Court Opinion

ID: 4204415
Source: CourtListenerOpinion
Date Created: 2017-09-19 15:02:24.57803+00
Date Added: 2024-06-11T14:41:12.053706
License: Public Domain

UNITED STATES DISTRICT COURT
                                FOR THE DISTRICT OF COLUMBIA

_________________________________________
                                          )
JASMIN RICHARDSON, et al.,                )
                                          )
      Plaintiffs,                         )
                                          )
              v.                          )                           Case No. 16-cv-1786 (APM)
                                          )
DISTRICT OF COLUMBIA,                     )
                                          )
      Defendant.                          )
_________________________________________ )

                                       MEMORANDUM OPINION

        Plaintiff Jasmin Richardson filed suit under the Individuals with Disabilities Education Act,

20 U.S.C. § 1400 et seq., to seek review of a Hearing Officer’s determination that Defendant District

of Columbia correctly concluded that her minor son, C.S., did not have a qualifying disability in

2015, despite subsequent testing that confirmed C.S. exhibits symptoms consistent with at least one

disability recognized under the statute.

        Before the court are the parties’ cross-motions for summary judgment. For the reasons that

follow, the court grants Defendant’s motion.

                                                        I

        C.S., Plaintiff’s four-year-old son, began receiving special education services under Part C

of the Individuals with Disabilities Education Act (“IDEA”), in 2014 at Early Learning Center, a

nonprofit service provider in Washington, D.C. See Admin. Rec., ECF No. 9, Pts. 1–10, ECF Nos.

9-1 through 9-10 [hereinafter A.R.], at 6–7. 1 Part C of the IDEA provides for early intervention

services for at-risk infants and toddlers until the age of three. See 20 U.S.C. §§ 1431–1433. The

1
 The Administrative Record appears on the docket in ten parts. Because the pagination is continuous throughout, the
court cites to the Record as though presented as a single document.
D.C. Office of the State Superintendent of Education determined C.S. was eligible for Part C

educational services based upon a Strong Start D.C. Early Intervention Program evaluation

conducted in October 2014, as part of which the evaluators administered the Battelle

Developmental Inventory, Second Edition (“BDI-2”), and the Assessment, Evaluation and

Programming System for Infants and Children, Second Edition; reviewed C.S.’s medical records;

and observed C.S. A.R. at 6–7.

       Because C.S. would turn three years old in late 2015 and no longer be eligible for Part C

services, he underwent an initial special education evaluation, consisting of multiple parts, in order

to determine whether he qualified for services under Part B of the IDEA. Id. at 7, 10; see 20 U.S.C.

§ 1412(a)(9). Part B of the IDEA provides special education and related services to children and

young adults between the ages of 3 and 21. See 20 U.S.C. § 1412(a)(1)(A). In April 2015, C.S.

was referred to a school psychologist at Early Stages Center, a D.C. Public Schools assessment

center, and he underwent a psychological evaluation in mid-July 2015. A.R. at 7–8. As part of that

evaluation, the psychologist reviewed C.S.’s October 2014 Strong Start evaluation; interviewed

Plaintiff and Plaintiff’s mother (C.S.’s grandmother); tested C.S. using the Autism Diagnostic

Observation Schedule, Second Edition, assessment and the Pervasive Development Disorder

Behavior Inventory assessment; and, on July 28, 2015, issued a report with his findings. Id. at 7–

8, 55–63.    Additionally, an occupational therapist observed C.S. in class in early July and

interviewed his teacher. Id. at 9, 68–69. Lastly, a speech-language pathologist evaluated C.S. in

July, as well. She observed C.S. in class; interviewed C.S.’s speech-language provider and

classroom teacher; reviewed the Early Stages’ interview of Plaintiff and Plaintiff’s mother;

administered an Otoacoustic Emissions test and Preschool Language Scales, Fifth Edition,

assessment; and committed her findings to a report issued on July 22, 2015. Id. at 8, 45–54.

                                                  2
        In late July 2015, a Multi-Disciplinary Team (“Defendant’s team”) held a meeting, which

Plaintiff and Plaintiff’s mother attended, and concluded C.S. was not eligible for Part B services

because he did not qualify as a child with an Autism Spectrum Disorder, Speech or Language

Impairment, or Developmental Delay. Id. at 8–9. In making that determination, the team reviewed

C.S.’s BDI-2 scores from 2014, the July 2015 psychological evaluation by the Early Stages school

psychologist, the July 2015 speech-language assessment, and the July 2015 classroom observations

by the occupational therapist. Id. at 75–89. As a result of Defendant’s team’s determination, C.S.

stopped receiving speech-language and occupational therapy services in fall 2015 because he had

aged-out of eligibility for Part C services. Id. at 7, 10.

        Plaintiff disagreed with Defendant’s team’s determination and requested that Defendant

fund an Independent Educational Evaluation of C.S. Pursuant to Plaintiff’s request, Defendant

provided funding for psychological and speech evaluations of C.S. in the early part of 2016 to

determine whether he qualified as a child with a disability. Id. at 10. First, on February 10, 2016,

an independent audiologist performed a speech-language evaluation of C.S. and concluded he “had

an expressive language deficit in verbal language communication for which he needed speech-

language therapy.” Id. at 11. Next, in mid-February 2016, an independent psychologist observed

C.S. in the classroom and administered a variety of cognitive, educational, and behavioral

assessments. Id. at 10–11. The independent psychologist determined that C.S. presented with

clinical symptoms consistent with Global Development Delay, as defined in the Diagnostic and

Statistical Manual of Mental Disorders, Fifth Edition, and Autism Spectrum Disorder, as defined

under District of Columbia law. Id. at 11. Lastly, in April 2016, an occupational therapist reviewed

C.S.’s records; interviewed his classroom teachers, Plaintiff, and Plaintiff’s mother; made clinical

observations; and tested C.S. using the Peabody Developmental Motor Scales, Second Edition,

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assessment. Id. The occupational therapist concluded C.S. “needed support for fine motor delays.”

Id. at 12.

        In late April 2016, Defendant’s team reconvened and determined C.S. met the eligibility

criteria for Developmental Delay and, therefore, was a child with a disability entitled to a free

appropriate public education (“FAPE”). Id. Plaintiff subsequently sought a due process hearing to

review the team’s earlier conclusion that C.S. did not qualify as a child with a disability in July

2015. Id. at 3.

        After holding a hearing on the matter, the Hearing Officer ruled in favor of Defendant. First,

the Hearing Officer concluded that Defendant’s team’s July 2015 evaluation was “comprehensive,”

as required by the IDEA, because it included review of the psychological, speech-language, and

occupational therapy assessments that the Early Stages assessment center conducted in July 2015,

as well as the BDI-2 assessment completed as part of the Strong Start evaluation from October

2014. Id. at 15. Although Plaintiff’s expert, Dr. Keisha Mack, had testified that there were “missing

pieces” in the July 2015 psychological evaluation, making it unreliable, the Hearing Officer

discounted Dr. Mack’s opinion because Dr. Mack also stated she had not reviewed the Strong Start

assessment data, on which the July 2015 psychological evaluation relied, and, therefore, could not

affirmatively rebut the findings of the July 2015 psychological evaluation. Id. at 15, 423–25. The

Hearing Officer also rejected Plaintiff’s argument that the July 2015 psychological evaluation was

deficient because the Early Stages school psychologist did not conduct any classroom observations

of C.S. or interview C.S.’s teachers himself, but instead, relied on the classroom observations and

interviews of the speech-language pathologist.        Id. at 15–16.   Second, the Hearing Officer

determined that Defendant’s team appropriately concluded C.S. was not a child with a disability in

July 2015 because the data presented did not meet the District of Columbia’s definition of either

                                                  4
“Developmental Delay” or “Autism Spectrum Disorder.” Id. at 17–21 (citing 5-E D.C.M.R. §

3001). Specifically, with respect to the possibility of Autism Spectrum Disorder, the Hearing

Officer explained that Plaintiff had not proven C.S. qualified as a child with an Autism Spectrum

Disorder because her expert did not make that conclusion on the record as part of her opinion. Id.

at 20. Separately, with respect to the Developmental Delay, the Hearing Officer found Plaintiff had

not met her burden of proof because Dr. Mack “could not dispute the conclusions and

recommendations of the DCPS Early Stages evaluators [in 2015]” because she had not reviewed

the data underlying that assessment. Id. at 21. Consequently, the Hearing Officer determined C.S.

was not a child with a disability in July 2015 and, therefore, was not denied a FAPE. Id.

       Plaintiff filed the present action on September 7, 2016, seeking review of the Hearing

Officer’s determination. See Compl., ECF No. 1. The parties submitted cross-motions for summary

judgment, which are now ripe for the court’s review. See Pl.’s Mot. for Summ. J., ECF No. 10

[hereinafter Pl.’s Mot.]; Def.’s Cross-Mot. for Summ. J., ECF No. 12.

                                                 II

       A parent dissatisfied with the outcome of a due process hearing concerning an IDEA claim

may appeal that decision to a federal district court. 20 U.S.C. § 1415(i)(2)(A). The reviewing

court “(i) shall receive the records of the administrative proceedings; (ii) shall hear additional

evidence at the request of a party; and, (iii) basing its decision on the preponderance of the

evidence, shall grant such relief as the court determines is appropriate.” Id. § 1415(i)(2)(C). The

party challenging the hearing officer’s ruling bears the burden of “persuading the court that the

hearing officer was wrong.” Kerkam v. McKenzie, 862 F.2d 884, 887 (D.C. Cir. 1988). Although

the court owes some deference to the hearing officer’s decision, “a hearing decision without

reasoned and specific findings deserves little deference.” Reid ex rel. Reid v. District of Columbia,

                                                 5
401 F.3d 516, 521 (D.C. Cir. 2005) (internal quotation marks omitted). When neither party

presents additional evidence to the district court, “a motion for summary judgment operates as a

motion for judgment based on the evidence comprising the record.” S.S. ex rel. Shank v. Howard

Rd. Acad., 585 F. Supp. 2d 56, 64 (D.D.C. 2008) (internal quotation marks omitted).

       Summary judgment is appropriate “if the movant shows that there is no genuine dispute as

to any material fact and the movant is entitled to judgment as a matter of law.” FED. R. CIV. P.

56(a). A “genuine dispute” of a “material fact” exists when the fact is “capable of affecting the

substantive outcome of the litigation” and “the evidence is such that a reasonable jury could return

a verdict for the nonmoving party.” Elzeneiny v. District of Columbia, 125 F. Supp. 3d 18, 28

(D.D.C. 2015). On cross-motions for summary judgment, each party carries its own burden to

demonstrate that there are no disputed material facts and it is entitled to judgment in its favor.

Ehrman v. United States, 429 F. Supp. 2d 61, 67 (D.D.C. 2011).

                                                 III

       The IDEA guarantees the right of “[a] free appropriate public education . . . to all children

with disabilities residing in the State between the ages of 3 and 21, inclusive.” 20 U.S.C.

§ 1412(a)(1)(A). In order to meet this statutory obligation, school officials must identify those

students with a disability, “develop a comprehensive strategy, known as an ‘individualized

education program,’ or IEP, tailored to the student’s unique needs,” and have the IEP in place at

the start of each school year. Leggett v. District of Columbia, 793 F.3d 59, 63 (D.C. Cir. 2015)

(quoting 20 U.S.C. § 1414(d)).

       The United States Code sets forth three broad criteria that the local educational agency must

meet when evaluating a child’s eligibility for services under the IDEA and determining the scope

of the services that child needs. First, it must “use a variety of assessment tools and strategies” to

                                                  6
determine “whether the child is a child with a disability[] and the content of the child’s

individualized education program.” 20 U.S.C. § 1414(b)(2)(A). Second, the agency “[can]not use

any single measure or assessment as the sole criterion” for determining either whether the child is

a child with a disability or the educational needs of the child. Id. § 1414(b)(2)(B). And third, the

agency must “use technically sound instruments that may assess the relative contribution of

cognitive and behavioral factors, in addition to physical or developmental factors.”              Id.

§ 1414(b)(2)(C).

       Attendant federal regulations impose additional criteria that school officials must use when

evaluating a child to determine if he or she has a disability. A child’s initial evaluation or

reevaluation must consist of two steps.      First, the child’s evaluators must “review existing

evaluation data on the child,” including any evaluations and information provided by the child’s

parents, current assessments and class-room based observations, and observations by teachers and

other service providers. 34 C.F.R. § 300.305(a)(1). Second, based on their review of that existing

data and input from the child’s parents, the evaluators must “identify what additional data, if any,

are needed” to assess whether the child has a qualifying disability and, if so, “administer such

assessments and other evaluation measures as may be needed.” Id. § 300.305(a)(2), (c). Under the

first step of the analysis, the state agency is required to “[u]se a variety of assessment tools and

strategies to gather relevant functional, developmental, and academic information about the child,

including information provided by the parent.” See id. § 300.304(b). All the methods and materials

used must be “valid and reliable” and “administered by trained and knowledgeable personnel.” Id.

§ 300.304(c)(1). With respect to the second step of the analysis, if the state agency determines that

existing data supports a finding that the child is not a child with a disability and no additional

information is necessary before making that ineligibility determination, then the state agency must

                                                 7
notify the child’s parents of their right to request a subsequent assessment of their child. Id. §

300.305(d)(1). In combination, these regulations have the effect of ensuring “an evaluation both

confirms the student’s potential disabilities and examines whether she needs services.” Davis v.

District of Columbia, No. 15-1194, 2017 WL 1102647, at *17 (D.D.C. Mar. 23, 2017).

       Plaintiff claims that the July 2015 psychological evaluation of C.S. was not

“comprehensive,” and for that reason, Defendant’s team’s reliance on that evaluation rendered the

team’s decision procedurally deficient and denied C.S. a FAPE. She believes the July 2015

psychological evaluation is lacking in two respects. First, the evaluation does not include first-hand

classroom observations or teacher interviews; the psychologist only cross-referenced the speech

pathologist’s observations and interviews. See Pl.’s Mot. at 16–17. Second, the psychologist relied

on an outdated assessment—the BDI-2, administered in October 2014—that did not reflect C.S.’s

contemporary developmental state, thereby skewing the results of the evaluation. See id. at 19.

These defects in the psychological evaluation, according to Plaintiff, both denied Plaintiff the

opportunity to meaningfully participate in Defendant’s team’s decisionmaking process and caused

Defendant’s team to come to the wrong conclusion. Id. at 25–26.

       Plaintiff’s belief that federal law required the 2015 psychological evaluation to contain first-

hand interviews with the student’s parent(s) and classroom evaluations of the student is mistaken.

The federal law and regulations to which Plaintiff points simply do not impose any specific

requirements on the content of a psychological evaluation. See Hill v. District of Columbia, No.

14-1893, 2016 WL 4506972, at *18 (D.D.C. Aug. 26, 2016); cf. Damarcus S. v. District of

Columbia, 190 F. Supp. 3d 35, 50 (D.D.C. 2016). The statute itself requires those making an

eligibility determination to “[u]se a variety of assessments”—of which a psychological evaluation

is just one— and “technically sound instruments,” so that the team can assess cognitive, behavioral,

                                                  8
physical, and developmental factors as part of their determination. 20 U.S.C. § 1414(b)(2)(C).

Additionally, assessments and other evaluation materials must be nondiscriminatory,

communicated in a way the child will understand, “valid and reliable,” “administered by trained

and knowledgeable personnel,” and conducted in accordance with the attendant instructions. Id. §

1414(b)(3)(A); 34 C.F.R. § 300.304(c)(1). Lastly, the student must be “assessed in all areas related

to the suspected disability.” 34 C.F.R. 300.304(c)(4).

       The court finds no procedural defect in Defendant’s team’s 2015 determination based on

the lack of first-hand classroom observations and teacher interviews by the school psychologist.

The 2015 psychological evaluation, conducted by a professional psychologist, was “technically

sound” insofar as it allowed Defendant’s team to consider C.S.’s family, medical, developmental,

and educational histories, as well as social, emotional, and behavioral functioning. See 20 U.S.C.

§ 1414(b)(2)(C). Moreover, that evaluation was supplemented by the other types of information

Defendant’s team needed to consult before making an eligibility determination. The team reviewed

not only the July 2015 psychological evaluation, but also the 2014 BDI-2 assessment, the July 2015

speech-pathology evaluation, and the July 2015 occupational therapist’s notes. A.R. at 75–89. By

considering those materials, the team “reviewed existing evaluation data” that included input from

Plaintiff—C.S.’s parent—in both 2014 and 2015; “current” classroom-based observations, as

reflected in the occupational therapist’s notes and speech-pathologist’s report; an updated autism

test conducted by the psychologist; and observations by C.S.’s teacher, as reflected in both the

occupational therapist’s and speech pathologist’s reports. See 34 C.F.R. § 300.305(a)(1). Although

the psychologist’s evaluation itself did not contain classroom-based observations or a teacher

interview, classroom-based observations and teacher interviews were made available to

Defendant’s team through the speech-pathology evaluation and occupational therapist’s notes. The

                                                 9
federal regulations do not require that a particular professional conduct classroom observations and

teacher interviews, only that those observations and interviews be completed and Defendant’s team

to review them. Consequently, Defendant’s team consulted all the types of information it needed

to prior to making its eligibility determination.

       It is less clear to the court, however, whether Defendant’s team needed to order updated

testing so it could properly assess C.S.’s contemporary levels of academic achievement and related

developmental needs, as required under 34 C.F.R. § 300.305(a)(2)(ii). The regulations do not speak

directly to when a local educational agency must order updated testing, but Plaintiff’s expert opined

that the BDI-2 test was “old” and “developmentally a lot happens in a year,” A.R. at 412–13, which

suggests to the court that it may have been necessary for Defendant’s team to order new assessments

of C.S. before determining his eligibility for Part B services. The Hearing Officer discounted

Dr. Mack’s testimony as a whole because she had not reviewed the 2014 Strong Start assessment

data, on which the 2015 psychological evaluation relied. See id. at 15, 21, 424–25. The fact that

Dr. Mack stated she could not rebut the findings of the 2015 psychological evaluation is separate,

however, from her opinion that Defendant’s team’s determination relies, in part, on outdated

information. The Hearing Officer’s Decision does not address that latter point.

       The court need not resolve this issue today, however, because even assuming Defendant’s

team procedurally erred by failing to order new testing, Plaintiff has not met her burden of

demonstrating that C.S. was denied a FAPE in 2015 as a result. Not all procedural violations

constitute denials of a FAPE; only those that affect the student’s substantive rights. McLean v.

District of Columbia, No. 16-2067, 2017 WL 3891669, at *3 (D.D.C. Sept. 5, 2017). A hearing

officer may find a procedural violation caused the denial of a FAPE in any of three circumstances:

the procedural inadequacy “(i) [i]mpeded the child’s right to a FAPE; (ii) [s]ignificantly impeded

                                                    10
the parent’s opportunity to participate in the decision-making process regarding the provision of a

FAPE to the parent’s child; or (iii) [c]aused a deprivation of educational benefit.” 34 C.F.R.

§ 300.513(a)(2). Plaintiff points to no record evidence supporting a finding that any of those three

circumstances occurred in this case. Here, Dr. Mack testified at length about the deficiencies in the

psychologist’s evaluation but never offered an opinion that updated testing in 2015 likely would

have indicated C.S. had a disability and likely would have led Defendant’s team to determine C.S.

was eligible for Part B services. See A.R. at 406–13; cf. 34 C.F.R. § 300.513(a)(2)(i), (iii).

Correlatively, absent any suggestion that updated testing would have indicated C.S. had a disability

in 2015, the court cannot conclude that the failure to order updated tests significantly impeded

Plaintiff’s right to participate in the decisionmaking process. Cf. 34 C.F.R. § 300.513(a)(2)(ii).

Thus, even assuming a procedural violation occurred, the court concludes C.S. was not denied a

FAPE in 2015.

                                                 IV

       In light of the foregoing discussion, the court denies Plaintiff’s Motion for Summary

Judgment and grants Defendant’s Cross-Motion for Summary Judgment. A separate Order

accompanies this Memorandum Opinion.

Dated: September 19, 2017                             Amit P. Mehta
                                                      United States District Judge

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