Marginal Whiteness

Posted in Articles, Latino Studies, Law, Media Archive, United States on 2011-12-26 03:14Z by Steven

’Marginal Whiteness

California Law Review
Volume 98, Number 5 (October 2010)
pages 1497-1594

Camille Gear Rich, Associate Professor of Law
University of Southern California

How are whites injured by minority-targeted racism? Prior to filing her Title VII interracial solidarity claim, Betty Clayton thought she knew. For years, Clayton, a white cafeteria worker employed by the White Hall School District, was granted a nonresidency privilege that allowed her to enroll her daughter in one of the district’s schools. This was a special arrangement, as neither she nor her daughter lived within the district’s boundaries. This special arrangement abruptly came to an end when one of Clayton’s black coworkers learned that she had been given the nonresidency privilege and asked the district for the same benefit. The district refused the black worker‘s request and, to rebut any claim of racial favoritism, rescinded Clayton’s right to the privilege as well. The district then reinstituted an old rule that provided that only “teachers” and certified “administrative” workers were entitled to the nonresidency benefit, thereby ensuring that both Clayton and her black co-worker were ineligible. Clayton found herself the victim of what she believed was an obvious case of explicit racial bias.

Was Clayton a victim of race discrimination? Her claim may give some readers pause. Some might conclude that she was not subject to race discrimination, arguing instead that she was merely a secondary victim that fell prey to “friendly fire”—a white casualty incidentally injured by the district’s attempt to discriminate against her black coworker. Others might share Clayton’s view, arguing that she was a victim of discrimination. But for the districts desire to discriminate against her black coworker, the district would not have reinstated the stricter benefits rule and denied Clayton the residency privilege. But for the district’s discriminatory actions, Clayton would have been able to preserve her access to a valuable economic benefit: the ability to send her daughter to a White Hall school. And Clayton’s supporters would note that there was ample evidence in her case to prove the district’s racially discriminatory motivations, including: the district’s prior discriminatory behavior; the timing of the district’s decision to return to the old residency rule; and the absence of a reasonable nondiscriminatory justification for the old rule’s reinstatement.

Clayton seemed to believe that the merits of her claim were self-evident; however, her confidence was misplaced, as her allegations raise thorny questions about how courts, antidiscrimination scholars, and indeed even laypersons see whites’ relationship to minority-targeted discrimination in the workplace. Courts called upon to review these questions, particularly in Title VII cases, spend precious little time exploring how whites perceive minority-targeted discrimination to operate, or the range of ways in which minority-targeted discrimination perpetrated by certain whites can directly harm other whites’ interests. A case in point: in Clayton, the court quickly concluded that whites can be injured by minority-targeted discrimination but then tracked Clayton’s claim into a little known area of Title VII precedent, referred to here as interracial solidarity doctrine. As Clayton soon discovered, this analytic turn was less of a boon than it initially seemed, as interracial solidarity doctrine exerts an extraordinary regulatory power over white plaintiffs who attempt to use Title VII to challenge minority-targeted discrimination in the workplace. Rather than merely sorting out strong claims from weak ones, the doctrine functions as a kind of normative litmus test used to assess whether the type of harm white plaintiffs allege as a consequence of minority-targeted discrimination counts as compensable injury. As this Article shows, the doctrine plays this powerful gatekeeping function because it is informed by certain historically specific civil rights era propositions about whites and their relationship to race and race discrimination. The Article examines the costs the doctrine’s strong normative commitments have imposed on Title VII plaintiffs and asks whether the enforcement of interracial solidarity doctrine has become an end in itself, regardless of whether it actually serves Title VII’s larger policy goals.

Specifically, Title VII interracial solidarity doctrine currently only recognizes two kinds of harm whites can suffer from minority-targeted discrimination, and therefore only permits plaintiffs to plead these two kinds of injury. The first injury a plaintiff may claim is the frustration of his associational interests. This injury is based on the civil rights era norm establishing that whites are entitled to the benefits of diversity, that is, the economic, cultural, and educational relationships they can form by associating with mino-ities. The second injury a plaintiff can raise is the violation of a plaintiff’s right to a “colorblind” or nondiscriminatory workplace. This injury is informed by the civil rights era norm that whites have an interest in striving for a colorblind society. The “colorblindness” injury is based on the understanding that racial prejudice is a moral wrong because it compromises the struggle to make the United States a race-blind meritocracy. Scholars will recognize that both the diversity and colorblindness concepts of harm appear in areas of antidiscrimination law other than the interracial solidarity cases; however, these concepts play a special role in Title VII interracial solidarity doctrine, as they are the only bases the doctrine recognizes as a source of harm…

…In summary, this Article reviews cases involving Title VII interracial solidarity claims to reveal the hold that civil rights era norms have on legal understandings about whites’ relationship to minority-targeted discrimination. My goal is to reveal the burdens these norms impose on low-status or marginal whites as they attempt to plead their Title VII claims. My hope is that the discussion of marginal whites’ interests will help reveal their potential as allies in antidiscrimination struggles. However, this potential can only be fully realized if marginal whites’ problems and challenges are better reflected in Title VII doctrine and explored in antidiscrimination scholarship. To this end, this Article also shows that the two kinds of injury courts currently recognize under interracial solidarity doctrine—the denial of the enjoyment of a colorblind workplace and the frustration of one’s interest in diversity-based associational opportunities—are second-order concerns, and consequently fail to motivate substantial numbers of white persons. Indeed, the doctrine‘s focus on second-order injuries seems even more puzzling when one considers that it almost entirely overlooks the more highly motivating first-order injuries marginal whites suffer because of minority-targeted discrimination, including basic economic and dignitary harms. A doctrine that attended to these first-order interests would be far more effective in causing whites to initiate interracial solidarity actions. Therefore, the Article uses “failed” Title VII interracial solidarity cases like Clayton to develop a more expansive and nuanced account of how whites are injured by minority-targeted discrimination in the workplace, providing an essential supplement to the existing concepts of harm in Title VII interracial solidarity doctrine.

This Article, however, is more than a descriptive account that catalogues overlooked or undervalued injuries present in interracial solidarity cases. It also uses these injuries to develop a theory of “marginal whiteness,” a framework that allows courts and scholars to consider how white racial identity dynamics can be linked to interracial conflicts in the workplace. The discussion begins by defining the class of “marginal whites”—individuals who, because they possess some nonracial, socially stigmatized identity characteristic, have more limited access to white privilege, and relatedly have a more attenuated relationship to white identity. I argue that this attenuated relationship to whiteness often causes marginal whites to chafe at other whites’ requests that they bear burdens to support the maintenance of white privilege. Put differently, marginal whites’ ambivalence about whiteness becomes a critical frame that can allow low-status whites to see how higher-status whites’ attempts to limit the options of minorities actually materially interfere with marginal whites’ immediate economic and dignitary interests. The Article posits that, if Title VII provided these marginal whites with a compelling account of their injuries, they would be more likely to bring Title VII claims. The Article then considers how the marginal whiteness framework can help improve antidiscrimination scholars’ analysis of intraracial and interracial conflicts more generally…

…Part IV anticipates concerns about the social and intellectual transmission of the marginal whiteness framework, addressing questions about its descriptive accuracy, theoretical ambitions, and its potential to disrupt or undermine contemporary antidiscrimination mobilization efforts directed at whites. Part IV explains that, rather than wholly replacing civil-rights-era-influenced normative and descriptive accounts of whites’ interests, the concept of marginal whiteness provides an essential supplement to existing accounts of harm. Part IV also more specifically considers the ways in which marginal whiteness can function as a useful analytical tool in understanding contemporary “white racial formation” projects, including the overtures being made to and the identity politics struggles associated with multiracial whites, white Latinos, and Middle Eastern whites. It explores marginal whiteness’s potential explanatory power for understanding questions of ethnic and class fractures within the category of whiteness, while acknowledging the need for additional study on these questions. Part IV concludes by highlighting the ways in which the marginal whiteness framework breaks substantially from early Critical White Studies’ accounts of white interests, demonstrating its promise as a better analytic tool for analyzing post–civil rights era whites‘ struggles regarding racial identity than existing models of their interests.

Therefore, although a person may claim a “white” identity, she is merely a putative white person and therefore may not be socially recognized as white in all contexts. The unstable nature of putative whites’ whiteness claims is more easily seen in the case of multiracial whites or whites with phenotypic characteristics that may suggest they are of mixed or prominent ethnic ancestry. What is less often acknowledged is that putative whites with phenotypic characteristics that technically mark them as white may still exhibit features, engage in behaviors, or be otherwise marked in some way that signals to other whites that they are marginal or low-status white persons. Circumstances of scarce resources—or political, cultural, or social conflicts—may trigger higher-status whites to use these features to effectively redraw the lines of whiteness in a particular context and deny marginal whites access to resources (or white privilege). These low-status or marginal whites may find that they are, for all practical purposes, being treated like minorities, as they are subject to defamatory statements and denial of privileges available to other white workers. Consequently, people who exhibit low-status identity markers, but self-identify as white may find that their anxiety levels are increased when they are exposed to new or unfamiliar communities of whites, as they fear potential rejection or unfair treatment by other whites who do not regard them to be true white persons.

Although anxieties about racial misrecognition trouble all persons invested in maintaining their racial identities, individuals seeking to claim whiteness often suffer from particularly acute anxieties, because being socially recognized can confer a raft of social and material benefits. Stated alternatively, these putative whites know that misrecognition is not merely a source of irritation, embarrassment, or inconvenience, as might be experienced by a minority not properly identified with her chosen racial group. Rather, misrecognition may impose significant material costs for self-identified whites, costs that can affect their life chances…

…Finally, whites may be attracted to the marginal whiteness framework because it responds to America‘s changing demography. The number of multiracial persons in the United States who identify as mixed-race has risen significantly. At the same time, there has been a willingness by some white communities to accept mixed-race persons as white. Additionally, Latinos and Middle Easterners encounter institutional and social pressures that encourage them in some contexts to identify as white persons. Together these changes have created a situation in which many persons socially recognized in some spaces as being white are treated as minorities in others. This split consciousness may cause these contingently recognized whites to have a distant relationship with whiteness, similar to that predicted by the marginal whiteness model. Taken together, the demographic and social changes described above present antidiscrimination scholars and courts with a critical challenge: will we construct a doctrine that responds to these whites‘ potential to develop more of a critical stance on whiteness and white privilege, or will we allow this potential to go unmined? As studies show more whites growing disengaged from discussions about race, there will be more pressure to find novel ways to encourage whites to rejoin antidiscrimination efforts…

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Check One Box: Reconsidering Directive No. 15 and the Classification of Mixed-Race People

Posted in Articles, Census/Demographics, Law, Media Archive, Politics/Public Policy, United States on 2011-12-26 02:38Z by Steven

Check One Box: Reconsidering Directive No. 15 and the Classification of Mixed-Race People

California Law Review
Volume 84, Number 4 (July, 1996)
pages 1233-1291

Kenneth E. Payson

Introduction

“What are you?” As the child of a Japanese mother and a White father, I have often been asked this question. While I am also male, heterosexual, law student, spouse, sibling, and child, this query is usually directed at my racial identity. As a mixed-race person, I am part of an ill-defined, amorphous group of persons who are increasingly becoming the subject of private and public scrutiny. As one commentator quipped, one “cannot turn on ‘Oprah’ without seeing a segment on multiraciality…” The simple question “What are you?” illustrates the fundamental role race plays in defining our relationships with others. When faced with ambiguous morphology, we seek clarification of another’s racial identity so that we may begin defining our…

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Blood Quantum Land Laws and the Race versus Political Identity Dilemma

Posted in Articles, Law, Media Archive, Native Americans/First Nation, United States on 2011-09-17 01:52Z by Steven

Blood Quantum Land Laws and the Race versus Political Identity Dilemma

California Law Review
Volume 96 (2008)
pages 801-838

Rose Cuison Villazor, Associate Professor of Law
Hofstra University

Modern equal protection doctrine treats laws that make distinctions on the basis of indigeneity defined on blood quantum terms along a racial versus political paradigm. This dichotomy may be traced to Morton v. Mancari and, more recently, to Rice v. Cayetano. In Mancari, the Supreme Court held that laws that privilege members of American Indian tribes do not constitute racial discrimination because the preferences have a political purpose – to further the right of self-government of federally recognized American Indian tribes. Rice crystallized the juxtaposition of the racial from the political nature of indigeneity by invalidating a law that privileged Native Hawaiians. That law, according to the Court, used an ancestral blood requirement to construct a racial category and a racial purpose as opposed to the legally permissible political purpose of promoting the right of self-government of American Indian tribes.

Close analysis of the dichotomy between the constitutive notion of indigenous blood as either racial or political has largely escaped scholarship. An analysis deconstructing their juxtaposition is sorely needed. As recent challenges to blood quantum laws show, there remain unanswered questions about the extent to which the racialized (and thus invalid) Native Hawaiian-only voting law impact other blood quantum laws. Among the laws implicated by the dichotomy between the racial and political meaning of indigeneity are land ownership laws that privilege indigenous peoples who are not federally recognized tribes. Specifically, in some jurisdictions in the United States, including Hawaii, Alaska, and the U.S. territories, only indigenous peoples may purchase or possess property. Perhaps more problematically, these property laws define indigeneity on the basis of blood quantum. Under the contemporary race versus political meaning of blood quantum, these laws arguably violate equal protection principles because they do not fit the current framing of what constitutes political indigeneity.

Using these laws, what I collectively refer to as blood quantum land laws, as frames of reference, this Essay interrogates and criticizes the juxtaposition of the racial and political meaning of indigeneity. Specifically, the Essay examines the legal construction of political indigeneity and demonstrates how its narrowed construction would undermine these blood quantum land laws that were enacted to reverse the effects of colonialism. Consequently, this Essay calls for the liberalization of the binary racial and political paradigm by expanding equal protection law’s interpretation of the meaning of political indigeneity. Toward this end, this Essay provides an initial analysis of how to broaden the political notion of indigeneity, focusing in particular on the relationships among property, indigeneity, and the right to self-determination.

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Destabilizing Racial Classifications Based on Insights Gleaned from Trademark Law

Posted in Articles, Law, Media Archive, Politics/Public Policy, United States on 2010-12-01 23:22Z by Steven

Destabilizing Racial Classifications Based on Insights Gleaned from Trademark Law

California Law Review
Volume 84, Number 4 (July, 1996)
pages 887-952

Alex M. Johnson, Jr., Perre Bowen Professor of Law; Thomas F. Bergin Teaching Professor of Law and Director, Center for the Study of Race and Law
University of Virginia

Analogy to trademark law offers solutions to the problematic binary system of race classification in the US by exposing and deconstructing the notion of whiteness as a property right. Maintaining the racial dichotomy between blacks and whites preserves whiteness as the position of privilege and blackness as the marginalized other. Promotion of multi-racial categories would make racial identification generic and would destroy the value of marking as a way of protecting the property right of being white. Ethnic identities could be retained because of the benefits of voluntary identification.

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A Beautiful Lie: Exploring Rhinelander v. Rhinelander as a Formative Lesson on Race, Marriage, Identity, and Family

Posted in Family/Parenting, History, Identity Development/Psychology, Law, Media Archive, Papers/Presentations, Passing, Social Science, United States on 2009-11-13 22:44Z by Steven

A Beautiful Lie: Exploring Rhinelander v. Rhinelander as a Formative Lesson on Race, Marriage, Identity, and Family

California Law Review
Volume 95, Issue 6 (2007)
pages 2393-2458

Angela Onwuachi-Willig, Professor of Law and Charles M. and Marion J. Kierscht Scholar
University of Iowa College of Law

During the mid-1920s, the story of the courtship, marriage, and separation of Alice Beatrice Jones and Leonard Kip Rhinelander astounded the American public, especially the citizens of New York and black Americans across the country.  Alice, a chambermaid and the racially mixed daughter of English immigrants who had worked as servants on a large estate in Bradford, England, had committed the social faux pas of falling in love with and marrying Leonard Kip Rhinelander, the son of a white multi-millionaire who descended from the French Huguenots.  Or rather, as certain arguments from Leonard’s trial attorney Isaac Mills and later the jury’s verdict would together suggest, Leonard had committed a social offense by “knowingly” loving and marrying Alice, a colored woman.

Scandal arose about the marriage of Alice and Leonard when a story with the title “Rhinelanders’ Son Marries Daughter of a Colored Man” ran in the Standard Star of New Rochelle on November 13, 1924.  Two weeks later, on November 26, 1924, Leonard filed for an annulment of his marriage to Alice. In his Complaint, Leonard alleged that Alice had misrepresented her race to him by improperly leading him to believe that she was white, “not colored,” before their nuptials. New York law did not ban interracial marriages between Blacks and Whites at the time; thus, Alice and Leonard’s marriage was not automatically void.  In the state of New York, the law did not identify interracial marriages as so odious to public policy that they were legally impossible; however, fraud as to a spouse’s race before marriage signaled that there had been no meeting of the minds between husband and wife. Given the importance of racial classifications and their corresponding status in society, New York courts readily accepted knowledge about a spouse’s race to be a factor so crucial to the understanding of the marital contract that fraud about it rendered the marriage voidable and thus eligible to be annulled from its start.  In other words, the primary basis for recognizing knowledge of a spouse’s race as a material fact that went to the essence of marriage, a requirement for annulling voidable marriages based on fraud after consummation, was racial prejudice and social opprobrium of intermixing. Additionally, although New York had not followed many southern states in adopting the “one drop rule,” many Whites in New York agreed that any taint of colored blood removed a person from the class of white citizens. In essence, because of long-held beliefs about racial genetics and community expectations about social barriers of race in 1920s New York, knowledge of a spouse’s race was considered to be as central to marriage as the ability to consummate it.  Thus, no question was ever raised about whether Leonard’s alleged basis for annulment, racial fraud, could legitimately serve as a reason for legally declaring his marriage to Alice to be void…

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