; but petitioner's work was allowed to accumulate for her return. Id., at 1-37, 1-87.
Petitioner further claimed that Stevenson scrutinized her more closely and criticized her more severely than white employees. Stevenson, she testified, would repeatedly stare at her while she was working, although he would not do this to white employees. Id., at 1-38 to 1-39, 1-90 to 1-91. Stevenson also made a point of criticizing the work of white employees in private, or discussing their mistakes at staff meetings without attributing the error to a particular individual. But he would chastise petitioner and the only other black employee publicly at staff meetings. Id., at 1-40, 1-89 to 1-90, 2-72 to 2-73. [491 U.S. 164, 215]
The defense introduced evidence at trial contesting each of these assertions by petitioner. But given the extent and nature of the evidence produced by Patterson, and the importance of credibility determinations in assigning weight to that evidence, the jury may well have concluded that petitioner was subjected to such serious and extensive racial harassment as to have been denied the right to make an employment contract on the same basis as white employees of the credit union. 17
I agree that the District Court erred when it instructed the jury as to petitioner's burden in proving her claim that McLean violated 1981 by failing to promote her, because she is black, to an intermediate accounting clerk position. The District Court instructed the jury that Patterson had to prove not only that she was denied a promotion because of her race, but also that she was better qualified than the white employee who had allegedly received the promotion. That instruction is inconsistent with the scheme of proof we have carefully designed, in analogous cases, "to bring the litigants and the court expeditiously and fairly to [the] ultimate question" whether the defendant intentionally discriminated against the plaintiff. Texas Dept. of Community Affairs v. Burdine,
A 1981 plaintiff must prove purposeful discrimination. General Building Contractors Assn., Inc. v. Pennsylvania,
A black plaintiff claiming that an employment decision infringed her 1981 right to make and enforce contracts on the same terms as white persons has the initial burden of establishing a prima facie case. This burden is not an onerous one. Burdine, supra, at 253. The plaintiff need only prove by a preponderence of the evidence that she applied for an available position for which she was qualified, see supra, at 213-214, that she was rejected, and that the employer either continued to seek applicants for the position, or, as allegedly occurred in this case, filled the position with a white employee, see McDonnell Douglas, supra, at 802; Burdine, supra, at 253. We have required at this stage proof only that a plaintiff was qualified for the position she sought, not proof that she was better qualified than other applicants. See McDonnell Douglas, supra, at 802; Burdine, supra, at 253, n. 6. Proof sufficient to make out a prima facie case raises a presumption that the employer acted for impermissible [491 U.S. 164, 217] reasons, see Furnco Construction Corp., supra, at 577, which the employer may then rebut by articulating "some legitimate, nondiscriminatory reason for the employee's rejection," McDonnell Douglas, supra, at 802.
In this case, in addition to attacking petitioner's claim to have made out a prima facie case, respondent introduced evidence tending to show that if it promoted a white employee over petitioner, it did so because the white employee was better qualified for the job. This evidence rebutted any presumption of discrimination raised by petitioner's prima facie case. Our cases make it clear, however, that a plaintiff must have the opportunity to introduce evidence to show that the employer's proffered reasons for its decision were not its true reasons. It is equally well established that this evidence may take a variety of forms. McDonnell Douglas, supra, at 804-805; Furnco Construction Corp., supra, at 578. Though petitioner might have sought to prove that McLean's claim to have promoted a better qualified applicant was not its true reason by showing she was in fact better qualified than the person promoted, the District Court erred in instructing the jury that to succeed petitioner was required to make that showing. Such an instruction is much too restrictive, cutting off other methods of proving pretext plainly recognized in our cases. We suggested in McDonnell Douglas, for example, that a black plaintiff might be able to prove pretext by showing that the employer has promoted white employees who lack the qualifications the employer relies upon, or by proving the employer's "general policy and practice with respect to minority employment."
I therefore agree that petitioner's promotion discrimination claim must be remanded because of the District Court's erroneous instruction as to petitioner's burden. It seems to me, however, that the Court of Appeals was correct when it said that promotion-discrimination claims are cognizable under 1981 because they "go to the very existence and nature of the employment contract." 805 F.2d, at 1145. The Court's disagreement with this commonsense view, and its statement that "the question whether a promotion claim is actionable under 1981 depends upon whether the nature of the change in position was such that it involved the opportunity to enter into a new contract with the employer," ante, at 185, display nicely how it seeks to eliminate with technicalities the protection 1981 was intended to afford - to limit protection to the form of the contract entered into, and not to extend it, as Congress intended, to the substance of the contract as it is worked out in practice. Under the Court's view, the employer may deny any number of promotions solely on the basis of race, safe from a 1981 suit, provided it is careful that promotions do not involve new contracts. [491 U.S. 164, 219] It is admittedly difficult to see how a "promotion" - which would seem to imply different duties and employment terms - could be achieved without a new contract, and it may well be as a result that promotion claims will always be cognizable under 1981. Nevertheless, the same criticisms I have made of the Court's decision regarding harassment claims apply here: proof that an employee was not promoted because she is black - while all around white peers are advanced - shows that the black employee has in substance been denied the opportunity to contract on the equal terms that 1981 guarantees.
In summary, I would hold that the Court of Appeals erred in deciding that petitioner's racial harassment claim is not cognizable under 1981. It likewise erred in holding that petitioner could succeed in her promotion-discrimination claim only by proving that she was better qualified for the position of intermediate accounting clerk than the white employee who was in fact promoted.
[ Footnote 1 ] Act of Apr. 9, 1866, ch. 31, 1, 14 Stat. 27. Section 1 provided:
[
Footnote 2
] In support of its view, the Court in Jones quoted from an exchange during the House debate on the civil rights bill. When Congressman Loan of Missouri asked the Chairman of the House Judiciary Committee why 2 had been limited to those who acted under color of law, he was told, not that the statute had no application at all to those who had not acted under color of law, but that the limitation had been imposed because it was not desired to make "`a general criminal code for the States.'" Id., at 425, n. 33, quoting Cong. Globe, 39th Cong., 1st Sess., 1120 (1866). Justice Harlan in dissent conceded that the Court's interpretation of this exchange as supporting a broader reading of 1 was "a conceivable one."
[ Footnote 3 ] See, e. g., Brief for Petitioners 12-16, Brief for Respondents 7-24, Brief for United States as Amicus Curiae 28-35, 38-51, and Brief for National Committee Against Discrimination in Housing et al. as Amici Curiae 9-39, in Jones v. Alfred H. Mayer Co., O. T. 1967, No. 45.
[ Footnote 4 ] Report of C. Schurz, S. Exec. Doc. No. 2, 39th Cong., 1st Sess. (1865). The Schurz report is replete with descriptions of private discrimination, relating both to the freedmen's ability to enter into contracts and to their treatment once under contract. It notes, for example, that some planters had initially endeavored to maintain "the relation of master and slave, partly by concealing from [their slaves] the great changes that had taken place, and partly by terrorizing them into submission to their behests." Id., at 15. It portrays as commonplace the use of "force and intimidation" to keep former slaves on the plantations:
It must therefore have been evident to members of the 39th Congress that, quite apart from the Black Codes, the freedmen would not enjoy the same right as whites to contract or to own or lease property so long as private discrimination remained rampant. This broad view of the obstacles to the freedmen's enjoyment of contract and property rights was similarly expressed in the Howard Report on the operation of the Freedmen's Bureau, H. R. Exec. Doc. No. 11, 39th Cong., 1st Sess. (1865). It likewise appears in the hearings conducted by the Joint Committee on Reconstruction contemporaneously with Congress' consideration of the civil rights bill. See Report of the Joint Committee on Reconstruction, 39th Cong., 1st Sess., pts. I-IV (1866). These investigations uncovered numerous incidents of violence aimed at restraining southern blacks' efforts to exercise their new-won freedom, e. g., id., pt. III, p. 143, and whippings aimed simply at making them work harder, or handed out as punishment for a laborer's transgressions, e. g., id., pt. IV, p. 83, as well, for example, as refusals to pay freedmen more than a fraction of white laborers' wages, e. g., id., pt. II, pp. 12-13, 54-55, 234.
[ Footnote 5 ] Senator Trumbull was speaking here of his Freedmen's Bureau bill, which was regarded as having the same scope as his later civil rights bill. See supra, at 193-194.
For other statements indicating that 1 reached private conduct, see Cong. Globe, 39th Cong., 1st Sess., 1118 (1866) ("Laws barbaric and treatment inhuman are the rewards meted out by our white enemies to our colored friends. We should put a stop to this at once and forever") (Rep. Wilson); id., at 1152 (bill aimed at "the tyrannical acts, the tyrannical restrictions, and the tyrannical laws which belong to the condition of slavery") (emphasis added) (Rep. Thayer).
[ Footnote 6 ] See, e. g., Brief for Petitioners 2, 6-11, Brief for Respondents 13-22, and Brief for United States as Amicus Curiae 13-18, in Runyon v. [491 U.S. 164, 197] McCrary, O. T. 1975, No. 75-62; Brief for Petitioner 17-59, in Fairfax-Brewster School, Inc. v. Gonzales, O. T. 1975, No. 75-66.
[ Footnote 7 ] Congress originally entrusted the revision of the laws to three Commissioners appointed under the Act of June 27, 1866, 14 Stat. 74-75. These Commissioners were instructed to draft sidenotes indicating the source of each section of their revision, 2, id., at 75, and they wrote the marginal note to what became 1977 of the Revised Statutes, which referred as a source only to 16 of the 1870 Act. See 1 Revision of the [491 U.S. 164, 199] United States Statutes as Drafted by the Commissioners Appointed for that Purpose 947 (1872). Congress rejected the work of the Commissioners, however, precisely because Members believed it to contain new legislation. See 2 Cong. Rec. 646 (1874). Congress then appointed Thomas Durant to review the Commissioners' work. See Act of Mar. 3, 1873, 3, 17 Stat. 580. "[W]herever the meaning of the law had been changed," Durant was "to strike out such changes." 2 Cong. Rec. 646 (1874). Durant reported that he had compared the Commissioners' revision with preexisting statutes, and that "wherever it has been found that a section contained any departure from the meaning of Congress as expressed in the Statutes at Large, such change has been made as was necessary to restore the original signification." Report to the Joint Committee on the Revision of the Laws 1 (1873). Durant's revision, H. R. 1215, 43d Cong., 1st Sess. (1874), which was put before Congress in the form of a bill, see 2 Cong. Rec. 819 (1874), contained no marginal notations. See id., at 826-827, 1210. The Commissioners' reference to 16 reappeared only after Congress authorized the Secretary of State to publish the Revised Statutes with marginal notations. See Act of June 20, 1874, ch. 333, 2, 18 Stat. (part 3) 113. Apparently, the Secretary simply lifted notations from the Commissioners' draft revision. Hence, insofar as Durant might have thought that the Commissioners had changed the law by referring only to 16 as their source, and that this problem had been cured merely by the omission of the marginal note from his own draft, it seems strained to rely upon the later decision to restore the Commissioners' marginal notes as evidence that 1977 derives solely from 16. This is particularly so in light of criticism directed in Congress to the accuracy of some of the Commissioners' side-notes. See 2 Cong. Rec. 828 (1874) (citing as an error a marginal note that was "not sufficiently comprehensive" to reflect the provision's source) (Rep. Lawrence).
[ Footnote 8 ] I find strong support for our prior holding that 1981 is derived in part from the 1866 Act in the legislative history of the 1874 codification. Representative Lawrence, a member of the Joint Committee on the Revision of the Laws, specifically commented in the House upon the proposed revision of the 1866 and 1870 Acts. Id., at 827-828. He noted that the plan of revision was "to collate in one title of `civil rights' the statutes which declare them." Id., at 827. After setting out 1 and 2 of the 1866 Act, and then 16 and 17 of the 1870 Act, Representative Lawrence stated that the revisers had "very properly not treated [the 1870 Act] as [491 U.S. 164, 200] superseding the entire original act." Id., at 828. Rather, they had "translat[ed] the sections I have cited from the acts of 1866 and 1870, so far as they relate to a declaration of existing rights," in the provisions that have now become 1981 and 1982. Ibid. There is no hint in this passage that any part of the 1866 Act would be lost in the revision, and indeed in other parts of his statement Representative Lawrence makes it plain that he understood the revisers' task to be that of presenting "the actual state of the law." Id., at 826. See also id., at 647-649 (general discussion on the aim of the revision to codify existing law without modification), and id., at 1210 ("[W]e do not purpose to alter the law one jot or title") (Rep. Poland).
[
Footnote 9
] See, e. g., Civil Rights Attorney's Fees Awards Act of 1976, Pub. L. 94-559, 90 Stat. 2641, 42 U.S.C. 1988 (overturning Alyeska Pipeline Service Co. v. Wilderness Society,
[
Footnote 10
] The Court had remarked in Jones upon the close parallel between 1981 and 1982.
[ Footnote 11 ] See also 118 Cong. Rec. 3370 (1972) (Sen. Javits) (opposing the Hruska amendment because it would "cut off . . . the possibility of using civil rights acts long antedating the Civil Rights Act of 1964 in a given situation which might fall, because of the statute of limitations or other provisions, in the interstices of the Civil Rights Act of 1964").
[
Footnote 12
] The Court's overly narrow reading of the language of 1981 is difficult to square with our interpretation of the equal right protected by 1982 "to inherit, purchase, lease, sell, hold, and convey real and personal property" not just as covering the rights to acquire and dispose of property, but also the "right . . . to use property on an equal basis with white citizens," Memphis v. Greene,
In Shaare Tefila Congregation v. Cobb,
[ Footnote 13 ] I observe too that a company's imposition of discriminatory working conditions on black employees will tend to deter other black persons from seeking employment. "[W]hen a person is deterred, because of his race, from even entering negotiations, his equal opportunity to contract is denied as effectively as if he were discouraged by an offer of less favorable terms." Comment, Developments in the Law - Section 1981, 15 Harv. Civ. Rights-Civ. Lib. L. Rev. 29, 101 (1980).
[
Footnote 14
] In Meritor Savings Bank v. Vinson,
Petitioner has never argued that the harassment she allegedly suffered amounted to a breach of an express or implied contract under state law, so this case presents no occasion to consider the United States' view that such a breach is actionable under 1981 because it deprives a black employee of the same right to make contracts as a white person.
[
Footnote 15
] The Court suggests that overlap between 1981 and Title VII interferes with Title VII's mediation and conciliation procedures. Ante, at 180-182, and n. 4. In Johnson v. Railway Express Agency, Inc.,
[ Footnote 16 ] A former manager of data processing for McLean testified that when he recommended a black person for a position as a data processor, Stevenson criticized him, saying that he did not "need any more problems around here," that he would interview the person, but not hire him, and that he would then "search for additional people who are not black." Tr. 2-160 to 2-161.
[ Footnote 17 ] The proposed jury instruction quoted by the Court, ante, at 179, is scarcely conclusive as to the nature of Patterson's harassment claim. Indeed, it is precisely harassment so pervasive as to create a discriminatory work environment that will demonstrate that a black plaintiff has been denied an opportunity to contract on equal terms with white employees.
[
Footnote 18
] The Court of Appeals mistakenly held that the instruction requiring petitioner to prove her superior qualifications was necessary in order to protect the employer's right to choose among equally well-qualified applicants. As we stated in Texas Dept. of Community Affairs v. Burdine,
JUSTICE STEVENS, concurring in the judgment in part and dissenting in part.
When I first confronted the task of interpreting 1981, I was persuaded by Justice Cardozo's admonition that it is wise for the judge to "`lay one's own course of bricks on the secure foundation of the courses laid by others who had gone before him.'" Runyon v. McCrary,
In Runyon we held that 1981 prohibits a private school from excluding qualified children because they are not white citizens. Just as a qualified nonwhite child has a statutory right to equal access to a private school, so does a nonwhite applicant for employment have a statutory right to enter into a personal service contract with a private employer on the same terms as a white citizen. If an employer should place special obstacles in the path of a black job applicant - perhaps by requiring her to confront an openly biased and hostile interviewer - the interference with the statutory right to make contracts to the same extent "as is enjoyed by white citizens" would be plain.
Similarly, if the white and the black applicants are offered the same terms of employment with just one exception - that the black employee would be required to work in dark, uncomfortable surroundings, whereas the white employee would be given a well-furnished, two-window office - the discrimination would be covered by the statute. In such a case, the Court would find discrimination in the making of the contract because the disparity surfaced before the contract was made. See ante, at 176-177, 179, 180, 184. Under the Court's understanding of the statute, the black applicant might recover on one of two theories: She might demonstrate that the employer intended to discourage her from taking the job - which is the equivalent of a "refusal to enter into a contract" - or she might show that the employer actually intended to enter a contract, but "only on discriminatory terms." Ante, at 177. Under the second of these theories of recovery, however, it is difficult to discern why an employer who makes his intentions known has discriminated in the "making" of a contract, while the employer who conceals his discriminatory intent until after the applicant has accepted [491 U.S. 164, 221] the job, only later to reveal that black employees are intentionally harassed and insulted, has not.
It is also difficult to discern why an employer who does not decide to treat black employees less favorably than white employees until after the contract of employment is first conceived is any less guilty of discriminating in the "making" of a contract. A contract is not just a piece of paper. Just as a single word is the skin of a living thought, so is a contract evidence of a vital, ongoing relationship between human beings. An at-will employee, such as petitioner, is not merely performing an existing contract; she is constantly remaking that contract. Whenever significant new duties are assigned to the employee - whether they better or worsen the relationship - the contract is amended and a new contract is made. Thus, if after the employment relationship is formed, the employer deliberately implements a policy of harassment of black employees, it has imposed a contractual term on them that is not the "same" as the contractual provisions that are "enjoyed by white citizens." Moreover, whether employed at will or for a fixed term, employees typically strive to achieve a more rewarding relationship with their employers. By requiring black employees to work in a hostile environment, the employer has denied them the same opportunity for advancement that is available to white citizens. A deliberate policy of harassment of black employees who are competing with white citizens is, I submit, manifest discrimination in the making of contracts in the sense in which that concept was interpreted in Runyon v. McCrary, supra. I cannot believe that the decision in that case would have been different if the school had agreed to allow the black students to attend, but subjected them to segregated classes and other racial abuse.
Indeed, in Goodman v. Lukens Steel Co.,
The Court's repeated emphasis on the literal language of 1981 might be appropriate if it were building a new foundation, but it is not a satisfactory method of adding to the existing structure. In the name of logic and coherence, the Court today adds a course of bricks dramatically askew from "the secure foundation of the courses laid by others," replacing a sense of rational direction and purpose in the law with an aimless confinement to a narrow construction of what it means to "make" a contract.
For the foregoing reasons, and for those stated in Parts II-B and II-C of JUSTICE BRENNAN's opinion, I respectfully dissent from the conclusion reached in Part III of the Court's opinion. I also agree with JUSTICE BRENNAN's discussion of the promotion claim. [491 U.S. 164, 223]
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Citation: 491 U.S. 164
No. 87-107
Argued: February 29, 1988
Decided: June 15, 1989
Court: United States Supreme Court
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