Appendix B to Part 35 - Guidance on ADA Regulation on Nondiscrimination on the Basis of Disability in State and Local Government Services Originally Published July 26, 1991
28:1.0.1.1.36.9.32.1.12 : Appendix B
Appendix B to Part 35 - Guidance on ADA Regulation on
Nondiscrimination on the Basis of Disability in State and Local
Government Services Originally Published July 26, 1991 Note:
For the convenience of the reader, this appendix contains the
text of the preamble to the final regulation on nondiscrimination
on the basis of disability in State and local government services
beginning at the heading “Section-by-Section Analysis” and ending
before “List of Subjects in 28 CFR Part 35” (56 FR 35696, July 26,
1991).
Section-by-Section Analysis Subpart A - General Section 35.101
Purpose
Section 35.101 states the purpose of the rule, which is to
effectuate subtitle A of title II of the Americans with
Disabilities Act of 1990 (the Act), which prohibits discrimination
on the basis of disability by public entities. This part does not,
however, apply to matters within the scope of the authority of the
Secretary of Transportation under subtitle B of title II of the
Act.
Section 35.102 Application
This provision specifies that, except as provided in paragraph
(b), the regulation applies to all services, programs, and
activities provided or made available by public entities, as that
term is defined in § 35.104. Section 504 of the Rehabilitation Act
of 1973 (29 U.S.C. 794), which prohibits discrimination on the
basis of handicap in federally assisted programs and activities,
already covers those programs and activities of public entities
that receive Federal financial assistance. Title II of the ADA
extends this prohibition of discrimination to include all services,
programs, and activities provided or made available by State and
local governments or any of their instrumentalities or agencies,
regardless of the receipt of Federal financial assistance. Except
as provided in § 35.l34, this part does not apply to private
entities.
The scope of title II's coverage of public entities is
comparable to the coverage of Federal Executive agencies under the
1978 amendment to section 504, which extended section 504's
application to all programs and activities “conducted by” Federal
Executive agencies, in that title II applies to anything a public
entity does. Title II coverage, however, is not limited to
“Executive” agencies, but includes activities of the legislative
and judicial branches of State and local governments. All
governmental activities of public entities are covered, even if
they are carried out by contractors. For example, a State is
obligated by title II to ensure that the services, programs, and
activities of a State park inn operated under contract by a private
entity are in compliance with title II's requirements. The private
entity operating the inn would also be subject to the obligations
of public accommodations under title III of the Act and the
Department's title III regulations at 28 CFR part 36.
Aside from employment, which is also covered by title I of the
Act, there are two major categories of programs or activities
covered by this regulation: those involving general public contact
as part of ongoing operations of the entity and those directly
administered by the entities for program beneficiaries and
participants. Activities in the first category include
communication with the public (telephone contacts, office walk-ins,
or interviews) and the public's use of the entity's facilities.
Activities in the second category include programs that provide
State or local government services or benefits.
Paragraph (b) of § 35.102 explains that to the extent that the
public transportation services, programs, and activities of public
entities are covered by subtitle B of title II of the Act, they are
subject to the regulation of the Department of Transportation (DOT)
at 49 CFR part 37, and are not covered by this part. The Department
of Transportation's ADA regulation establishes specific
requirements for construction of transportation facilities and
acquisition of vehicles. Matters not covered by subtitle B, such as
the provision of auxiliary aids, are covered by this rule. For
example, activities that are covered by the Department of
Transportation's regulation implementing subtitle B are not
required to be included in the self-evaluation required by §
35.105. In addition, activities not specifically addressed by DOT's
ADA regulation may be covered by DOT's regulation implementing
section 504 for its federally assisted programs and activities at
49 CFR part 27. Like other programs of public entities that are
also recipients of Federal financial assistance, those programs
would be covered by both the section 504 regulation and this part.
Although airports operated by public entities are not subject to
DOT's ADA regulation, they are subject to subpart A of title II and
to this rule.
Some commenters asked for clarification about the
responsibilities of public school systems under section 504 and the
ADA with respect to programs, services, and activities that are not
covered by the Individuals with Disabilities Education Act (IDEA),
including, for example, programs open to parents or to the public,
graduation ceremonies, parent-teacher organization meetings, plays
and other events open to the public, and adult education classes.
Public school systems must comply with the ADA in all of their
services, programs, or activities, including those that are open to
parents or to the public. For instance, public school systems must
provide program accessibility to parents and guardians with
disabilities to these programs, activities, or services, and
appropriate auxiliary aids and services whenever necessary to
ensure effective communication, as long as the provision of the
auxiliary aids results neither in an undue burden or in a
fundamental alteration of the program.
Section 35.103 Relationship to Other Laws
Section 35.103 is derived from sections 501 (a) and (b) of the
ADA. Paragraph (a) of this section provides that, except as
otherwise specifically provided by this part, title II of the ADA
is not intended to apply lesser standards than are required under
title V of the Rehabilitation Act of 1973, as amended (29 U.S.C.
790-94), or the regulations implementing that title. The standards
of title V of the Rehabilitation Act apply for purposes of the ADA
to the extent that the ADA has not explicitly adopted a different
standard than title V. Because title II of the ADA essentially
extends the antidiscrimination prohibition embodied in section 504
to all actions of State and local governments, the standards
adopted in this part are generally the same as those required under
section 504 for federally assisted programs. Title II, however,
also incorporates those provisions of titles I and III of the ADA
that are not inconsistent with the regulations implementing section
504. Judiciary Committee report, H.R. Rep. No. 485, 101st Cong., 2d
Sess., pt. 3, at 51 (1990) (hereinafter “Judiciary report”) ;
Education and Labor Committee report, H.R. Rep. No. 485, 101st
Cong., 2d Sess., pt. 2, at 84 (1990) (hereinafter “Education and
Labor report”). Therefore, this part also includes appropriate
provisions derived from the regulations implementing those titles.
The inclusion of specific language in this part, however, should
not be interpreted as an indication that a requirement is not
included under a regulation implementing section 504.
Paragraph (b) makes clear that Congress did not intend to
displace any of the rights or remedies provided by other Federal
laws (including section 504) or other State laws (including State
common law) that provide greater or equal protection to individuals
with disabilities. As discussed above, the standards adopted by
title II of the ADA for State and local government services are
generally the same as those required under section 504 for
federally assisted programs and activities. Subpart F of the
regulation establishes compliance procedures for processing
complaints covered by both this part and section 504.
With respect to State law, a plaintiff may choose to pursue
claims under a State law that does not confer greater substantive
rights, or even confers fewer substantive rights, if the alleged
violation is protected under the alternative law and the remedies
are greater. For example, a person with a physical disability could
seek damages under a State law that allows compensatory and
punitive damages for discrimination on the basis of physical
disability, but not on the basis of mental disability. In that
situation, the State law would provide narrower coverage, by
excluding mental disabilities, but broader remedies, and an
individual covered by both laws could choose to bring an action
under both laws. Moreover, State tort claims confer greater
remedies and are not preempted by the ADA. A plaintiff may join a
State tort claim to a case brought under the ADA. In such a case,
the plaintiff must, of course, prove all the elements of the State
tort claim in order to prevail under that cause of action.
Section 35.104 Definitions
“Act.” The word “Act” is used in this part to refer to the
Americans with Disabilities Act of 1990, Public Law 101-336, which
is also referred to as the “ADA.”
“Assistant Attorney General.” The term “Assistant Attorney
General” refers to the Assistant Attorney General of the Civil
Rights Division of the Department of Justice.
“Auxiliary aids and services.” Auxiliary aids and services
include a wide range of services and devices for ensuring effective
communication. The proposed definition in § 35.104 provided a list
of examples of auxiliary aids and services that were taken from the
definition of auxiliary aids and services in section 3(1) of the
ADA and were supplemented by examples from regulations implementing
section 504 in federally conducted programs (see 28 CFR
39.103).
A substantial number of commenters suggested that additional
examples be added to this list. The Department has added several
items to this list but wishes to clarify that the list is not an
all-inclusive or exhaustive catalogue of possible or available
auxiliary aids or services. It is not possible to provide an
exhaustive list, and an attempt to do so would omit the new devices
that will become available with emerging technology.
Subparagraph (1) lists several examples, which would be
considered auxiliary aids and services to make aurally delivered
materials available to individuals with hearing impairments. The
Department has changed the phrase used in the proposed rules,
“orally delivered materials,” to the statutory phrase, “aurally
delivered materials,” to track section 3 of the ADA and to include
non-verbal sounds and alarms, and computer generated speech.
The Department has added videotext displays, transcription
services, and closed and open captioning to the list of examples.
Videotext displays have become an important means of accessing
auditory communications through a public address system.
Transcription services are used to relay aurally delivered material
almost simultaneously in written form to persons who are deaf or
hearing-impaired. This technology is often used at conferences,
conventions, and hearings. While the proposed rule expressly
included television decoder equipment as an auxiliary aid or
service, it did not mention captioning itself. The final rule
rectifies this omission by mentioning both closed and open
captioning.
Several persons and organizations requested that the Department
replace the term “telecommunications devices for deaf persons” or
“TDD's” with the term “text telephone.” The Department has declined
to do so. The Department is aware that the Architectural and
Transportation Barriers Compliance Board (ATBCB) has used the
phrase “text telephone” in lieu of the statutory term “TDD” in its
final accessibility guidelines. Title IV of the ADA, however, uses
the term “Telecommunications Device for the Deaf” and the
Department believes it would be inappropriate to abandon this
statutory term at this time.
Several commenters urged the Department to include in the
definition of “auxiliary aids and services” devices that are now
available or that may become available with emerging technology.
The Department declines to do so in the rule. The Department,
however, emphasizes that, although the definition would include
“state of the art” devices, public entities are not required to use
the newest or most advanced technologies as long as the auxiliary
aid or service that is selected affords effective
communication.
Subparagraph (2) lists examples of aids and services for making
visually delivered materials accessible to persons with visual
impairments. Many commenters proposed additional examples, such as
signage or mapping, audio description services, secondary auditory
programs, telebraillers, and reading machines. While the Department
declines to add these items to the list, they are auxiliary aids
and services and may be appropriate depending on the
circumstances.
Subparagraph (3) refers to acquisition or modification of
equipment or devices. Several commenters suggested the addition of
current technological innovations in microelectronics and
computerized control systems (e.g., voice recognition systems,
automatic dialing telephones, and infrared elevator and light
control systems) to the list of auxiliary aids. The Department
interprets auxiliary aids and services as those aids and services
designed to provide effective communications, i.e., making aurally
and visually delivered information available to persons with
hearing, speech, and vision impairments. Methods of making
services, programs, or activities accessible to, or usable by,
individuals with mobility or manual dexterity impairments are
addressed by other sections of this part, including the provision
for modifications in policies, practices, or procedures (§ 35.130
(b)(7)).
Paragraph (b)(4) deals with other similar services and actions.
Several commenters asked for clarification that “similar services
and actions” include retrieving items from shelves, assistance in
reaching a marginally accessible seat, pushing a barrier aside in
order to provide an accessible route, or assistance in removing a
sweater or coat. While retrieving an item from a shelf might be an
“auxiliary aid or service” for a blind person who could not locate
the item without assistance, it might be a method of providing
program access for a person using a wheelchair who could not reach
the shelf, or a reasonable modification to a self-service policy
for an individual who lacked the ability to grasp the item. As
explained above, auxiliary aids and services are those aids and
services required to provide effective communications. Other forms
of assistance are more appropriately addressed by other provisions
of the final rule.
“Complete complaint.” “Complete complaint” is defined to include
all the information necessary to enable the Federal agency
designated under subpart G as responsible for investigation of a
complaint to initiate its investigation.
“Current illegal use of drugs.” The phrase “current illegal use
of drugs” is used in § 35.131. Its meaning is discussed in the
preamble for that section.
“Designated agency.” The term “designated agency” is used to
refer to the Federal agency designated under subpart G of this rule
as responsible for carrying out the administrative enforcement
responsibilities established by subpart F of the rule.
“Disability.” The definition of the term “disability” is the
same as the definition in the title III regulation codified at 28
CFR part 36. It is comparable to the definition of the term
“individual with handicaps” in section 7(8) of the Rehabilitation
Act and section 802(h) of the Fair Housing Act. The Education and
Labor Committee report makes clear that the analysis of the term
“individual with handicaps” by the Department of Health, Education,
and Welfare (HEW) in its regulations implementing section 504 (42
FR 22685 (May 4, 1977)) and the analysis by the Department of
Housing and Urban Development in its regulation implementing the
Fair Housing Amendments Act of 1988 (54 FR 3232 (Jan. 23, 1989))
should also apply fully to the term “disability” (Education and
Labor report at 50).
The use of the term “disability” instead of “handicap” and the
term “individual with a disability” instead of “individual with
handicaps” represents an effort by Congress to make use of
up-to-date, currently accepted terminology. As with racial and
ethnic epithets, the choice of terms to apply to a person with a
disability is overlaid with stereotypes, patronizing attitudes, and
other emotional connotations. Many individuals with disabilities,
and organizations representing such individuals, object to the use
of such terms as “handicapped person” or “the handicapped.” In
other recent legislation, Congress also recognized this shift in
terminology, e.g., by changing the name of the National Council on
the Handicapped to the National Council on Disability (Pub. L.
100-630).
In enacting the Americans with Disabilities Act, Congress
concluded that it was important for the current legislation to use
terminology most in line with the sensibilities of most Americans
with disabilities. No change in definition or substance is intended
nor should one be attributed to this change in phraseology.
The term “disability” means, with respect to an individual -
(A) A physical or mental impairment that substantially limits
one or more of the major life activities of such individual;
(B) A record of such an impairment; or
(C) Being regarded as having such an impairment. If an
individual meets any one of these three tests, he or she is
considered to be an individual with a disability for purposes of
coverage under the Americans with Disabilities Act.
Congress adopted this same basic definition of “disability,”
first used in the Rehabilitation Act of 1973 and in the Fair
Housing Amendments Act of 1988, for a number of reasons. First, it
has worked well since it was adopted in 1974. Second, it would not
be possible to guarantee comprehensiveness by providing a list of
specific disabilities, especially because new disorders may be
recognized in the future, as they have since the definition was
first established in 1974.
Test A - A physical or mental impairment that substantially limits
one or more of the major life activities of such individual
Physical or mental impairment. Under the first test, an
individual must have a physical or mental impairment. As explained
in paragraph (1)(i) of the definition, “impairment” means any
physiological disorder or condition, cosmetic disfigurement, or
anatomical loss affecting one or more of the following body
systems: neurological; musculoskeletal; special sense organs (which
would include speech organs that are not respiratory such as vocal
cords, soft palate, tongue, etc.); respiratory, including speech
organs; cardiovascular; reproductive; digestive; genitourinary;
hemic and lymphatic; skin; and endocrine. It also means any mental
or psychological disorder, such as mental retardation, organic
brain syndrome, emotional or mental illness, and specific learning
disabilities. This list closely tracks the one used in the
regulations for section 504 of the Rehabilitation Act of 1973 (see,
e.g., 45 CFR 84.3(j)(2)(i)).
Many commenters asked that “traumatic brain injury” be added to
the list in paragraph (1)(i). Traumatic brain injury is already
included because it is a physiological condition affecting one of
the listed body systems, i.e., “neurological.” Therefore, it was
unnecessary to add the term to the regulation, which only provides
representative examples of physiological disorders.
It is not possible to include a list of all the specific
conditions, contagious and noncontagious diseases, or infections
that would constitute physical or mental impairments because of the
difficulty of ensuring the comprehensiveness of such a list,
particularly in light of the fact that other conditions or
disorders may be identified in the future. However, the list of
examples in paragraph (1)(ii) of the definition includes:
orthopedic, visual, speech and hearing impairments, cerebral palsy,
epilepsy, muscular dystrophy, multiple sclerosis, cancer, heart
disease, diabetes, mental retardation, emotional illness, specific
learning disabilities, HIV disease (symptomatic or asymptomatic),
tuberculosis, drug addiction, and alcoholism. The phrase
“symptomatic or asymptomatic” was inserted in the final rule after
“HIV disease” in response to commenters who suggested the
clarification was necessary.
The examples of “physical or mental impairments” in paragraph
(1)(ii) are the same as those contained in many section 504
regulations, except for the addition of the phrase “contagious and
noncontagious” to describe the types of diseases and conditions
included, and the addition of “HIV disease (symptomatic or
asymptomatic)” and “tuberculosis” to the list of examples. These
additions are based on the committee reports, caselaw, and official
legal opinions interpreting section 504. In School Board of
Nassau County v. Arline, 480 U.S. 273 (1987), a case
involving an individual with tuberculosis, the Supreme Court held
that people with contagious diseases are entitled to the
protections afforded by section 504. Following the Arline
decision, this Department's Office of Legal Counsel issued a legal
opinion that concluded that symptomatic HIV disease is an
impairment that substantially limits a major life activity;
therefore it has been included in the definition of disability
under this part. The opinion also concluded that asymptomatic HIV
disease is an impairment that substantially limits a major life
activity, either because of its actual effect on the individual
with HIV disease or because the reactions of other people to
individuals with HIV disease cause such individuals to be treated
as though they are disabled. See Memorandum from Douglas W. Kmiec,
Acting Assistant Attorney General, Office of Legal Counsel,
Department of Justice, to Arthur B. Culvahouse, Jr., Counsel to the
President (Sept. 27, 1988), reprinted in Hearings on S. 933, the
Americans with Disabilities Act, Before the Subcomm. on the
Handicapped of the Senate Comm. on Labor and Human Resources,
101st. Cong., 1st Sess. 346 (1989).
Paragraph (1)(iii) states that the phrase “physical or mental
impairment” does not include homosexuality or bisexuality. These
conditions were never considered impairments under other Federal
disability laws. Section 511(a) of the statute makes clear that
they are likewise not to be considered impairments under the
Americans with Disabilities Act.
Physical or mental impairment does not include simple physical
characteristics, such as blue eyes or black hair. Nor does it
include environmental, cultural, economic, or other disadvantages,
such as having a prison record, or being poor. Nor is age a
disability. Similarly, the definition does not include common
personality traits such as poor judgment or a quick temper where
these are not symptoms of a mental or psychological disorder.
However, a person who has these characteristics and also has a
physical or mental impairment may be considered as having a
disability for purposes of the Americans with Disabilities Act
based on the impairment.
Substantial Limitation of a Major Life Activity. Under
Test A, the impairment must be one that “substantially limits a
major life activity.” Major life activities include such things as
caring for one's self, performing manual tasks, walking, seeing,
hearing, speaking, breathing, learning, and working.
For example, a person who is paraplegic is substantially limited
in the major life activity of walking, a person who is blind is
substantially limited in the major life activity of seeing, and a
person who is mentally retarded is substantially limited in the
major life activity of learning. A person with traumatic brain
injury is substantially limited in the major life activities of
caring for one's self, learning, and working because of memory
deficit, confusion, contextual difficulties, and inability to
reason appropriately.
A person is considered an individual with a disability for
purposes of Test A, the first prong of the definition, when the
individual's important life activities are restricted as to the
conditions, manner, or duration under which they can be performed
in comparison to most people. A person with a minor, trivial
impairment, such as a simple infected finger, is not impaired in a
major life activity. A person who can walk for 10 miles
continuously is not substantially limited in walking merely
because, on the eleventh mile, he or she begins to experience pain,
because most people would not be able to walk eleven miles without
experiencing some discomfort.
The Department received many comments on the proposed rule's
inclusion of the word “temporary” in the definition of
“disability.” The preamble indicated that impairments are not
necessarily excluded from the definition of “disability” simply
because they are temporary, but that the duration, or expected
duration, of an impairment is one factor that may properly be
considered in determining whether the impairment substantially
limits a major life activity. The preamble recognized, however,
that temporary impairments, such as a broken leg, are not commonly
regarded as disabilities, and only in rare circumstances would the
degree of the limitation and its expected duration be substantial.
Nevertheless, many commenters objected to inclusion of the word
“temporary” both because it is not in the statute and because it is
not contained in the definition of “disability” set forth in the
title I regulations of the Equal Employment Opportunity Commission
(EEOC). The word “temporary” has been deleted from the final rule
to conform with the statutory language.
The question of whether a temporary impairment is a disability
must be resolved on a case-by-case basis, taking into consideration
both the duration (or expected duration) of the impairment and the
extent to which it actually limits a major life activity of the
affected individual.
The question of whether a person has a disability should be
assessed without regard to the availability of mitigating measures,
such as reasonable modification or auxiliary aids and services. For
example, a person with hearing loss is substantially limited in the
major life activity of hearing, even though the loss may be
improved through the use of a hearing aid. Likewise, persons with
impairments, such as epilepsy or diabetes, that substantially limit
a major life activity, are covered under the first prong of the
definition of disability, even if the effects of the impairment are
controlled by medication.
Many commenters asked that environmental illness (also known as
multiple chemical sensitivity) as well as allergy to cigarette
smoke be recognized as disabilities. The Department, however,
declines to state categorically that these types of allergies or
sensitivities are disabilities, because the determination as to
whether an impairment is a disability depends on whether, given the
particular circumstances at issue, the impairment substantially
limits one or more major life activities (or has a history of, or
is regarded as having such an effect).
Sometimes respiratory or neurological functioning is so severely
affected that an individual will satisfy the requirements to be
considered disabled under the regulation. Such an individual would
be entitled to all of the protections afforded by the Act and this
part. In other cases, individuals may be sensitive to environmental
elements or to smoke but their sensitivity will not rise to the
level needed to constitute a disability. For example, their major
life activity of breathing may be somewhat, but not substantially,
impaired. In such circumstances, the individuals are not disabled
and are not entitled to the protections of the statute despite
their sensitivity to environmental agents.
In sum, the determination as to whether allergies to cigarette
smoke, or allergies or sensitivities characterized by the
commenters as environmental illness are disabilities covered by the
regulation must be made using the same case-by-case analysis that
is applied to all other physical or mental impairments. Moreover,
the addition of specific regulatory provisions relating to
environmental illness in the final rule would be inappropriate at
this time pending future consideration of the issue by the
Architectural and Transportation Barriers Compliance Board, the
Environmental Protection Agency, and the Occupational Safety and
Health Administration of the Department of Labor.
Test B - A record of such an impairment
This test is intended to cover those who have a record of an
impairment. As explained in paragraph (3) of the rule's definition
of disability, this includes a person who has a history of an
impairment that substantially limited a major life activity, such
as someone who has recovered from an impairment. It also includes
persons who have been misclassified as having an impairment.
This provision is included in the definition in part to protect
individuals who have recovered from a physical or mental impairment
that previously substantially limited them in a major life
activity. Discrimination on the basis of such a past impairment is
prohibited. Frequently occurring examples of the first group (those
who have a history of an impairment) are persons with histories of
mental or emotional illness, heart disease, or cancer; examples of
the second group (those who have been misclassified as having an
impairment) are persons who have been misclassified as having
mental retardation or mental illness.
Test C - Being regarded as having such an impairment
This test, as contained in paragraph (4) of the definition, is
intended to cover persons who are treated by a public entity as
having a physical or mental impairment that substantially limits a
major life activity. It applies when a person is treated as if he
or she has an impairment that substantially limits a major life
activity, regardless of whether that person has an impairment.
The Americans with Disabilities Act uses the same “regarded as”
test set forth in the regulations implementing section 504 of the
Rehabilitation Act. See, e.g., 28 CFR 42.540(k)(2)(iv), which
provides:
(iv) “Is regarded as having an impairment” means (A) Has a
physical or mental impairment that does not substantially limit
major life activities but that is treated by a recipient as
constituting such a limitation; (B) Has a physical or mental
impairment that substantially limits major life activities only as
a result of the attitudes of others toward such impairment; or (C)
Has none of the impairments defined in paragraph (k)(2)(i) of this
section but is treated by a recipient as having such an
impairment.
The perception of the covered entity is a key element of this
test. A person who perceives himself or herself to have an
impairment, but does not have an impairment, and is not treated as
if he or she has an impairment, is not protected under this
test.
A person would be covered under this test if a public entity
refused to serve the person because it perceived that the person
had an impairment that limited his or her enjoyment of the goods or
services being offered.
For example, persons with severe burns often encounter
discrimination in community activities, resulting in substantial
limitation of major life activities. These persons would be covered
under this test based on the attitudes of others towards the
impairment, even if they did not view themselves as “impaired.”
The rationale for this third test, as used in the Rehabilitation
Act of 1973, was articulated by the Supreme Court in Arline,
480 U.S. 273 (1987). The Court noted that although an individual
may have an impairment that does not in fact substantially limit a
major life activity, the reaction of others may prove just as
disabling. “Such an impairment might not diminish a person's
physical or mental capabilities, but could nevertheless
substantially limit that person's ability to work as a result of
the negative reactions of others to the impairment.” Id. at
283. The Court concluded that, by including this test in the
Rehabilitation Act's definition, “Congress acknowledged that
society's accumulated myths and fears about disability and diseases
are as handicapping as are the physical limitations that flow from
actual impairment.” Id. at 284.
Thus, a person who is denied services or benefits by a public
entity because of myths, fears, and stereotypes associated with
disabilities would be covered under this third test whether or not
the person's physical or mental condition would be considered a
disability under the first or second test in the definition.
If a person is refused admittance on the basis of an actual or
perceived physical or mental condition, and the public entity can
articulate no legitimate reason for the refusal (such as failure to
meet eligibility criteria), a perceived concern about admitting
persons with disabilities could be inferred and the individual
would qualify for coverage under the “regarded as” test. A person
who is covered because of being regarded as having an impairment is
not required to show that the public entity's perception is
inaccurate (e.g., that he will be accepted by others) in order to
receive benefits from the public entity.
Paragraph (5) of the definition lists certain conditions that
are not included within the definition of “disability.” The
excluded conditions are: Transvestism, transsexualism, pedophilia,
exhibitionism, voyeurism, gender identity disorders not resulting
from physical impairments, other sexual behavior disorders,
compulsive gambling, kleptomania, pyromania, and psychoactive
substance use disorders resulting from current illegal use of
drugs. Unlike homosexuality and bisexuality, which are not
considered impairments under either section 504 or the Americans
with Disabilities Act (see the definition of “disability,”
paragraph (1)(iv)), the conditions listed in paragraph (5), except
for transvestism, are not necessarily excluded as impairments under
section 504. (Transvestism was excluded from the definition of
disability for section 504 by the Fair Housing Amendments Act of
1988, Pub. L. 100-430, section 6(b)).
“Drug.” The definition of the term “drug” is taken from section
510(d)(2) of the ADA.
“Facility.” “Facility” means all or any portion of buildings,
structures, sites, complexes, equipment, rolling stock or other
conveyances, roads, walks, passageways, parking lots, or other real
or personal property, including the site where the building,
property, structure, or equipment is located. It includes both
indoor and outdoor areas where human-constructed improvements,
structures, equipment, or property have been added to the natural
environment.
Commenters raised questions about the applicability of this part
to activities operated in mobile facilities, such as bookmobiles or
mobile health screening units. Such activities would be covered by
the requirement for program accessibility in § 35.150, and would be
included in the definition of “facility” as “other real or personal
property,” although standards for new construction and alterations
of such facilities are not yet included in the accessibility
standards adopted by § 35.151. Sections 35.150 and 35.151
specifically address the obligations of public entities to ensure
accessibility by providing curb ramps at pedestrian walkways.
“Historic preservation programs” and “Historic properties” are
defined in order to aid in the interpretation of §§ 35.150 (a)(2)
and (b)(2), which relate to accessibility of historic preservation
programs, and § 35.151(d), which relates to the alteration of
historic properties.
“Illegal use of drugs.” The definition of “illegal use of drugs”
is taken from section 510(d)(1) of the Act and clarifies that the
term includes the illegal use of one or more drugs.
“Individual with a disability” means a person who has a
disability but does not include an individual who is currently
illegally using drugs, when the public entity acts on the basis of
such use. The phrase “current illegal use of drugs” is explained in
§ 35.131.
“Public entity.” The term “public entity” is defined in
accordance with section 201(1) of the ADA as any State or local
government; any department, agency, special purpose district, or
other instrumentality of a State or States or local government; or
the National Railroad Passenger Corporation, and any commuter
authority (as defined in section 103(8) of the Rail Passenger
Service Act).
“Qualified individual with a disability.” The definition of
“qualified individual with a disability” is taken from section
201(2) of the Act, which is derived from the definition of
“qualified handicapped person” in the Department of Health and
Human Services' regulation implementing section 504 (45 CFR §
84.3(k)). It combines the definition at 45 CFR 84.3(k)(1) for
employment (“a handicapped person who, with reasonable
accommodation, can perform the essential functions of the job in
question”) with the definition for other services at 45 CFR
84.3(k)(4) (“a handicapped person who meets the essential
eligibility requirements for the receipt of such services”).
Some commenters requested clarification of the term “essential
eligibility requirements.” Because of the variety of situations in
which an individual's qualifications will be at issue, it is not
possible to include more specific criteria in the definition. The
“essential eligibility requirements” for participation in some
activities covered under this part may be minimal. For example,
most public entities provide information about their operations as
a public service to anyone who requests it. In such situations, the
only “eligibility requirement” for receipt of such information
would be the request for it. Where such information is provided by
telephone, even the ability to use a voice telephone is not an
“essential eligibility requirement,” because § 35.161 requires a
public entity to provide equally effective telecommunication
systems for individuals with impaired hearing or speech.
For other activities, identification of the “essential
eligibility requirements” may be more complex. Where questions of
safety are involved, the principles established in § 36.208 of the
Department's regulation implementing title III of the ADA, to be
codified at 28 CFR, part 36, will be applicable. That section
implements section 302(b)(3) of the Act, which provides that a
public accommodation is not required to permit an individual to
participate in or benefit from the goods, services, facilities,
privileges, advantages and accommodations of the public
accommodation, if that individual poses a direct threat to the
health or safety of others.
A “direct threat” is a significant risk to the health or safety
of others that cannot be eliminated by a modification of policies,
practices, or procedures, or by the provision of auxiliary aids or
services. In School Board of Nassau County v. Arline,
480 U.S. 273 (1987), the Supreme Court recognized that there is a
need to balance the interests of people with disabilities against
legitimate concerns for public safety. Although persons with
disabilities are generally entitled to the protection of this part,
a person who poses a significant risk to others will not be
“qualified,” if reasonable modifications to the public entity's
policies, practices, or procedures will not eliminate that
risk.
The determination that a person poses a direct threat to the
health or safety of others may not be based on generalizations or
stereotypes about the effects of a particular disability. It must
be based on an individualized assessment, based on reasonable
judgment that relies on current medical evidence or on the best
available objective evidence, to determine: the nature, duration,
and severity of the risk; the probability that the potential injury
will actually occur; and whether reasonable modifications of
policies, practices, or procedures will mitigate the risk. This is
the test established by the Supreme Court in Arline. Such an
inquiry is essential if the law is to achieve its goal of
protecting disabled individuals from discrimination based on
prejudice, stereotypes, or unfounded fear, while giving appropriate
weight to legitimate concerns, such as the need to avoid exposing
others to significant health and safety risks. Making this
assessment will not usually require the services of a physician.
Sources for medical knowledge include guidance from public health
authorities, such as the U.S. Public Health Service, the Centers
for Disease Control, and the National Institutes of Health,
including the National Institute of Mental Health.
“Qualified interpreter.” The Department received substantial
comment regarding the lack of a definition of “qualified
interpreter.” The proposed rule defined auxiliary aids and services
to include the statutory term, “qualified interpreters” (§ 35.104),
but did not define it. Section 35.160 requires the use of auxiliary
aids including qualified interpreters and commenters stated that a
lack of guidance on what the term means would create confusion
among those trying to secure interpreting services and often result
in less than effective communication.
Many commenters were concerned that, without clear guidance on
the issue of “qualified” interpreter, the rule would be interpreted
to mean “available, rather than qualified” interpreters. Some
claimed that few public entities would understand the difference
between a qualified interpreter and a person who simply knows a few
signs or how to fingerspell.
In order to clarify what is meant by “qualified interpreter” the
Department has added a definition of the term to the final rule. A
qualified interpreter means an interpreter who is able to interpret
effectively, accurately, and impartially both receptively and
expressively, using any necessary specialized vocabulary. This
definition focuses on the actual ability of the interpreter in a
particular interpreting context to facilitate effective
communication between the public entity and the individual with
disabilities.
Public comment also revealed that public entities have at times
asked persons who are deaf to provide family members or friends to
interpret. In certain circumstances, notwithstanding that the
family member of friend is able to interpret or is a certified
interpreter, the family member or friend may not be qualified to
render the necessary interpretation because of factors such as
emotional or personal involvement or considerations of
confidentiality that may adversely affect the ability to
interpret“effectively, accurately, and impartially.”
The definition of “qualified interpreter” in this rule does not
invalidate or limit standards for interpreting services of any
State or local law that are equal to or more stringent than those
imposed by this definition. For instance, the definition would not
supersede any requirement of State law for use of a certified
interpreter in court proceedings.
“Section 504.” The Department added a definition of “section
504” because the term is used extensively in subpart F of this
part.
“State.” The definition of “State” is identical to the statutory
definition in section 3(3) of the ADA.
Section 35.105 Self-evaluation
Section 35.105 establishes a requirement, based on the section
504 regulations for federally assisted and federally conducted
programs, that a public entity evaluate its current policies and
practices to identify and correct any that are not consistent with
the requirements of this part. As noted in the discussion of §
35.102, activities covered by the Department of Transportation's
regulation implementing subtitle B of title II are not required to
be included in the self-evaluation required by this section.
Experience has demonstrated the self-evaluation process to be a
valuable means of establishing a working relationship with
individuals with disabilities, which has promoted both effective
and efficient implementation of section 504. The Department expects
that it will likewise be useful to public entities newly covered by
the ADA.
All public entities are required to do a self-evaluation.
However, only those that employ 50 or more persons are required to
maintain the self-evaluation on file and make it available for
public inspection for three years. The number 50 was derived from
the Department of Justice's section 504 regulations for federally
assisted programs, 28 CFR 42.505(c). The Department received
comments critical of this limitation, some suggesting the
requirement apply to all public entities and others suggesting that
the number be changed from 50 to 15. The final rule has not been
changed. Although many regulations implementing section 504 for
federally assisted programs do use 15 employees as the cut-off for
this record-keeping requirement, the Department believes that it
would be inappropriate to extend it to those smaller public
entities covered by this regulation that do not receive Federal
financial assistance. This approach has the benefit of minimizing
paperwork burdens on small entities.
Paragraph (d) provides that the self-evaluation required by this
section shall apply only to programs not subject to section 504 or
those policies and practices, such as those involving
communications access, that have not already been included in a
self-evaluation required under an existing regulation implementing
section 504. Because most self-evaluations were done from five to
twelve years ago, however, the Department expects that a great many
public entities will be reexamining all of their policies and
programs. Programs and functions may have changed, and actions that
were supposed to have been taken to comply with section 504 may not
have been fully implemented or may no longer be effective. In
addition, there have been statutory amendments to section 504 which
have changed the coverage of section 504, particularly the Civil
Rights Restoration Act of 1987, Public Law No. 100-259, 102 Stat.
28 (1988), which broadened the definition of a covered “program or
activity.”
Several commenters suggested that the Department clarify public
entities' liability during the one-year period for compliance with
the self-evaluation requirement. The self-evaluation requirement
does not stay the effective date of the statute nor of this part.
Public entities are, therefore, not shielded from discrimination
claims during that time.
Other commenters suggested that the rule require that every
self-evaluation include an examination of training efforts to
assure that individuals with disabilities are not subjected to
discrimination because of insensitivity, particularly in the law
enforcement area. Although the Department has not added such a
specific requirement to the rule, it would be appropriate for
public entities to evaluate training efforts because, in many
cases, lack of training leads to discriminatory practices, even
when the policies in place are nondiscriminatory.
Section 35.106 Notice
Section 35.106 requires a public entity to disseminate
sufficient information to applicants, participants, beneficiaries,
and other interested persons to inform them of the rights and
protections afforded by the ADA and this regulation. Methods of
providing this information include, for example, the publication of
information in handbooks, manuals, and pamphlets that are
distributed to the public to describe a public entity's programs
and activities; the display of informative posters in service
centers and other public places; or the broadcast of information by
television or radio. In providing the notice, a public entity must
comply with the requirements for effective communication in §
35.160. The preamble to that section gives guidance on how to
effectively communicate with individuals with disabilities.
Section 35.107 Designation of Responsible Employee and Adoption of
Grievance Procedures
Consistent with § 35.105, self-evaluation, the final rule
requires that public entities with 50 or more employees designate a
responsible employee and adopt grievance procedures. Most of the
commenters who suggested that the requirement that self-evaluation
be maintained on file for three years not be limited to those
employing 50 or more persons made a similar suggestion concerning §
35.107. Commenters recommended either that all public entities be
subject to § 35.107, or that “50 or more persons” be changed to “15
or more persons.” As explained in the discussion of § 35.105, the
Department has not adopted this suggestion.
The requirement for designation of an employee responsible for
coordination of efforts to carry out responsibilities under this
part is derived from the HEW regulation implementing section 504 in
federally assisted programs. The requirement for designation of a
particular employee and dissemination of information about how to
locate that employee helps to ensure that individuals dealing with
large agencies are able to easily find a responsible person who is
familiar with the requirements of the Act and this part and can
communicate those requirements to other individuals in the agency
who may be unaware of their responsibilities. This paragraph in no
way limits a public entity's obligation to ensure that all of its
employees comply with the requirements of this part, but it ensures
that any failure by individual employees can be promptly corrected
by the designated employee.
Section 35.107(b) requires public entities with 50 or more
employees to establish grievance procedures for resolving
complaints of violations of this part. Similar requirements are
found in the section 504 regulations for federally assisted
programs (see, e.g., 45 CFR 84.7(b)). The rule, like the
regulations for federally assisted programs, provides for
investigation and resolution of complaints by a Federal enforcement
agency. It is the view of the Department that public entities
subject to this part should be required to establish a mechanism
for resolution of complaints at the local level without requiring
the complainant to resort to the Federal complaint procedures
established under subpart F. Complainants would not, however, be
required to exhaust the public entity's grievance procedures before
filing a complaint under subpart F. Delay in filing the complaint
at the Federal level caused by pursuit of the remedies available
under the grievance procedure would generally be considered good
cause for extending the time allowed for filing under §
35.170(b).
Subpart B - General Requirements Section 35.130 General
Prohibitions Against Discrimination
The general prohibitions against discrimination in the rule are
generally based on the prohibitions in existing regulations
implementing section 504 and, therefore, are already familiar to
State and local entities covered by section 504. In addition, §
35.130 includes a number of provisions derived from title III of
the Act that are implicit to a certain degree in the requirements
of regulations implementing section 504.
Several commenters suggested that this part should include the
section of the proposed title III regulation that implemented
section 309 of the Act, which requires that courses and
examinations related to applications, licensing, certification, or
credentialing be provided in an accessible place and manner or that
alternative accessible arrangements be made. The Department has not
adopted this suggestion. The requirements of this part, including
the general prohibitions of discrimination in this section, the
program access requirements of subpart D, and the communications
requirements of subpart E, apply to courses and examinations
provided by public entities. The Department considers these
requirements to be sufficient to ensure that courses and
examinations administered by public entities meet the requirements
of section 309. For example, a public entity offering an
examination must ensure that modifications of policies, practices,
or procedures or the provision of auxiliary aids and services
furnish the individual with a disability an equal opportunity to
demonstrate his or her knowledge or ability. Also, any examination
specially designed for individuals with disabilities must be
offered as often and in as timely a manner as are other
examinations. Further, under this part, courses and examinations
must be offered in the most integrated setting appropriate. The
analysis of § 35.130(d) is relevant to this determination.
A number of commenters asked that the regulation be amended to
require training of law enforcement personnel to recognize the
difference between criminal activity and the effects of seizures or
other disabilities such as mental retardation, cerebral palsy,
traumatic brain injury, mental illness, or deafness. Several
disabled commenters gave personal statements about the abuse they
had received at the hands of law enforcement personnel. Two
organizations that commented cited the Judiciary report at 50 as
authority to require law enforcement training.
The Department has not added such a training requirement to the
regulation. Discriminatory arrests and brutal treatment are already
unlawful police activities. The general regulatory obligation to
modify policies, practices, or procedures requires law enforcement
to make changes in policies that result in discriminatory arrests
or abuse of individuals with disabilities. Under this section law
enforcement personnel would be required to make appropriate efforts
to determine whether perceived strange or disruptive behavior or
unconsciousness is the result of a disability. The Department notes
that a number of States have attempted to address the problem of
arresting disabled persons for noncriminal conduct resulting from
their disability through adoption of the Uniform Duties to Disabled
Persons Act, and encourages other jurisdictions to consider that
approach.
Paragraph (a) restates the nondiscrimination mandate of section
202 of the ADA. The remaining paragraphs in § 35.130 establish the
general principles for analyzing whether any particular action of
the public entity violates this mandate.
Paragraph (b) prohibits overt denials of equal treatment of
individuals with disabilities. A public entity may not refuse to
provide an individual with a disability with an equal opportunity
to participate in or benefit from its program simply because the
person has a disability.
Paragraph (b)(1)(i) provides that it is discriminatory to deny a
person with a disability the right to participate in or benefit
from the aid, benefit, or service provided by a public entity.
Paragraph (b)(1)(ii) provides that the aids, benefits, and services
provided to persons with disabilities must be equal to those
provided to others, and paragraph (b)(1)(iii) requires that the
aids, benefits, or services provided to individuals with
disabilities must be as effective in affording equal opportunity to
obtain the same result, to gain the same benefit, or to reach the
same level of achievement as those provided to others. These
paragraphs are taken from the regulations implementing section 504
and simply restate principles long established under section
504.
Paragraph (b)(1)(iv) permits the public entity to develop
separate or different aids, benefits, or services when necessary to
provide individuals with disabilities with an equal opportunity to
participate in or benefit from the public entity's programs or
activities, but only when necessary to ensure that the aids,
benefits, or services are as effective as those provided to others.
Paragraph (b)(1)(iv) must be read in conjunction with paragraphs
(b)(2), (d), and (e). Even when separate or different aids,
benefits, or services would be more effective, paragraph (b)(2)
provides that a qualified individual with a disability still has
the right to choose to participate in the program that is not
designed to accommodate individuals with disabilities. Paragraph
(d) requires that a public entity administer services, programs,
and activities in the most integrated setting appropriate to the
needs of qualified individuals with disabilities.
Paragraph (b)(2) specifies that, notwithstanding the existence
of separate or different programs or activities provided in
accordance with this section, an individual with a disability shall
not be denied the opportunity to participate in such programs or
activities that are not separate or different. Paragraph (e), which
is derived from section 501(d) of the Americans with Disabilities
Act, states that nothing in this part shall be construed to require
an individual with a disability to accept an accommodation, aid,
service, opportunity, or benefit that he or she chooses not to
accept.
Taken together, these provisions are intended to prohibit
exclusion and segregation of individuals with disabilities and the
denial of equal opportunities enjoyed by others, based on, among
other things, presumptions, patronizing attitudes, fears, and
stereotypes about individuals with disabilities. Consistent with
these standards, public entities are required to ensure that their
actions are based on facts applicable to individuals and not on
presumptions as to what a class of individuals with disabilities
can or cannot do.
Integration is fundamental to the purposes of the Americans with
Disabilities Act. Provision of segregated accommodations and
services relegates persons with disabilities to second-class
status. For example, it would be a violation of this provision to
require persons with disabilities to eat in the back room of a
government cafeteria or to refuse to allow a person with a
disability the full use of recreation or exercise facilities
because of stereotypes about the person's ability to
participate.
Many commenters objected to proposed paragraphs (b)(1)(iv) and
(d) as allowing continued segregation of individuals with
disabilities. The Department recognizes that promoting integration
of individuals with disabilities into the mainstream of society is
an important objective of the ADA and agrees that, in most
instances, separate programs for individuals with disabilities will
not be permitted. Nevertheless, section 504 does permit separate
programs in limited circumstances, and Congress clearly intended
the regulations issued under title II to adopt the standards of
section 504. Furthermore, Congress included authority for separate
programs in the specific requirements of title III of the Act.
Section 302(b)(1)(A)(iii) of the Act provides for separate benefits
in language similar to that in § 35.130(b)(1)(iv), and section
302(b)(1)(B) includes the same requirement for “the most integrated
setting appropriate” as in § 35.130(d).
Even when separate programs are permitted, individuals with
disabilities cannot be denied the opportunity to participate in
programs that are not separate or different. This is an important
and overarching principle of the Americans with Disabilities Act.
Separate, special, or different programs that are designed to
provide a benefit to persons with disabilities cannot be used to
restrict the participation of persons with disabilities in general,
integrated activities.
For example, a person who is blind may wish to decline
participating in a special museum tour that allows persons to touch
sculptures in an exhibit and instead tour the exhibit at his or her
own pace with the museum's recorded tour. It is not the intent of
this section to require the person who is blind to avail himself or
herself of the special tour. Modified participation for persons
with disabilities must be a choice, not a requirement.
In addition, it would not be a violation of this section for a
public entity to offer recreational programs specially designed for
children with mobility impairments. However, it would be a
violation of this section if the entity then excluded these
children from other recreational services for which they are
qualified to participate when these services are made available to
nondisabled children, or if the entity required children with
disabilities to attend only designated programs.
Many commenters asked that the Department clarify a public
entity's obligations within the integrated program when it offers a
separate program but an individual with a disability chooses not to
participate in the separate program. It is impossible to make a
blanket statement as to what level of auxiliary aids or
modifications would be required in the integrated program. Rather,
each situation must be assessed individually. The starting point is
to question whether the separate program is in fact necessary or
appropriate for the individual. Assuming the separate program would
be appropriate for a particular individual, the extent to which
that individual must be provided with modifications in the
integrated program will depend not only on what the individual
needs but also on the limitations and defenses of this part. For
example, it may constitute an undue burden for a public
accommodation, which provides a full-time interpreter in its
special guided tour for individuals with hearing impairments, to
hire an additional interpreter for those individuals who choose to
attend the integrated program. The Department cannot identify
categorically the level of assistance or aid required in the
integrated program.
Paragraph (b)(1)(v) provides that a public entity may not aid or
perpetuate discrimination against a qualified individual with a
disability by providing significant assistance to an agency,
organization, or person that discriminates on the basis of
disability in providing any aid, benefit, or service to
beneficiaries of the public entity's program. This paragraph is
taken from the regulations implementing section 504 for federally
assisted programs.
Paragraph (b)(1)(vi) prohibits the public entity from denying a
qualified individual with a disability the opportunity to
participate as a member of a planning or advisory board.
Paragraph (b)(1)(vii) prohibits the public entity from limiting
a qualified individual with a disability in the enjoyment of any
right, privilege, advantage, or opportunity enjoyed by others
receiving any aid, benefit, or service.
Paragraph (b)(3) prohibits the public entity from utilizing
criteria or methods of administration that deny individuals with
disabilities access to the public entity's services, programs, and
activities or that perpetuate the discrimination of another public
entity, if both public entities are subject to common
administrative control or are agencies of the same State. The
phrase “criteria or methods of administration” refers to official
written policies of the public entity and to the actual practices
of the public entity. This paragraph prohibits both blatantly
exclusionary policies or practices and nonessential policies and
practices that are neutral on their face, but deny individuals with
disabilities an effective opportunity to participate. This standard
is consistent with the interpretation of section 504 by the U.S.
Supreme Court in Alexander v. Choate, 469 U.S. 287
(1985). The Court in Choate explained that members of
Congress made numerous statements during passage of section 504
regarding eliminating architectural barriers, providing access to
transportation, and eliminating discriminatory effects of job
qualification procedures. The Court then noted: “These statements
would ring hollow if the resulting legislation could not rectify
the harms resulting from action that discriminated by effect as
well as by design.” Id. at 297 (footnote omitted).
Paragraph (b)(4) specifically applies the prohibition enunciated
in § 35.130(b)(3) to the process of selecting sites for
construction of new facilities or selecting existing facilities to
be used by the public entity. Paragraph (b)(4) does not apply to
construction of additional buildings at an existing site.
Paragraph (b)(5) prohibits the public entity, in the selection
of procurement contractors, from using criteria that subject
qualified individuals with disabilities to discrimination on the
basis of disability.
Paragraph (b)(6) prohibits the public entity from discriminating
against qualified individuals with disabilities on the basis of
disability in the granting of licenses or certification. A person
is a “qualified individual with a disability” with respect to
licensing or certification if he or she can meet the essential
eligibility requirements for receiving the license or certification
(see § 35.104).
A number of commenters were troubled by the phrase “essential
eligibility requirements” as applied to State licensing
requirements, especially those for health care professions. Because
of the variety of types of programs to which the definition of
“qualified individual with a disability” applies, it is not
possible to use more specific language in the definition. The
phrase “essential eligibility requirements,” however, is taken from
the definitions in the regulations implementing section 504, so
caselaw under section 504 will be applicable to its interpretation.
In Southeastern Community College v. Davis, 442 U.S.
397, for example, the Supreme Court held that section 504 does not
require an institution to “lower or effect substantial
modifications of standards to accommodate a handicapped person,”
442 U.S. at 413, and that the school had established that the
plaintiff was not “qualified” because she was not able to “serve
the nursing profession in all customary ways,” id. Whether a
particular requirement is “essential” will, of course, depend on
the facts of the particular case.
In addition, the public entity may not establish requirements
for the programs or activities of licensees or certified entities
that subject qualified individuals with disabilities to
discrimination on the basis of disability. For example, the public
entity must comply with this requirement when establishing safety
standards for the operations of licensees. In that case the public
entity must ensure that standards that it promulgates do not
discriminate against the employment of qualified individuals with
disabilities in an impermissible manner.
Paragraph (b)(6) does not extend the requirements of the Act or
this part directly to the programs or activities of licensees or
certified entities themselves. The programs or activities of
licensees or certified entities are not themselves programs or
activities of the public entity merely by virtue of the license or
certificate.
Paragraph (b)(7) is a specific application of the requirement
under the general prohibitions of discrimination that public
entities make reasonable modifications in policies, practices, or
procedures where necessary to avoid discrimination on the basis of
disability. Section 302(b)(2)(A)(ii) of the ADA sets out this
requirement specifically for public accommodations covered by title
III of the Act, and the House Judiciary Committee Report directs
the Attorney General to include those specific requirements in the
title II regulation to the extent that they do not conflict with
the regulations implementing section 504. Judiciary report at
52.
Paragraph (b)(8), a new paragraph not contained in the proposed
rule, prohibits the imposition or application of eligibility
criteria that screen out or tend to screen out an individual with a
disability or any class of individuals with disabilities from fully
and equally enjoying any service, program, or activity, unless such
criteria can be shown to be necessary for the provision of the
service, program, or activity being offered. This prohibition is
also a specific application of the general prohibitions of
discrimination and is based on section 302(b)(2)(A)(i) of the ADA.
It prohibits overt denials of equal treatment of individuals with
disabilities, or establishment of exclusive or segregative criteria
that would bar individuals with disabilities from participation in
services, benefits, or activities.
Paragraph (b)(8) also prohibits policies that unnecessarily
impose requirements or burdens on individuals with disabilities
that are not placed on others. For example, public entities may not
require that a qualified individual with a disability be
accompanied by an attendant. A public entity is not, however,
required to provide attendant care, or assistance in toileting,
eating, or dressing to individuals with disabilities, except in
special circumstances, such as where the individual is an inmate of
a custodial or correctional institution.
In addition, paragraph (b)(8) prohibits the imposition of
criteria that “tend to” screen out an individual with a disability.
This concept, which is derived from current regulations under
section 504 (see, e.g., 45 CFR 84.13), makes it
discriminatory to impose policies or criteria that, while not
creating a direct bar to individuals with disabilities, indirectly
prevent or limit their ability to participate. For example,
requiring presentation of a driver's license as the sole means of
identification for purposes of paying by check would violate this
section in situations where, for example, individuals with severe
vision impairments or developmental disabilities or epilepsy are
ineligible to receive a driver's license and the use of an
alternative means of identification, such as another photo I.D. or
credit card, is feasible.
A public entity may, however, impose neutral rules and criteria
that screen out, or tend to screen out, individuals with
disabilities if the criteria are necessary for the safe operation
of the program in question. Examples of safety qualifications that
would be justifiable in appropriate circumstances would include
eligibility requirements for drivers' licenses, or a requirement
that all participants in a recreational rafting expedition be able
to meet a necessary level of swimming proficiency. Safety
requirements must be based on actual risks and not on speculation,
stereotypes, or generalizations about individuals with
disabilities.
Paragraph (c) provides that nothing in this part prohibits a
public entity from providing benefits, services, or advantages to
individuals with disabilities, or to a particular class of
individuals with disabilities, beyond those required by this part.
It is derived from a provision in the section 504 regulations that
permits programs conducted pursuant to Federal statute or Executive
order that are designed to benefit only individuals with
disabilities or a given class of individuals with disabilities to
be limited to those individuals with disabilities. Section 504
ensures that federally assisted programs are made available to all
individuals, without regard to disabilities, unless the Federal
program under which the assistance is provided is specifically
limited to individuals with disabilities or a particular class of
individuals with disabilities. Because coverage under this part is
not limited to federally assisted programs, paragraph (c) has been
revised to clarify that State and local governments may provide
special benefits, beyond those required by the nondiscrimination
requirements of this part, that are limited to individuals with
disabilities or a particular class of individuals with
disabilities, without thereby incurring additional obligations to
persons without disabilities or to other classes of individuals
with disabilities.
Paragraphs (d) and (e), previously referred to in the discussion
of paragraph (b)(1)(iv), provide that the public entity must
administer services, programs, and activities in the most
integrated setting appropriate to the needs of qualified
individuals with disabilities, i.e., in a setting that
enables individuals with disabilities to interact with nondisabled
persons to the fullest extent possible, and that persons with
disabilities must be provided the option of declining to accept a
particular accommodation.
Some commenters expressed concern that § 35.130(e), which states
that nothing in the rule requires an individual with a disability
to accept special accommodations and services provided under the
ADA, could be interpreted to allow guardians of infants or older
people with disabilities to refuse medical treatment for their
wards. Section 35.130(e) has been revised to make it clear that
paragraph (e) is inapplicable to the concern of the commenters. A
new paragraph (e)(2) has been added stating that nothing in the
regulation authorizes the representative or guardian of an
individual with a disability to decline food, water, medical
treatment, or medical services for that individual. New paragraph
(e) clarifies that neither the ADA nor the regulation alters
current Federal law ensuring the rights of incompetent individuals
with disabilities to receive food, water, and medical treatment.
See, e.g., Child Abuse Amendments of 1984 (42 U.S.C.
5106a(b)(10), 5106g(10)); Rehabilitation Act of 1973, as amended
(29 U.S.C. 794); the Developmentally Disabled Assistance and Bill
of Rights Act (42 U.S.C. 6042).
Sections 35.130(e) (1) and (2) are based on section 501(d) of
the ADA. Section 501(d) was designed to clarify that nothing in the
ADA requires individuals with disabilities to accept special
accommodations and services for individuals with disabilities that
may segregate them:
The Committee added this section [501(d)] to clarify that
nothing in the ADA is intended to permit discriminatory treatment
on the basis of disability, even when such treatment is rendered
under the guise of providing an accommodation, service, aid or
benefit to the individual with disability. For example, a blind
individual may choose not to avail himself or herself of the right
to go to the front of a line, even if a particular public
accommodation has chosen to offer such a modification of a policy
for blind individuals. Or, a blind individual may choose to decline
to participate in a special museum tour that allows persons to
touch sculptures in an exhibit and instead tour the exhibits at his
or her own pace with the museum's recorded tour.
Judiciary report at 71-72. The Act is not to be construed to mean
that an individual with disabilities must accept special
accommodations and services for individuals with disabilities when
that individual can participate in the regular services already
offered. Because medical treatment, including treatment for
particular conditions, is not a special accommodation or service
for individuals with disabilities under section 501(d), neither the
Act nor this part provides affirmative authority to suspend such
treatment. Section 501(d) is intended to clarify that the Act is
not designed to foster discrimination through mandatory acceptance
of special services when other alternatives are provided; this
concern does not reach to the provision of medical treatment for
the disabling condition itself.
Paragraph (f) provides that a public entity may not place a
surcharge on a particular individual with a disability, or any
group of individuals with disabilities, to cover any costs of
measures required to provide that individual or group with the
nondiscriminatory treatment required by the Act or this part. Such
measures may include the provision of auxiliary aids or of
modifications required to provide program accessibility.
Several commenters asked for clarification that the costs of
interpreter services may not be assessed as an element of “court
costs.” The Department has already recognized that imposition of
the cost of courtroom interpreter services is impermissible under
section 504. The preamble to the Department's section 504
regulation for its federally assisted programs states that where a
court system has an obligation to provide qualified interpreters,
“it has the corresponding responsibility to pay for the services of
the interpreters.” (45 FR 37630 (June 3, 1980)). Accordingly,
recouping the costs of interpreter services by assessing them as
part of court costs would also be prohibited.
Paragraph (g), which prohibits discrimination on the basis of an
individual's or entity's known relationship or association with an
individual with a disability, is based on sections 102(b)(4) and
302(b)(1)(E) of the ADA. This paragraph was not contained in the
proposed rule. The individuals covered under this paragraph are any
individuals who are discriminated against because of their known
association with an individual with a disability. For example, it
would be a violation of this paragraph for a local government to
refuse to allow a theater company to use a school auditorium on the
grounds that the company had recently performed for an audience of
individuals with HIV disease.
This protection is not limited to those who have a familial
relationship with the individual who has a disability. Congress
considered, and rejected, amendments that would have limited the
scope of this provision to specific associations and relationships.
Therefore, if a public entity refuses admission to a person with
cerebral palsy and his or her companions, the companions have an
independent right of action under the ADA and this section.
During the legislative process, the term “entity” was added to
section 302(b)(1)(E) to clarify that the scope of the provision is
intended to encompass not only persons who have a known association
with a person with a disability, but also entities that provide
services to or are otherwise associated with such individuals. This
provision was intended to ensure that entities such as health care
providers, employees of social service agencies, and others who
provide professional services to persons with disabilities are not
subjected to discrimination because of their professional
association with persons with disabilities.
Section 35.131 Illegal Use of Drugs
Section 35.131 effectuates section 510 of the ADA, which
clarifies the Act's application to people who use drugs illegally.
Paragraph (a) provides that this part does not prohibit
discrimination based on an individual's current illegal use of
drugs.
The Act and the regulation distinguish between illegal use of
drugs and the legal use of substances, whether or not those
substances are “controlled substances,” as defined in the
Controlled Substances Act (21 U.S.C. 812). Some controlled
substances are prescription drugs that have legitimate medical
uses. Section 35.131 does not affect use of controlled substances
pursuant to a valid prescription under supervision by a licensed
health care professional, or other use that is authorized by the
Controlled Substances Act or any other provision of Federal law. It
does apply to illegal use of those substances, as well as to
illegal use of controlled substances that are not prescription
drugs. The key question is whether the individual's use of the
substance is illegal, not whether the substance has recognized
legal uses. Alcohol is not a controlled substance, so use of
alcohol is not addressed by § 35.131 (although alcoholics are
individuals with disabilities, subject to the protections of the
statute).
A distinction is also made between the use of a substance and
the status of being addicted to that substance. Addiction is a
disability, and addicts are individuals with disabilities protected
by the Act. The protection, however, does not extend to actions
based on the illegal use of the substance. In other words, an
addict cannot use the fact of his or her addiction as a defense to
an action based on illegal use of drugs. This distinction is not
artificial. Congress intended to deny protection to people who
engage in the illegal use of drugs, whether or not they are
addicted, but to provide protection to addicts so long as they are
not currently using drugs.
A third distinction is the difficult one between current use and
former use. The definition of “current illegal use of drugs” in §
35.104, which is based on the report of the Conference Committee,
H.R. Conf. Rep. No. 596, 101st Cong., 2d Sess. 64 (1990)
(hereinafter “Conference report”), is “illegal use of drugs that
occurred recently enough to justify a reasonable belief that a
person's drug use is current or that continuing use is a real and
ongoing problem.”
Paragraph (a)(2)(i) specifies that an individual who has
successfully completed a supervised drug rehabilitation program or
has otherwise been rehabilitated successfully and who is not
engaging in current illegal use of drugs is protected. Paragraph
(a)(2)(ii) clarifies that an individual who is currently
participating in a supervised rehabilitation program and is not
engaging in current illegal use of drugs is protected. Paragraph
(a)(2)(iii) provides that a person who is erroneously regarded as
engaging in current illegal use of drugs, but who is not engaging
in such use, is protected.
Paragraph (b) provides a limited exception to the exclusion of
current illegal users of drugs from the protections of the Act. It
prohibits denial of health services, or services provided in
connection with drug rehabilitation to an individual on the basis
of current illegal use of drugs, if the individual is otherwise
entitled to such services. A health care facility, such as a
hospital or clinic, may not refuse treatment to an individual in
need of the services it provides on the grounds that the individual
is illegally using drugs, but it is not required by this section to
provide services that it does not ordinarily provide. For example,
a health care facility that specializes in a particular type of
treatment, such as care of burn victims, is not required to provide
drug rehabilitation services, but it cannot refuse to treat an
individual's burns on the grounds that the individual is illegally
using drugs.
Some commenters pointed out that abstention from the use of
drugs is an essential condition of participation in some drug
rehabilitation programs, and may be a necessary requirement in
inpatient or residential settings. The Department believes that
this comment is well-founded. Congress clearly intended to prohibit
exclusion from drug treatment programs of the very individuals who
need such programs because of their use of drugs, but, once an
individual has been admitted to a program, abstention may be a
necessary and appropriate condition to continued participation. The
final rule therefore provides that a drug rehabilitation or
treatment program may prohibit illegal use of drugs by individuals
while they are participating in the program.
Paragraph (c) expresses Congress' intention that the Act be
neutral with respect to testing for illegal use of drugs. This
paragraph implements the provision in section 510(b) of the Act
that allows entities “to adopt or administer reasonable policies or
procedures, including but not limited to drug testing,” that ensure
that an individual who is participating in a supervised
rehabilitation program, or who has completed such a program or
otherwise been rehabilitated successfully is no longer engaging in
the illegal use of drugs. The section is not to be “construed to
encourage, prohibit, restrict, or authorize the conducting of
testing for the illegal use of drugs.”
Paragraph 35.131(c) clarifies that it is not a violation of this
part to adopt or administer reasonable policies or procedures to
ensure that an individual who formerly engaged in the illegal use
of drugs is not currently engaging in illegal use of drugs. Any
such policies or procedures must, of course, be reasonable, and
must be designed to identify accurately the illegal use of drugs.
This paragraph does not authorize inquiries, tests, or other
procedures that would disclose use of substances that are not
controlled substances or are taken under supervision by a licensed
health care professional, or other uses authorized by the
Controlled Substances Act or other provisions of Federal law,
because such uses are not included in the definition of “illegal
use of drugs.” A commenter argued that the rule should permit
testing for lawful use of prescription drugs, but most commenters
preferred that tests must be limited to unlawful use in order to
avoid revealing the lawful use of prescription medicine used to
treat disabilities.
Section 35.132 Smoking
Section 35.132 restates the clarification in section 501(b) of
the Act that the Act does not preclude the prohibition of, or
imposition of restrictions on, smoking in transportation covered by
title II. Some commenters argued that this section is too limited
in scope, and that the regulation should prohibit smoking in all
facilities used by public entities. The reference to smoking in
section 501, however, merely clarifies that the Act does not
require public entities to accommodate smokers by permitting them
to smoke in transportation facilities.
Section 35.133 Maintenance of Accessible Features
Section 35.133 provides that a public entity shall maintain in
operable working condition those features of facilities and
equipment that are required to be readily accessible to and usable
by persons with disabilities by the Act or this part. The Act
requires that, to the maximum extent feasible, facilities must be
accessible to, and usable by, individuals with disabilities. This
section recognizes that it is not sufficient to provide features
such as accessible routes, elevators, or ramps, if those features
are not maintained in a manner that enables individuals with
disabilities to use them. Inoperable elevators, locked accessible
doors, or “accessible” routes that are obstructed by furniture,
filing cabinets, or potted plants are neither “accessible to” nor
“usable by” individuals with disabilities.
Some commenters objected that this section appeared to establish
an absolute requirement and suggested that language from the
preamble be included in the text of the regulation. It is, of
course, impossible to guarantee that mechanical devices will never
fail to operate. Paragraph (b) of the final regulation provides
that this section does not prohibit isolated or temporary
interruptions in service or access due to maintenance or repairs.
This paragraph is intended to clarify that temporary obstructions
or isolated instances of mechanical failure would not be considered
violations of the Act or this part. However, allowing obstructions
or “out of service” equipment to persist beyond a reasonable period
of time would violate this part, as would repeated mechanical
failures due to improper or inadequate maintenance. Failure of the
public entity to ensure that accessible routes are properly
maintained and free of obstructions, or failure to arrange prompt
repair of inoperable elevators or other equipment intended to
provide access would also violate this part.
Other commenters requested that this section be expanded to
include specific requirements for inspection and maintenance of
equipment, for training staff in the proper operation of equipment,
and for maintenance of specific items. The Department believes that
this section properly establishes the general requirement for
maintaining access and that further details are not necessary.
Section 35.134 Retaliation or Coercion
Section 35.134 implements section 503 of the ADA, which
prohibits retaliation against any individual who exercises his or
her rights under the Act. This section is unchanged from the
proposed rule. Paragraph (a) of § 35.134 provides that no private
or public entity shall discriminate against any individual because
that individual has exercised his or her right to oppose any act or
practice made unlawful by this part, or because that individual
made a charge, testified, assisted, or participated in any manner
in an investigation, proceeding, or hearing under the Act or this
part.
Paragraph (b) provides that no private or public entity shall
coerce, intimidate, threaten, or interfere with any individual in
the exercise of his or her rights under this part or because that
individual aided or encouraged any other individual in the exercise
or enjoyment of any right granted or protected by the Act or this
part.
This section protects not only individuals who allege a
violation of the Act or this part, but also any individuals who
support or assist them. This section applies to all investigations
or proceedings initiated under the Act or this part without regard
to the ultimate resolution of the underlying allegations. Because
this section prohibits any act of retaliation or coercion in
response to an individual's effort to exercise rights established
by the Act and this part (or to support the efforts of another
individual), the section applies not only to public entities
subject to this part, but also to persons acting in an individual
capacity or to private entities. For example, it would be a
violation of the Act and this part for a private individual to
harass or intimidate an individual with a disability in an effort
to prevent that individual from attending a concert in a
State-owned park. It would, likewise, be a violation of the Act and
this part for a private entity to take adverse action against an
employee who appeared as a witness on behalf of an individual who
sought to enforce the Act.
Section 35.135 Personal Devices and Services
The final rule includes a new § 35.135, entitles “Personal
devices and services,” which states that the provision of personal
devices and services is not required by title II. This new section,
which serves as a limitation on all of the requirements of the
regulation, replaces § 35.160(b)(2) of the proposed rule, which
addressed the issue of personal devices and services explicitly
only in the context of communications. The personal devices and
services limitation was intended to have general application in the
proposed rule in all contexts where it was relevant. The final
rule, therefore, clarifies this point by including a general
provision that will explicitly apply not only to auxiliary aids and
services but across-the-board to include other relevant areas such
as, for example, modifications in policies, practices, and
procedures (§ 35.130(b)(7)). The language of § 35.135 parallels an
analogous provision in the Department's title III regulations (28
CFR 36.306) but preserves the explicit reference to “readers for
personal use or study” in § 35.160(b)(2) of the proposed rule. This
section does not preclude the short-term loan of personal receivers
that are part of an assistive listening system.
Subpart C - Employment Section 35.140 Employment Discrimination
Prohibited
Title II of the ADA applies to all activities of public
entities, including their employment practices. The proposed rule
cross-referenced the definitions, requirements, and procedures of
title I of the ADA, as established by the Equal Employment
Opportunity Commission in 29 CFR part 1630. This proposal would
have resulted in use, under § 35.140, of the title I definition of
“employer,” so that a public entity with 25 or more employees would
have become subject to the requirements of § 35.140 on July 26,
1992, one with 15 to 24 employees on July 26, 1994, and one with
fewer than 15 employees would have been excluded completely.
The Department received comments objecting to this approach. The
commenters asserted that Congress intended to establish
nondiscrimination requirements for employment by all public
entities, including those that employ fewer than 15 employees; and
that Congress intended the employment requirements of title II to
become effective at the same time that the other requirements of
this regulation become effective, January 26, 1992. The Department
has reexamined the statutory language and legislative history of
the ADA on this issue and has concluded that Congress intended to
cover the employment practices of all public entities and that the
applicable effective date is that of title II.
The statutory language of section 204(b) of the ADA requires the
Department to issue a regulation that is consistent with the ADA
and the Department's coordination regulation under section 504, 28
CFR part 41. The coordination regulation specifically requires
nondiscrimination in employment, 28 CFR 41.52-41.55, and does not
limit coverage based on size of employer. Moreover, under all
section 504 implementing regulations issued in accordance with the
Department's coordination regulation, employment coverage under
section 504 extends to all employers with federally assisted
programs or activities, regardless of size, and the effective date
for those employment requirements has always been the same as the
effective date for nonemployment requirements established in the
same regulations. The Department therefore concludes that § 35.140
must apply to all public entities upon the effective date of this
regulation.
In the proposed regulation the Department cross-referenced the
regulations implementing title I of the ADA, issued by the Equal
Employment Opportunity Commission at 29 CFR part 1630, as a
compliance standard for § 35.140 because, as proposed, the scope of
coverage and effective date of coverage under title II would have
been coextensive with title I. In the final regulation this
language is modified slightly. Subparagraph (1) of new paragraph
(b) makes it clear that the standards established by the Equal
Employment Opportunity Commission in 29 CFR part 1630 will be the
applicable compliance standards if the public entity is subject to
title I. If the public entity is not covered by title I, or until
it is covered by title I, subparagraph (b)(2) cross-references
section 504 standards for what constitutes employment
discrimination, as established by the Department of Justice in 28
CFR part 41. Standards for title I of the ADA and section 504 of
the Rehabilitation Act are for the most part identical because
title I of the ADA was based on requirements set forth in
regulations implementing section 504.
The Department, together with the other Federal agencies
responsible for the enforcement of Federal laws prohibiting
employment discrimination on the basis of disability, recognizes
the potential for jurisdictional overlap that exists with respect
to coverage of public entities and the need to avoid problems
related to overlapping coverage. The other Federal agencies include
the Equal Employment Opportunity Commission, which is the agency
primarily responsible for enforcement of title I of the ADA, the
Department of Labor, which is the agency responsible for
enforcement of section 503 of the Rehabilitation Act of 1973, and
26 Federal agencies with programs of Federal financial assistance,
which are responsible for enforcing section 504 in those programs.
Section 107 of the ADA requires that coordination mechanisms be
developed in connection with the administrative enforcement of
complaints alleging discrimination under title I and complaints
alleging discrimination in employment in violation of the
Rehabilitation Act. Although the ADA does not specifically require
inclusion of employment complaints under title II in the
coordinating mechanisms required by title I, Federal investigations
of title II employment complaints will be coordinated on a
government-wide basis also. The Department is currently working
with the EEOC and other affected Federal agencies to develop
effective coordinating mechanisms, and final regulations on this
issue will be issued on or before January 26, 1992.
Subpart D - Program Accessibility Section 35.149 Discrimination
Prohibited
Section 35.149 states the general nondiscrimination principle
underlying the program accessibility requirements of §§ 35.150 and
35.151.
Section 35.150 Existing Facilities
Consistent with section 204(b) of the Act, this regulation
adopts the program accessibility concept found in the section 504
regulations for federally conducted programs or activities (e.g.,
28 CFR part 39). The concept of “program accessibility” was first
used in the section 504 regulation adopted by the Department of
Health, Education, and Welfare for its federally assisted programs
and activities in 1977. It allowed recipients to make their
federally assisted programs and activities available to individuals
with disabilities without extensive retrofitting of their existing
buildings and facilities, by offering those programs through
alternative methods. Program accessibility has proven to be a
useful approach and was adopted in the regulations issued for
programs and activities conducted by Federal Executive agencies.
The Act provides that the concept of program access will continue
to apply with respect to facilities now in existence, because the
cost of retrofitting existing facilities is often prohibitive.
Section 35.150 requires that each service, program, or activity
conducted by a public entity, when viewed in its entirety, be
readily accessible to and usable by individuals with disabilities.
The regulation makes clear, however, that a public entity is not
required to make each of its existing facilities accessible (§
35.150(a)(1)). Unlike title III of the Act, which requires public
accommodations to remove architectural barriers where such removal
is “readily achievable,” or to provide goods and services through
alternative methods, where those methods are “readily achievable,”
title II requires a public entity to make its programs accessible
in all cases, except where to do so would result in a fundamental
alteration in the nature of the program or in undue financial and
administrative burdens. Congress intended the “undue burden”
standard in title II to be significantly higher than the “readily
achievable” standard in title III. Thus, although title II may not
require removal of barriers in some cases where removal would be
required under title III, the program access requirement of title
II should enable individuals with disabilities to participate in
and benefit from the services, programs, or activities of public
entities in all but the most unusual cases.
Paragraph (a)(2), which establishes a special limitation on the
obligation to ensure program accessibility in historic preservation
programs, is discussed below in connection with paragraph (b).
Paragraph (a)(3), which is taken from the section 504
regulations for federally conducted programs, generally codifies
case law that defines the scope of the public entity's obligation
to ensure program accessibility. This paragraph provides that, in
meeting the program accessibility requirement, a public entity is
not required to take any action that would result in a fundamental
alteration in the nature of its service, program, or activity or in
undue financial and administrative burdens. A similar limitation is
provided in § 35.164.
This paragraph does not establish an absolute defense; it does
not relieve a public entity of all obligations to individuals with
disabilities. Although a public entity is not required to take
actions that would result in a fundamental alteration in the nature
of a service, program, or activity or in undue financial and
administrative burdens, it nevertheless must take any other steps
necessary to ensure that individuals with disabilities receive the
benefits or services provided by the public entity.
It is the Department's view that compliance with § 35.150(a),
like compliance with the corresponding provisions of the section
504 regulations for federally conducted programs, would in most
cases not result in undue financial and administrative burdens on a
public entity. In determining whether financial and administrative
burdens are undue, all public entity resources available for use in
the funding and operation of the service, program, or activity
should be considered. The burden of proving that compliance with
paragraph (a) of § 35.150 would fundamentally alter the nature of a
service, program, or activity or would result in undue financial
and administrative burdens rests with the public entity.
The decision that compliance would result in such alteration or
burdens must be made by the head of the public entity or his or her
designee and must be accompanied by a written statement of the
reasons for reaching that conclusion. The Department recognizes the
difficulty of identifying the official responsible for this
determination, given the variety of organizational forms that may
be taken by public entities and their components. The intention of
this paragraph is that the determination must be made by a high
level official, no lower than a Department head, having budgetary
authority and responsibility for making spending decisions.
Any person who believes that he or she or any specific class of
persons has been injured by the public entity head's decision or
failure to make a decision may file a complaint under the
compliance procedures established in subpart F.
Paragraph (b)(1) sets forth a number of means by which program
accessibility may be achieved, including redesign of equipment,
reassignment of services to accessible buildings, and provision of
aides.
The Department wishes to clarify that, consistent with
longstanding interpretation of section 504, carrying an individual
with a disability is considered an ineffective and therefore an
unacceptable method for achieving program accessibility. Department
of Health, Education, and Welfare, Office of Civil Rights, Policy
Interpretation No. 4, 43 FR 36035 (August 14, 1978). Carrying will
be permitted only in manifestly exceptional cases, and only if all
personnel who are permitted to participate in carrying an
individual with a disability are formally instructed on the safest
and least humiliating means of carrying. “Manifestly exceptional”
cases in which carrying would be permitted might include, for
example, programs conducted in unique facilities, such as an
oceanographic vessel, for which structural changes and devices
necessary to adapt the facility for use by individuals with
mobility impairments are unavailable or prohibitively expensive.
Carrying is not permitted as an alternative to structural
modifications such as installation of a ramp or a chairlift.
In choosing among methods, the public entity shall give priority
consideration to those that will be consistent with provision of
services in the most integrated setting appropriate to the needs of
individuals with disabilities. Structural changes in existing
facilities are required only when there is no other feasible way to
make the public entity's program accessible. (It should be noted
that “structural changes” include all physical changes to a
facility; the term does not refer only to changes to structural
features, such as removal of or alteration to a load-bearing
structural member.) The requirements of § 35.151 for alterations
apply to structural changes undertaken to comply with this section.
The public entity may comply with the program accessibility
requirement by delivering services at alternate accessible sites or
making home visits as appropriate.
Historic Preservation Programs
In order to avoid possible conflict between the congressional
mandates to preserve historic properties, on the one hand, and to
eliminate discrimination against individuals with disabilities on
the other, paragraph (a)(2) provides that a public entity is not
required to take any action that would threaten or destroy the
historic significance of an historic property. The special
limitation on program accessibility set forth in paragraph (a)(2)
is applicable only to historic preservation programs, as defined in
§ 35.104, that is, programs that have preservation of historic
properties as a primary purpose. Narrow application of the special
limitation is justified because of the inherent flexibility of the
program accessibility requirement. Where historic preservation is
not a primary purpose of the program, the public entity is not
required to use a particular facility. It can relocate all or part
of its program to an accessible facility, make home visits, or use
other standard methods of achieving program accessibility without
making structural alterations that might threaten or destroy
significant historic features of the historic property. Thus,
government programs located in historic properties, such as an
historic State capitol, are not excused from the requirement for
program access.
Paragraph (a)(2), therefore, will apply only to those programs
that uniquely concern the preservation and experience of the
historic property itself. Because the primary benefit of an
historic preservation program is the experience of the historic
property, paragraph (b)(2) requires the public entity to give
priority to methods of providing program accessibility that permit
individuals with disabilities to have physical access to the
historic property. This priority on physical access may also be
viewed as a specific application of the general requirement that
the public entity administer programs in the most integrated
setting appropriate to the needs of qualified individuals with
disabilities (§ 35.130(d)). Only when providing physical access
would threaten or destroy the historic significance of an historic
property, or would result in a fundamental alteration in the nature
of the program or in undue financial and administrative burdens,
may the public entity adopt alternative methods for providing
program accessibility that do not ensure physical access. Examples
of some alternative methods are provided in paragraph (b)(2).
Time Periods
Paragraphs (c) and (d) establish time periods for complying with
the program accessibility requirement. Like the regulations for
federally assisted programs (e.g., 28 CFR 41.57(b)), paragraph (c)
requires the public entity to make any necessary structural changes
in facilities as soon as practicable, but in no event later than
three years after the effective date of this regulation.
The proposed rule provided that, aside from structural changes,
all other necessary steps to achieve compliance with this part must
be taken within sixty days. The sixty day period was taken from
regulations implementing section 504, which generally were
effective no more than thirty days after publication. Because this
regulation will not be effective until January 26, 1992, the
Department has concluded that no additional transition period for
non-structural changes is necessary, so the sixty day period has
been omitted in the final rule. Of course, this section does not
reduce or eliminate any obligations that are already applicable to
a public entity under section 504.
Where structural modifications are required, paragraph (d)
requires that a transition plan be developed by an entity that
employs 50 or more persons, within six months of the effective date
of this regulation. The legislative history of title II of the ADA
makes it clear that, under title II, “local and state governments
are required to provide curb cuts on public streets.” Education and
Labor report at 84. As the rationale for the provision of curb
cuts, the House report explains, “The employment, transportation,
and public accommodation sections of * * * (the ADA) would be
meaningless if people who use wheelchairs were not afforded the
opportunity to travel on and between the streets.” Id. Section
35.151(e), which establishes accessibility requirements for new
construction and alterations, requires that all newly constructed
or altered streets, roads, or highways must contain curb ramps or
other sloped areas at any intersection having curbs or other
barriers to entry from a street level pedestrian walkway, and all
newly constructed or altered street level pedestrian walkways must
have curb ramps or other sloped areas at intersections to streets,
roads, or highways. A new paragraph (d)(2) has been added to the
final rule to clarify the application of the general requirement
for program accessibility to the provision of curb cuts at existing
crosswalks. This paragraph requires that the transition plan
include a schedule for providing curb ramps or other sloped areas
at existing pedestrian walkways, giving priority to walkways
serving entities covered by the Act, including State and local
government offices and facilities, transportation, public
accommodations, and employers, followed by walkways serving other
areas. Pedestrian “walkways” include locations where access is
required for use of public transportation, such as bus stops that
are not located at intersections or crosswalks.
Similarly, a public entity should provide an adequate number of
accessible parking spaces in existing parking lots or garages over
which it has jurisdiction.
Paragraph (d)(3) provides that, if a public entity has already
completed a transition plan required by a regulation implementing
section 504, the transition plan required by this part will apply
only to those policies and practices that were not covered by the
previous transition plan. Some commenters suggested that the
transition plan should include all aspects of the public entity's
operations, including those that may have been covered by a
previous transition plan under section 504. The Department believes
that such a duplicative requirement would be inappropriate. Many
public entities may find, however, that it will be simpler to
include all of their operations in the transition plan than to
attempt to identify and exclude specifically those that were
addressed in a previous plan. Of course, entities covered under
section 504 are not shielded from their obligations under that
statute merely because they are included under the transition plan
developed under this section.
Section 35.151 New Construction and Alterations
Section 35.151 provides that those buildings that are
constructed or altered by, on behalf of, or for the use of a public
entity shall be designed, constructed, or altered to be readily
accessible to and usable by individuals with disabilities if the
construction was commenced after the effective date of this part.
Facilities under design on that date will be governed by this
section if the date that bids were invited falls after the
effective date. This interpretation is consistent with Federal
practice under section 504.
Section 35.151(c) establishes two standards for accessible new
construction and alteration. Under paragraph (c), design,
construction, or alteration of facilities in conformance with the
Uniform Federal Accessibility Standards (UFAS) or with the
Americans with Disabilities Act Accessibility Guidelines for
Buildings and Facilities (hereinafter ADAAG) shall be deemed to
comply with the requirements of this section with respect to those
facilities except that, if ADAAG is chosen, the elevator exemption
contained at §§ 36.40l(d) and 36.404 does not apply. ADAAG is the
standard for private buildings and was issued as guidelines by the
Architectural and Transportation Barriers Compliance Board (ATBCB)
under title III of the ADA. It has been adopted by the Department
of Justice and is published as appendix A to the Department's title
III rule in today's Federal Register. Departures from particular
requirements of these standards by the use of other methods shall
be permitted when it is clearly evident that equivalent access to
the facility or part of the facility is thereby provided. Use of
two standards is a departure from the proposed rule.
The proposed rule adopted UFAS as the only interim accessibility
standard because that standard was referenced by the regulations
implementing section 504 of the Rehabilitation Act promulgated by
most Federal funding agencies. It is, therefore, familiar to many
State and local government entities subject to this rule. The
Department, however, received many comments objecting to the
adoption of UFAS. Commenters pointed out that, except for the
elevator exemption, UFAS is not as stringent as ADAAG. Others
suggested that the standard should be the same to lessen
confusion.
Section 204(b) of the Act states that title II regulations must
be consistent not only with section 504 regulations but also with
“this Act.” Based on this provision, the Department has determined
that a public entity should be entitled to choose to comply either
with ADAAG or UFAS.
Public entities who choose to follow ADAAG, however, are not
entitled to the elevator exemption contained in title III of the
Act and implemented in the title III regulation at § 36.401(d) for
new construction and § 36.404 for alterations. Section 303(b) of
title III states that, with some exceptions, elevators are not
required in facilities that are less than three stories or have
less than 3000 square feet per story. The section 504 standard,
UFAS, contains no such exemption. Section 501 of the ADA makes
clear that nothing in the Act may be construed to apply a lesser
standard to public entities than the standards applied under
section 504. Because permitting the elevator exemption would
clearly result in application of a lesser standard than that
applied under section 504, paragraph (c) states that the elevator
exemption does not apply when public entities choose to follow
ADAAG. Thus, a two-story courthouse, whether built according to
UFAS or ADAAG, must be constructed with an elevator. It should be
noted that Congress did not include an elevator exemption for
public transit facilities covered by subtitle B of title II, which
covers public transportation provided by public entities, providing
further evidence that Congress intended that public buildings have
elevators.
Section 504 of the ADA requires the ATBCB to issue supplemental
Minimum Guidelines and Requirements for Accessible Design of
buildings and facilities subject to the Act, including title II.
Section 204(c) of the ADA provides that the Attorney General shall
promulgate regulations implementing title II that are consistent
with the ATBCB's ADA guidelines. The ATBCB has announced its
intention to issue title II guidelines in the future. The
Department anticipates that, after the ATBCB's title II guidelines
have been published, this rule will be amended to adopt new
accessibility standards consistent with the ATBCB's rulemaking.
Until that time, however, public entities will have a choice of
following UFAS or ADAAG, without the elevator exemption.
Existing buildings leased by the public entity after the
effective date of this part are not required by the regulation to
meet accessibility standards simply by virtue of being leased. They
are subject, however, to the program accessibility standard for
existing facilities in § 35.150. To the extent the buildings are
newly constructed or altered, they must also meet the new
construction and alteration requirements of § 35.151.
The Department received many comments urging that the Department
require that public entities lease only accessible buildings.
Federal practice under section 504 has always treated newly leased
buildings as subject to the existing facility program accessibility
standard. Section 204(b) of the Act states that, in the area of
“program accessibility, existing facilities,” the title II
regulations must be consistent with section 504 regulations. Thus,
the Department has adopted the section 504 principles for these
types of leased buildings. Unlike the construction of new buildings
where architectural barriers can be avoided at little or no cost,
the application of new construction standards to an existing
building being leased raises the same prospect of retrofitting
buildings as the use of an existing Federal facility, and the same
program accessibility standard should apply to both owned and
leased existing buildings. Similarly, requiring that public
entities only lease accessible space would significantly restrict
the options of State and local governments in seeking leased space,
which would be particularly burdensome in rural or sparsely
populated areas.
On the other hand, the more accessible the leased space is, the
fewer structural modifications will be required in the future for
particular employees whose disabilities may necessitate barrier
removal as a reasonable accommodation. Pursuant to the requirements
for leased buildings contained in the Minimum Guidelines and
Requirements for Accessible Design published under the
Architectural Barriers Act by the ATBCB, 36 CFR 1190.34, the
Federal Government may not lease a building unless it contains (1)
One accessible route from an accessible entrance to those areas in
which the principal activities for which the building is leased are
conducted, (2) accessible toilet facilities, and (3) accessible
parking facilities, if a parking area is included within the lease
(36 CFR 1190.34). Although these requirements are not applicable to
buildings leased by public entities covered by this regulation,
such entities are encouraged to look for the most accessible space
available to lease and to attempt to find space complying at least
with these minimum Federal requirements.
Section 35.151(d) gives effect to the intent of Congress,
expressed in section 504(c) of the Act, that this part recognize
the national interest in preserving significant historic
structures. Commenters criticized the Department's use of
descriptive terms in the proposed rule that are different from
those used in the ADA to describe eligible historic properties. In
addition, some commenters criticized the Department's decision to
use the concept of “substantially impairing” the historic features
of a property, which is a concept employed in regulations
implementing section 504 of the Rehabilitation Act of 1973. Those
commenters recommended that the Department adopt the criteria of
“adverse effect” published by the Advisory Council on Historic
Preservation under the National Historic Preservation Act, 36 CFR
800.9, as the standard for determining whether an historic property
may be altered.
The Department agrees with these comments to the extent that
they suggest that the language of the rule should conform to the
language employed by Congress in the ADA. A definition of “historic
property,” drawn from section 504 of the ADA, has been added to §
35.104 to clarify that the term applies to those properties listed
or eligible for listing in the National Register of Historic
Places, or properties designated as historic under State or local
law.
The Department intends that the exception created by this
section be applied only in those very rare situations in which it
is not possible to provide access to an historic property using the
special access provisions established by UFAS and ADAAG. Therefore,
paragraph (d)(1) of § 35.151 has been revised to clearly state that
alterations to historic properties shall comply, to the maximum
extent feasible, with section 4.1.7 of UFAS or section 4.1.7 of
ADAAG. Paragraph (d)(2) has been revised to provide that, if it has
been determined under the procedures established in UFAS and ADAAG
that it is not feasible to provide physical access to an historic
property in a manner that will not threaten or destroy the historic
significance of the property, alternative methods of access shall
be provided pursuant to the requirements of § 35.150.
In response to comments, the Department has added to the final
rule a new paragraph (e) setting out the requirements of § 36.151
as applied to curb ramps. Paragraph (e) is taken from the statement
contained in the preamble to the proposed rule that all newly
constructed or altered streets, roads, and highways must contain
curb ramps at any intersection having curbs or other barriers to
entry from a street level pedestrian walkway, and that all newly
constructed or altered street level pedestrian walkways must have
curb ramps at intersections to streets, roads, or highways.
Subpart E - Communications Section 35.160 General
Section 35.160 requires the public entity to take such steps as
may be necessary to ensure that communications with applicants,
participants, and members of the public with disabilities are as
effective as communications with others.
Paragraph (b)(1) requires the public entity to furnish
appropriate auxiliary aids and services when necessary to afford an
individual with a disability an equal opportunity to participate
in, and enjoy the benefits of, the public entity's service,
program, or activity. The public entity must provide an opportunity
for individuals with disabilities to request the auxiliary aids and
services of their choice. This expressed choice shall be given
primary consideration by the public entity (§ 35.160(b)(2)). The
public entity shall honor the choice unless it can demonstrate that
another effective means of communication exists or that use of the
means chosen would not be required under § 35.164.
Deference to the request of the individual with a disability is
desirable because of the range of disabilities, the variety of
auxiliary aids and services, and different circumstances requiring
effective communication. For instance, some courtrooms are now
equipped for “computer-assisted transcripts,” which allow virtually
instantaneous transcripts of courtroom argument and testimony to
appear on displays. Such a system might be an effective auxiliary
aid or service for a person who is deaf or has a hearing loss who
uses speech to communicate, but may be useless for someone who uses
sign language.
Although in some circumstances a notepad and written materials
may be sufficient to permit effective communication, in other
circumstances they may not be sufficient. For example, a qualified
interpreter may be necessary when the information being
communicated is complex, or is exchanged for a lengthy period of
time. Generally, factors to be considered in determining whether an
interpreter is required include the context in which the
communication is taking place, the number of people involved, and
the importance of the communication.
Several commenters asked that the rule clarify that the
provision of readers is sometimes necessary to ensure access to a
public entity's services, programs or activities. Reading devices
or readers should be provided when necessary for equal
participation and opportunity to benefit from any governmental
service, program, or activity, such as reviewing public documents,
examining demonstrative evidence, and filling out voter
registration forms or forms needed to receive public benefits. The
importance of providing qualified readers for examinations
administered by public entities is discussed under § 35.130.
Reading devices and readers are appropriate auxiliary aids and
services where necessary to permit an individual with a disability
to participate in or benefit from a service, program, or
activity.
Section 35.160(b)(2) of the proposed rule, which provided that a
public entity need not furnish individually prescribed devices,
readers for personal use or study, or other devices of a personal
nature, has been deleted in favor of a new section in the final
rule on personal devices and services (see § 35.135).
In response to comments, the term “auxiliary aids and services”
is used in place of “auxiliary aids” in the final rule. This phrase
better reflects the range of aids and services that may be required
under this section.
A number of comments raised questions about the extent of a
public entity's obligation to provide access to television
programming for persons with hearing impairments. Television and
videotape programming produced by public entities are covered by
this section. Access to audio portions of such programming may be
provided by closed captioning.
Section 35.161 Telecommunication Devices for the Deaf (TDD's)
Section 35.161 requires that, where a public entity communicates
with applicants and beneficiaries by telephone, TDD's or equally
effective telecommunication systems be used to communicate with
individuals with impaired speech or hearing.
Problems arise when a public entity which does not have a TDD
needs to communicate with an individual who uses a TDD or vice
versa. Title IV of the ADA addresses this problem by requiring
establishment of telephone relay services to permit communications
between individuals who communicate by TDD and individuals who
communicate by the telephone alone. The relay services required by
title IV would involve a relay operator using both a standard
telephone and a TDD to type the voice messages to the TDD user and
read the TDD messages to the standard telephone user.
Section 204(b) of the ADA requires that the regulation
implementing title II with respect to communications be consistent
with the Department's regulation implementing section 504 for its
federally conducted programs and activities at 28 CFR part 39.
Section 35.161, which is taken from § 39.160(a)(2) of that
regulation, requires the use of TDD's or equally effective
telecommunication systems for communication with people who use
TDD's. Of course, where relay services, such as those required by
title IV of the ADA are available, a public entity may use those
services to meet the requirements of this section.
Many commenters were concerned that public entities should not
rely heavily on the establishment of relay services. The commenters
explained that while relay services would be of vast benefit to
both public entities and individuals who use TDD's, the services
are not sufficient to provide access to all telephone services.
First, relay systems do not provide effective access to the
increasingly popular automated systems that require the caller to
respond by pushing a button on a touch tone phone. Second, relay
systems cannot operate fast enough to convey messages on answering
machines, or to permit a TDD user to leave a recorded message.
Third, communication through relay systems may not be appropriate
in cases of crisis lines pertaining to rape, domestic violence,
child abuse, and drugs. The Department believes that it is more
appropriate for the Federal Communications Commission to address
these issues in its rulemaking under title IV.
Some commenters requested that those entities with frequent
contacts with clients who use TDD's have on-site TDD's to provide
for direct communication between the entity and the individual. The
Department encourages those entities that have extensive telephone
contact with the public such as city halls, public libraries, and
public aid offices, to have TDD's to insure more immediate access.
Where the provision of telephone service is a major function of the
entity, TDD's should be available.
Section 35.162 Telephone Emergency Services
Many public entities provide telephone emergency services by
which individuals can seek immediate assistance from police, fire,
ambulance, and other emergency services. These telephone emergency
services - including “911” services - are clearly an important
public service whose reliability can be a matter of life or death.
The legislative history of title II specifically reflects
congressional intent that public entities must ensure that
telephone emergency services, including 911 services, be accessible
to persons with impaired hearing and speech through
telecommunication technology (Conference report at 67; Education
and Labor report at 84-85).
Proposed § 35.162 mandated that public entities provide
emergency telephone services to persons with disabilities that are
“functionally equivalent” to voice services provided to others.
Many commenters urged the Department to revise the section to make
clear that direct access to telephone emergency services is
required by title II of the ADA as indicated by the legislative
history (Conference report at 67-68; Education and Labor report at
85). In response, the final rule mandates “direct access,” instead
of “access that is functionally equivalent” to that provided to all
other telephone users. Telephone emergency access through a third
party or through a relay service would not satisfy the requirement
for direct access.
Several commenters asked about a separate seven-digit emergency
call number for the 911 services. The requirement for direct access
disallows the use of a separate seven-digit number where 911
service is available. Separate seven-digit emergency call numbers
would be unfamiliar to many individuals and also more burdensome to
use. A standard emergency 911 number is easier to remember and
would save valuable time spent in searching in telephone books for
a local seven-digit emergency number.
Many commenters requested the establishment of minimum standards
of service (e.g., the quantity and location of TDD's and computer
modems needed in a given emergency center). Instead of establishing
these scoping requirements, the Department has established a
performance standard through the mandate for direct access.
Section 35.162 requires public entities to take appropriate
steps, including equipping their emergency systems with modern
technology, as may be necessary to promptly receive and respond to
a call from users of TDD's and computer modems. Entities are
allowed the flexibility to determine what is the appropriate
technology for their particular needs. In order to avoid mandating
use of particular technologies that may become outdated, the
Department has eliminated the references to the Baudot and ASCII
formats in the proposed rule.
Some commenters requested that the section require the
installation of a voice amplification device on the handset of the
dispatcher's telephone to amplify the dispatcher's voice. In an
emergency, a person who has a hearing loss may be using a telephone
that does not have an amplification device. Installation of speech
amplification devices on the handsets of the dispatchers'
telephones would respond to that situation. The Department
encourages their use.
Several commenters emphasized the need for proper maintenance of
TDD's used in telephone emergency services. Section 35.133, which
mandates maintenance of accessible features, requires public
entities to maintain in operable working condition TDD's and other
devices that provide direct access to the emergency system.
Section 35.163 Information and Signage
Section 35.163(a) requires the public entity to provide
information to individuals with disabilities concerning accessible
services, activities, and facilities. Paragraph (b) requires the
public entity to provide signage at all inaccessible entrances to
each of its facilities that directs users to an accessible entrance
or to a location with information about accessible facilities.
Several commenters requested that, where TDD-equipped pay phones
or portable TDD's exist, clear signage should be posted indicating
the location of the TDD. The Department believes that this is
required by paragraph (a). In addition, the Department recommends
that, in large buildings that house TDD's, directional signage
indicating the location of available TDD's should be placed
adjacent to banks of telephones that do not contain a TDD.
Section 35.164 Duties
Section 35.164, like paragraph (a)(3) of § 35.150, is taken from
the section 504 regulations for federally conducted programs. Like
paragraph (a)(3), it limits the obligation of the public entity to
ensure effective communication in accordance with Davis and
the circuit court opinions interpreting it. It also includes
specific requirements for determining the existence of undue
financial and administrative burdens. The preamble discussion of §
35.150(a) regarding that determination is applicable to this
section and further explains the public entity's obligation to
comply with §§ 35.160-35.164. Because of the essential nature of
the services provided by telephone emergency systems, the
Department assumes that § 35.164 will rarely be applied to §
35.162.
Subpart F - Compliance Procedures
Subpart F sets out the procedures for administrative enforcement
of this part. Section 203 of the Act provides that the remedies,
procedures, and rights set forth in section 505 of the
Rehabilitation Act of 1973 (29 U.S.C. 794a) for enforcement of
section 504 of the Rehabilitation Act, which prohibits
discrimination on the basis of handicap in programs and activities
that receive Federal financial assistance, shall be the remedies,
procedures, and rights for enforcement of title II. Section 505, in
turn, incorporates by reference the remedies, procedures, and
rights set forth in title VI of the Civil Rights Act of 1964 (42
U.S.C. 2000d to 2000d-4a). Title VI, which prohibits discrimination
on the basis of race, color, or national origin in federally
assisted programs, is enforced by the Federal agencies that provide
the Federal financial assistance to the covered programs and
activities in question. If voluntary compliance cannot be achieved,
Federal agencies enforce title VI either by the termination of
Federal funds to a program that is found to discriminate, following
an administrative hearing, or by a referral to this Department for
judicial enforcement.
Title II of the ADA extended the requirements of section 504 to
all services, programs, and activities of State and local
governments, not only those that receive Federal financial
assistance. The House Committee on Education and Labor explained
the enforcement provisions as follows:
It is the Committee's intent that administrative enforcement of
section 202 of the legislation should closely parallel the Federal
government's experience with section 504 of the Rehabilitation Act
of 1973. The Attorney General should use section 504 enforcement
procedures and the Department's coordination role under Executive
Order 12250 as models for regulation in this area.
The Committee envisions that the Department of Justice will
identify appropriate Federal agencies to oversee compliance
activities for State and local governments. As with section 504,
these Federal agencies, including the Department of Justice, will
receive, investigate, and where possible, resolve complaints of
discrimination. If a Federal agency is unable to resolve a
complaint by voluntary means, * * * the major enforcement sanction
for the Federal government will be referral of cases by these
Federal agencies to the Department of Justice.
The Department of Justice may then proceed to file suits in
Federal district court. As with section 504, there is also a
private right of action for persons with disabilities, which
includes the full panoply of remedies. Again, consistent with
section 504, it is not the Committee's intent that persons with
disabilities need to exhaust Federal administrative remedies before
exercising their private right of action.
Education & Labor report at 98. See also S. Rep. No. 116, 101st
Cong., 1st Sess., at 57-58 (1989).
Subpart F effectuates the congressional intent by deferring to
section 504 procedures where those procedures are applicable, that
is, where a Federal agency has jurisdiction under section 504 by
virtue of its provision of Federal financial assistance to the
program or activity in which the discrimination is alleged to have
occurred. Deferral to the 504 procedures also makes the sanction of
fund termination available where necessary to achieve compliance.
Because the Civil Rights Restoration Act (Pub. L. 100-259) extended
the application of section 504 to all of the operations of the
public entity receiving the Federal financial assistance, many
activities of State and local governments are already covered by
section 504. The procedures in subpart F apply to complaints
concerning services, programs, and activities of public entities
that are covered by the ADA.
Subpart G designates the Federal agencies responsible for
enforcing the ADA with respect to specific components of State and
local government. It does not, however, displace existing
jurisdiction under section 504 of the various funding agencies.
Individuals may still file discrimination complaints against
recipients of Federal financial assistance with the agencies that
provide that assistance, and the funding agencies will continue to
process those complaints under their existing procedures for
enforcing section 504. The substantive standards adopted in this
part for title II of the ADA are generally the same as those
required under section 504 for federally assisted programs, and
public entities covered by the ADA are also covered by the
requirements of section 504 to the extent that they receive Federal
financial assistance. To the extent that title II provides greater
protection to the rights of individuals with disabilities, however,
the funding agencies will also apply the substantive requirements
established under title II and this part in processing complaints
covered by both this part and section 504, except that fund
termination procedures may be used only for violations of section
504.
Subpart F establishes the procedures to be followed by the
agencies designated in subpart G for processing complaints against
State and local government entities when the designated agency does
not have jurisdiction under section 504.
Section 35.170 Complaints
Section 35.170 provides that any individual who believes that he
or she or a specific class of individuals has been subjected to
discrimination on the basis of disability by a public entity may,
by himself or herself or by an authorized representative, file a
complaint under this part within 180 days of the date of the
alleged discrimination, unless the time for filing is extended by
the agency for good cause. Although § 35.107 requires public
entities that employ 50 or more persons to establish grievance
procedures for resolution of complaints, exhaustion of those
procedures is not a prerequisite to filing a complaint under this
section. If a complainant chooses to follow the public entity's
grievance procedures, however, any resulting delay may be
considered good cause for extending the time allowed for filing a
complaint under this part.
Filing the complaint with any Federal agency will satisfy the
requirement for timely filing. As explained below, a complaint
filed with an agency that has jurisdiction under section 504 will
be processed under the agency's procedures for enforcing section
504.
Some commenters objected to the complexity of allowing
complaints to be filed with different agencies. The multiplicity of
enforcement jurisdiction is the result of following the statutorily
mandated enforcement scheme. The Department has, however, attempted
to simplify procedures for complainants by making the Federal
agency that receives the complaint responsible for referring it to
an appropriate agency.
The Department has also added a new paragraph (c) to this
section providing that a complaint may be filed with any agency
designated under subpart G of this part, or with any agency that
provides funding to the public entity that is the subject of the
complaint, or with the Department of Justice. Under § 35.171(a)(2),
the Department of Justice will refer complaints for which it does
not have jurisdiction under section 504 to an agency that does have
jurisdiction under section 504, or to the agency designated under
subpart G as responsible for complaints filed against the public
entity that is the subject of the complaint or in the case of an
employment complaint that is also subject to title I of the Act, to
the Equal Employment Opportunity Commission. Complaints filed with
the Department of Justice may be sent to the Coordination and
Review Section, P.O. Box 66118, Civil Rights Division, U.S.
Department of Justice, Washington, DC 20035-6118.
Section 35.171 Acceptance of Complaints
Section 35.171 establishes procedures for determining
jurisdiction and responsibility for processing complaints against
public entities. The final rule provides complainants an
opportunity to file with the Federal funding agency of their
choice. If that agency does not have jurisdiction under section
504, however, and is not the agency designated under subpart G as
responsible for that public entity, the agency must refer the
complaint to the Department of Justice, which will be responsible
for referring it either to an agency that does have jurisdiction
under section 504 or to the appropriate designated agency, or in
the case of an employment complaint that is also subject to title I
of the Act, to the Equal Employment Opportunity Commission.
Whenever an agency receives a complaint over which it has
jurisdiction under section 504, it will process the complaint under
its section 504 procedures. When the agency designated under
subpart G receives a complaint for which it does not have
jurisdiction under section 504, it will treat the complaint as an
ADA complaint under the procedures established in this subpart.
Section 35.171 also describes agency responsibilities for the
processing of employment complaints. As described in connection
with § 35.140, additional procedures regarding the coordination of
employment complaints will be established in a coordination
regulation issued by DOJ and EEOC. Agencies with jurisdiction under
section 504 for complaints alleging employment discrimination also
covered by title I will follow the procedures established by the
coordination regulation for those complaints. Complaints covered by
title I but not section 504 will be referred to the EEOC, and
complaints covered by this part but not title I will be processed
under the procedures in this part.
Section 35.172 Resolution of Complaints
Section 35.172 requires the designated agency to either resolve
the complaint or issue to the complainant and the public entity a
Letter of Findings containing findings of fact and conclusions of
law and a description of a remedy for each violation found.
The Act requires the Department of Justice to establish
administrative procedures for resolution of complaints, but does
not require complainants to exhaust these administrative remedies.
The Committee Reports make clear that Congress intended to provide
a private right of action with the full panoply of remedies for
individual victims of discrimination. Because the Act does not
require exhaustion of administrative remedies, the complainant may
elect to proceed with a private suit at any time.
Section 35.173 Voluntary Compliance Agreements
Section 35.173 requires the agency to attempt to resolve all
complaints in which it finds noncompliance through voluntary
compliance agreements enforceable by the Attorney General.
Section 35.174 Referral
Section 35.174 provides for referral of the matter to the
Department of Justice if the agency is unable to obtain voluntary
compliance.
Section 35.175 Attorney's Fees
Section 35.175 states that courts are authorized to award
attorneys fees, including litigation expenses and costs, as
provided in section 505 of the Act. Litigation expenses include
items such as expert witness fees, travel expenses, etc. The
Judiciary Committee Report specifies that such items are included
under the rubric of “attorneys fees” and not “costs” so that such
expenses will be assessed against a plaintiff only under the
standard set forth in Christiansburg Garment Co. v. Equal
Employment Opportunity Commission, 434 U.S. 412 (1978).
(Judiciary report at 73.)
Section 35.176 Alternative Means of Dispute Resolution
Section 35.176 restates section 513 of the Act, which encourages
use of alternative means of dispute resolution.
Section 35.177 Effect of Unavailability of Technical Assistance
Section 35.177 explains that, as provided in section 506(e) of
the Act, a public entity is not excused from compliance with the
requirements of this part because of any failure to receive
technical assistance.
Section 35.178 State Immunity
Section 35.178 restates the provision of section 502 of the Act
that a State is not immune under the eleventh amendment to the
Constitution of the United States from an action in Federal or
State court for violations of the Act, and that the same remedies
are available for any such violations as are available in an action
against an entity other than a State.
Subpart G - Designated Agencies Section 35.190 Designated Agencies
Subpart G designates the Federal agencies responsible for
investigating complaints under this part. At least 26 agencies
currently administer programs of Federal financial assistance that
are subject to the nondiscrimination requirements of section 504 as
well as other civil rights statutes. A majority of these agencies
administer modest programs of Federal financial assistance and/or
devote minimal resources exclusively to “external” civil rights
enforcement activities. Under Executive Order 12250, the Department
of Justice has encouraged the use of delegation agreements under
which certain civil rights compliance responsibilities for a class
of recipients funded by more than one agency are delegated by an
agency or agencies to a “lead” agency. For example, many agencies
that fund institutions of higher education have signed agreements
that designate the Department of Education as the “lead” agency for
this class of recipients.
The use of delegation agreements reduces overlap and duplication
of effort, and thereby strengthens overall civil rights
enforcement. However, the use of these agreements to date generally
has been limited to education and health care recipients. These
classes of recipients are funded by numerous agencies and the
logical connection to a lead agency is clear (e.g., the Department
of Education for colleges and universities, and the Department of
Health and Human Services for hospitals).
The ADA's expanded coverage of State and local government
operations further complicates the process of establishing Federal
agency jurisdiction for the purpose of investigating complaints of
discrimination on the basis of disability. Because all operations
of public entities now are covered irrespective of the presence or
absence of Federal financial assistance, many additional State and
local government functions and organizations now are subject to
Federal jurisdiction. In some cases, there is no historical or
single clear-cut subject matter relationship with a Federal agency
as was the case in the education example described above. Further,
the 33,000 governmental jurisdictions subject to the ADA differ
greatly in their organization, making a detailed and workable
division of Federal agency jurisdiction by individual State,
county, or municipal entity unrealistic.
This regulation applies the delegation concept to the
investigation of complaints of discrimination on the basis of
disability by public entities under the ADA. It designates eight
agencies, rather than all agencies currently administering programs
of Federal financial assistance, as responsible for investigating
complaints under this part. These “designated agencies” generally
have the largest civil rights compliance staffs, the most
experience in complaint investigations and disability issues, and
broad yet clear subject area responsibilities. This division of
responsibilities is made functionally rather than by public entity
type or name designation. For example, all entities (regardless of
their title) that exercise responsibilities, regulate, or
administer services or programs relating to lands and natural
resources fall within the jurisdiction of the Department of
Interior.
Complaints under this part will be investigated by the
designated agency most closely related to the functions exercised
by the governmental component against which the complaint is
lodged. For example, a complaint against a State medical board,
where such a board is a recognizable entity, will be investigated
by the Department of Health and Human Services (the designated
agency for regulatory activities relating to the provision of
health care), even if the board is part of a general umbrella
department of planning and regulation (for which the Department of
Justice is the designated agency). If two or more agencies have
apparent responsibility over a complaint, § 35.190(c) provides that
the Assistant Attorney General shall determine which one of the
agencies shall be the designated agency for purposes of that
complaint.
Thirteen commenters, including four proposed designated
agencies, addressed the Department of Justice's identification in
the proposed regulation of nine “designated agencies” to
investigate complaints under this part. Most comments addressed the
proposed specific delegations to the various individual agencies.
The Department of Justice agrees with several commenters who
pointed out that responsibility for “historic and cultural
preservation” functions appropriately belongs with the Department
of Interior rather than the Department of Education. The Department
of Justice also agrees with the Department of Education that
“museums” more appropriately should be delegated to the Department
of Interior, and that “preschool and daycare programs” more
appropriately should be assigned to the Department of Health and
Human Services, rather than to the Department of Education. The
final rule reflects these decisions.
The Department of Commerce opposed its listing as the designated
agency for “commerce and industry, including general economic
development, banking and finance, consumer protection, insurance,
and small business”. The Department of Commerce cited its lack of a
substantial existing section 504 enforcement program and experience
with many of the specific functions to be delegated. The Department
of Justice accedes to the Department of Commerce's position, and
has assigned itself as the designated agency for these
functions.
In response to a comment from the Department of Health and Human
Services, the regulation's category of “medical and nursing
schools” has been clarified to read “schools of medicine,
dentistry, nursing, and other health-related fields”. Also in
response to a comment from the Department of Health and Human
Services, “correctional institutions” have been specifically added
to the public safety and administration of justice functions
assigned to the Department of Justice.
The regulation also assigns the Department of Justice as the
designated agency responsible for all State and local government
functions not assigned to other designated agencies. The Department
of Justice, under an agreement with the Department of the Treasury,
continues to receive and coordinate the investigation of complaints
filed under the Revenue Sharing Act. This entitlement program,
which was terminated in 1986, provided civil rights compliance
jurisdiction for a wide variety of complaints regarding the use of
Federal funds to support various general activities of local
governments. In the absence of any similar program of Federal
financial assistance administered by another Federal agency,
placement of designated agency responsibilities for miscellaneous
and otherwise undesignated functions with the Department of Justice
is an appropriate continuation of current practice.
The Department of Education objected to the proposed rule's
inclusion of the functional area of “arts and humanities” within
its responsibilities, and the Department of Housing and Urban
Development objected to its proposed designation as responsible for
activities relating to rent control, the real estate industry, and
housing code enforcement. The Department has deleted these areas
from the lists assigned to the Departments of Education and Housing
and Urban Development, respectively, and has added a new paragraph
(c) to § 35.190, which provides that the Department of Justice may
assign responsibility for components of State or local governments
that exercise responsibilities, regulate, or administer services,
programs, or activities relating to functions not assigned to
specific designated agencies by paragraph (b) of this section to
other appropriate agencies. The Department believes that this
approach will provide more flexibility in determining the
appropriate agency for investigation of complaints involving those
components of State and local governments not specifically
addressed by the listings in paragraph (b). As provided in §§
35.170 and 35.171, complaints filed with the Department of Justice
will be referred to the appropriate agency.
Several commenters proposed a stronger role for the Department
of Justice, especially with respect to the receipt and assignment
of complaints, and the overall monitoring of the effectiveness of
the enforcement activities of Federal agencies. As discussed above,
§§ 35.170 and 35.171 have been revised to provide for referral of
complaints by the Department of Justice to appropriate enforcement
agencies. Also, language has been added to § 35.190(a) of the final
regulation stating that the Assistant Attorney General shall
provide policy guidance and interpretations to designated agencies
to ensure the consistent and effective implementation of this
part.
[Order No. 1512-91, 56 FR 35716, July 26, 1991, redesignated by AG
Order No. 3180-2010, 75 FR 56184, Sept. 15, 2010]