MEMORANDUM OPINION
BRIAN BARNETT DUFF, District Judge.
In these consolidated cases, two separate groups of plaintiffs challenge the redistricting of Chicago’s wards. In
Barnett,
a group of African-American, registered voters in the City of Chicago (the
“Barnett
Plaintiffs”) allege that both the redistricting process and the resultant map are unconstitutional and violate the Voting Rights Act. In
Smith,
a group of African-American and Caucasian Chicago Aldermen, as well as the Political Action Conference of Illinois, a not-for-profit political action organization composed of African-American citizens and representatives residing in the City of Chicago (the
“Smith
Plaintiffs”), allege that the redistricted ward map violates the Voting Rights Act.
Both the
Smith
and
Barnett
Defendants have filed motions to dismiss which are currently
pending before the court.
For the reasons discussed below, the court grants both motions to dismiss.
BACKGROUND
Illinois law required the Chicago City Council to redistrict Chicago’s 50 wards by December 1, 1991, based upon the 1990 Census. Ill.Rev.Stat. ch. 24, ¶ 21-38. Since the City Council failed to do so, Illinois law provided that any ten Chicago aldermen could propose a redistricting ordinance and demand that it be put to a popular referendum. Ill.Rev.Stat. ch. 24, ¶ 21-40.
Two different redistricting ordinances were ultimately proposed and placed on the ballot. One of the ordinances was sponsored by the
Smith
Plaintiffs, while the other was offered by 28 aldermen supporting Mayor Richard Daley on this issue. On March 17, 1992, the map proposed by the latter group (hereinafter, the “March 1992 Map”) was selected by the voters, and thereupon came into “force and effect.” Ill.Rev.Stat. ch. 24, § 21-42.
Under the March 1992 Map, the racial composition of Chicago’s 50 wards (according to total population) is as follows:
% of pop. in a given ward
>35%
>40%
>45%
>50%
>55%
>60%
>65%
>70%
# of wards in which whites constitute the given %
24
24
22
18
18
13
12
12
# of wards in which blacks constitute the given %
20
20
20
20
20
19
19
19
# of wards in which Hispanics constitute the given %
10
8
7
7
7
7
7
3
Although the parties disagree on the precise number of wards controlled by each ethnic group, neither side contends that the city’s wards are, or should be, perfectly distributed according to racial group population.
Indeed, as the Plaintiffs point out in their Joint Response, proportional representation would be virtually impossible in Chicago due to the size and dispersion of Chicago’s many ethnic groups.
The
Smith
Plaintiffs nevertheless allege that the March 1992 Map maximizes the political power of Caucasians by “fracturing” African-American communities (i.e., splitting them into more than one district with the result that African-Americans
constitute an ineffective political grouping in each) and drawing majority Caucasian wards that “borrow” population from other groups. Because of the alleged “fracturing”, the
Smith
Plaintiffs assert that the March 1992 Map violates the Voting Rights Act.
The
Barnett
Plaintiffs, meanwhile, allege that the March 1992 Map “packs” African-Americans into super-majority wards (i.e., excessively concentrates them) without similarly packing Caucasians. Accordingly, the
Barnett
Plaintiffs allege that the March 1992 Map violates the Voting Rights Act, the Civil Rights Act, the 14th Amendment, and the 15th Amendment. The
Barnett
Plaintiffs also allege that the ballot used in the March 17, 1992 redistricting referendum was so ambiguous, illogical and uninformative as to be violative of the same constitutional and statutory provisions.
DISCUSSION
The standard governing this court’s decision on a Rule 12(b)(6) motion is well established. Only if the allegations in the complaint, and all reasonable inferences drawn therefrom, could not support any cause of action may this court grant the motion. See generally Charles Wright & Arthur Miller, 5A
Federal Practice and Procedure:
Civil 2d § 1357 (West Publishing, 2d ed. 1990). The court, however, need not strain to find inferences favorable to the Plaintiffs which are not apparent on the face of the complaint.
Coates v. Illinois State Board of Education,
559 F.2d 445, 447 (7th Cir.1977). The court must nevertheless interpret ambiguities in the complaint in favor of the Plaintiffs, and the Plaintiffs are free, in defending against the motions, “to allege without evidentiary support any facts [they] please[ ] that are consistent with the complaint, in order to show that there is a state of facts within the scope of the complaint that if proved ... would entitle [them] to judgment.”
Early v. Bankers Life and Casualty Co.,
959 F.2d 75, 79 (7th Cir.1992).
A. The
Smith
and
Barnett
Claims that the March 1992 Map Violates the Voting Rights Act.
Section 2(a) of the Voting Rights Act makes it illegal to deny or abridge, on account of race, any person’s right to vote. 42 U.S.C. § 1973(a). Section 2(b), as amended in 1982, adds that a violation of § 2(a) occurs
if, based on the totality of circumstances, it is shown that the political processes leading to nomination or election ... are not equally open to participation by members of a class of citizens protected by subsection (a) of this section in that its members have less opportunity than other members of the electorate to participate in the political process and to elect representatives of their choice. The extent to which members of a protected class have been elected to office in the State or political subdivision is one circumstance which may be considered:
Provided,
That nothing in this section establishes a right to have members of a protected class elected in numbers equal to their proportion in the population.
42 U.S.C. § 1973(b) (emphasis in original). Congress amended § 2 in 1982 so as to define Voting Rights Act violations in terms of discriminatory outcome, not intent.
Thornburg v. Gingles,
478 U.S. 30, 35, 106 S.Ct. 2752, 2758, 92 L.Ed.2d 25 (1986). As a result, § 2 violations can be proven “by showing discriminatory effect alone”, rather than having to show a discriminatory purpose.
Id.
at 35, 106 S.Ct. at 2758.
At the same time, however, § 2(b) says that “nothing in this section establishes a right to have members of a protected class elected in numbers equal to their proportion in the population.” 42 U.S.C. § 1973(b). This proviso unequivocally disclaims a right to proportional representation.
Gingles,
478 U.S. at 84, 106 S.Ct. at 2784 (O’Connor, J., concurring in judgment);
Baird v. Cons. City of Indianapolis,
976 F.2d 357, 359 (7th Cir.1992).
Sustained proportional representation of a minority group moreover, actually
negates any claim under § 2(b), unless such sustained success “does not accurately reflect the minority group’s ability to elect its preferred representatives.”
Gingles,
478 U.S. at 77, 106 S.Ct. at 2780;
Baird,
976 F.2d at 361. Although the Supreme Court in
Gingles
did not identify the types of special circumstances that would indicate that a minority group’s proportional representation was not an accurate reflection of its voting strength, in
Baird,
the Seventh Circuit explained that “[t]he majority [in
Gingles
] was concerned that black electoral success might be attributable to transient factors such as the pendency of litigation that could lead white voters to throw the minority a bone.”
Baird,
976 F.2d at 361. In neither
Gingles
nor
Baird,
however, were any such “transient factors” found. Rather, in both cases, dispositive, sustained proportional representation was established by examining historical election patterns.
Both
Gingles
and
Baird
dealt with challenges to multi-member, at-large districts. In contrast, the cases at bar only involve single-member districts. In single-member districts, when a particular minority group constitutes a super-majority (65% of the total population, or 60% of the voting age population), that minority group is ensured that it will have “a fair opportunity to elect a candidate of their choice.”
Ketchum, v. Byrne,
740 F.2d 1398, 1415 (7th Cir.1984).
In single-member district cases, “sustained” minority proportional representation may therefore be surmised from the number of single-member districts in which minorities constitute a super-majority. Thus, unless such a minority group has an intentional discrimination claim or there are “special circumstances” indicating that the sustained proportional representation does not accurately reflect the minority group’s true electoral strength, it will not have any claim under the Voting Rights Act.
In both of the cases at bar, the Plaintiffs allege that the March 1992 Map violates § 2 of the Voting Rights Act. Since neither case properly alleges intentional discrimination in violation of § 2(a) (see below), the cases must be analyzed in terms of the results approach provided for in § 2(b).
As noted above, in terms of total population city-wide, according to the 1990 Census, African-Americans constitute 38.6% of the population, Caucasians constitute 37.9%, and Hispanics constitute 19.-6%.
Under the March 1992 Map, based
upon total population, African-Americans have a 70% super-majority in 38% of the wards, and in 40% of the wards African-Americans constitute at least 55% of the population. Caucasians, in contrast, constitute a majority in only 36% of the wards, and constitute 60% of the population in only 26% of the wards. Under the
Ketchum
65% standard, African-Americans are therefore virtually guaranteed electoral representation proportional to their percentage of the total city-wide population.
Moreover, there is no reason to believe that this statistically guaranteed representation does not accurately reflect African-Americans’ ability to elect their preferred representatives. To the contrary, two of the
Smith
Plaintiffs (aldermen Moore and Shiller, who represent the 49th and 46th wards, respectively) were elected in wards with Caucasian populations greater than 45% both before and after redistricting.
Plaintiffs nevertheless challenge the application of
Baird
to the cases at bar. Plaintiffs concede that African-Americans do have representation proportional to their percentage of the population,
but argue that African-Americans have a § 2(b) claim since they are not as proportionately well-represented as Caucasians. Plaintiffs argument is inconsistent, irrelevant, and somewhat deceptive. First, this assertion stems from Plaintiffs’ usage of voting-age statistics. Ironically, Plaintiffs simultaneously castigate Defendants for their usage of voting age statistics.
Second, us-
ing total population figures (as the Supreme Court did in
Gingles,
478 U.S. at 74, n. 35, 106 S.Ct. at 2779, n. 35, and 478 U.S. at 104, 106 S.Ct. at 2794, O’Connor, J., concurring), African-Americans have a super-majority (65%) in 19 wards (38% of the total), and a 55% majority in 20 wards (40%). Caucasians, meanwhile, have a bare majority in only 18 wards (36%). Therefore, based upon total population statistics, African-Americans are as proportionately well-represented as Caucasians.
As a result, Plaintiffs can only claim under-proportional representation with respect to Caucasians if voting-age statistics are used. Even if voting-age statistics are used, African-Americans, who constitute 38.6% of the population, have a super-majority in 38% of the wards.
Most important, however, is the fact that the Voting Rights Act expressly disclaims any entitlement to proportional representation, let alone any entitlement to over-proportional representation. As the Seventh Circuit explained in
Baird,
Just as the proviso to § 2(b) ensures that white candidates are free to compete for electoral success that exceeds the ratio of white voters, so blacks must be free to compete for favor; the Voting Rights Act neither sets nor tolerates a cap on their achievements.
Baird,
976 F.2d at 359.
The fact that both
Gingles
and
Baird
addressed two race scenari (African-Ameri
cans and Caucasians) as opposed to the three race scenario in the cases at bar (African-Americans, Caucasians, and Hispanics) does not change the effect of a minority group’s proportional representation on
its
right to sue under § 2(b). After all, in any community with more than one-sizable minority group, not every group can or will be proportionately represented (indeed, § 2(b) expressly disclaims proportional representation). As a consequence, some groups will necessarily be slightly over-represented, and others slightly under-represented. Hence, all groups except for the proportionately best represented group will “have less opportunity than other members of the electorate to ... elect representatives of their choice.” 42 U.S.C. § 1973(b). Under Plaintiffs’ reasoning, therefore, every group other than the best-represented group would have a § 2(b) claim since some other group was slightly better represented.
Plaintiffs’ argument ignores the fact, that § 2(b) analysis is “based on the totality of the circumstances”. 42 U.S.C. § 1973(b). Two such circumstances that cannot be ignored are a group’s own proportional representation and the impossibility of perfectly apportioning all seats according to racial percentages. Therefore, if minority groups A and B are both underrepresented, minority group C is slightly over-represented, and majority group D is over-represented a tad more than minority group C, C does not have a cause of action under § 2(b) merely because D has slightly better representation. Plaintiffs objection to the application of
Baird
to the cases at bar is therefore unfounded.
Accordingly, Plaintiffs’ § 2(b) “discriminatory outcome” claims are dismissed.
Even though Plaintiffs do not have a claim under § 2(b), “proof of intentional discrimination under § 2(a) remains an option.”
Baird,
976 F.2d at 360. Plaintiffs, however, do not allege intentional discrimination in violation of § 2(a). Rather, the
Smith
and
Barnett
Amended Complaints are directed at § 2(b)’s “results” test.
Indeed, the Plaintiffs themselves unambiguously state, “[t]he focus [of the
Smith
and
Barnett
Amended Complaints] is on the impact of the ward boundaries on the minority population and whether those boundaries have the
effect
of diluting minority voting strength” (emphasis added). P.Jt.Response to D’s Motion to Submit Supp.Auth, at 4. Neither the
Smith
nor the
Barnett
Amended Complaints even contains the words “intentional discrimination” or “discriminatory purpose,” and nowhere in Plaintiffs’ joint response brief or in their response to Defendants’ motion to submit supplementary authority is it even inferred that the alleged violations of the Voting Rights Act stemmed from
intentional
discrimination. Accordingly, Plaintiffs have not properly alleged intentional discrimination in violation of § 2(a) of the Voting Rights Act. Since Plaintiffs do not have a claim under § 2(b), both the
Smith
and
Barnett
Voting Rights Act claims are hereby dismissed.
B. The
Barnett
Plaintiffs’ 14th and 15th Amendment Claims Against the March 1992 Map.
To prevail on a claim based upon either the 14th or 15th Amendments, a plaintiff must allege and prove the existence of discriminatory intent on the part of the defendant.
Mobile v. Bolden,
446 U.S. 55, 62, 66, 100 S.Ct. 1490, 1497, 1499, 64 L.Ed.2d 47 (1980);
Ketchum,
740 F.2d
at 1403. Consequently, to establish that a particular reapportionment plan violates either the 14th or 15th Amendments, a plaintiff must plead and prove that the plan was conceived or operated as a purposeful device to further racial discrimination.
Bolden,
446 U.S. at 62-66, 100 S.Ct. at 1497-1499.
The Seventh Circuit, moreover, has recently held that discriminatory effect alone does not establish unconstitutional discrimination:
the only discrimination forbidden by these provisions [the 14th Amendment equal protection clause and the 5th Amendment due process clause] is
intentional
discrimination. Disparate impact, which means the unintended consequence of measures adopted for reasons unrelated to any intention to discriminate, is not, under the Supreme Court’s current interpretation of the Constitution, an acceptable basis for a finding of
unconstitutional
discrimination, whatever the significance of such a showing may be under the civil rights statutes.
Tucker,
958 F.2d at 1413-1414 (emphasis in original).
See, also, Illinois Legislative Redistricting Com. v. LaPaille,
786 F.Supp. 704 (N.D.Ill.1992) (“in addition to failing to prove a discriminatory effect for 14th and 15th Amendment purposes, the Gardner parties have also failed to prove a discriminatory motive as required under those amendments”).
Id.
at 717.
The
Barnett
Plaintiffs allege that the March 1992 Map violated the 14th and 15th Amendments, but they do not allege
intentional
discrimination or discriminatory purpose. Nevertheless, the
Barnett
Plaintiffs assert that the mere allegation of a discriminatory effect (i.e., “packing”) is sufficient to state a claim under the 14th and 15th Amendments. In support of their position, the
Barnett
Plaintiffs cite
Rybicki v. State Bd. of Elections,
574 F.Supp. 1082, 1110 (N.D.Ill.1982) (hereafter,
“Rybicki
I”) and
Ketchum,
740 F.2d at 1409, which, in dictum, favorably commented on the portion of
Rybicki
I cited by the
Barnett
Plaintiffs.
The
Barnett
Plaintiffs reliance on
Rybicki
I and
Ketchum
is misplaced. In
Rybicki
I, Judge Cudahy found that “under the peculiar circumstances of this case”, the instances of population manipulation “are so closely linked to a desire to minimize black voting strength that they constitute strong evidence of a discriminatory purpose.”
Rybicki,
574 F.Supp. at 1109-1110. Judge Cudahy also found that
“[tjhis
unnecessary packing represents intentional dilution of the black vote.”
Id.
at 1110 (emphasis added). In so writing, however, Judge Cudahy was not universally equating packing with intentional discrimination, but was merely making a narrow legal conclusion based upon a precise fact situation. Likewise, the
Ketchum
dictum that favorably commented on
Rybicki
I (and which was also written by Judge Cudahy) should also not be converted into a universal truism.
Accordingly, the court concludes that discriminatory intent is a necessary element for a 14th or 15th Amendment claim, and that a mere allegation of packing does not infer intentional discrimination. The
Barnett
Plaintiffs’ 14th and 15th Amendment challenges to the March 1992 Map are therefore dismissed.
C. The
Barnett
Plaintiffs’ Challenges to the March 17, 1992 Referendum Ballot.
As noted above, in Count II, the
Barnett
Plaintiffs allege that the March 17, 1992 referendum ballot (the “Ballot”) violates “the hereinbefore mentioned constitutional and statutory rights.”
Barnett
Amended Comp. at ¶ 91. Although the
Barnett
Plaintiffs do not specifically identify to which rights they are referring, the court presumes that the
Barnett
Plaintiffs are alleging violations of the Civil Rights Act,
the Voting Rights Act, and the 14th and 15th Amendments, all of which were all mentioned earlier in the complaint.
The essence of the Ballot challenge of the
Barnett
Plaintiffs is their contention that it “did not adequately, accurately, properly or intelligently advise the voters of what, or for what, the voter was casting his or her ballot.”
Id.
This contention is premised upon two theories: first, that the Ballot was insufficient because the proposed maps themselves were not displayed on the Ballot; and, second, that the Ballot was insufficient because the list of aider-men submitting each map was not in the order that the
Barnett
Plaintiffs contend would have been most logical.
The
Barnett
Defendants, in response, contend that the
Barnett
Plaintiffs lack standing to bring this claim.
This argument is premised upon the failure of the
Barnett
Plaintiffs to plead that they themselves were confused or otherwise injured by the Ballot, or even that they voted in the March 17, 1992 referendum.
To have standing, a plaintiff must establish three elements:
First, the plaintiff must have suffered an “injury in fact” — an invasion of a legally-protected interest which is (a) concrete and particularized ... and (b) “actual or imminent, not ‘conjectural’ or ‘hypothetical’ ”... Second, there must be a causal connection between the injury and the conduct complained of — the injury has to be “fairly ... trace[able] to the challenged action of the defendant, and not ... th[e] result [of] the independent action of some third party not before the court.” ... Third, it must be “likely,” as opposed to merely “speculative,” that the injury will be “redressed by a favorable decision” (citations eliminated).
Lujan v. Defenders of Wildlife,
— U.S. —, at —, 112 S.Ct. 2130, at 2136, 119 L.Ed.2d 351 (1992);
see, also, People Organized For Welfare & Employment Rights (P.O.W.E.R) v. Thompson,
727 F.2d 167, 171 (7th Cir.1984) (to support a federal cause of action, an injury “must in short be fairly describable as an injury personal to the plaintiff — a deprivation of
his
right— rather than a concern with another’s injury” (emphasis in original)).
The
Barnett
Plaintiffs have not alleged any injury personal to
them.
They have not alleged that they were personally confused by the Ballot, nor that any confusion suffered by others caused the
Barnett
Plaintiffs to suffer injury. Furthermore, the
Barnett
Plaintiffs have not even alleged that they voted in the referendum. Rather, the
Barnett
Plaintiffs have only alleged that the Ballot was ambiguous, illogical, and confusing to “voters.” The
Barnett
Plaintiffs have therefore not properly plead the necessary standing elements. Count II of the
Barnett
Amended Complaint is therefore dismissed.
D. The
Barnett
Plaintiffs Civil Rights Act Claims.
In paragraph 1 of the
Barnett
Amended Complaint, the
Barnett
Plaintiffs list several sections from the Civil Rights Act, 42 U.S.C. § 1981,
et seq.,
and then later allege that “[t]he [March 1992 Map] violates and is repugnant to the hereinbefore set forth constitutional and statutory rights ...”
Barnett
Amended Complaint at ¶ 85. The
Barnett
Plaintiffs do not allege any facts to support their Civil Rights Act claims. Furthermore, the
Barnett
Plaintiffs did not even respond to the arguments regarding the Civil Rights Act claims. Accordingly, the
Barnett
Plaintiffs Civil Rights Act claims are hereby dismissed.
E. Count III of the
Barnett
Amended Complaint.
Count III of the
Barnett
Amended Complaint adopts the allegations contained in
Counts I and II, and asks the court to enact some undisclosed map to be drawn by the
Barnett
Plaintiffs and to hold special elections under that map. This request for an additional remedy does not set forth any legal theory other than theories which this court has already dismissed. Count III is therefore dismissed for the same reasons that the
Barnett
Plaintiffs’ other claims have been dismissed.
CONCLUSION
For all of the foregoing reasons, the
Barnett
and
Smith
Amended Complaints are hereby dismissed.