G L v. Ligonier Valley School Dist , 802 F.3d 601 ( 2015 )


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  •                                       PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    ___________
    No. 14-1387
    ___________
    G.L.; MR. G.L. and MRS. E.L., in their own right
    v.
    LIGONIER VALLEY SCHOOL DISTRICT AUTHORITY,
    Appellant
    _____________________
    On Appeal from the United States District Court
    for the Western District of Pennsylvania
    (D.C. No. 2-13-cv-00034)
    District Judge: Honorable Mark R. Hornak
    _____________________
    Argued: December 16, 2014
    Before: McKEE, Chief Judge, GREENAWAY, JR., and
    KRAUSE, Circuit Judges
    (Filed: September 22, 2015)
    _____________
    John K. Greiner, Esq.
    Charles W. Jelley, Esq.    [Argued]
    Margaret A. Tremba, Esq.
    Kristen C. Weidus, Esq.
    Tremba, Jelley & Kinney
    302 West Otterman Street
    Greensburg, PA 15601
    Counsel for Appellees
    Christina Lane, Esq.       [Argued]
    Sanchez Legal Group
    2403 Sidney Street, Suite 242
    Pittsburgh, PA 15203
    Counsel for Appellant
    Mark L. Gross, Esq.
    Holly A. Thomas, Esq.
    United States Department of Justice
    Civil Rights Division, Appellate Section
    P.O. Box 14403
    Ben Franklin Station
    Washington, DC 20044
    Counsel for Amicus Curiae
    Jennerifer N. Rosen Valverde, Esq.         [Argued]
    Rutgers University School of Law
    Special Education Clinic
    123 Washington Street
    Newark, NJ 07102
    Counsel for Amici Appellees1
    1
    We thank the seven organizations led by the
    Education and Health Law Clinic at Rutgers University
    2
    ___________
    OPINION
    KRAUSE, Circuit Judge.
    The Individuals with Disabilities Education Act
    (“IDEA”) broadly authorizes the courts to provide appropriate
    relief, including compensatory education, to children who
    have been deprived by their state or local educational
    agencies of a free appropriate public education. When
    Congress reauthorized the IDEA in 2004, it enacted 20 U.S.C.
    § 1415(f)(3)(C), a statute of limitations that requires parents
    to file a due process complaint no more than two years after
    the parents “knew or should have known” about the alleged
    deprivation, that is, within two years of the reasonable
    discovery of that violation.2 The legislation simultaneously
    amended 20 U.S.C. § 1415(b)(6)(B), which previews the
    various procedural safeguards available to parents, including
    the opportunity to file that due process complaint. The new
    language added to this prefatory subsection, however,
    described the due process complaint as alleging an injury that
    occurred not more than two years before the reasonable
    discovery date.
    School of Law-Newark for their helpful perspective and
    excellent briefing and argument in this case.
    2
    The parties here, like some district courts in our
    Circuit, referred to the reasonable discovery date as the
    “KOSHK date.” See, e.g., Jana K. ex rel. Tim K. v. Annville-
    Cleona Sch. Dist., 
    39 F. Supp. 3d 584
    , 596 (M.D. Pa. 2014).
    3
    In an appeal stemming from a due process complaint
    filed by the parents of G.L., a student with special needs, we
    consider, in a matter of first impression among the Courts of
    Appeals, how these two provisions should be interpreted
    together and what effect they have on the courts’ authority to
    remedy IDEA violations, in particular, through the award of
    compensatory education. We address today which, of a
    variety of interpretations, is correct: Does § 1415(b)(6)(B)
    limit compensatory education to injuries occurring two years
    before the filing of the complaint, even if earlier injuries are
    claimed within two years of their reasonable discovery, as
    urged by Appellant Ligonier Valley School District
    Authority? Does it limit compensatory education to injuries
    that occurred from two years before their reasonable
    discovery through the filing of the complaint, up to two years
    after that discovery, i.e., the “2+2” approach taken by the
    District Court and urged by G.L.? Does it impose only a
    pleading requirement, without affecting the availability of a
    remedy for timely and well-pleaded claims, as argued by
    Amici Appellees and G.L. in the alternative? Or is it simply a
    restatement, albeit ill-phrased, of the same two-year statute of
    limitations set forth in § 1415(f)(3)(C), as asserted by the
    United States Department of Education (“DOE”)?
    Recognizing the uncertainty in this area, the District Court
    certified the question for interlocutory appeal.
    We now conclude, after careful consideration of the
    parties’ plain language arguments, the statutory context and
    structure, the DOE’s interpretive guidance, and the legislative
    history, that § 1415(b)(6)(B) is simply an inartful attempt to
    mirror § 1415(f)(3)(C)’s two-year statute of limitations. That
    is, both sections reflect the same two-year filing deadline for
    a due process complaint after the reasonable discovery of an
    4
    injury, and § 1415(b)(6)(B) neither imposes a pleading
    requirement nor in any respect alters the courts’ broad power
    under the IDEA to provide a complete remedy for the
    violation of a child’s right to a free appropriate public
    education.
    I.   Facts and Procedural History
    A. G.L.’s Schooling
    After spending the previous year at a parochial school,
    G.L. entered high school in the Ligonier Valley School
    District (the “District”) in the fall of 2008.3 At a school open
    house shortly after he started, G.L.’s teacher told his father
    that G.L. seemed distracted in class and lacked organizational
    skills. G.L.’s father then orally requested that the District
    evaluate G.L. for any special education needs. The request
    was to no avail: No evaluation was conducted and, instead, in
    the wake of a tragic car accident in which G.L. lost his older
    sister, the District, purportedly on the basis of information in
    her obituary, opened an investigation into whether G.L. even
    lived within District boundaries. That investigation confirmed
    G.L.’s residence and thus the District’s obligation under the
    IDEA to provide him with a free appropriate public education
    (“FAPE”).
    In the meantime, however, G.L. continued to struggle
    academically. For a time, he was able to keep those struggles
    3
    We review the allegations of the complaint and all
    reasonable inferences drawn therefrom in the light most
    favorable to G.L., the non-moving party. See D.E. v. Cent.
    Dauphin Sch. Dist., 
    765 F.3d 260
    , 271 (3d Cir. 2014).
    5
    partially hidden from his parents by intercepting and altering
    his report card. At the conclusion of the 2008-09 school year,
    however, District officials informed G.L.’s parents that he
    would need to repeat the ninth grade. It was at this point that
    his parents learned that he was being bullied at school on the
    basis of his sexual orientation, with students regularly calling
    him a “faggot” and a “homo,” and that as a result he was
    having trouble eating, sleeping, and concentrating on his
    studies.
    Faced with the District’s contention that G.L. should
    repeat the ninth grade, G.L.’s parents complained to the
    school principal about the bullying and again requested that
    G.L. be evaluated for special education needs.            The
    conversation became heated, and the principal told G.L.’s
    father to speak with the parents of the bullying students
    himself. The principal also informed G.L.’s parents that a
    request for special education evaluation needed to be in
    writing. G.L.’s father then immediately handwrote and
    submitted a request, which G.L.’s mother followed up with an
    email to the principal. Apparently not caring for the tone of
    that email, the principal made an angry phone call to each of
    G.L.’s parents. The same day, the principal requested that the
    District again investigate the residency of G.L. and his
    family.
    The District then began another investigation,
    representing to the family that the new investigation was
    based on an anonymous phone call to the District.
    Meanwhile, the principal also conducted his own ad-hoc
    investigation, using school computers to search for voting
    records of G.L.’s parents. Over the next month, it appears
    little was done to assist G.L. with the challenges he faced
    either academically or socially. The District did, however,
    6
    demand that the family provide a number of additional
    documents to prove residency. Eventually, the District
    agreed to formally evaluate G.L. for the remedial support to
    which he might be entitled pursuant to the IDEA, and in
    August 2009, after the family hired an attorney, yet again
    confirmed that G.L. lived within District boundaries.
    Thus, when G.L. returned to school in the fall, the
    District finally evaluated him for his special education needs
    for the 2009-10 school year and instituted a plan to prevent
    him from being bullied. That evaluation revealed that G.L.
    did indeed have learning disabilities in math, reading, and
    writing. In November 2009, the District offered to G.L.’s
    parents an Individualized Education Program (“IEP”), which
    G.L.’s parents found inadequate and sought to supplement
    with supports tied to each of G.L.’s special needs. Despite
    multiple meetings between the parents and District officials
    during the months of December and January, they were
    unable to agree on the educational goals that would satisfy a
    FAPE for G.L.
    While the parties were attempting to negotiate a
    satisfactory IEP over the fall and winter, the District also
    attempted to implement a plan to prevent G.L. from being
    bullied. However, by January 2010, the bullying not only had
    continued, but had grown to include the participation of the
    school’s football coach, who allegedly made a disparaging
    remark to another student about that student’s relationship
    with G.L., and did so in front of some of the very students
    who were bullying G.L. When he learned of this public
    remark by the coach, G.L. became distraught and refused to
    return to school. Instead, his parents picked up and returned
    his school work, which he completed at home. As this went
    on, G.L.’s IEP team continued to meet, and his parents were
    7
    in regular contact with District officials to attempt to address
    the bullying situation.
    In March 2010, G.L. was evaluated by an intermediate
    unit psychologist, who conditionally diagnosed him with two
    additional disabilities, including post-traumatic stress disorder
    caused by the ongoing bullying. On March 8, 2010,
    frustrated with the bullying that had been allowed to escalate
    and apparently had caused additional disabilities in their
    child, upset by his academic struggles, and dissatisfied with
    the IEP offered by the District, G.L.’s parents withdrew him
    from the school and enrolled him in a cyber charter school.
    The District has conceded that March 9, 2010 reflects the date
    G.L.’s parents “knew or should have known” about the
    deprivation of a free appropriate public education to G.L.,
    that is, the reasonable discovery date for purposes of this
    case.4
    On January 9, 2012, within two years of the reasonable
    discovery date, and thus within the statute of limitations set
    forth in § 1415(f)(3)(C), G.L.’s parents filed their due process
    complaint, alleging that the District denied him a FAPE and
    requesting compensatory education for September 2008
    through March 2010—that is, the entire period that G.L. was
    allegedly denied a FAPE by the District before he withdrew
    from school.
    4
    The District has not disputed at any point during
    these protracted proceedings, including on appeal, that March
    9, 2010 was the reasonable discovery date. Having not raised
    such an argument to date, the District has waived it in any
    event. See Del. Strong Families v. Att’y Gen. of Del., 
    793 F.3d 304
    , 310 n.5 (3d Cir. 2015).
    8
    B. Procedural History
    As required by the IDEA, G.L.’s parents initially
    requested their due process hearing by filing a complaint with
    the Pennsylvania Department of Education, which in turn
    assigned it to a Hearing Officer. The Hearing Officer
    acknowledged that the language of § 1415 seemed to describe
    two different time periods relevant to the IDEA’s statute of
    limitations: 20 U.S.C. § 1415(f)(3)(C), which provides that a
    due process complaint must be filed no more than two years
    after the reasonable discovery date, and 20 U.S.C.
    § 1415(b)(6)(B), which describes the due process complaint
    as alleging an injury that occurred not more than two years
    before the reasonable discovery date. However, the Hearing
    Officer adopted the District’s position that the subsections,
    first, were actually the “same,” and, second, barred relief for
    violations that occurred more than two years before the
    complaint was filed. Put differently, the Hearing Officer
    adopted an effective two year remedy cap, compensating only
    injuries that actually occurred within two years of the filing
    date, regardless of whether the parents filed within two years
    of reasonably discovering older injuries.
    Applying this interpretation to G.L.’s complaint, the
    Hearing Officer held that—even assuming that the District
    deprived G.L. of a FAPE from September 2008 until March
    9, 2010, that the parents reasonably did not know about the
    injury before March 9, 2010, and that the January 9, 2012
    complaint was timely filed within two years of that March 9,
    2010 discovery—G.L.’s remedy was limited to injuries that
    occurred in the three months between January 2010 and
    March 2010 because that was the only period G.L. attended
    the District school within the two-year window before the
    filing of the complaint. Because the Hearing Officer
    9
    proceeded to hold that G.L. was not injured during this
    period, i.e., that the District had provided a FAPE to G.L.
    during the 2009-2010 school year, the Hearing Officer denied
    any award of compensatory education, even for those three
    months.5
    The District Court, reviewing this decision, disagreed.
    In denying the District’s motion to partially dismiss the
    complaint on the basis of the alleged remedy cap, the District
    Court construed § 1415(f)(3)(C) and § 1415(b)(6)(B), in
    combination, to mean that G.L.’s relief may extend from two
    years before the reasonable discovery date through the date
    the complaint was filed, which could be up to two years after
    the reasonable discovery date, for a maximum period of relief
    of four years. G.L. v. Ligonier Valley Sch. Dist. Auth., No.
    13-34, 
    2013 WL 6858963
    , at *4 (W.D. Pa. Dec. 30, 2013).
    The District Court thus adopted what has become known as
    the “2+2” construction of these statutory sections, 
    id. at *4-6,
    applying the same construction embraced by three other
    district courts in this Circuit, see M. v. Penn Manor Sch. Dist.,
    No. 12-3646, 
    2015 WL 221086
    , at *5 (E.D. Pa. Jan. 14,
    2015); Jana 
    K., 39 F. Supp. 3d at 596-600
    ; I.H. ex rel D.S. v.
    5
    Given his interpretation of the statute of limitations
    provision, the Hearing Officer did not have occasion to
    address the parents’ contention that G.L. was denied a free
    appropriate public education throughout the 2008-2009
    school year. He did, however, hold that the District had
    discriminated against and had retaliated against G.L. in
    violation of Section 504 of the Rehabilitation Act, 29 U.S.C.
    § 794.
    10
    Cumberland Valley Sch. Dist., 
    842 F. Supp. 2d 762
    , 773-74
    (M.D. Pa. 2012). Because the 2+2 construction would render
    G.L.’s injuries from September 2008 to January 2010
    redressable upon finding a violation, the District Court
    remanded for the Hearing Officer to address whether the
    District provided G.L. a FAPE during the relevant period.
    
    2013 WL 6858963
    , at *6. However, recognizing the
    uncertainty in this area and correctly identifying this issue as
    one that was “important, controlling, and recurring,” 
    id., the District
    Court stayed its remand order and certified the issue
    for interlocutory appeal, which we then granted.6
    II.   Jurisdiction and Standard of Review
    The District Court had jurisdiction pursuant to 20
    U.S.C. § 1415(i)(2)(A) and 28 U.S.C. § 1331. We have
    jurisdiction pursuant to 28 U.S.C. § 1292(b).
    The District Court’s construction of § 1415(f)(3)(C)
    and § 1415(b)(6)(B) presents a legal question over which we
    apply plenary review. See P.P. ex rel. Michael P. v. W.
    Chester Area Sch. Dist., 
    585 F.3d 727
    , 735 (3d Cir. 2009).
    6
    Because the District Court remanded on this basis, it
    did not address the Hearing Officer’s finding that,
    notwithstanding the disturbing manner in which the District
    treated G.L. and his family, the District did not deprive G.L. a
    FAPE during the 2009-2010 school year.
    11
    III.    The Individuals With Disabilities Act
    A.     Statutory Overview
    The IDEA is intended to ensure that every child with
    special needs is afforded a “free appropriate public education
    designed to meet [those] unique needs,” 20 U.S.C.
    § 1400(d)(1)(A), through the statute’s “comprehensive . . .
    remedial scheme,” A.W. v. Jersey City Pub. Sch., 
    486 F.3d 791
    , 803 (3d Cir. 2007) (en banc). The law ensures that right
    “by mandating that public educational institutions identify
    and effectively educate those children, or pay for their
    education elsewhere if they require specialized services that
    the public institution cannot provide.” 
    P.P., 585 F.3d at 735
    .
    Once a child is identified as having special needs, “[a]
    school district provides a FAPE by designing and
    implementing an individualized instructional program set
    forth in an [IEP], which ‘must be reasonably calculated to
    enable the child to receive meaningful educational benefits in
    light of the student’s intellectual potential.’” 
    Id. at 729-30
    (quoting Shore Reg’l High Sch. Bd. of Educ. v. P.S., 
    381 F.3d 194
    , 198 (3d Cir. 2004)). To the extent a school district fails
    to provide a student with a FAPE, a parent may file a due
    process complaint on behalf of his or her child, with a
    subsequent hearing held before an administrative hearing
    officer. 20 U.S.C. §§ 1415(b)(6), (f)(1)(A); 
    D.E., 765 F.3d at 274
    . A party dissatisfied with the result of that hearing may
    then file an action in state or federal court. 20 U.S.C.
    § 1415(i)(2); 
    D.E., 765 F.3d at 274
    .
    Under the IDEA, a “district court is authorized to grant
    ‘such relief as the court determines is appropriate,’ including
    attorneys’ fees, reimbursement for a private educational
    12
    placement, and compensatory education.” 
    A.W., 486 F.3d at 802
    (quoting 20 U.S.C. § 1415(i)(2)(C)(iii)). Compensatory
    education “aim[s] to place disabled children in the same
    position they would have occupied but for the school
    district’s violations of IDEA,” by providing the educational
    services children should have received in the first instance.
    Reid v. District of Columbia, 
    401 F.3d 516
    , 518 (D.C. Cir.
    2005). This “judicially-created remedy . . . has received the
    imprimatur of this Court,” D.F. v. Collingswood Borough Bd.
    of Educ., 
    694 F.3d 488
    , 496 (3d Cir. 2012), and reflects the
    “broad discretion,” Bucks Cnty. Dep’t of Mental
    Health/Mental Retardation v. Pennsylvania, 
    379 F.3d 61
    , 67
    (3d Cir. 2004), that Congress has granted to the courts “to
    remedy the deprivation of the right to a free appropriate
    education,” Carlisle Area Sch. v. Scott P., 
    62 F.3d 520
    , 536
    (3d Cir. 1995).
    B. The 2004       Reenactment      and    Its
    Aftermath
    Prior to 2004, the IDEA did not include a statute of
    limitations. See Steven I. v. Cent. Bucks Sch. Dist., 
    618 F.3d 411
    , 413 (3d Cir. 2010). Congress found this problematic
    because parents could knowingly wait for many years to file
    complaints, resulting in school districts that were “often
    surprised by claims . . . involving issues that occurred in an
    elementary school program when the child may currently be a
    high school student.” H.R. Rep, 108-77, at 115 (2003).
    Waiting many years to bring actions on behalf of a child,
    Congress reasoned, jeopardized that child’s education and
    created distrust between school administrators and parents.
    
    Id. 13 In
    the 2004 reauthorization of the IDEA, Congress
    sought to remedy this problem by adding a statute of
    limitations to 20 U.S.C. § 1415(f), which is entitled
    “Impartial due process hearing” and sets forth the procedures
    for the life cycle of such hearings, from the initial receipt of
    the due process complaint that constitutes the request for the
    hearing, 20 U.S.C. § 1415(f)(1), through the findings of the
    hearing officer, 20 U.S.C. § 1415(f)(3)(E).           The new
    subsection, § 1415(f)(3)(C), was entitled “Timeline for
    requesting hearing” and states:
    A parent or agency shall request an impartial
    due process hearing within 2 years of the date
    the parent or agency knew or should have
    known about the alleged action that forms the
    basis of the complaint, or, if the State has an
    explicit time limitation for requesting such a
    hearing under this subchapter, in such time as
    the State law allows.
    20 U.S.C. § 1415(f)(3)(C). Accordingly, under the IDEA
    parents must file their due process complaint within two years
    of the date they “knew or should have known” of the
    violation, unless the state has its own statute of limitations, in
    which case the state’s statute controls. Id.; D.K. v. Abington
    Sch. Dist., 
    696 F.3d 233
    , 244 & n.2 (3d Cir. 2012). The
    reauthorization also added two equitable tolling exceptions to
    this statute of limitations, which apply regardless of whether
    the state has enacted its own statute of limitations: specific
    misrepresentations by the school district and the withholding
    14
    of statutorily mandated            disclosures.       20     U.S.C.
    § 1415(f)(3)(D).7
    Section 1415 overall is a lengthy and detailed section,
    the “entire purpose” of which “is to provide parents
    ‘procedural safeguards with respect to the provision of a free
    appropriate public education.’” D.M. v. N.J. Dep’t of Educ.,
    --- F.3d ----, No. 14-4044, 
    2015 WL 5255088
    , at *5 (3d Cir.
    Sept. 10, 2015) (quoting 20 U.S.C. § 1415(a)).8 The section
    opens with § 1415(a), entitled “Establishment of procedures,”
    which requires state and local educational agencies to
    “establish and maintain procedures in accordance with this
    section to ensure that children with disabilities and their
    parents are guaranteed procedural safeguards with respect to
    the provision of a free appropriate public education” by these
    agencies. 20 U.S.C. § 1415(a). It proceeds in § 1415(b),
    entitled “Types of procedures,” to list out and briefly
    summarize “[t]he procedures required by this section,” 20
    U.S.C. § 1415(b), (b)(2)-(8), in roughly the same order these
    procedures are then more fully described in the subsections
    that follow, 20 U.S.C. § 1415(c)-(f). Among the procedures
    listed in § 1415(b), even before the 2004 reenactment, was
    “an opportunity to present complaints with respect to any
    matter relating to the identification, evaluation, or educational
    placement of the child, or the provision of a free appropriate
    public education to such child,” 20 U.S.C. § 1415(b)(6)
    7
    These exceptions are not at issue in this case.
    8
    We describe in some detail here the structure of this
    section because, as will become apparent, it provides
    important context for our interpretation of the two subsections
    at issue.
    15
    (1999) (amended 2004), corresponding to the fuller
    explanation of the due process hearing procedures set forth in
    § 1415(f) (1999) (amended 2004).
    Accordingly, along with the addition of the statute of
    limitations to § 1415(f)(3)(C), the 2004 reenactment also
    amended § 1415(b)(6) to read:
    (b) Types of procedures
    The procedures required by this section shall
    include the following: . . .
    (6) An opportunity for any party to
    present a complaint—
    (A) with respect to any matter
    relating to the identification,
    evaluation,    or   educational
    placement of the child, or the
    provision of a free appropriate
    public education to such child;
    and
    (B) which sets forth an alleged
    violation that occurred not
    more than 2 years before the
    date the parent or public agency
    knew or should have known
    about the alleged action that
    forms the basis of the
    complaint, or, if the State has an
    explicit time limitation for
    presenting such a complaint
    16
    under this subchapter, in such
    time as the State law allows,
    except that the exceptions to the
    timeline described in subsection
    (f)(3)(D) shall apply to the
    timeline described in this
    subparagraph.
    20 U.S.C § 1415(b)(6) (emphasis added).             With this
    amendment, the complaint procedure described at
    § 1415(b)(6)(B) came to mirror the statute of limitations at
    § 1415(f)(3)(C) in almost all respects: they both describe a
    two-year time limit that hinges on the reasonable discovery
    date; they both provide that any state statute of limitations
    will override this timeline; and they both incorporate the two
    exceptions to the statute of limitations set forth in
    § 1415(f)(3)(D).9     Unlike      § 1415(f)(3)(C),   however,
    9
    While § 1415(b)(6)(B) describes “present[ing] a
    complaint,” and § 1415(f)(3)(C) describes “request[ing] an
    impartial due process hearing,” both sections address the
    filing of the same due process complaint because there is no
    dispute that presenting a complaint is merely the vehicle by
    which a due process hearing is requested. See 20 U.S.C.
    § 1415(f)(1)(A) (noting that a hearing is held “[w]henever a
    complaint has been received under subsection (b)(6)”); see
    also United States Department of Education, Questions and
    Answers on IDEA Part B Dispute Resolution Procedures,
    OSEP Memo 13-08, 34 (2013) (explaining that “[t]he IDEA
    Amendments of 2004 made significant changes to IDEA’s
    due process procedures, and parties no longer have the right
    to request a due process hearing directly” but instead “first
    must file a due process complaint”).
    17
    § 1415(b)(6)(B)’s two-year limitations period runs backward
    instead of forward from the reasonable discovery date.
    The differences in the language of these provisions and
    the fact that they appear to move in opposite directions from
    the reasonable discovery date, has given rise to confusion in
    the wake of the 2004 reenactment, with district courts within
    this Circuit interpreting them in a range of ways. Some have
    construed them to limit redress to the two years preceding a
    complaint. See, e.g., D.C. v. Mount Olive Twp. Bd. of Educ.,
    No. 12-5592, 
    2014 WL 1293534
    , *21-22 (D.N.J. Mar. 31,
    2014). Some have interpreted them to impose a filing
    deadline but not to limit the remedy for timely-filed claims.
    See, e.g., Cent. Sch. Dist. v. K.C. ex rel. S.C., No. 11-6869,
    
    2013 WL 3367484
    , at *12 n.6 (E.D. Pa. July 3, 2013)
    (collecting cases) (“We also agree with the conclusion
    reached by several courts within this district, that the IDEA’s
    statute of limitations does not apply to limit the permissible
    period of compensatory educational awards.”). And at least
    four, including the District Court here, have adopted the 2+2
    analysis. See, e.g., G.L., 
    2013 WL 6858963
    , at *3-6.
    The District contends there can be no confusion
    because we have already addressed and resolved the question
    of how these provisions interact with each other and how they
    apply to claims dating back a number of years in Steven I.,
    
    618 F.3d 411
    , and D.K., 
    696 F.3d 233
    . That resolution,
    according to the District, is that we “definitively stated that
    claims are barred where they are alleged to occur two years
    prior to the date of filing.” Appellant’s Br. 8 (citing Steven 
    I., 618 F.3d at 417
    , and 
    D.K., 696 F.3d at 254
    ). This argument
    reflects a fundamental misunderstanding of our prior cases.
    Those cases held that § 1415(f)(3)(C) bars claims that are not
    filed within two years after the parents “knew or should have
    18
    known” about the injury—a proposition that is now well-
    established and is not disputed by either party to this case.
    However, neither Steven I. nor D.K. says anything about
    claims that are filed within two years of that “knew or should
    have known” date but happen to relate to an injury that took
    place more than two years before the complaint was filed.
    In Steven I., we considered a case brought by parents
    who had knowingly sat on a claim for years, see Mark v.
    Cent. Bucks Sch. Dist., No. 08-571, 
    2009 WL 415767
    , at *4
    (E.D. Pa. Feb. 18, 2009), rev’d and remanded sub nom.
    Steven 
    I., 618 F.3d at 417
    , and held that § 1415(f)(3)(C)’s
    two-year statute of limitations applies retroactively to claims
    that predated the 2004 amendments and “bars any causes of
    action that accrued prior to” two years before the filing of the
    due process complaint, even if the violation continues into the
    two-year window before the complaint was 
    filed. 618 F.3d at 417
    (emphasis added). Likewise, in D.K., where we held that
    the statutory tolling provisions of § 1415(f)(3)(D) precluded
    application of common law tolling doctrines and were
    therefore the exclusive exceptions to the IDEA’s two-year
    statute of limitations, we reaffirmed our rejection of the
    “continuing violation” doctrine and held that the claims in
    that case, which we observed had been discovered years
    earlier, were, as the parents conceded, “limited to the two-
    year time period” before the filing of the complaint under
    § 1415(f)(3)(C). 
    D.K, 696 F.3d at 248
    , 254. Indeed, contrary
    to the District’s reading, we expressly stated in D.K. that
    parents must request a due process hearing, not within two
    years of the occurrence of the injury, but “within two years of
    ‘the date the parent . . . knew or should have known about the
    alleged action that forms the basis of the complaint.’” 
    Id. at 19
    244 (alterations    in   original)   (quoting   20   U.S.C.   §
    1415(f)(3)(C)).
    Although we observed in passing in D.K. that this two-
    year statute of limitations in § 1415(f)(3)(C) was “the same”
    two-year period that parents had to file an administrative
    complaint under § 1415(b)(6)(B), 
    id., we did
    not there and
    have not since had occasion to reconcile the differences
    between the language of § 1415(b)(6)(B) and § 1415(f)(3)(C)
    or to consider how these provisions affect the remedy
    available for claims spanning multiple years that were filed
    within two years of the date the parents first “knew or should
    have known” about the basis for those claims. Nor has any
    other Court of Appeals addressed the interplay between
    § 1415(f)(3)(C) and § 1415(b)(6)(B). We resolve these issues
    today.
    IV.    Analysis
    The starting point of all statutory construction is the
    text of the statute, but where that text is ambiguous, “we
    ‘must do our best, bearing in mind the fundamental canon of
    statutory construction that the words of a statute must be read
    in their context and with a view to their place in the overall
    statutory scheme.’” King v. Burwell, 
    135 S. Ct. 2480
    , 2492
    (2015) (quoting Util. Air Regulatory Grp. v. E.P.A., 134 S.
    Ct. 2427, 2441 (2014)). Thus, we consider below (1) the
    plain language arguments of the parties and amici; (2) the
    broader context of the statute; (3) the position of the DOE;
    and (4) the legislative history of the 2004 amendments, and
    we conclude that applying the plain language of the text
    would force us to give § 1415(b)(6)(B) a meaning that “turns
    out to be untenable in light of the statute as a whole.’” 
    King, 135 S. Ct. at 2495
    (internal quotations marks and alteration
    20
    omitted). Instead, our analysis confirms that, as we presaged
    in D.K., § 1415(b)(6)(B) and § 1415(f)(3)(C) do indeed
    reflect “the same” statute of 
    limitations, 696 F.3d at 244
    ,
    which imposes a deadline on the filing of claims once they
    are reasonably discovered but does not limit the redress
    available for timely-filed claims.
    A. The Plain Language of § 1415(b)(6)(B)
    Is Ambiguous
    In interpreting § 1415(b)(6)(B), we confront a
    statutory provision that by its plain terms does not impose any
    obligation on parents, but rather identifies the “opportunity
    . . . to present a complaint” among a list of procedural
    safeguards in the prefatory subsection of § 1415, which are
    then explicated in the subsections that follow. 20 U.S.C.
    § 1415(b)(6)(B).       Meanwhile, the amendment to §
    1415(f)(3)(C) by its plain terms describes the “[t]imeline for
    requesting [a] hearing” and mandates that “[a] parent . . . shall
    request an impartial due process hearing within 2 years” of
    the reasonable discovery date.            The amendment to
    § 1415(b)(6)(B) appears to conform the description of the
    complaint that previously appeared in § 1415(b)(6), i.e., the
    mechanism to “request an impartial due process hearing,” to
    § 1415(f)(3)(C) in every respect—including the exceptions—
    but one: the timeframe of before, rather than after, the
    reasonable discovery date. 
    Id. § 1415(b)(6)(B),
    (f)(3)(C). No
    explanation is given for this singular difference. The clearest
    way to demonstrate the ambiguity it has created in the statute,
    however, is through the diametrically opposed interpretations
    proposed by the parties themselves.
    21
    i. The School District’s Proposed
    Remedy Cap
    We begin with the District, which contends, first, that
    § 1415(b)(6)(B) describes the same two-year statute of
    limitations as § 1415(f)(3)(C) and, second, that this statute of
    limitations limits the scope of a child’s remedy to those
    injuries that actually occurred in the two years before the
    filing of a complaint, no matter when the parent reasonably
    discovered the injury. The obvious problem with the
    District’s first contention is that, as the District Court noted in
    rejecting it, the language and plain meaning of the
    subsections are, in fact, quite different: Section 1415(f)(3)(C)
    provides that parents who have been unable to secure relief
    for alleged violations through informal channels and are
    resorting to requesting a due process hearing must do so
    “within 2 years of the date the parent or agency knew or
    should have known about the alleged action that forms the
    basis of the complaint.” 20 U.S.C. § 1415(f)(3)(C). Section
    1415(b)(6)(B), on the other hand, describes that very same
    complaint that parents shall have the opportunity to present as
    “set[ting] forth an alleged violation that occurred not more
    than 2 years before the date the parent or public agency knew
    or should have known about the alleged action that forms the
    basis of the complaint.” 
    Id. § 1415(b)(6)(B).
    The District does not attempt to reconcile the language
    of these provisions; it simply asks us ipse dixit to declare
    them identical and further asks that we read this single statute
    of limitations to permit relief only for those injuries that
    occurred no more than two years before the filing of the
    complaint. The problem is that this is not what the statute
    says and the District’s logic proves an unworkable syllogism:
    Section 1415(b)(6)(B) makes reference to (a) injuries that
    22
    occurred no more than two years before (b) the reasonable
    discovery date; § 1415(f)(3)(C) provides that (b) this
    reasonable discovery date must be no more than two years
    before (c) the filing of the complaint; but neither subsection
    references (a) injuries that occurred no more than two years
    before (c) the filing of the complaint.
    The District’s reading not only lacks textual support
    but affirmatively contravenes the language and purpose of
    Congress in using a reasonable discovery date. When
    fashioning a statute of limitations, a legislature may choose as
    the date from which the limitations period begins to run either
    the date the injury actually occurred, an approach known as
    the “occurrence rule,” or the date the aggrieved party knew or
    should have known of the injury, that is, the “discovery rule.”
    See Knopick v. Connelly, 
    639 F.3d 600
    , 607 (3d Cir. 2011)
    (discussing these rules in the context of Pennsylvania tort
    law); see also Oshiver v. Levin, Fishbein, Sedran & Berman,
    
    38 F.3d 1380
    , 1385 (3d Cir. 1994) (explaining that the
    discovery rule provides that the date the statute of limitations
    begins to run “is not the date on which the wrong that injures
    the plaintiff occurs, but the date on which the plaintiff
    discovers that he or she has been injured”). Under the
    discovery rule, a plaintiff’s time to bring suit is not in any
    way shortened by his or her reasonable ignorance: “the
    statutory limitations period begins to run and the plaintiff is
    afforded the full limitations period, starting from the point of
    [discovery], in which to file his or her claim.” 
    Oshiver, 38 F.3d at 1386
    .10
    10
    We have acknowledged there are different views as
    to whether the discovery rule is properly characterized as
    delaying the date of claim accrual or as tolling the limitations
    23
    The discovery rule controls here. Generally, “absen[t]
    . . . a contrary directive from Congress, we apply the federal
    discovery rule” as a default. Disabled in Action of Pa. v.
    SEPTA, 
    539 F.3d 199
    , 209 (3d Cir. 2008) (internal quotation
    marks omitted). Here, of course, Congress left nothing to
    doubt, unambiguously providing in the IDEA that the date
    from which any limitations period begins to run is the date the
    parents “knew or should have known” of the basis for the
    claim. See 20 U.S.C. §§ 1415(b)(6)(B), (f)(3)(C). The
    District thus does not argue that the occurrence rule applies,
    nor could it, because to do so would be contrary to the
    IDEA’s explicit, twice-repeated discovery rule. Instead, it
    attempts an end run around the rule by proposing a two-year
    cap on redress from the date of the complaint, with the same
    effect: the requirement that a claim be filed within two years
    of the date the violation actually occurred (not the date it was
    reasonably discovered) for that claim to be cognizable.
    Take a practical example. Assume a school district
    unreasonably fails to identify a child’s disability from the
    beginning of first grade through the end of third grade.
    Assume also that at the end of third grade, the parents first
    reasonably discover the injury, and the school district
    immediately begins providing the student with the
    period for a claim that accrued upon occurrence of the injury,
    and recently have held that the federal discovery rule is
    properly viewed as the latter. See William A. Graham Co. v.
    Haughey, 
    646 F.3d 138
    , 150 (3d Cir. 2011). This distinction
    is immaterial to our resolution here, for “[t]he distinction
    between the two concepts . . . makes no difference for
    purposes of deciding whether a claim survives a statute-of-
    limitations defense.” 
    Id. at 148.
    24
    educational supports he or she needs going forward but
    declines to provide that child with compensatory education to
    make up for the three years the child was deprived a FAPE.
    Under the theory espoused by the District, even if the parents
    filed a due process complaint the very same day they
    reasonably discovered the injury, the child’s compensatory
    education for the three years of this violation would be
    capped at two years (the second and third grade years that
    occurred within the two years before the filing of the
    complaint). Moreover, those two years of compensatory
    education would diminish daily for each day after the
    reasonable discovery date that the parents or their counsel
    conducted due diligence, explored settlement options, or
    prepared the complaint before filing. Nothing in the plain
    language of the statute suggests such an absurd result. Cf.
    Reiter v. Cooper, 
    507 U.S. 258
    , 267 (1993) (“While it is
    theoretically possible for a statute to create a cause of action
    that accrues at one time for the purpose of calculating when
    the statute of limitations begins to run, but at another time for
    the purpose of bringing suit, we will not infer such an odd
    result in the absence of any such indication in the statute.”).11
    11
    Perhaps for this reason, at oral argument, the District
    took another tack, stating that if a parent’s complaint was
    filed “very close in time” to the reasonable discovery date—
    that is, if a parent only waited a week or two to file a
    complaint, versus the two years he or she is entitled under the
    statute—a child would not lose any remedy at all. Oral Arg.
    at 13:25, available at http://www.ca3.uscourts.gov/oral-
    argument-recordings. This supposed two-week grace period,
    like the District’s position generally, finds no support in the
    statutory text.
    25
    Putting aside the oddity of a statute of limitations
    functioning in this manner and its inconsistency with the
    broad remedial purposes of the IDEA (discussed more fully
    below), the text is clear that Congress eschewed the
    occurrence rule in favor of the discovery rule by hinging both
    § 1415(f)(3)(C) and § 1415(b)(6)(B) on the date the parents
    “knew or should have known” of the injury. See, e.g., Merck
    & Co. v. Reynolds, 
    559 U.S. 633
    , 651 (2010) (holding that
    when a “statute says that the plaintiff’s claim accrues only
    after the ‘discovery’ of . . . facts,” a limitations period does
    not “begin before ‘discovery’ can take place”); Beauty Time,
    Inc. v. VU Skin Sys., Inc., 
    118 F.3d 140
    , 144 (3d Cir. 1997)
    (“It is well-established that Pennsylvania law recognizes an
    exception to the statute of limitations which delays the
    running of the statute until the plaintiff knew, or through the
    exercise of reasonable diligence should have known, of the
    injury and its cause.” (internal quotation marks omitted)).
    Thus, the limitations period of § 1415(f)(3)(C) “begins to run
    once the plaintiff did discover or a reasonably diligent
    plaintiff would have discovered the facts constituting the
    violation—whichever comes first.” Merck & 
    Co., 559 U.S. at 653
    (internal quotation marks and alteration omitted).12
    12
    The discovery rule, of course, has a practical and
    “fundamental difference” with general equitable tolling
    doctrines, 
    Oshiver, 38 F.3d at 1390
    , the concept we
    considered with regards to the IDEA in 
    D.K., 696 F.3d at 245-47
    . Specifically, “[t]he purpose of the discovery rule is
    to determine . . . when the statute of limitations [effectively]
    begins to run.” 
    Oshiver, 38 F.3d at 1390
    . Our general
    equitable tolling doctrine, on the other hand, “steps in to toll,
    or stop, the running of the statute of limitations in light of
    26
    Accordingly, § 1415(b)(6)(B), which runs backward from the
    reasonable discovery date (not the filing date), appears on its
    face to mean something different and, whatever that is, it is
    not, as the District would have it, that claims not known or
    reasonably known expire of their own accord if the injury
    occurred more than two years before the filing date.
    ii. G.L.’s 2+2 and Pleading
    Requirement Theories
    In a diametrically different but no less problematic
    reading, G.L. argues that the text of § 1415(b)(6)(B) supports
    two interpretations, each of which entitles him to relief. First,
    he argues that the District Court’s 2+2 approach was
    correct—that § 1415(b)(6)(B) provides a two-year window
    before the reasonable discovery date within which he may
    claim IDEA violations occurred, thus effectively serving as a
    four-year remedy cap. Second, he argues, along with Amici
    Appellees,13 that this subsection is merely the description of a
    established equitable considerations,” despite a plaintiff’s
    discovery of his or her injury. 
    Id. 13 G.L.
    focused his argument almost exclusively on the
    2+2 rule, candidly explaining at oral argument that, because
    he only alleged two years of violations, the Court’s adoption
    of that rule would give him complete relief. He did, however,
    also support the broader position urged by Amici Appellees,
    i.e., that properly construed, neither § 1415(f)(3)(C) nor
    § 1415(b)(6)(B) imposed a cap on remedies. Even if G.L.
    had not espoused this interpretation of the statute, we are
    bound, “on the basis of our independent judgment, [to]
    exercis[e] a plenary review of the purely legal question[]
    presented” to us by the parties, pursuant to “our duty to
    27
    prima facie cause of action, with no limit on remedy at all.
    That is, § 1415(b)(6)(B) requires that a due process complaint
    allege an injury under the IDEA that occurred within two
    years of a parent’s reasonable discovery, but imposes no
    limitation on the remedy if these elements are pleaded and the
    complaint is timely filed.
    Both of these interpretations, however, would render
    the text illogical. For like § 1415(f)(3)(C), § 1415(b)(6)(B)
    provides in the very same sentence that if a “State has an
    explicit time limitation for presenting such a complaint,” the
    complaint shall instead be filed “in such time as the State law
    allows,” rather than the time described in § 1415(b)(6)(B),
    and further provides that if the state does enact its own statute
    of limitations, the federal exceptions still apply to the state’s
    statute of limitations. 20 U.S.C. § 1415(b)(6)(B). Yet, it
    would be nonsensical for Congress to specify that a federal
    statute’s remedy cap or the elements of a prima facie case be
    replaced by a state’s statute of limitations, and it would be
    equally illogical to have two bases for equitable tolling—a
    doctrine used to determine whether a statute of limitations has
    expired—apply to a provision that is not a statute of
    limitations in the first place. We decline to interpret the
    interpret statutory provisions” and accord them the meaning
    that Congress intended. Vornado, Inc. v. Trs. of the Retail
    Store Emps.’ Union Local 1262, 
    829 F.2d 416
    , 421 (3d Cir.
    1987); see also Loretangeli v. Critelli, 
    853 F.2d 186
    , 189 n.5
    (3d Cir. 1988) (“This court may consider a pure question of
    law even if not raised below . . . where the issue’s resolution
    is of public importance.”).
    28
    statute in this bizarre fashion. See, e.g., Dep’t of Revenue of
    Or. v. ACF Indus., Inc., 
    510 U.S. 332
    , 343 (1994) (rejecting
    statutory interpretation that would render a statute “illogical”
    and contrary to congressional intent).
    In sum, the supposedly straightforward textual
    arguments of the parties more resemble the twists and bends
    of a contortion artist, presenting us with the option, on the one
    hand, of ignoring swaths of the statutory text or, on the other,
    accepting a reading that is absurd on its face. The parties’
    positions are illustrative, however, of the difficulty of
    applying a plain language reading to this text. We conclude,
    as we observed in addressing the pre-2004 version of the
    IDEA, “the language of section 1415(b)(6) is at best
    ambiguous.” Lawrence Twp. Bd. of Educ. v. New Jersey, 
    417 F.3d 368
    , 371 (3d Cir. 2005).14 We therefore must resort to
    other tools of statutory construction.
    B. Statutory       Interpretation           of
    § 1415(b)(6)(B)
    The Supreme Court has instructed that “[t]he
    meaning—or ambiguity—of certain words or phrases may
    only become evident when placed in context.” F.D.A. v.
    14
    In Lawrence, we addressed whether a school district
    had standing to bring a private right of action under §
    1415(b)(6) and concluded the provision was intended to
    provide a private right of action only to disabled children and
    their 
    parents. 417 F.3d at 371-72
    . While the question was
    wholly unrelated and we were addressing a pre-amendment
    version of the IDEA, our observation about the opacity of §
    1415(b)(6) pertains even more so to the amended version.
    29
    Brown & Williamson Tobacco Corp., 
    529 U.S. 120
    , 132
    (2000). That is, “[a] provision that may seem ambiguous in
    isolation is often clarified by the remainder of the statutory
    scheme . . . because only one of the permissible meanings
    produces a substantive effect that is compatible with the rest
    of the law.” United Sav. Ass’n of Texas v. Timbers of Inwood
    Forest Assocs., Ltd., 
    484 U.S. 365
    , 371 (1988); accord
    Gwaltney of Smithfield, Ltd. v. Chesapeake Bay Found., Inc.,
    
    484 U.S. 49
    , 59-60 (1987) (analyzing statutory language in a
    way that is in accord with the “language and structure” of the
    section of law at issue). Such is the case here, where
    examining § 1415(b)(6)(B) in the context of § 1415 and the
    IDEA as a whole points unequivocally in one direction: that
    § 1415(b)(6)(B) indeed restates § 1415(f)(3)(C)’s two-year
    statute of limitations and that this limitations period functions
    in a traditional way, that is, as a filing deadline that runs from
    the date of reasonable discovery and not as a cap on a child’s
    remedy for timely-filed claims that happen to date back more
    than two years before the complaint is filed.
    i. The Structure, Language, and
    Context of the Act
    We begin with the overarching structure of § 1415.
    See 
    Gwaltney, 484 U.S. at 59-60
    ; Evankavitch v. Green Tree
    Servicing, LLC, 
    793 F.3d 355
    , 363 (3d Cir. 2015) (examining
    the “structure and . . . parallels” of a statute to determine the
    meaning of its terms). As previously noted, after opening
    with a preamble that reiterates that a state must “establish and
    maintain procedures . . . to ensure that children with
    disabilities and their parents are guaranteed procedural
    safeguards,” 20 U.S.C. § 1415(a), the section next proceeds to
    list and briefly describe the “[t]ypes of procedures” mandated
    by the IDEA, 
    id. § 1415(b).
    That listing, in § 1415(b), serves
    30
    in effect as a table of contents for the expanded descriptions
    of these same procedures that then appear in roughly the same
    order in § 1415(c)-(f). Thus, for example, § 1415(b)(3)
    requires written prior notice of changes to a child’s
    educational program, the details of which are described in
    § 1415(c)(1); § 1415(b)(4) ensures notice is available in a
    parent’s native language, as described in § 1415(d)(2);
    § 1415(b)(5) provides “[a]n opportunity for mediation,” as
    described in § 1415(e); and, as relevant here, § 1415(b)(6)
    provides an “[a]n opportunity for any party to present a
    complaint,” which is more fully described in § 1415(f). 
    Id. § 1415(b)-(f).
    This structure makes clear that § 1415(b) was
    intended to preview and convey the same essential meaning
    as § 1415(f).
    Given that § 1415(b), in context, appears to be nothing
    more than a summary listing of the procedural safeguards
    more fully described in later subsections, we cannot conceive
    that Congress intended to bury within § 1415(b)(6) a sea
    change in the IDEA. That, however, would be the effect of
    cutting off at twenty four months in virtually all cases the
    courts’ power to award compensatory education, and
    “le[aving] parents without an adequate remedy when a school
    district unreasonably fail[s] to identify a child with
    disabilities.” Forest Grove Sch. Dist. v. T.A., 
    557 U.S. 230
    ,
    245 (2009) (noting “Congress’ acknowledgment of the
    paramount importance of properly identifying each child
    eligible for services”). This proposition appears particularly
    fanciful considering that Congress failed to even hint at such
    an intention either in § 1415(f), the full version of the due
    process hearing procedure of which § 1415(b)(6) is merely a
    précis, or in § 1415(i), which was reenacted in 2004 without
    any alteration to the “broad discretion” it grants federal courts
    31
    to remedy violations of the IDEA, Forest 
    Grove, 557 U.S. at 238
    . As the Supreme Court “ha[s] repeatedly said[,] . . .
    Congress ‘does not alter the fundamental details of a
    regulatory scheme in vague terms or ancillary provisions—it
    does not, one might say, hide elephants in mouseholes.’”
    E.P.A. v. EME Homer City Generation, L.P., 
    134 S. Ct. 1584
    ,
    1612 (2014) (Scalia, J., dissenting) (quoting Whitman v. Am.
    Trucking Ass’ns, 
    531 U.S. 457
    , 468 (2001)).
    Moreover, it is “[a] standard principle of statutory
    construction . . . that identical words and phrases within the
    same statute should normally be given the same meaning.”
    Powerex Corp. v. Reliant Energy Servs., Inc., 
    551 U.S. 224
    ,
    232 (2007). Here, the words and phrases describing the
    IDEA’s statute of limitations and its exceptions indicate that
    § 1415(b) was intended to have the same meaning as the other
    references to a limitations period in § 1415, and, like them, to
    function as a filing deadline and not a remedy cap.
    Specifically, in three separate subsections of § 1415, the
    statute provides a federal time limit, but—using identical
    language—provides as an alternative: “or, if the State has an
    explicit time limitation . . . , in such time as the State law
    allows.” 20 U.S.C. §§ 1415(b)(6), (f)(3)(C), (i)(2)(B). Given
    that state limitations periods generally function as filing
    deadlines on claims that are known or should have been
    known, not remedy caps on claims not yet reasonably
    knowable, the only way those words can be read sensibly is if
    they provide an alternative to a federal filing deadline, i.e., a
    traditional statute of limitations.
    “Textual cross-reference confirms this conclusion,”
    Brown v. Gardner, 
    513 U.S. 115
    , 118 (1994), for
    § 1415(b)(6)(B) not only mirrors § 1415(f)(3)(C)’s state
    statute of limitations provision but also its two equitable
    32
    tolling exceptions, and does so simply by cross-referencing
    the “the exceptions to the timeline described in
    [§ 1415(f)(3)(D)],” 20 U.S.C. § 1415(b)(6), (f)(3)(C). This
    shorthand reference to these important tolling provisions,
    which are then set forth in full in § 1415(f), fortifies our
    conclusion that § 1415(b)(6) was merely intended as an
    abstract of § 1415(f), that it reflects the same limitations
    period as § 1415(f)(3)(C), and that this limitations period,
    pursuant to the “cooperative federalism” inherent in the
    IDEA, Schaffer ex rel. Schaffer v. Weast, 
    546 U.S. 49
    , 52
    (2005) (quoting Little Rock Sch. Dist. v. Mauney, 
    183 F.3d 816
    , 830 (8th Cir. 1999)), defers to state limitations periods
    when appropriate and otherwise functions as a traditional
    statute of limitations—not a remedy cap.
    Indeed, while it would make no sense for a state filing
    deadline to displace a federal remedy cap or elements of a
    prima facie case, it makes perfect sense that Congress,
    according due weight to principles of federalism, would allow
    a state filing deadline to displace a federal one. Likewise, it
    would be odd indeed for § 1415(b)(6)(B), if it actually
    described a remedy cap or a prima facie case, to apply
    equitable tolling provisions from § 1415(f)(3)(D), but quite
    logical if § 1415(b)(6)(B) merely restates the statute of
    limitations to which those equitable exceptions apply. That
    is, when we “look to the [section’s] surrounding words and
    provisions and their context,” Tavarez v. Klingensmith, 
    372 F.3d 188
    , 190 (3d Cir. 2004), and apply “the cardinal rule that
    a statute is to be read as a whole,” King v. St. Vincent’s Hosp.,
    
    502 U.S. 215
    , 221 (1991), it is clear that § 1415(b)(6)(B),
    33
    though poorly penned, was intended merely as a synopsis of
    § 1415(f)(3)(D)’s statute of limitations.15
    ii. Forest Grove and the Canon
    against Sub Silentio Repeal
    Even if the structure, language, and context of the
    IDEA left room for doubt, we would be loath to interpret
    § 1415(b)(6)(B) as constricting the remedies available under
    the IDEA in view of the statute’s broad remedial purpose, see
    
    A.W., 486 F.3d at 803
    , codified, among other places, in
    § 1415(i)(2)(C)(iii). That subsection provides that a court
    “shall grant such relief as the court determines is
    appropriate,” 20 U.S.C. § 1415(i)(2)(C)(iii), and, in a long
    line of cases, the Supreme Court and this Circuit have held
    that it should be interpreted expansively to provide a
    comprehensive remedy for children deprived of a FAPE. See,
    e.g., Forest 
    Grove, 557 U.S. at 237-38
    (“In determining the
    15
    Given the structure of this statute, which includes at
    the outset a digest of the multiple procedural safeguards that
    are each expounded upon in later subsections, we also discern
    no tension between our interpretation of § 1415(b)(6)(B) and
    the canon against superfluity. Moreover, that canon “assists
    only where a competing interpretation gives effect ‘to every
    clause and word of a statute.’” Microsoft Corp. v. i4i Ltd.
    P’ship, 
    131 S. Ct. 2238
    , 2248 (2011) (quoting Duncan v.
    Walker, 
    533 U.S. 167
    , 174 (2001)). We can identify no
    competing interpretation that could give logical meaning to
    all the words of § 1415(b)(6)(B), and thus conclude this is a
    quintessential case where “rigorous application of the canon
    does not seem a particularly useful guide to a fair
    construction of the statute.” 
    King, 135 S. Ct. at 2492
    .
    34
    scope of the relief authorized, . . . the ordinary meaning of
    these words confers broad discretion on the court and . . .
    absent any indication to the contrary, what relief is
    appropriate must be determined in light of the Act’s broad
    purpose of providing children with disabilities a FAPE . . . .”
    (internal quotation marks omitted)); Bucks Cnty. Dep’t of
    Mental 
    Health, 379 F.3d at 67
    (“We . . . have broadly
    interpreted the term ‘appropriate’” and “discerned nothing in
    the text or history suggesting that relief under IDEA is limited
    in any way. . . .” (emphasis added) (internal quotation marks
    and alterations omitted)); see also 
    D.E., 765 F.3d at 273
    (examining the IDEA’s purpose and rejecting a statutory
    interpretation which “would ‘create an enormous loophole’ in
    a school district’s obligations under the IDEA, while
    ‘substantially weaken[ing] the IDEA’s protections’ for
    students” (alteration in original) (quoting 
    D.F., 694 F.3d at 497
    )).
    Given the broad remedial scheme of the IDEA, neither
    in the period before the 2004 amendments—when we
    borrowed a state’s most analogous statutory cause of action to
    determine how long after an adverse decision by a hearing
    officer a parent could wait before filing an IDEA complaint in
    state or federal court16—nor in the period since, have we
    imposed a cap on the remedy a child could seek for timely-
    filed claims. Instead, we have consistently repeated that a
    16
    See Ridgewood Bd. of Educ. v. N.E. ex rel. M.E., 
    172 F.3d 238
    , 250-51 (3d Cir. 1999); see also Blunt v. Lower
    Merion Sch. Dist., 
    767 F.3d 247
    , 270 (3d Cir. 2014)
    (observing that “[p]rior to the [2004] amendment of the IDEA
    . . . , the time for bringing suit . . . after receiving an adverse
    administrative determination had been two years”).
    35
    child’s right to compensatory education “accrue[s] from the
    point that the school district knows or should know” of the
    injury to the child, and the child “is entitled to compensatory
    education for a period equal to the period of deprivation, but
    excluding the time reasonably required for the school district
    to rectify the problem.” M.C. ex rel. J.C. v. Cent. Reg’l Sch.
    Dist., 
    81 F.3d 389
    , 396-97 (3d Cir. 1996); see also 
    D.F., 694 F.3d at 499
    (repeating standard); Mary T. v. Sch. Dist. of
    Phila., 
    575 F.3d 235
    , 249 (3d Cir. 2009) (same); Lauren W.
    ex rel. Jean W. v. DeFlaminis, 
    480 F.3d 259
    , 272 (3d Cir.
    2007) (same).         That standard is grounded in our
    understanding, then and now, that “a child’s entitlement to
    special education should not depend upon the vigilance of the
    parents (who may not be sufficiently sophisticated to
    comprehend the problem) nor be abridged because the
    district’s behavior did not rise to the level of slothfulness or
    bad faith.” 
    M.C., 81 F.3d at 397
    .
    Against the backdrop of these cases and the broad
    interpretation the Supreme Court has given to a court’s
    remedial power under § 1415(i)(2)(C)(iii), it bears particular
    significance that Congress reenacted that subsection without
    change as part of the 2004 reenactment. Thus, interpreting
    the IDEA’s statute of limitations as a remedy cap would also
    disregard the well-settled canon of statutory interpretation
    that “Congress is presumed to be aware of an administrative
    or judicial interpretation of a statute and to adopt that
    interpretation when it re-enacts a statute without change.”
    Lorillard v. Pons, 
    434 U.S. 575
    , 580 (1978); see also Tex.
    Dep’t of Hous. & Cmty. Affairs v. Inclusive Communities
    Project, Inc., 
    135 S. Ct. 2507
    , 2520 (2015).
    On this point, we find clear guidance in the Supreme
    Court’s decision in Forest Grove, which examined the 1997
    36
    amendments to the IDEA. Those amendments added, among
    other things, § 1412(a)(10)(C), which provided that if the
    parents of a special-needs child “who previously received
    special education and related services under the authority of a
    public agency” enrolled their child in private school without
    the consent or referral of that public agency, a school district
    could still be ordered to provide tuition reimbursement if a
    fact-finder determined that the school district failed to
    provide a student with a FAPE in the first instance. 20 U.S.C.
    § 1412(a)(10)(C)(ii). In an attempt to limit liability, a school
    district argued that because the IDEA “only discusses
    reimbursement for children who have previously received
    special-education services through the public school, [the]
    IDEA only authorizes reimbursement in that 
    circumstance.” 557 U.S. at 241
    .
    The Supreme Court disagreed. It observed that the
    1997 amendments preserved the IDEA’s comprehensive
    remedial goal of providing every child with a FAPE and did
    not alter 20 U.S.C. § 1415(i)(2)(C)(iii). See 
    id. at 243
    n.10
    (stating that the holdings in School Committee of Burlington
    v. Department of Education of Massachusetts, 
    471 U.S. 359
    (1985), and Florence County School District Four v. Carter,
    
    510 U.S. 7
    (1993), “rested . . . on the breadth of the authority
    conferred by § 1415(i)(2)(C)(iii), the interest in providing
    relief consistent with the Act’s purpose, and the injustice that
    a contrary reading would produce—considerations that were
    not altered by the 1997 Amendments” (internal citations
    omitted)). The Court thus rejected the notion that Congress
    repealed sub silentio those previous Supreme Court holdings
    describing      the   “broad      discretion”   afforded     by
    § 1415(i)(2)(C)(iii). 
    Id. at 243.
    Any other reading, the Court
    reasoned, would be contrary to the IDEA’s broad remedial
    37
    purpose and a “child’s right to a free appropriate education . .
    . would be less than complete.” 
    Id. at 244-45
    (alteration in
    original) (quoting 
    Burlington, 471 U.S. at 370
    ).
    So too here, for the 2004 reauthorization reaffirmed
    the IDEA’s first purpose as “ensur[ing] that all children with
    disabilities have available to them a free appropriate public
    education . . . designed to meet their unique needs,” 20 U.S.C.
    § 1400(d)(1)(A), and once more left unchanged
    § 1415(i)(2)(C)(iii), which grants courts the broad discretion
    to fashion remedies that accomplish that objective.
    Congress’s purpose in that mandate is clear: In order to
    effectuate the law’s broad remedial goals, a court finding a
    deprivation of a free appropriate public education should
    return a child to the educational path he or she would have
    traveled had the educational agency provided that child with
    an appropriate education in the first place. See 
    D.F., 694 F.3d at 498-99
    ; 
    Reid, 401 F.3d at 518
    ; see also 
    Ridgewood, 172 F.3d at 251
    (remanding to district court to consider eight
    years of claims for compensatory education); Lester H. by
    Octavia P. v. Gilhool, 
    916 F.2d 865
    , 873-74 (3d Cir. 1990)
    (affirming grant of thirty months of compensatory education).
    Consistent with that purpose and the traditional way in
    which a discovery-based statute of limitations functions,
    courts since the passage of the 2004 reenactment have
    routinely affirmed awards of compensatory education that
    remedy deprivations of greater than two years, or at
    minimum, remanded for an administrative agency to consider
    those claims. See Ferren C. v. Sch. Dist. of Phila., 
    612 F.3d 712
    , 715 (3d Cir. 2010) (affirming award of three years of
    compensatory education); M.S. ex rel. Simchick v. Fairfax
    Cnty. Sch. Bd., 
    553 F.3d 315
    , 324 (4th Cir. 2009) (holding
    that the broad discretion afforded under the IDEA allowed a
    38
    district court to consider reimbursement for three years of a
    child’s allegedly inappropriate placement); Draper v. Atl.
    Indep. Sch. Sys., 
    518 F.3d 1275
    , 1286-90 (11th Cir. 2008)
    (rejecting a school district’s argument that a child’s long-
    undiscovered injury was time barred and upholding an award
    of approximately five years of compensatory education);
    
    Reid, 401 F.3d at 526
    (remanding to consider claims over a
    four and half year period of time); K.H. v N.Y.C. Dep’t of
    Educ., No. 12-1680, 
    2014 WL 3866430
    , at *20 (E.D.N.Y.
    Aug. 6, 2014) (finding that “the IDEA’s clear statutory
    language mandates” that a remedy is not limited by the statute
    of limitations when a claim is timely filed); Jefferson Cnty.
    Bd. of Educ. v. Lolita S., 
    977 F. Supp. 2d 1091
    , 1123 (N.D.
    Ala. 2013) (holding that a right to redress for a complaint
    filed in October 2011 would be limited to the most recent two
    years “unless . . . the statute did not begin to run on the claim
    because the parent did not know/should not have known
    about that action until a time within two years of the due
    process request”). But see Indep. Sch. Dist. No. 413,
    Marshall v. H.M.J., No. 14-2114, 
    2015 WL 4744505
    , at *11
    (D. Minn. Aug. 11, 2015) (“No party may recover for a
    violation occurring outside the two-year statute of
    limitations.”).
    Of course, the IDEA’s statute of limitations does still
    practically curtail remedy, for it “specif[ies] when a
    [complaint] is timely filed” and thus “has the consequence of
    limiting liability because filing a timely [complaint] is a
    prerequisite to having an actionable claim.” Nat’l R.R.
    Passenger Corp. v. Morgan, 
    536 U.S. 101
    , 120 (2002). In
    context, however, that means simply that once a violation is
    reasonably discovered by the parent, any claim for that
    violation, however far back it dates, must be filed within two
    39
    years of the “knew or should have known” date. If it is not,
    all but the most recent two years before the filing of the
    complaint will be time-barred; but if it is timely filed, then,
    upon a finding of liability, the entire period of the violation
    should be remedied. In other words, § 1415(f)(3)(C), like its
    synopsis in § 1415(b)(6)(B), reflects a traditional statute of
    limitations.
    iii. The Department of Education’s
    Regulation and Interpretation
    The DOE, the federal agency charged with
    promulgating regulations for the IDEA, see 20 U.S.C. § 1406,
    agrees that § 1415(b)(6)(B) and § 1415(f)(3)(C) state the
    same limitations period.
    In its regulations following the 2004 reenactment, the
    DOE simply reproduced both subsections verbatim.
    Compare 20 U.S.C. § 1415(b)(6)(B), and 1415(f)(3)(C), with
    34 C.F.R. §§ 300.507(a)(2), and 300.511(e). In its Analysis
    of Comments and Changes to those regulations, however, the
    DOE reported that commenters were confused and sought
    guidance, “because the statute of limitations is mentioned
    twice and implies that the timeline for filing a complaint and
    filing a request for a due process hearing are different.”
    Assistance to States for the Education of Children with
    Disabilities & Preschool Grants for Children with
    Disabilities, 71 Fed. Reg. 46,540, 46,706 (Aug. 14, 2006). It
    responded that “[t]he statute of limitations in section
    [1415(b)(6)(B)] of the Act is the same as the statute of
    limitations in section [1415(f)(3)(C)] of the Act.” 
    Id. In this
    appeal, at our request, the DOE also submitted
    an amicus letter brief in which it reiterated its position that the
    40
    subsections are, in fact, referencing a single statute of
    limitations.17
    We afford the DOE’s interpretation of its regulation
    and its position before us here “‘respect’ . . . to the extent it
    has the ‘power to persuade,’” Gonzales v. Oregon, 
    546 U.S. 243
    , 256 (2006) (quoting Skidmore v. Swift & Co., 
    323 U.S. 134
    , 140 (1944)); see 
    id. at 256-57
    (holding that an agency’s
    interpretation of regulations that merely parrot the statute are
    accorded Skidmore deference, rather than the higher
    deference generally accorded to interpretive guidance under
    Auer v. Robbins, 
    519 U.S. 452
    (1997)). Here, we find the
    DOE’s position persuasive because it accords with the
    language, structure and purpose of the statute, and it is yet
    one more voice in a harmonious chorus that § 1415(b)(6)(B)
    was intended to reiterate § 1415(f)(3)(C)’s two-year statute of
    limitations.
    17
    The IDEA also tasks the DOE with promulgating a
    model notice of procedural safeguards. 20 U.S.C. § 1417(e).
    In that model notice, it again repeated the language of
    § 1415(b)(6), but cautioned states that if they “established a
    specific timeframe for requesting a hearing under the IDEA
    that is different than two years (either shorter or longer),
    revise the above statement to reflect that timeframe.” United
    States Department of Education, Part B Procedural
    Safeguards              Notice,           17           (2009),
    http://www2.ed.gov/policy/speced/guid/idea/modelform-
    safeguards.doc.       Again, such a caution to revise the
    limitations notice shorter or longer based on a state’s statute
    of limitations only makes sense if § 1415(b)(6)(B) is, in fact,
    a statute of limitations.
    41
    To the extent there remains any doubt about this
    conclusion, it is put to rest by the legislative history, to which
    we next turn.
    iv. The Legislative History of the
    2004 IDEA Amendments
    “Supreme Court cases declaring that clear language
    cannot be overcome by contrary legislative history are
    legion.” First Merchs. Acceptance Corp. v. J.C. Bradford &
    Co., 
    198 F.3d 394
    , 402 (3d Cir. 1999) (collecting cases).
    That said, legislative history can play a confirmatory role in
    resolving ambiguity when statutory language and structure
    support a given interpretation. See, e.g., Gen. Dynamics Land
    Sys. v. Cline, 
    540 U.S. 581
    , 586-91 (2004); Catwell v. Att’y
    Gen., 
    623 F.3d 199
    , 208 (3d Cir. 2010). This is such a case.
    A legislature designing a statute of limitations
    confronts certain choices. As we have discussed, it can set
    the date from which the limitations period begins to run by
    using the occurrence rule or the discovery rule. See supra at
    23-26. It also can set the expiration date either by counting
    forward from that occurrence or discovery date to the filing of
    a complaint or by counting backward from the date a
    complaint is filed to the occurrence or discovery date.
    When the House of Representatives proposed the
    amendment that was eventually incorporated into
    § 1415(b)(6), it chose to use the occurrence rule and to count
    backward, providing that parents would have:
    (6) an opportunity to present complaints–
    42
    (A) with respect to any matter relating to the
    identification, evaluation, or educational
    placement of the child, or the provision of a free
    appropriate public education to such child; and
    (B) which set forth a violation that occurred not
    more than one year before the complaint is
    filed;
    H.R. Rep. 108-77, at 254 (2003). The House committee’s
    report unambiguously described this language as a one-year
    statute of limitations. 
    Id. at 115-16
    (“Statute of limitations[:]
    The Act currently has no statute of limitations and leaves
    local educational agencies open to litigation for the entire
    length of time a child is in school, whether or not the child
    has been identified as a child with a disability. . . . The bill
    includes a statute of limitations of one year from the date of
    the violation . . . .). And as written, it would have
    unambiguously functioned like one, barring claims based on
    injuries that occurred more than twelve months before the
    complaint was filed.
    The Senate, meanwhile, chose to use the discovery
    rule and to count forward, providing in what became
    § 1415(f)(3)(C):
    Timeline for requesting hearing.–A parent or
    public agency shall request an impartial due
    process hearing within 2 years of the date the
    parent or public agency knew or should have
    known about the alleged action that forms the
    basis of the complaint, or, if the State has an
    explicit time limitation for requesting such a
    43
    hearing under this part, in such time as the State
    law allows.
    S. Rep. 108-185, at 222 (2003). Unlike the House’s proposal,
    the Senate’s also added the provision giving primacy to a
    state’s limitations period, along with the two statutory tolling
    exceptions.
    Those two bills—both statutes of limitations but
    pointing in different directions and using different starting
    dates for the limitations period—then went to conference
    where the conference committee sought to reconcile them.
    That committee reaffirmed that each body’s amendment
    functioned as a traditional statute of limitations on the filing
    of a complaint:
    The House bill and Senate amendment have
    similar language regarding the opportunity to
    present complaints, but the House bill, not the
    Senate     amendment,       includes     language
    establishing a 1 year statute of limitations on
    the right to present complaints. Senate has a 2
    year timeline for filing complaints at note 221.
    H.R. Rep. 108-779, at 213 n.193 (2004) (Conf. Rep.),
    reprinted in 2004 U.S.C.C.A.N. 2480, 2527; see also 
    id. at 218
    n.221, 2532 (“The Senate amendment establishes a 2-
    year statute of limitations unless State law already has a
    statute of limitations. The House bill includes a 1-year statute
    of limitations (see note 193).”).
    Apparently concluding that the addition of a statute of
    limitations should involve both a new provision within
    § 1415(f)(3)(C) and an amendment to its prefatory subsection
    44
    at § 1415(b)(6), the conference committee opted not to
    choose one body’s addition over the other but to retain both.
    It did so by conforming each and every of the material terms
    of the House’s version to the Senate’s, i.e., by changing the
    House’s limitations period from one year to two, changing the
    occurrence rule to the discovery rule, adding that a state’s
    statute of limitations could override the IDEA’s, and adding
    the two equitable tolling provisions specified by the Senate.
    The conference committee then incorporated the Senate’s
    version at § 1415(f) and the House’s version in the summary
    listing at § 1415(b). When it did so, however, it omitted to
    change the backward-looking framework of the House’s
    version to the forward-looking framework of the Senate’s.
    Thus was created the problem we grapple with today.
    Section 1415(b)(6), in other words, started in the
    House as a functioning, one-year statute of limitations for the
    filing of complaints:
    (A) with respect to any matter relating to the
    identification, evaluation, or educational
    placement of the child, or the provision of a free
    appropriate public education to such child; and
    (B) which set forth a violation that occurred
    not more than one year before the complaint
    is filed[.]
    H.R. Rep. 108-77, at 254 (emphasis added).
    It ended, however, as something different altogether:
    (A) with respect to any matter relating to the
    identification, evaluation, or educational
    45
    placement of the child, or the provision of a free
    appropriate public education to such child; and
    (B) which set forth an alleged violation that
    occurred not more than two years before the
    date the parent or public agency knew or
    should have known about the alleged action
    that forms the basis of the complaint, or, if the
    State has an explicit time limitation for
    presenting such a complaint under this
    subchapter, in such time as the State law allows,
    except that the exceptions to the timeline
    described in subsection (f)(3)(D) shall apply to
    the timeline described in this subparagraph.
    20 U.S.C. § 1415(b)(6) (emphasis added).
    The Congressional Research Service described the
    amendments this way:
    The 2004 reauthorization includes statutes of
    limitations in various sections. As previously
    discussed [Section 1415(b)] provides for a
    two-year statute of limitations regarding the
    filing of a complaint. There is also a two-year
    statute of limitations regarding requests for a
    hearing. The two years is from the date the
    parent or agency knew or should have known
    about the alleged action.
    Richard N. Appling and Nancy Lee Jones, Cong. Research
    Serv., RL32716, Individuals with Disabilities Education Act
    (IDEA): Analysis of Changes Made by P.L. 108-446, CRS-27
    (2005) (emphasis added).       While this post-enactment
    46
    observation on its own carries little weight, nothing in the
    IDEA’s legislative history points to a contrary interpretation.
    In fact, quite the opposite. Far from Congress
    intending that the two limitations periods diverge or limit a
    court’s remedial power under § 1415(i), the legislative history
    reflects that the drafters intended the amendments to add a
    single statute of limitations and to leave untouched the
    IDEA’s broad remedies. For example, in its explanation of
    the addition of the statute of limitations, the Senate report
    stated:
    This new provision is not intended to alter the
    principle under IDEA that children may receive
    compensatory education services, as affirmed in
    School Comm. of Burlington v. Department of
    Education of Massachusetts, 
    471 U.S. 359
           (1985) and Florence County School District
    Four v. Carter, 
    510 U.S. 7
    (1993) and
    otherwise       limited       under      section
    [1412(a)(10)(C)] . . . . In essence, where the
    issue giving rise to the claim is more than two
    years old and not ongoing, the claim is barred;
    where the conduct or services at issue are
    ongoing to the previous two years, the claim
    for compensatory education services may be
    made on the basis of the most recent conduct
    or services and the conduct or services that
    were more than two years old at the time of
    due process or the private placement . . . .
    S. Rep. 108-185, 40 (emphasis added).
    47
    After conference, but before final passage, Senator
    Harkin, a co-sponsor of the amendments, addressed the
    addition of a statute of limitations this way:
    In this reauthorization, we also include a 2-year
    statute of limitations on claims. However, it
    should be noted that this limitation is not
    designed to have any impact on the ability of a
    child to receive compensatory damages for the
    entire period in which he or she has been
    deprived of services. The statute of limitations
    goes only to the filing of the complaint, not
    the crafting of remedy. This is important
    because it is only fair that if a school district
    repeatedly failed to provide services to a child,
    they should be required to provide
    compensatory services to rectify this problem
    and help the child achieve despite the school’s
    failings.
    Therefore, compensatory education must
    cover the entire period and must belatedly
    provide all education and related services
    previously denied and needed to make the
    child whole.
    150 Cong. Rec. S11851 (daily ed. Nov. 24, 2004) (statement
    of Sen. Tom Harkin) (emphasis added); see also Robert R. v.
    Marple Newtown Sch. Dist., No. 05-1282, 
    2005 WL 3003033
    ,
    at *4 (E.D. Pa. Nov. 8, 2005) (examining the IDEA’s
    legislative history and concluding that “the limitations period
    placed on claims for compensatory education by the [2004]
    amendment to the IDEA was not meant to limit the period
    which the hearing officer could consider when a due process
    48
    hearing was timely brought”); Jennifer Rosen Valverde, A
    Poor IDEA: Statute of Limitations Decisions Cement Second-
    Class Remedial Scheme for Low-Income Children with
    Disabilities in the Third Circuit, 41 Fordham Urb. L.J. 599,
    643-646 (2013). The legislative history is thus crystal clear
    that Congress intended to impose a single statute of
    limitations, but otherwise not to limit a court’s power to
    remedy the deprivation of a free appropriate education.
    V.    Conclusion
    As a general rule, “[t]he plain meaning of legislation
    should be conclusive.” United States v. Ron Pair Enters.,
    Inc., 
    489 U.S. 235
    , 242 (1989). However, in the “rare cases
    [in which] the literal application of a statute will produce a
    result demonstrably at odds with the intentions of its
    drafters,” the plain meaning need not control. 
    Id. (alteration in
    original) (quoting Griffin v. Oceanic Contractors, Inc., 
    458 U.S. 564
    , 571 (1982)). In those exceptional instances where
    “it is uncontested that legislative intent is at odds with the
    literal terms of the statute, . . . [our] primary role is to
    effectuate the intent of Congress even if a word in the statute
    instructs otherwise.” Morgan v. Gay, 
    466 F.3d 276
    , 278 (3d
    Cir. 2006); accord Thorpe v. Borough of Thorpe, 
    770 F.3d 255
    , 263 (3d Cir. 2014).
    Here, the language, context, and structure of § 1415
    lead inexorably to one conclusion: § 1415(b)(6)(B) was
    intended to reflect the same statute of limitations set forth in
    § 1415(f)(3)(C). To the extent that some of its language
    appears to conflict with that conclusion, the legislative history
    confirms what is apparent from our analysis of the statute
    itself. That is, the inconsistent language reflects nothing more
    than a drafting error in the reconciliation process, turning a
    49
    passage that was at each stage of the legislative process
    thought to be a statute of limitations into something that both
    contravenes congressional intent and renders the statute
    illogical. Thus, the IDEA “needs common sense revision,”
    
    Morgan, 466 F.3d at 279
    , reflecting congressional intent that
    a due process complaint must be presented “within 2 years”
    of a parent’s reasonable discovery date, not that remedies be
    limited to injuries that occurred “not more than 2 years
    before” that date.
    The upshot of all this is two-fold. On the one hand,
    although a child’s right to special education under the IDEA
    does not turn on parental vigilance, 
    M.C., 81 F.3d at 397
    ,
    parental vigilance is vital to the preservation and enforcement
    of that right. As we made clear in D.K., claims that are
    known or reasonably should be known to parents must be
    brought within two years of that “knew or should have
    known” date, and parents may not, without satisfying one of
    the two statutory exceptions, knowingly sit on their rights or
    attempt to sweep both timely and expired claims into a single
    “continuing violation” claim brought years 
    later. 696 F.3d at 248
    . Parents are often in a position to be forceful advocates
    for their children and through their vigilance and
    perseverance to help fulfill the IDEA’s promise of a free
    appropriate public education. That “cooperative process . . .
    between parents and schools” that results from a parent’s
    action, after all, is at the very “core of the statute” itself.
    
    Schaffer, 546 U.S. at 53
    . Thus the sooner parents start that
    process and secure appropriate intervention and remedial
    supports after they discover or reasonably should have
    discovered the need for it, the better for the well-being of the
    child, the goals of the school district, and the relationship
    between the family and school administrators.
    50
    On the other hand, where parents neither knew nor
    reasonably should have known of the special needs of their
    child or of the educational system’s failure to respond
    appropriately to those needs, the other partner in this
    endeavor—the school district itself—still has its independent
    duty to identify those needs within a reasonable time period
    and to work with the parents and the IEP team to
    expeditiously design and implement an appropriate program
    of remedial support. 20 U.S.C. § 1412(a)(3); see also Forest
    
    Grove, 557 U.S. at 245
    ; 
    P.P., 585 F.3d at 738
    . This is a
    profound responsibility, with the power to change the
    trajectory of a child’s life. Thus, the corollary to D.K. is that
    when a school district has failed in that responsibility and
    parents have taken appropriate and timely action under the
    IDEA, then that child is entitled to be made whole with
    nothing less than a “complete” remedy. Forest 
    Grove, 557 U.S. at 244
    . Compensatory education is crucial to achieve
    that goal, and the courts, in the exercise of their broad
    discretion, may award it to whatever extent necessary to make
    up for the child’s lost progress and to restore the child to the
    educational path he or she would have traveled but for the
    deprivation. See 
    D.F., 694 F.3d at 498-99
    . In this way, the
    courts too have an essential function in fulfilling Congress’s
    mandate in the IDEA and enabling each child with special
    needs to reach his or her full potential.
    For these reasons, we hold today that, absent one of
    the two statutory exceptions found in § 1415(f)(3)(D), parents
    have two years from the date they knew or should have
    known of the violation to request a due process hearing
    through the filing of an administrative complaint and that,
    assuming parents timely file that complaint and liability is
    proven, Congress did not abrogate our longstanding precedent
    51
    that “a disabled child is entitled to compensatory education
    for a period equal to the period of deprivation, but excluding
    the time reasonably required for the school district to rectify
    the problem.” 
    D.F., 694 F.3d at 499
    (quoting 
    M.C., 81 F.3d at 397
    ).
    ***
    G.L.’s claim was filed within two years of the date his
    parents knew or reasonably should have known of his injury,
    and thus his right to compensatory education upon proof of a
    violation was not curtailed by the IDEA’s statute of
    limitations. Accordingly, we will affirm the District Court’s
    decision that his claims for remedy prior to March 2010 were
    not time-barred and will remand to the District Court for
    proceedings consistent with this Opinion.
    52
    

Document Info

Docket Number: 14-1387

Citation Numbers: 802 F.3d 601

Filed Date: 9/22/2015

Precedential Status: Precedential

Modified Date: 1/12/2023

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