Justice Stevens
delivered the opinion of the Court.
In 1966, South Carolina enacted a statute that altered Edgefield County’s election practices but the statute was not submitted to federal officials for their approval as required by the Voting Rights Act of 1965.
In 1971, the statute was amended, modifying the 1966 election practices, and state officials submitted the amendment to the Attorney General for his approval. In response to a request from the Attorney General, state officials provided him with additional documentation in support of their submission, including the 1966 statute. The Attorney General approved the submission, stating that he did not object to the change in question. The
question in this case is whether the Attorney General’s approval of the 1971 submission can be deemed to have the effect of ratifying the changes embodied in the 1966 enactment. We hold that the 1966 changes have not been approved.
HH
As of November 1, 1964, local political authority in Edge-field County, South Carolina, was vested in a County Supervisor and a Board of County Commissioners.
The County Supervisor, the chairman of the three-member Board, was elected at large for a 4-year term. The County Supervisor had jurisdiction over public roads, matters relating to county taxes and expenditures, and certain other matters. The other two seats on the Board were appointed offices. These two commissioners were appointed by the Governor, also for 4-year terms, upon the recommendation of a majority of the county’s delegation in the state legislature after a countywide straw vote on prospective appointees. There were no residency requirements for commissioners. The Board had limited administrative and ministerial powers.
On June 1, 1966, the South Carolina General Assembly enacted Act No. 1104, which was effective as a matter of state law when it was signed by the Governor on June 7, 1966. The Act created a new form of government for Edgefield County, altering the county’s election practices. The office of County Supervisor and the Board of County Commissioners were abolished upon expiration of the incumbents’ terms. A three-member County Council with broad legislative and administrative powers was created,
and the county was
divided into three residency districts for purposes of electing Council members. To qualify as a candidate for a seat on the Council under the Act, an individual must be a qualified voter in one of the three districts and is required to register as a candidate from that district. The Council members, however, are elected at large: voters throughout the county cast votes for a candidate from each district, and the candidate in each district with the largest number of votes occupies that district’s seat on the Council. Council members are elected for 2-year terms, and the members themselves annually elect a chairman.
The 1966 Act was amended in 1971 by Act No. 521, “An Act to Amend Act No. 1104 of 1966 ... So As To Increase The Number of Districts And The Number of County Council Members.”
The 1971 amendment increased the number of residency districts, and thus the number of Council members, from three to five. Necessarily the change in the number of districts resulted in new district boundaries. Otherwise, the 1971 amendment did not alter the 1966 Act.
County Council elections in Edgefield County have been conducted under the basic scheme established by the 1966 Act since the first elections held pursuant to the Act in November 1966.
In 1971, state officials sent a letter to the Attorney General of the United States stating: “In accordance with the provisions of Section 5 of the Voting Rights Act of 1965, there are submitted herewith copies” of 18 listed recent state enactments, which included the 1971 amendment regarding Edge-
field County.
The Justice Department responded to the request for clearance of the 1971 amendment by stating: “After a preliminary examination of H2206 [the 1971 amendment], it does not appear that we have sufficient information to evaluate the change you have submitted.”
The Justice Department therefore requested additional information from state officials—maps showing boundaries of current districts, population and registration statistics, recent election returns, “a copy of the election statute now in force”—and noted that the time limitation on consideration of the request would begin to run when the relevant information “necessary to evaluate H2206” was provided.
State officials forwarded the requested information “concerning the legislation that required further clarification (H2206)” to the Justice Department, including a copy of the 1966 Act.
The Justice Department letter in response stated that it was “concerning the submission of H2206 to the Attorney General pursuant to Section 5 of the Voting Rights Act of 1965, as amended,” and then stated: “The Attorney General does not interpose any objections to the change in question.”
II
The appellants, black voters residing in Edgefield County, South Carolina, commenced a class action in 1974 in the United States District Court for the District of South Carolina challenging the county’s election practices on constitutional grounds. Specifically, they alleged in their complaint
against appellees, various county officials including the County Council members, that the county’s at-large method of electing the County Council diluted the voting strength of black voters and that the county’s residency districts were malapportioned. The District Court entered judgment in favor of appellants on the malapportionment claim, but that judgment was reversed on appeal.
Lytle
v.
Commissioners of Election,
376 F. Supp. 304 (SC), rev’d, 509 F. 2d 1049, 1032 (CA4), cert. denied
sub nom. McCain
v.
Lybrand,
419 U. S. 1032 (1974). After years of litigation and unsuccessful settlement negotiations, the District Court entered judgment in favor of appellants on their constitutional claim challenging the method of electing the Council at large from residency districts and enjoined further elections for the County Council until adoption of a new method of election, Record, Doc. Nos. 27, 28 (orders of Apr. 17, 1980, and Apr. 22, 1980). A few months later, the District Court vacated the judgment and ordered further proceedings in light of this Court’s intervening decision in
City of Mobile
v.
Bolden,
446 U. S. 55 (1980). Record, Doc. No. 31 (order of Aug. 8, 1980).
While continuing to press their constitutional claim in the District Court, appellants then filed an amended complaint, alleging that the 1966 Act had never been submitted to federal officials as required by § 5 of the Voting Rights Act of 1965. 79 Stat. 439, as amended, 42 U. S. C. § 1973c. A three-judge District Court was convened to decide this claim. That court reviewed South Carolina’s 1971 submission and noted that the Justice Department had been made aware of the provisions of the 1966 Act. The District Court concluded that the Justice Department’s request for additional information “indicates that Justice Department’s review of [the 1971 Act] encompassed all aspects of the Act, including the effect of the at-large with residency requirement voting that had been implemented in 1966.” App. to Juris. Statement 12a. The District Court did not find, however, that the Justice Department had been provided with any information concerning
voting practices prior to 1966, or that it had been made aware of the fact that the 1966 Act embodied election practices different from those that had been in effect before 1966. Nevertheless, the District Court concluded that the Attorney General’s approval of the 1971 Act, which both changed the 1966 Act by increasing the size of the Council and reenacted its remaining provisions, “renders moot any objection to the superceded 1966 provisions.”
Id.,
at 13a.
After obtaining the views of the Solicitor General, who urged summary reversal of the District Court’s judgment, we noted probable jurisdiction, 462 U. S. 1130 (1983), and for the reasons which follow, we now reverse.
I — I f — ( HH
The Fifteenth Amendment commands: “The right of citizens of the United States to vote shall not be denied or abridged by the United States or by any State on account of race, color, or previous condition of servitude.” The Voting Rights Act of 1965, as amended, 42 U. S. C. § 1973
et seq.
(1976 ed. and Supp. V),
was enacted by Congress as a response to the “unremitting and ingenious defiance” of the command of the Fifteenth Amendment for nearly a century by state officials in certain parts of the Nation.
South Carolina
v.
Katzenbach,
383 U. S. 301, 309 (1966). Congress concluded that case-by-case litigation under previous legislation was an unsatisfactory method to uncover and remedy the systematic discriminatory election practices in certain areas: such lawsuits were too onerous and time-consuming to prepare, obstructionist tactics by those determined to perpetuate discrimination yielded unacceptable delay, and even successful lawsuits too often merely resulted in a change in
methods of discrimination.
E. g.,
H. R. Rep. No. 439, 89th Cong., 1st Sess., 9-11 (1965). Congress decided “to shift the advantage of time and inertia from the perpetrators of the evil to its victims,” 383 U. S., at 328, and enacted “stringent new remedies” designed to “banish the blight of racial discrimination in voting” once and for all,
id.,
at 308.
The “preclearance” requirement mandated by §5 of the Act is perhaps the most stringent of these remedies, and certainly the most extraordinary.
It prohibits jurisdictions
which had engaged in certain violations of the Fifteenth Amendment from implementing any election practices different from those in effect on November 1, 1964, pending scrutiny by federal officials to determine whether the changes are racially discriminatory in purpose or effect. “The language of § 5 clearly provides that it applies only to proposed changes in voting procedures.”
Beer
v.
United States,
425 U. S. 130, 138 (1976). Statutory provisions constituting changes in election practices are not “effective as laws until and unless [they are] cleared pursuant to §5.”
Connor
v.
Waller,
421 U. S. 656 (1975)
(per curiam).
The rationale of this “uncommon exercise” of congressional power which sustained its constitutional validity was a presumption that jurisdictions which had “resorted to the extraordinary stratagem of contriving new rules of various kinds for the sole purpose of perpetuating voting discrimination in the face of adverse federal court decrees” would be likely to engage in “similar maneuvers in the future in order to evade the remedies for voting discrimination contained in the Act itself.”
South Carolina
v.
Katzenbach, supra,
at 334, 335 (footnote omitted). This provision must, of course, be interpreted in light of its prophylactic purpose and the historical experience which it reflects. See,
e. g., McDaniel
v.
Sanchez,
452 U. S. 130, 151 (1981).
Section 5 of the Voting Rights Act of 1965, as originally enacted, required a covered State or political subdivision desiring to implement any election practices different from those in effect on November 1, 1964, to obtain a declaratory judgment from a three-judge panel of the United States District Court for the District of Columbia holding that the change “does not have the purpose and will not have the
effect of
denying or abridging the right to vote on account of race or color” before the new practice could be implemented. 79 Stat. 439. A proviso in § 5, however, established an alternative method of obtaining federal clearance of the measure: if the new election practice was submitted to the Attorney General of the United States and the Attorney General did not interpose an objection within 60 days of the submission, the jurisdiction was permitted to implement the change.
The original voting rights bill did not contain this alternative preclearance method; but after concerns arose that the declaratory judgment route would unduly delay implementation of nondiscriminatory legislation, it appears that the proviso was added “to provide a speedy alternative method of compliance to covered States.”
Morris
v.
Gressette,
432 U. S. 491, 503 (1977). While the legislative history of the proviso is sparse,
ibid.,
the history which does exist and the lack of controversy surrounding the proviso indicate that Congress in no way intended that the substantive protections of § 5 be sacrificed in the name of expediency, though it did logically anticipate that most jurisdictions would opt for the alternative preclearance method and that declaratory judgment actions would likely be limited to those occasions on which the Attorney General interposed an objection, see H. R. Rep. No. 439, 89th Cong., 1st Sess., 26 (1965); Hear
ings on S. 1564 before the Senate Committee on the Judiciary, 89th Cong., 1st Sess., 237 (1965) (statement of Attorney General Katzenbach). We have previously recognized that the declaratory judgment proceeding is the “basic mechanism” for preclearance established by the Act,
United States
v.
Sheffield Board of Comm’rs,
435 U. S. 110, 136 (1978), and that the “provision for submission to the Attorney General merely gives the covered State a rapid method of rendering a new state election law enforceable.”
Allen
v.
State Board of Elections,
393 U. S. 544, 549 (1969);
Georgia
v.
United States,
411 U. S. 526, 538 (1973). Indeed, irrespective of which avenue of preclearance the covered jurisdiction chooses, it has the same burden of demonstrating that the changes are not motivated by a discriminatory purpose and will not have an adverse impact on minority voters,
McDaniel
v.
Sanchez,
452 U. S. 130, 137 (1981);
Georgia
v.
United States, swpra,
at 538, and federal officials are confronted with the same “difficult substantive issue.”
Allen
v.
State Board of Elections, supra,
at 558.
In evaluating the use of the alternative procedure of submitting proposed changes to the Attorney General, it must be remembered that § 5 “was enacted in large part because of the acknowledged and anticipated inability of the Justice Department — given limited resources — to investigate independently all changes with respect to voting enacted by States and subdivisions covered by the Act.”
Perkins
v.
Matthews,
400 U. S. 379, 392, n. 10 (1971). Moreover, it is apparent that ambiguity concerning the scope of a preclearance is more likely if the State opts for the more expeditious method: silence constitutes consent under that method, and even when the Attorney General affirmatively states he has no objection, ambiguity may be present if the State’s submission itself is ambiguous. The potential for such ambiguity was particularly pronounced prior to the adoption of detailed regulations by the Justice Department governing preclear-
anee submissions,
when covered jurisdictions often merely sent a copy of new legislation to the Attorney General with a general statement that it was being submitted pursuant to §5.
Congress has amended the Voting Rights Act several times, each time continuing the basic structure of the original preclearance provision.
In the legislative history of the extensions of the Act, §5 has been deemed to be a “vital element” of the Act to ensure that “new subterfuges will be promptly discovered and enjoined.” H. R. Rep. No. 91-397, p. 8 (1969). But Congress recognized that it was only as vital as state compliance allowed it to be. Unfortunately it appeared that “States rarely obeyed the mandate of that section, and the Federal Government was too timid in its enforcement.” Hearings on H. R. 4249 before the Committee on the Judiciary, 91st Cong., 1st Sess., 4 (1969) (statement of Rep. McCulloch). Few changes were submitted; and only a handful of objections were interposed: “Where local officials have passed discriminatory laws, generally they have not been submitted to the Department of Justice.” Hearings on H. R. 4249 before the House Committee on the Judiciary, 91st Cong., 1st Sess., 220 (1969) (statement of Attorney General Mitchell). While compliance with §5 increased after the 1970 extension of the Voting Rights Act, and the provision was believed to have been largely responsible for gains achieved in minority political participation, H. R. Rep. No. 94-196, pp. 10-11 (1975), the continuing “widespread failure to submit proposed changes in election law for Section 5 review before attempting to implement the change” was recently viewed as “significant evidence of the continuing need for the preclearance requirement.” S. Rep. No. 97-417, p. 12 (1982). The Attorney General has attempted to
use several methods to identify unsubmitted changes, including the preclearance process itself, but the widespread noncompliance with the preclearance requirement, particularly acute shortly after passage of the Voting Rights Act in 1965, combined with the absence of an independent mechanism in the Justice Department to monitor changes, has permitted circumvention of the requirement which itself was designed to eliminate circumvention of the goals of the Act. H. R. Rep. No. 97-227, p. 13 (1981). Recent efforts to review finally the many unsubmitted changes made shortly after the passage of the Act in 1965 have received unqualified congressional endorsement.
Ibid.
In light of the structure, purpose, history, and operation of § 5, we have rejected the suggestion that the “Act contemplates that a ‘submission’ occurs when the Attorney General merely becomes aware of legislation, no matter in what manner,” and instead have held that “[a] fair interpretation of the Act requires that the State in some unambiguous and recordable manner submit any legislation or regulation in question directly to the Attorney General with a request for his consideration pursuant to the Act.”
Whitley
v.
Williams,
decided with
Allen
v.
State Board of Elections, supra,
at 571. More recently we stated: “While the Act does provide that inaction by the Attorney General may, under certain circumstances, constitute federal preclearance of a change, the purposes of the Act would plainly be subverted if the Attorney General could ever be deemed to have approved a voting change when the proposal was neither properly submitted nor in fact evaluated by him.”
United States
v.
Sheffield Board of Comm’rs, supra,
at 136. This interpretation of the provision is faithful to its history and purpose, while at
the same time leaving ample room for minimizing the “potential severity of the §5 remedy,”
Morris
v.
Gressette,
432 U. S., at 504.
IV
Edgefield County is admittedly a political subdivision of South Carolina subject to the provisions of the Voting Rights Act,
and it is conceded that the 1966 Act was subject to the preclearance requirement of § 5 of the Act.
It is also undisputed that the 1966 Act was never submitted to the Attorney General or the United States District Court for the District of Columbia for §5 review.
Accordingly, unless the pre-
clearance of the 1971 amendment can be deemed to ratify the changes embodied in the 1966 Act, § 5 of the Voting Rights Act plainly invalidates those changes and the District Court must fashion appropriate relief.
As we previously observed, the preclearance procedures mandated by §5 of the Voting Rights Act focus entirely on
changes
in election practices.
Supra,
at 245. The title of the 1971 amendment unambiguously identified the changes in election practices which it effected — an increase in the number of Council members and residency districts — and served to define the scope of the preclearance request. An examination of the correspondence concerning the 1971 submission,
supra,
at 240-241, plainly shows that only the 1971 amendment was being considered for preclearance,
and further indicates that the request for preclearance was viewed as limited to the change
in elections practices effected by it.
Thus South Carolina’s submission of the 1971 amendment increasing the size of the Edgefield County Council apparently required the Attorney General to determine whether either the change in the district boundaries or the change in the number of districts had a discriminatory purpose or effect, but would not appear to have required him to pass on the question whether the 1966 changes represented a setback for minority voters in Edgefield County. The jurisdiction has never submitted that question to the Attorney General and has never attempted to shoulder its burden of demonstrating that the 1966 changes were nondiscriminatory.
The District Court held, however, that the Attorney General’s request for additional information (including a copy of the 1966 statute and information concerning previous candidates, election results, and residency district boundaries) indicated that he had considered all aspects of the electoral scheme, including the changes effected in the 1966 Act. App. to Juris. Statement 12a. In the alternative, it held that since the 1971 amendment retained the changes effected by the 1966 Act, the lack of objection to the 1971 submission necessarily constituted approval of those changes as well and rendered the failure to preclear the 1966 Act moot.
Id.,
at 13a.
The significance the District Court attached to the Attorney General’s request for additional information was wholly unwarranted. It is plain that the information which the Attorney General requested and received was merely rele
vant to an identification of the changes which he had been requested to approve or to an evaluation of the purpose and effect of the changes made by the 1971 amendment which he did approve: the 1966 Act and the other information served as a benchmark allowing him to quantify the extent of the increase in the size of the Council and to compare the new district boundaries with the earlier ones. His request for and receipt of this information in no way suggest that he approved changes that he was not requested to approve.
Moreover, the information obtained in response to the Attorney General’s request did not enable him to ascertain whether a covered change was made by the 1966 Act,
much less evaluate whether the changes made by the 1966 scheme — and unaffected by the 1971 amendment — were discriminatory in purpose or effect when compared to the 1964 practices. In order to pass on the 1966 Act, he would have needed information concerning the pre-1966 election law and its practical effects. He neither requested nor received such information.
Just as “no one would argue” that the Attor
ney General’s “difficult and complex” decision “should be made without adequate information,”
Georgia
v.
United States,
411 U. S., at 540, an argument that such a decision has been made when the record indicates adequate information was lacking carries little weight. And it would require a wild flight of imagination to suggest that the Attorney General recognized that the 1966 Act effected changes which had required preclearance and had never been precleared, and then did not ask state officials to explain the failure to pre-clear those changes,
but instead embarked on the task of gathering the information necessary to evaluate those alterations on his own rather than requesting state officials to provide the information to him as he had just done regarding the changes made by the 1971 amendment. It is even more unlikely that he would have kept his consideration and approval of the changes made by the 1966 Act a secret from state officials in his letter preclearing the 1971 amendment.
In concluding that there is insufficient evidence for a finding that the Attorney General actually considered the changes made by the 1966 Act in preclearing the 1971 amendment, we note that at the time of the 1971 submission, the Attorney General was completing promulgation of regulations governing § 5 submissions.
The regulations shed light
on the correct interpretation of the scope of the changes encompassed by the Attorney General’s preclearance letter, since they make clear the nature of the information necessary to constitute a valid “submission.” See 28 CFR § 51.2(c) (1972).
The regulations indicate that the focus of the Attorney General’s scrutiny of a statute was, understandably, limited to the specific changes submitted for consideration.
Finally, the Justice Department has recently indicated that the changes made in the 1966 Act and retained in the 1971 amendment have not been precleared, see App. to Juris. Statement 40a-42a, and such after-the-fact Justice Department statements have been previously relied upon in deter
mining; whether a particular change was actually precleared in analogous circumstances, see
United States
v.
Georgia,
Civ. Action No. C76-1531A (ND Ga., Sept. 30, 1977), summarily aff’d, 436 U. S. 941 (1978).
The District Court also erred in viewing the submission’s scope as encompassing all features of the 1971 amendment, rather than the changes effected by that particular enactment. When a jurisdiction adopts legislation that makes clearly defined changes in its election practices, sending that legislation to the Attorney General merely with a general request for preclearance pursuant to §5 constitutes a submission of the changes made by the enactment and cannot be deemed a submission of changes made by previous legislation which themselves were independently subject to § 5 pre-clearance.
The fact that a covered jurisdiction adopted a new election practice after the effective date of the Voting Rights Act raises, in effect, a statutory inference that the practice may have been adopted for a discriminatory purpose or may have a discriminatory effect and places the burden on the jurisdiction to establish that the practice is not discriminatory. A request for preclearance of certain identi
fied changes in election practices which fails to identify other practices as new ones thus cannot be considered an adequate submission of the latter practices. In this case, the 1971 submission failed to inform the Attorney General that the provisions of the 1971 amendment which merely re-codified various practices contained in the 1966 Act were themselves changes that might give rise to an inference of discrimination.
To the extent there was any ambiguity in the scope of the preclearance request, the structure and purpose of the preclearance requirement plainly counsel against resolving such ambiguities in favor of the submitting jurisdiction in the circumstances of this case. The preclearance process is by design a stringent one; it is predicated on the congressional finding that there is a risk that covered jurisdictions may attempt to circumvent the protections afforded by the Act; the burden of proof (the risk of nonpersuasion) is placed upon the covered jurisdiction; and submissions under the alternative preclearance method — adopted for the convenience of the covered jurisdictions while Congress recognized the inability of the Justice Department independently to monitor and to identify changes in election practices — should be carefully construed to protect the remedial aims of the Act. Moreover, the congressional assessment of the practical operation of the provision in the years since its adoption clearly indicates Congress’ continuing intent to guard against any diminution in the potency of the provision, and an intent to continue to insist upon submission of changes which had previously not been submitted. The broad scope given to the 1971 submission by the District Court, and its conclusion that submitting the 1971 amendment rendered the failure to pre-clear the 1966 Act moot, are inconsistent with the foregoing governing principles.
In summary, to the extent the judgment below may be interpreted as resting upon a factual finding that the Attorney General actually considered and approved the changes made
by the 1966 Act in the course of the submission of the 1971 amendment, after reviewing the evidence ourselves we are “left with the definite and firm conviction that a mistake has been committed,”
and we thus overturn that finding as clearly erroneous. The District Court erred as a matter of law in concluding that the lack of objection to the 1971 submission rendered the failure to preclear the 1966 Act moot.
Accordingly, we reverse the District Court’s judgment and remand to the District Court for proceedings consistent with this opinion.
It is so ordered.
Justice Blackmun, Justice Powell, and Justice Rehnquist concur in the judgment..