    Wolf PRADO-STEIMAN, by and through his mother and next friend Laura PRADO, M.C., by and
through his mother and next friend, et al., Plaintiffs-Appellees,

                                                       v.

  Jeb BUSH, in his official capacity as Governor and Chief Executive of the State of Florida, Kathleen
Kearney, in her official capacity as Secretary, Department of Children and Families, et al., Defendants-
Appellants.

                                                 No. 99-11034.

                                       United States Court of Appeals,

                                               Eleventh Circuit.

                                                Aug. 11, 2000.

Appeal from the United States District Court for the Southern District of Florida.(No. 98-06496-CV-WDF),
Wilkie D. Ferguson, Jr., Judge.

Before EDMONDSON and MARCUS, Circuit Judges, and STROM*, District Judge.

        MARCUS, Circuit Judge:

        This is an interlocutory appeal from a class certification order. It also marks our first opportunity to

explicate the circumstances in which a court of appeals should exercise its discretion to accept such an appeal

under Federal Rule of Civil Procedure 23(f).

        Defendants, Governor Jeb Bush and other named state officials, appeal the district court's order

certifying a broad class of developmentally-disabled persons eligible for Florida's Home and Community

Based Waiver Program, which provides Medicaid-related services in home- and community-based settings

to individuals who meet certain level-of-care requirements. All parties agree that some kind of class or

classes should be certified, but Defendants contend that the single class certified by the district court was too

broad. Defendants specifically assert that Plaintiffs have not demonstrated that the claims of the named class

representatives possess the requisite typicality with the claims of the class at large as required by Fed.R.Civ.P.

23(a). We agree and vacate the class certification order. On remand, the district court must ensure that at

least one of the named class representatives possesses the requisite individual or associational standing to



   *
    Honorable Lyle E. Strom, U.S. District Judge for the District of Nebraska, sitting by designation.
bring each of the class's legal claims.

                                                      I.

                                                      A.

        The named plaintiffs are individuals with developmental disabilities who meet the level-of-care

requirements of an intermediate care facility for individuals with developmental disabilities ("ICF/DD") under

the Medicaid Act, Title XIX of the Social Security Act, 42 U.S.C. § 1396, et seq.1 Medicaid is a cooperative

federal-state program through which the federal government furnishes financial assistance to the states so that

the states may provide necessary medical, rehabilitation, and other services to low-income persons. At

present, the federal government pays for about 55% of the cost of Medicaid services in Florida. State

participation in Medicaid is voluntary, but participating states must comply with certain requirements

imposed by the Act as well as regulations promulgated by the Secretary of Health and Human Services

("Secretary"). Those provisions allow state Medicaid plans to apply a "medical necessity" test to all

applicants to ensure that applicants receive medical services in order of need. However, state plans are

required to provide "an opportunity for a fair hearing before the State agency to any individual whose claim

for medical assistance under the plan is denied or is not acted upon with reasonable promptness." 42 U.S.C.

§ 1396(a)(3); see also 42 C.F.R. § 431.200, et seq.

        Under the Home and Community Based Services Waiver Act, Title XIX of the Social Security Act,


   1
    Under the ICF/DD program:

                 Each client must receive a continuous active treatment program, which includes
                 aggressive, consistent implementation of a program of specialized and generic training,
                 treatment, health services and related services ..., that is directed toward—

                 (i) The acquisition of the behaviors necessary for the client to function with as much self
                 determination and independence as possible; and

                 (ii) The prevention or deceleration of regression or loss of current optimal functional
                 status.

        42 C.F.R. § 483.440(a)(1)(i)-(ii) (1996). The ICF/DD program is restricted to individuals with
        sufficiently severe mental retardation and related conditions. It is not designed for "generally
        independent clients who are able to function with little supervision or in the absence of a
        continuous active treatment program." 42 C.F.R. § 483.440(a)(2) (1996).
42 U.S.C. § 1396n(c), Congress has authorized certain persons with developmental disabilities to receive

Medicaid services in a community setting rather than in an institutional facility. The Act empowers the

Secretary to grant a waiver to a state under which approved costs of home- and community-based services

are reimbursed for eligible individuals who otherwise would require care in an ICF/DD facility, but who

instead elect to remain in their homes. 42 U.S.C. § 1396n(c). To qualify for a waiver, a state must develop

alternative regulatory schemes aimed at lowering the cost of medical assistance while still maintaining the

same level of care.2 Florida has chosen to participate in the Medicaid Home and Community Based Waiver

Program.3

                                                      B.

        On May 13, 1998, two of the named plaintiffs, Wolf Prado-Steiman and Marlon Christie, filed a class

action lawsuit alleging that various Florida state officials in their official capacity, including the Governor

and the Secretary of the Department of Children and Families, have acted unlawfully in their governance of

Florida's Home and Community Based Medicaid Waiver Program. Plaintiffs allege violations of the

American with Disabilities Act, 42 U.S.C. § 12101, et seq.; Section 504 of the Rehabilitation Act of 1973,

29 U.S.C. § 794; Title XIX of the Social Security Act, 42 U.S.C. §§ 1396a, et seq., 1396n, et seq., and 42

C.F.R. § 431.200; the Due Process Clause; and 42 U.S.C. § 1983. Specifically, Plaintiffs contend that,

contrary to federal law, state officials routinely deny or provide without reasonable promptness critical

"Home and Community Based Waiver" ("HCBW") services for Medicaid-eligible, developmentally-disabled

persons based on funding concerns rather than medical necessity concerns.4


   2
    Although the Waiver Act excuses states from satisfying all of the Medicaid Act's requirements, see 42
U.S.C. § 1396n(c)(3), it does not authorize the Secretary to waive any sections of the Medicaid Act
governing the health, safety, or welfare of Medicaid recipients. Moreover, the Secretary may not grant a
waiver unless a state provides assurances that its waiver plan includes "necessary safeguards" to protect
the health and welfare of individuals provided services under the waiver. 42 U.S.C. § 1396n(c)(2)(A).
   3
   Florida's Home and Community Based Waiver Program is outlined in detail at Fla. Admin. Code §
59G-8.200. The specific provisions of this Program are not at issue in this appeal.
   4
    In Doe v. Chiles, we held that a "federal right to reasonably prompt provision of assistance under
section 1396a(a)(8) of the Medicaid Act" exists, and "that this right is enforceable under section 1983."
136 F.3d 709, 719 (11th Cir.1998). Under section 1396a(a)(8), "[a] State plan for medical assistance
        Plaintiffs assert that as a result of this policy many developmentally-disabled persons who desire

HCBW services have been forced to reside in institutional facilities in order to receive Medicaid services.

Plaintiffs also allege that Defendants systematically deny Medicaid-eligible, developmentally-disabled

persons who apply for HCBW services the procedural due process protections required by the Medicaid Act,

including notice of their right to appeal adverse decisions and to continue receiving benefits pending appeal,

as well as the opportunity for a fair hearing if their claims are denied or not acted upon with reasonable

promptness.5 Plaintiffs seek, among other things, declaratory and injunctive relief which would require

Defendants to provide necessary HCBW services to eligible persons and to comply with Medicaid procedural

requirements in their adjudication and denial of HCBW services.

        On July 31, 1998, Plaintiffs amended the complaint by right, adding four new individual plaintiffs,

Lucy Adawi, Jennifer Batsidas, Daniel Lavin, and Daniel Shell, and one institutional plaintiff, the Advocacy

Center for Disabled Persons, Inc. Plaintiffs then moved for class certification. On January 19, 1999, Plaintiffs

sought to amend their complaint a second time to add, among other things, twelve further individual plaintiffs

as well as a cause of action to enforce certain sections of the Medicaid Act requiring states participating in

Medicaid to provide early and periodic screening, diagnosis, and treatment ("EPSDT") to eligible persons

under the age of 21. On February 19, 1999, the court held a hearing on Plaintiffs' motion for class

certification at which it apparently granted Plaintiffs' request to file the second amended complaint.

        In March 1999, the district court granted the class certification motion. It identified as class

representatives all seven of the plaintiffs named in the first amended complaint, but declined to identify as


must ... provide that all individuals wishing to make application for medical assistance under the plan
shall have opportunity to do so, and that such assistance shall be furnished with reasonable promptness to
all eligible individuals." 42 U.S.C. § 1396a(a)(8). A corresponding federal regulation requires that the
responsible state agency "[f]urnish Medicaid promptly to recipients without any delay caused by the
agency's administrative procedures," and "[c]ontinue to furnish Medicaid regularly to all eligible
individuals until they are found to be ineligible." 42 C.F.R. § 435.930(a)-(b) (1996).
   5
    Federal Medicaid regulations provide that a state "must establish time standards for determining
eligibility and inform the applicant of what they are." 42 C.F.R. § 435.911(a) (1996). These periods are
not to exceed "[n]inety days for applicants who apply for Medicaid on the basis of disability" or
"[f]orty-five days for all other applicants." 42 C.F.R. § 435.911(a)(1)-(2) (1996). In addition, the state
"must not use the time standard" as "a waiting period." 42 C.F.R. § 435.911(e)(1) (1996).
class representatives the twelve new plaintiffs added in the second amended complaint until Defendants could

complete discovery.6 The court defined the class as follows:


   6
    The First Amended Complaint named six individual plaintiff class representatives—Wolf Prado-
Steiman, Lucy Adawi, Marlon Christie, Daniel Lavin, Jennifer Batsidas and Daniel Shell—and one
institutional plaintiff class representative—the Advocacy Center for Persons with Disabilities, Inc. Four
of the individual plaintiffs—Prado-Steiman, Adawi, Christie, and Lavin—have applied for HCBW
services but have been denied coverage. The other two individual plaintiffs—Batsidas and
Shell—currently receive HCBW services they allege are inadequate.

                The following facts pertain to each named plaintiff:

        (1) Wolf Prado-Steiman

                 Wolf is an eight year-old autistic boy who lives at home with his family. There is no
        dispute that he suffers from severe behavioral problems as a result of his disability. Plaintiffs
        contend that Wolf, having no assets or income, would be eligible for a HCBW waiver. He has
        applied for HCBW services and received no written determination on his claim. After this suit
        was filed, Defendants agreed to pay for 12 behavioral therapy sessions. In an institutional setting,
        his care would be on-going.

        (2) Lucy Adawi

                Lucy is a fifty year-old mildly retarded woman with a schizo-affective disorder who lives
        with her 80 year-old mother. She applied for HCBW services but has received only $44 of
        necessary medical supplies

        (3) Marlon Christie

                 Marlon Christie is an 18 year-old man with cerebral palsy who must sleep on the floor
        because he lacks an appropriate bed at home. He applied for HCBW services but was told there
        is a long waiting list and no available services.

        (4) Daniel Lavin

                Daniel Lavin is a 22 year-old man with severe mental retardation and cerebral palsy who
        needs bathroom modifications to make the room handicap-accessible. He applied for HCBW
        services but has received no services as yet due to his low priority rating on the waiting list. He
        has not received written notice of a denial of his request.

        (5) Jennifer Batsidas

                Jennifer Batsidas is a quadriplegic with cerebral palsy. She applied for HCBW services
        in January 1998 and was not placed on a waiver until October 1998 due to a lack of state funds.
        She received these funds only after a district coordinator identified her needs as "critical." She
        presently receives funds on a "funds available basis." She alleges that the vocational services she
        receives from the HCBW Program are inadequate.

        (6) Daniel Shell
        [A]ll persons with developmental disabilities who are presently receiving Home and Community-
        Based Waiver Services or who are eligible to receive Home and Community-Based Waiver Services,
        or who would receive or be eligible for Home and Community-Based Waiver Services in the future.

The district court also identified ten substantive, classwide claims:

        a. whether Defendants have violated the ADA by denying individuals, who live in their own homes
        or with their families in community settings, services such as physical therapy, speech therapy, and
        dental services that are available to individuals who are ICF/DD's;

        b. whether Defendants have violated the ADA by engaging in diagnosis-based decision-making with
        their actions to deny or limit access to benefits, services, and opportunities because a person has a
        particular disability;

        c. whether Defendants have violated § 504 of the Rehabilitation Act of 1973;

        d. whether Defendants have violated the Medicaid statute's requirement of reasonable promptness,
        42 U.S.C. § 1396a(8) and 42 U.S.C. § 1983, by failing to provide Medicaid Waiver Services with
        reasonable promptness;

        e. whether Defendants have violated 42 U.S.C. § 1396n and 42 U.S.C. § 1983, by providing
        inadequate and inappropriate Home and Community-Based Waiver Services;

        f. whether Defendants have violated 42 U.S.C. § 1396n and 42 U.S.C. § 1983, by funding
        institutional placements using Home and Community-Based Waiver Services;

        g. whether Defendants have violated 42 U.S.C. § 1396n(c)(2) and 42 U.S.C. § 1983, by denying
        Plaintiffs their freedom of choice of an appropriate Home and Community-Based Waiver program
        that meets their health and welfare needs;

        h. whether Defendants have violated Medicaid's state-wideness requirement, 42 U.S.C. § 1396a(a)(1),
        and 42 U.S.C. § 1983, by failing to provide Home and Community-Based Waiver services
        throughout the State of Florida;

        i. whether Defendants have violated Medicaid's EPSDT requirements, violated 42 U.S.C. §
        1396(a)(43)(C) and 42 U.S.C. § 1983, by failing to provide needed EPSDT services directly and to
        ensure that there are providers who are qualified and willing to provide EPSDT services for children
        with developmental disabilities;

        j. whether Defendants have violated the Due Process Clause of the U.S. Constitution and 42 U.S.C.
        § 1983, by denying Plaintiffs and class members procedural due process, including notice and the
        opportunity for a fair hearing to challenge denials, reductions, and termination of Home and
        Community-Based Waiver benefits.


                Daniel Shell is a 32 year-old man with moderate mental retardation and cerebral palsy
        currently receiving HCBW services in the form of a vocational service workshop. He allegedly
        has been denied physical therapy equipment recommended by his physician to treat his
        movement disorder. The equipment was requested in March 1998 and a hearing was not
        scheduled until January 1999. No hearing decision has yet been made. Shell alleges the services
        currently provided to him are inadequate.
        Applying the prerequisites for class certification required by Federal Rule of Civil Procedure 23(a),

the district court concluded: first, that there were over 20,000 estimated class members, satisfying Rule

23(a)(1) numerosity's requirement; second, that there was sufficient commonality between the questions of

law and fact posed by the class suit despite the class members' varying medical conditions, satisfying Rule

23(a)(2)'s commonality requirement; third, that there was a sufficient nexus between these common questions

of law and fact and the named representatives' claims, satisfying Rule 23(a)(3)'s typicality requirement; and

finally, that the named representatives satisfied Rule 23(a)(4)'s adequacy of representation requirement. The

district court also concluded that class status was warranted under Rule 23(b)(2) because the class requested

injunctive relief and Defendants had generally refused to act on grounds applicable to the class.

        Defendants then petitioned our court pursuant to Federal Rule of Civil Procedure 23(f) for an

interlocutory appeal of the district court's class certification order. We granted that petition on May 12, 1999,

having taken into account the matters set forth below.

                                                       II.

        We start by discussing Federal Rule of Civil Procedure 23(f), which allows federal courts of appeals

to hear an interlocutory appeal of a district court's order granting or denying class certification. The Rule,

which became effective on December 1, 1998, reads as follows:

        A court of appeals may in its discretion permit an appeal from an order of a district court granting
        or denying class action certification under this rule if application is made to it within ten days after
        entry of the order. An appeal does not stay proceedings in the district court unless the district judge
        or the court of appeals so orders.

Fed.R.Civ.P. 23(f). This case is the first published opinion in this circuit, and one of the first in the nation,

to address the standards to be used when evaluating a Rule 23(f) petition. Thus far, only the First and Seventh

Circuits have explored this question in detail. See Waste Management Holdings, Inc. v. Mowbray, 208 F.3d

288 (1st Cir.2000); Blair v. Equifax Check Services, Inc., 181 F.3d 832 (7th Cir.1999). We therefore begin

our discussion with background on Rule 23(f), and then set forth some guideposts for evaluating when we

should permit a Rule 23(f) appeal.

                                                       A.
        A good starting point is the Committee Note accompanying Rule 23(f), which articulates the drafters'

view of how courts should resolve petitions for appeal under this new rule. The Note emphasizes that "the

court of appeals is given unfettered discretion whether to permit the appeal, akin to the discretion exercised

by the Supreme Court in acting on a petition for certiorari.... Permission to appeal may be granted or denied

on the basis of any consideration that the court of appeals finds persuasive." Id. The Note then observes that

"[p]ermission [to appeal] is most likely to be granted when the certification decision turns on a novel or

unsettled question of law, or when, as a practical matter, the decision on certification is likely dispositive of

the litigation." Id. According to the Note:

        [M]any suits with class-action allegations present familiar and almost routine issues that are no more
        worthy of immediate appeal than many other interlocutory rulings. Yet several concerns justify
        expansion of present opportunities to appeal. An order denying certification may confront the
        plaintiff with a situation in which the only sure path to appellate review is by proceeding to final
        judgment on the merits of an individual claim that, standing alone, is far smaller than the costs of
        litigation. An order granting certification, on the other hand, may force a defendant to settle rather
        than incur the costs of defending a class action and run the risk of potentially ruinous liability.

Id.

        As summarized by the First Circuit, Rule 23(f) serves two key purposes: first, to provide a

"mechanism through which appellate courts, in the interests of fairness, can restore equilibrium when a

doubtful class certification ruling would virtually compel a party to abandon a potentially meritorious claim

or defense before trial"; and second, to "furnish[ ] an avenue, if the need is sufficiently acute, whereby the

court of appeals can take earlier-than-usual cognizance of important, unsettled legal questions, thus

contributing to both the orderly progress of complex litigation and the orderly development of the law."

Mowbray, 208 F.3d at 293.

        Based on these purposes, the Seventh Circuit in Blair outlined three categories of cases for which

Rule 23(f) review may be appropriate. As summarized in Mowbray:

        First, an appeal ordinarily should be permitted when a denial of class status effectively ends the case
        (because, say, the named plaintiff's claim is not of a sufficient magnitude to warrant the costs of
        stand-alone litigation). Second, an appeal ordinarily should be permitted when the grant of class
        status raises the stakes of the litigation so substantially that the defendant likely will feel irresistible
        pressure to settle. Third, an appeal ordinarily should be permitted when it will lead to clarification
        of a fundamental issue of law.
Id.

        The Seventh Circuit put additional gloss on these three broad categories. It explained that a petitioner

who sought to invoke either of the first two categories also would have to "demonstrate that the district court's

ruling on class certification is questionable—and must do this taking into account the discretion the district

judge possesses in implementing Rule 23, and the correspondingly deferential standard of appellate review."

Blair, 181 F.3d at 835. The court further observed that when reviewing petitions invoking the third and final

category, it would focus on the importance of the issue to be resolved, more so than the likelihood of reversal.

See id. Finally, it noted that even when an application touts a supposedly fundamental issue of law, a

showing that an end-of-case appeal promises to be an adequate remedy will weigh heavily against granting

a Rule 23(f) application. See id.

        Recently, the First Circuit adopted Blair 's Rule 23(f) taxonomy as "structurally sound" with one

notable caveat. Mowbray, 208 F.3d at 294. The Mowbray court worried, we think rightly, that the third Blair

category might "encourage too many disappointed litigants to file fruitless Rule 23(f) applications" since "a

creative lawyer almost always will be able to argue that deciding her case would clarify some 'fundamental'

issue." Id. The First Circuit then emphasized that "interlocutory appeals should be the exception, not the rule"

because "many (if not most) class certification decisions turn on 'familiar and almost routine issues.' " Id.

(citing Comm. Note, Fed.R.Civ.P. 23(f)). As a result, the Mowbray court concluded that "Blair 's third

category should be restricted to those instances in which an appeal will permit the resolution of an unsettled

legal issue that is important to the particular litigation as well as important in itself and likely to escape

effective review if left hanging until the end of the case." Id.

        We find both the Blair and Mowbray opinions to be cogent explications of the Rule 23(f) inquiry.

We think it important, however, to emphasize some additional considerations that may weigh against frequent

interlocutory appellate review of class action certification decisions.

         To begin with, there are too many class actions filed each year for federal appeals courts practicably

to adjudicate class certification decisions on an interlocutory basis as a matter of course. As a statistical point
of reference, we observe that according to the Federal Judicial Center, as of 1998 there were 1,742 active

federal cases with class action activity. In 1994, there were only 816 such cases. A similar rise is reported

for this Circuit; in 1998, according to the data, there were 221 active cases in this Circuit with class action

activity, almost double the number of such cases, 114, during 1994.7 Given these numbers, and the large

volume of ordinary final judgments that by law must be considered by the courts of appeals, routinely

granting interlocutory appellate review of class certification decisions is simply not practicable.

        There are also powerful case management concerns that caution against routinely granting appellate

review in these circumstances. Class certification orders also are not final judgments impervious to lower

court review and revision. On the contrary, Rule 23(c)(1) specifically empowers district courts to alter or

amend class certification orders at any time prior to a decision on the merits. That power is critical, because

the scope and contour of a class may change radically as discovery progresses and more information is

gathered about the nature of the putative class members' claims.8 Indeed, Rule 23 contemplates that the class

certification decision will be made prior to the close of discovery. Fed.R.Civ.P. 23(c)(1) (class status should

be resolved "[a]s soon as practicable after the commencement of" the action); see also Armstrong v. Martin

Marietta Corp., 138 F.3d 1374, 1389 (11th Cir.1998) (en banc) (citing data showing that most class

certification decisions are made in the early stages of the litigation). Rule 23(f) should not be a vehicle for

courts of appeals to micro-manage complex class action litigation as it unfolds in the district court.

        Moreover, interlocutory appellate review of a class certification decision may short-circuit the district

court's ability—or at least willingness—to exercise its power to reconsider its certification decision. If a

decision on class certification has been fully reviewed and affirmed on an interlocutory basis, both the parties

and the district judge may feel constrained from revisiting the issue and thereby potentially triggering a new



   7
    These figures are not published in printed form, but are derived from information in the databases of
the Federal Judicial Center in Washington, D.C.
   8
    Rule 23(f) states expressly that an appeal under this provision does not stay proceedings in the district
court unless the district court or the court of appeals so orders. Thus, Rule 23(f) contemplates that in
most cases discovery (at the very least, merits discovery) will continue notwithstanding the pendency of
an appeal of the class certification order.
round of appellate proceedings with the inevitable delay and effort of such proceedings. This possibility is

troubling, because class certification determinations are so fluid and fact-sensitive that district courts should

be encouraged rather than discouraged from reassessing whether the prerequisites of Rule 23 exist and

whether a class action is the most efficacious way to resolve the dispute. Quite simply, "[w]e should err, if

at all, on the side of allowing the district court an opportunity to fine-tune its class certification order rather

than opening the door too widely to interlocutory appellate review." Mowbray, 208 F.3d at 294 (citing

Fed.R.Civ.P. 23(c)(1)) (internal citation omitted).

        Finally, authorizing interlocutory review simply on the basis of a so-called "fundamental" or

"unsettled" question of law sets a difficult precedent. We share the First Circuit's concern over encouraging

a flood of Rule 23(f) petitions claiming that such a question is in dispute. Given the stakes of class action

litigation, and the vast number of persons affected, many routine issues have the potential to take on

substantial proportions and assume an importance they otherwise might not. Moreover, given the highly

particularized nature of class action determinations, and the lack of case law applying Rule 23 in many

contexts, we imagine it relatively easy for a litigant to identify some question of law implicated by the class

certification decision and in good faith characterize that question as novel or unsettled. To justify immediate

and interlocutory appellate review, something more is necessary—something that creates a compelling need

for resolution of the legal issue sooner rather than later.

         Taking into account all of these considerations, the following guideposts may be utilized in

determining whether to grant an interlocutory appeal under Rule 23(f).

         First, and most important, the court should examine whether the district court's ruling is likely

dispositive of the litigation by creating a "death knell" for either plaintiff or defendant. The prospect of

irreparable harm from delaying appellate review of the class certification decision until after final judgment

undoubtedly creates a compelling need for immediate review. Nevertheless, even ordinary class certification

decisions by their very nature may radically reshape a lawsuit and significantly alter the risk-benefit

calculation of the parties, leading to claims of irreparable harm. For that reason, the decision to grant
interlocutory review based primarily on this factor generally should be limited to those cases where the

district court's ruling, as a practical matter, effectively prevents the petitioner from pursuing the litigation.

This might be the case where a denial of class status means that the stakes are too low for the named plaintiffs

to continue the matter, or where the grant of class status raises the cost and stakes of the litigation so

substantially that a rational defendant would feel irresistible pressure to settle. The size of the putative class

and any record evidence regarding the financial resources of the parties are relevant to this inquiry. Also

relevant, especially when a class has been certified in a mass tort case against a corporate defendant, is the

existence and potential impact of related litigation against that defendant. The nature of the remedy sought

in the case (and in damages cases, the amount of money potentially recoverable) is likewise relevant to this

factor. For example, even a large class seeking declaratory or injunctive relief may create less pressure on

a defendant than a class seeking compensatory and punitive damages so substantial that they threaten a

defendant's solvency. We anticipate that the number of decisions truly warranting immediate review on this

basis alone will be small.

         Second, a court should consider whether the petitioner has shown a substantial weakness in the class

certification decision, such that the decision likely constitutes an abuse of discretion. Ordinarily, the

appropriateness of allowing a Rule 23(f) appeal should turn on more than the outcome of a preliminary debate

about the merits of the district court's ruling. Interlocutory review may be appropriate when it promises to

spare the parties and the district court the expense and burden of litigating the matter to final judgment only

to have it inevitably reversed by this Court on an appeal after final judgment. Such a situation may exist, for

example, when the district court expressly applies the incorrect Rule 23 standard or overlooks directly

controlling precedent. Cf. Rutstein v. Avis Rent-A-Car Sys., Inc., 211 F.3d 1228, 1234-35 (11th Cir.2000)

(granting Rule 23(f) petition and reversing order granting class certification where in light of a prior Eleventh

Circuit opinion "we do not see how plaintiffs can maintain a class action under Rule 23(b)(3) in the instant

case"). In that situation, interlocutory review may be warranted even if none of the other factors supports
granting the Rule 23(f) petition.9 Typically, however, class certification decisions require the application of

broad and flexible legal standards to unique and complex sets of facts that do not fit squarely within prior

precedent. Due to the highly fact-sensitive nature of this inquiry, district courts are given wide latitude to

decide whether and how to certify a class, and appellate scrutiny of such decisions is limited at any stage.

Accordingly, merely demonstrating that the district court's ruling is questionable generally will be insufficient

to support a Rule 23(f) petition in the absence of other factors supporting immediate review. See Armstrong,

138 F.3d at 1386 ("class certification decisions are left to the sound discretion of the district court, and in

most cases the certification order can be effectively reviewed on appeal after final judgment") (internal

citation omitted).10

        Third, a court should consider whether the appeal will permit the resolution of an unsettled legal issue

that is "important to the particular litigation as well as important in itself." Mowbray, 208 F.3d at 294. Such

an issue might be one that is of moment yet is "likely to escape effective review if left hanging until the end

of the case." Id. Alternatively, the issue might be one as to which an appellate ruling sooner rather than later

will substantially assist the bench and bar, as may be the case when an issue is arising simultaneously in

related actions involving the same or similarly-situated parties or is one that seems likely to arise repeatedly

in the future. The fact that the lawsuit involves a governmental entity, or has a strong public interest


   9
    The more the alleged error arises out of a mistake of law (as opposed to an improper application of
the law to the facts), the more the case may be susceptible to interlocutory review, simply because such an
error is more readily reviewable by this Court and does not require us to base our determination on an
evolving factual record that may already have become incomplete. See SunAmerica Corp. v. Sun Life
Assur. Co., 77 F.3d 1325, 1333 (11th Cir.1996) (court necessarily abuses its discretion if it "has applied
an incorrect legal standard"); see also Pickett v. Iowa Beef Processors, 209 F.3d 1276, 1279 (11th
Cir.2000) (granting Rule 23(f) petition and applying de novo standard to reverse district court's
interpretation of the adequacy-of-representation test of Rule 23(a)(4)).
   10
     We do not mean to suggest that this factor weighs in favor of a Rule 23(f) appeal only when the party
seeking interlocutory review meets the extremely demanding test applied to mandamus petitions. See
Armstrong, 138 F.3d at 1386 (prior to Rule 23(f) court would issue writ of mandamus to direct district
judge to take particular action regarding a class certification ruling only when the "certification order
constitutes, at a minimum, a clear abuse of discretion"). Rather, this factor should be viewed as a sliding
scale. The stronger the showing of an abuse of discretion, the more this factor weighs in favor of
interlocutory review. We note, however, that every litigant seeking to appeal under Rule 23(f)
necessarily believes that the district court has abused its discretion. Accordingly, simply alleging an
abuse of discretion may not in and of itself justify an interlocutory appeal.
component, may also lend the issue particular importance and urgency. Moreover, interlocutory review under

Rule 23(f) seems more appropriate if the unsettled issue relates specifically to the requirements of Rule 23

or the mechanics of certifying a class, given that one of the primary justifications for Rule 23(f) was a concern

over the perceived lack of a substantial body of case law addressing the Rule 23 standards. See Blair, 181

F.3d at 835. We reiterate, however, that a class certification decision which "turns on case-specific matters

of fact and district court discretion," Comm. Note, Fed.R.Civ.P. 23—as most certification decisions

indisputably do—generally will not be appropriate for interlocutory review.

         Fourth, a court should consider the nature and status of the litigation before the district court. Some

cases plainly will be in a better pre-trial posture for interlocutory appellate review than others. As noted

above, the propriety of granting or denying a class, as well as the proper scope of any class that has been

granted, may change significantly as new facts are uncovered through discovery. Similarly, a limited or

insufficient record may adversely affect the appellate court's ability to evaluate fully and fairly the class

certification decision. Moreover, a district court's ruling on dispositive motions or a motion to add new class

representatives, parties, or claims may significantly redefine the issues in the case and thereby affect the scope

of or need for a class. Accordingly, the decision on a Rule 23(f) petition may take into account such

considerations as the status of discovery, the pendency of relevant motions, and the length of time the matter

already has been pending. In certain circumstances the court may also consider the current impact on the

parties of rulings by the district court that, while not themselves subject to Rule 23(f) review, nevertheless

are inextricably tied to the class certification decision. Cf. Jackson v. Motel 6 Multipurpose, Inc., 130 F.3d

999, 1007-08 (11th Cir.1997) (reviewing petitions for writ of mandamus that challenged class certification

decision as well as district court's order allowing highly prejudicial advertising and mass mailings to putative

class members), reh'g denied, 167 F.3d 542 (1998).

        Finally, a court should consider the likelihood that future events may make immediate appellate

review more or less appropriate. Simply by way of example, settlement negotiations involving some or all

of the parties affected by the decision, or the prospect of an imminent change in the financial status of a party
(such as a bankruptcy filing) may caution against hearing an interlocutory appeal. Conversely, if the case is

likely to be one of a series of related actions raising substantially the same issues and involving substantially

the same parties, then early resolution of a dispute about the propriety of certifying a class may facilitate the

disposition of future claims. Also significant is whether the district court itself has indicated that it views its

class certification decision as conditional or subject to revision at a later stage in the case.

         We do not create any bright-line rules or rigid categories for accepting or denying Rule 23(f) petitions

today. Our authority to accept Rule 23(f) petitions is highly discretionary, and the foregoing list of factors

is not intended to be exhaustive; there may well be special circumstances that lead us to grant or deny a Rule

23(f) petition even where some or all of the relevant factors point to a different result. Moreover, none of the

foregoing factors is necessarily conclusive; ordinarily, each relevant factor should be balanced against the

others, taking into account any unique facts and circumstances.

         We reiterate, however, that interlocutory appeals are inherently "disruptive, time-consuming, and

expensive," Mowbray, 208 F.3d at 294, and consequently are generally disfavored. Piecemeal appellate

review has a deleterious effect on judicial administration. It increases the workload of the appellate courts,

to the detriment of litigants and judges. It requires the appellate courts to consider issues that may be

rendered moot if the appealing party ultimately prevails in or settles the case. It undermines the district

court's ability to manage the action. And it creates opportunities for abuse by litigants seeking to delay

resolution of a case by raising with the appellate court objections to the scope of an order that should have

been raised first with the district court itself. Most of these concerns are, if anything, even more compelling

in the class action context, especially given the district court's broad authority under Rule 23(c)(1) to monitor

and if necessary reconsider its class certification decision as discovery unfolds and the action progresses to

trial.

         We will therefore use restraint in accepting Rule 23(f) petitions, and these interlocutory petitions will

not be accepted as a matter of course.

                                                        B.
        Turning to the particulars of this case, we acknowledge that this lawsuit may not raise the kind of

issues that ordinarily might warrant granting a Rule 23(f) petition. First, we do not believe the grant of class

status here raises the stakes of litigation so substantially that the Defendants likely will feel irresistible

pressure to settle. The certified Plaintiff class, while large, is only seeking declaratory and injunctive relief

(not money damages). As a result, the size of the certified class, in this particular case, does not place

tremendous economic pressure on Defendants. And while an award of injunctive and declaratory relief would

exert a significant impact on the administration of the state HCBW program, Defendants' interlocutory appeal

does not concern the scope of this potential relief.

        Second, while we agree with Defendants that the district court would have been wiser to certify

several subclasses rather than one large class, see infra Part III, Defendants do not demonstrate any

substantial weakness or profound error of law in the class certification decision. Though in passing

Defendants challenge the class certification language as vague, they do not argue that a HCBW class should

not have been certified; indeed, they propose that the district court should have certified two HCBW classes.

Consequently, because both parties agree that some kind of HCBW class(es) should be certified in this case,

the issues raised on appeal are not dispositive of the litigation.11 Moreover, much of the vagueness of the

district court's order relates to its inclusion of persons who will be eligible for or will receive HCBW services

in the future; while such language would have serious implications in a class action seeking monetary

damages, it is of little moment in this case because the certified class only seeks declaratory and injunctive




   11
     In their brief, Defendants argue that the district court should have certified the following two HCBW
classes:

                 Class One. All persons with developmental disabilities who have applied for services
                 which are compensable under the Florida Home and Community Based Waiver and who
                 have been determined to be eligible for services but who have not received them with
                 reasonable promptness.

                 Class Two. All persons with developmental disabilities who have applied for services
                 compensable under the Florida Home and Community Based Waiver but who have been
                 denied them without notice and opportunity for hearing.
relief.12

            Defendants' objection that Plaintiffs have not as yet demonstrated that a named class representative

possesses individual or associational standing to bring each of the class's subclaims is of greater moment.

But although we agree that at least one named representative must have standing to bring each class subclaim,

see infra Part III, this argument should have been raised squarely with the district court rather than for the

first time in a Rule 23(f) petition.13 Outside the Rule 23(f) context, issues of standing are normally not

available for review on interlocutory appeal. See Summit Medical Assocs. v. Pryor, 180 F.3d 1326, 1334

(11th Cir.1999).

            Extensive interlocutory review of Defendants' standing objection seems particularly inappropriate

given the circumstances of this case. First, the factual record is not fully developed—making resolution of

individual standing claims impossible. Second, even if Defendants' argument were completely correct, at

worst several new named representatives would have to be added to the class or several of the class subclaims

would have to be amended or dropped. Simply put, Defendants' standing argument does not end the case;

and given the fluid nature of class certification rulings and the ability of the district court to alter or amend

the certified class at any point prior to a ruling on the merits, see Fed.R.Civ.P. 23(c)(1), we believe such

standing challenges are best raised initially with the district court rather than as the predicate for an appeal

under Rule 23(f).

            Other Rule 23(f) factors might also weigh against interlocutory review were this an ordinary case.

We see no truly novel or fundamental issue of law raised by the class certification decision. As discussed



   12
     We agree with Defendants that the class certification order does not offer a precise definition of what
it means to be "eligible" for HCBW services. However, whether the term includes those who have
applied for HCBW services or rather all people residing in Florida who meet the ICF/DD level-of-care
criteria only really affects the size of the class. Because money damages are not sought by this class, such
a definitional problem is less significant at this time.
   13
    In their motion to dismiss, Defendants did raise a standing-related issue; however, they did not
contest the individual standing of the named plaintiffs to raise their proposed class claims. Instead,
Defendants merely argued that Plaintiffs had not demonstrated that they were likely to suffer injury at the
hands of the named Defendants because the state officials named, for example, then-Governor Lawton
Chiles, lacked official responsibility over the state Medicaid program.
above, the scope and nature of this class may be affected by matters still subject to discovery and fact

development.      On the other hand, this lawsuit has tremendous importance to thousands of

developmentally-disabled persons in the State of Florida, many of whom have a critical need for prompt

delivery of the services and benefits they claim to have been denied by the State. There is also a broader but

no less compelling public interest in determining promptly the scope of the State's administrative and

financial obligations under the Medicaid program with respect to such persons. Given these considerations,

as well as the fact that we have not previously enunciated Rule 23(f) standards and the merits of this appeal

have already been briefed and oral argument heard, we proceed to address certain aspects of the class

certification ruling—particularly with respect to the creation of subclasses and typicality review.

                                                       III.

         We review orders granting class certification for abuse of discretion. See Kendrick v. Jefferson

County Bd. of Educ., 932 F.2d 910, 914 (11th Cir.1991) (citing Walker v. Jim Dandy Co., 747 F.2d 1360,

1363 (11th Cir.1984)). Fed.R.Civ.P. 23(a) requires, as a condition precedent to class certification, that four

prerequisites be met. The Rule states:

        (a) Prerequisites to a Class Action. One or more members of a class may sue or be sued as
        representative parties on behalf of all only if (1) the class is so numerous that joinder of all members
        is impracticable, (2) there are questions of law or fact common to the class, (3) the claims or defenses
        of the representative parties are typical of the claims or defenses of the class, and (4) the
        representative parties will fairly and adequately protect the interests of the class.

Id. These four requirements commonly are referred to as the prerequisites of numerosity, commonality,

typicality, and adequacy of representation, see General Telephone Co. of Southwest v. Falcon, 457 U.S. 147,

156, 102 S.Ct. 2364, 2370, 72 L.Ed.2d 740 (1982); Appleyard v. Wallace, 754 F.2d 955, 958 (11th Cir.1985),

and they are designed to effectively limit class claims to those " 'fairly encompassed' " by the named plaintiffs'

individual claims, Falcon, 457 U.S. at 156, 102 S.Ct. at 2370 (citation omitted). In this case, Defendants

argue that the certified class does not satisfy the commonality and typicality requirements because there are

several classwide legal claims for which no named plaintiff possesses Article III standing.

        In many ways, the commonality and typicality requirements of Rule 23(a) overlap.                    Both
requirements focus on whether a sufficient nexus exists between the legal claims of the named class

representatives and those of individual class members to warrant class certification. See Washington v. Brown

& Williamson Tobacco Corp., 959 F.2d 1566, 1569 n. 8 (11th Cir.1992) (citing Falcon, 457 U.S. at 157 n.

13, 102 S.Ct. at 2370 n. 13); Appleyard, 754 F.2d at 958 (citing De La Fuente v. Stokely-Van Camp, Inc.,

713 F.2d 225 (7th Cir.1983)); see also 7 C. Wright & A. Miller, Federal Practice and Procedure § 1764

(1972). Traditionally, commonality refers to the group characteristics of the class as a whole and typicality

refers to the individual characteristics of the named plaintiff in relation to the class. See Baby Neal v. Casey,

43 F.3d 48, 56 (3rd Cir.1994). These requirements "serve as guideposts for determining whether under the

particular circumstances maintenance of a class action is economical and whether the named plaintiff's claim

and the class claims are so interrelated that the interests of the class members will be fairly and adequately

protected in their absence." Falcon, 457 U.S. at 157 n. 13, 102 S.Ct. 2364.14

         It should be obvious that there cannot be adequate typicality between a class and a named

representative unless the named representative has individual standing to raise the legal claims of the class.

As noted above, typicality measures whether a sufficient nexus exists between the claims of the named

representatives and those of the class at large. Without individual standing to raise a legal claim, a named

representative does not have the requisite typicality to raise the same claim on behalf of a class.

        As the Supreme Court has explained, "[w]e have repeatedly held that a class representative must be

part of the class and possess the same interest and suffer the same injury as the class members." Falcon, 457



   14
     Neither of these requirements requires that "all putative class members share identical claims." Baby
Neal, 43 F.3d at 56. Previously, we have explained that these requirements may be satisfied even if some
factual differences exist between the claims of the named representatives and the claims of the class at
large. See Appleyard, 754 F.2d at 958 (" '[t]he typicality requirement may be satisfied even if there are
factual distinctions between the claims of the named plaintiffs and those of other class members' ")
(quoting De La Fuente, 713 F.2d at 232). However, we do require that the named representatives' claims
share " 'the same essential characteristics as the claims of the class at large.' " Appleyard, 754 F.2d at
958 (quoting De La Fuente, 713 F.2d at 232) (emphasis added). In making this determination, we have
concluded that "a strong similarity of legal theories will satisfy the typicality requirement despite
substantial factual differences." Appleyard, 754 F.2d at 958; see also Kornberg v. Carnival Cruise Lines,
Inc., 741 F.2d 1332, 1337 (11th Cir.1984) (stating that "a sufficient nexus is established if the claims or
defenses of the class and the class representative arise from the same event or pattern or practice and are
based on the same legal theory").
U.S. at 156, 102 S.Ct. at 2370 (citing East Texas Motor Freight Sys. v. Rodriguez, 431 U.S. 395, 403, 97 S.Ct.

1891, 1896, 52 L.Ed.2d 453 (1977)) (internal quotation marks omitted); see also Blum v. Yaretsky, 457 U.S.

991, 999, 102 S.Ct. 2777, 2783, 73 L.Ed.2d 534 (1982) (explaining that "[i]t is not enough that the conduct

of which the plaintiff complains will injure someone. The complaining party must also show that he is within

the class of persons who will be concretely affected. Nor does a plaintiff who has been subject to injurious

conduct of one kind possess by virtue of that injury the necessary stake in litigating conduct of another kind,

although similar, to which he has not been subject."). This rule makes especially good sense when we

consider that one of the core purposes of conducting typicality review is to ensure that "the named plaintiffs

have incentives that align with those of absent class members so as to assure that the absentees' interests will

be fairly represented." Baby Neal, 43 F.3d at 57; see also 1 Newberg & Conte, Newberg on Class Actions,

§ 3.13 (3d ed.1992).

         Thus, it is well-settled that prior to the certification of a class, and technically speaking before

undertaking any formal typicality or commonality review, the district court must determine that at least one

named class representative has Article III standing to raise each class subclaim. "[A]ny analysis of class

certification must begin with the issue of standing." Griffin v. Dugger, 823 F.2d 1476, 1482 (11th Cir.1987);

see also Brown v. Sibley, 650 F.2d 760, 771 (5th Cir. Unit A, July 1981) (stating that the "constitutional

threshold [of standing] must be met before any consideration of the typicality of claims or commonality of

issues required for procedural reasons by Fed.R.Civ.P. 23"). "Only after the court determines the issues for

which the named plaintiffs have standing should it address the question whether the named plaintiffs have

representative capacity, as defined by Rule 23(a), to assert the rights of others." Griffin, 823 F.2d at 1482.

It is not enough that a named plaintiff can establish a case or controversy between himself and the defendant

by virtue of having standing as to one of many claims he wishes to assert. Rather, "each claim must be

analyzed separately, and a claim cannot be asserted on behalf of a class unless at least one named plaintiff

has suffered the injury that gives rise to that claim." Id. at 1483.

        In this case, Defendants offer a very narrow argument. As discussed earlier, they do not contend that
a HCBW class should not be certified—in fact they propose two HCBW classes that they believe warrant

certification. Defendants likewise do not argue that none of the named plaintiffs has standing to bring any

HCBW class claims—rather, in their briefs and at oral argument, Defendants concede that two named

plaintiffs, Daniel Lavin and Daniel Shell, do have individual standing to bring three of the ten identified class

claims.15 Defendants merely assert that prior to class certification Plaintiffs made no showing that any named

plaintiff had individual standing to bring the other seven identified class claims. See supra, Part I.

         Having studied the record, it is clear that there are a number of individual standing challenges that

cannot be resolved adequately on appeal. For example, Defendants contend that a number of the named

plaintiffs have not demonstrated that they are eligible for HCBW services. As best we can tell from the

record before us, an HCBW applicant is considered eligible by Defendants if she (1) is a client of

developmental services, (2) meets the level-of-care criteria for admission to an ICF/DD, and (3) elects waiver

services in lieu of institutionalized care at an ICF/DD. This inquiry is necessarily fact-specific and requires

factual proffers, through affidavits and other evidentiary documents, that have not been developed sufficiently

as of now.16 We therefore remand this case to the district court and direct it to ensure that at least one named



   15
     Specifically, Defendants admit that Lavin and Shell are appropriate class representatives for the
following three claims:

                 1. Failure to provide notice and opportunity for a hearing of the denial, reduction, or
                 termination of waiver benefits in violation of the Due Process Clause.

                 2. Failure to provide adequate and appropriate waiver services in violation of 42 U.S.C. §
                 1396n.

                 3. Failure to provide waiver services with reasonable promptness in violation of 42
                 U.S.C. 1396a.
   16
     To highlight the fluid and undeveloped state of the record, we note that Plaintiffs recently have filed
a motion with our court, well after oral argument was heard, to supplement the record with
unauthenticated documents not previously reviewed by the district court. These documents allegedly
demonstrate that many of the named representatives, whom Defendants challenge as lacking standing,
actually have been deemed eligible by Defendants for HCBW services. Given the late date of this
submission and the fact that they have not been authenticated or reviewed by the district court, we decline
to consider these materials on appeal. We wish to emphasize, however, that the district court should
consider the admissibility of this new evidence on remand—particularly as it impacts the standing
inquiry.
representative of each class or subclass has standing for each proffered class or subclass claim.

        We observe as well that the class, as presently defined, appears to be composed of too many

subgroups with disparate legal claims to warrant certification. As it now stands, the class consists of "all

persons with developmental disabilities who are presently receiving Home and Community-Based Waiver

Services or who are eligible to receive Home and Community-Based Waiver Services, or who would receive

or be eligible for Home and Community-Based Waiver Services in the future." The overbreadth of this class

is made plain by a brief consideration of the class's subclaims.

        While the class ostensibly is comprised of developmentally-disabled persons who meet Medicaid

eligibility requirements for ICF/DD care, there are sharp differences amongst class subgroups in the type of

conduct challenged and the type of injury suffered. Broadly speaking, Plaintiffs allege both substantive and

procedural injuries: first, they allege that Defendants provided inadequate and inappropriate HCBW services

or denied outright HCBW services to eligible persons who meet the ICF/DD level-of-care requirements due

to funding rather than medical necessity concerns; second, they allege that Defendants failed to provide

HCBW services with reasonable promptness to eligible individuals; and finally, they allege that Defendants

unlawfully failed to provide HCBW applicants with the requisite procedural safeguards including reasonably

prompt claims decisions and notice of an applicant's right to appeal a claims denial.

        We believe these alleged injuries may be better addressed through several subclasses rather than one

large class. It appears that there are three general subclasses of HCBW applicants whose interests are affected

by this suit. First, there are those individuals who have applied for HCBW services and been approved by

Defendants for HCBW services, but who challenge their approved services as inadequate, inappropriate, or

untimely provided (in the case of those applicants who are approved for a waiver but are placed on indefinite

waiting lists). Second, there are those persons who have applied for HCBW services but who have been

denied such services without notice and opportunity for hearing. Finally, there are those individuals who

have applied for HCBW services and still await an adjudication of their HCBW applications.

        While the alleged injuries of these subclasses may overlap to some degree, there are obvious and
important differences, for example, between the injury claim of an applicant who already has been approved

but has not received HCBW services, and an applicant who has been ruled ineligible or who still awaits an

eligibility ruling for HCBW services. Notably, each group targets a different "bad act" of Defendants whether

it be a failure to provide approved services in a reasonably prompt manner, a claims denial, or a failure to

adjudicate a claims application in a reasonably prompt manner. Because these injury claims target different

defendant conduct, the type of proof required for each claim necessarily will differ.

        In addition, proof of these alleged injuries also requires a threshold showing of eligibility for HCBW

services. As noted above, it appears that an HCBW applicant is considered eligible by Defendants if she (1)

is a client of developmental services, (2) meets the level-of-care criteria for admission to an ICF/DD, and (3)

elects waiver services in lieu of institutionalized care at an ICF/DD. Not all members of the certified class

have been ruled eligible for HCBW services by Defendants, however. While some class members have been

adjudged eligible, other class members still await an eligibility determination. One advantage then of

dividing the existing class into subclasses reflecting class members' HCBW applicant status is that each

member of a subclass will occupy a similar eligibility status—that is, either approved, denied, or pending

adjudication.

        For these reasons, it may be prudent to certify three HCBW subclasses, on the basis of HCBW

applicant status. One possible approach would be the following three subclasses:

        Class One. All persons with developmental disabilities who have applied for services which are
        compensable under the Florida Home and Community Based Waiver and who have been determined
        to be eligible for services but who have not received them with reasonable promptness or have
        received inadequate or inappropriate services.

        Class Two. All persons with developmental disabilities who have applied for services compensable
        under the Florida Home and Community Based Waiver but who have been adjudged ineligible and/or
        denied services without notice and opportunity for hearing.

        Class Three. All persons with developmental disabilities who have applied for services compensable
        under the Florida Home and Community Based Waiver and have not received a reasonably prompt
        claims determination.

        All that said, given the slenderness of the factual record before us, we must leave the ultimate

decision as to what kinds of appropriate subclasses to create to the sound discretion of the district court. We
also note that Plaintiffs' suit contains several additional fact-specific claims which, after further factual

inquiry, may be better litigated through additional subclasses rather than through subclasses based simply on

HCBW applicant status. For example, Plaintiffs' suit now includes a claim that Medicaid-eligible,

developmentally-disabled children under the age of 21 have been denied EPSDT services by Defendants.

A separate EPSDT subclass may be appropriate if after further factual development it becomes clear that

Defendants' alleged EPSDT policy is sufficiently different from its HCBW policy. In fashioning appropriate

subclasses, the district court also should be careful not to certify subclasses overlapping with certified classes

in other related ICF/DD litigation now pending.17


   17
     There are four other related ICF/DD cases in various stages before the district court. The most
similar of these cases is Murray v. Bock, District Court No. 98-1066-CIVFERGUSON, Appeal No. 99-
10789. On March 10, 1999, the district court entered a Memorandum Order stating that a class
certification order would be entered and that the order would certify a class of "all developmentally
disabled individuals participating in the Home and Community-Based Waiver who are not receiving or
who have not received some services under the Waiver for which they are eligible." The district court has
not yet entered a class certification order. Obviously, this proposed class would overlap with the
subclasses we have outlined above.

                 We believe the other three cases involve distinct ICF/DD claims. In Does v. Chiles,
        District Court No. 92-589-CIV-FERGUSON, Appeal Nos. 96-5144 and 99-14590, Plaintiffs have
        moved for certification of a class of "all developmentally disabled individuals in the State of
        Florida who are entitled to Intermediate Care Facilities for the Mentally Retarded ('ICF/MR')
        placement but have not received a placement with reasonable promptness." The magistrate judge
        has recommended certification of this class but the district court has not yet entered its order.

                 In Cramer v. Bush, District Court No. 96-6619-CIV-FERGUSON, Appeal No. 98-5876,
        the district court on March 25, 1998 certified a class of "all individuals who are Medicaid
        recipients who resided in private ICF/DDs in Florida as of June 30, 1997, and/or who currently
        reside in private ICF/DDs."

                 Finally, in Brown v. Bush, District Court No. 98-673-CIV-FERGUSON, Appeal No. 99-
        11544, the district court on March 31, 1999 certified a class of "all individuals who on or after
        January 1, 1998 have resided, are residing or will reside at the DSIs, including all persons who
        have been transferred from DSIs to other settings, such as intermediate care facilities, group
        homes or skilled nursing facilities but remain defendants' responsibility, and all persons at risk of
        being sent to DSIs." On appeal, we vacated the district court's order and remanded with
        instructions that the district court certify the following class:

                 All individuals with developmental disabilities who were residing in a Florida DSI as of
                 March 25, 1998, and/or are currently residing in a Florida DSI, who are Medicaid eligible
                 and presently receiving Medicaid benefits, who have properly and formally requested a
                 community-based placement, and who have been recommended by a State-qualified
                 treatment ... team for a less restrictive placement that would be medically and otherwise
        In short, having accepted the Defendants' petition for appeal under Rule 23(f), we agree with the

Defendants that the single class certified by the district court does not comply with the requirements of Rule

23(a). Plaintiffs have not demonstrated that the claims of the named class representatives possess the requisite

typicality with the claims of the class at large, or that the named class representatives possess standing to raise

all of the class's claims. On remand, the district court must ensure that at least one of the named class

representatives possesses the requisite individual or associational standing to bring each of the class's legal

claims. Moreover, the wisest course may be to divide this single class into subclasses according to class

members' HCBW application status provided that a named representative possesses individual or associational

standing for each proffered subclaim. We therefore vacate the class certification order and remand for further

proceedings not inconsistent with this opinion.

        VACATED AND REMANDED.




                 appropriate, given each individual's particular needs and circumstances.
