Animal Legal Defense Fund et al v. Otter et al
Filing
68
MEMORANDUM DECISION AND ORDER. IT IS ORDERED that Defendants Motion to Dismiss (Dkt. 12 ) is GRANTED to the extent that Governor Otter will be dismissed as a defendant. Additionally, all claims under section 18-7042(1)(e) will be dismissed. The Motion to Dismiss is DENIED in all other respects. Signed by Judge B. Lynn Winmill. (caused to be mailed to non Registered Participants at the addresses listed on the Notice of Electronic Filing (NEF) by (cjm)
UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF IDAHO
ANIMAL LEGAL DEFENSE FUND, et
al.,
Plaintiffs,
Case No. 1:14-cv-00104-BLW
MEMORANDUM DECISION AND
ORDER
v.
C.L. BUTCH OTTER, in his official
capacity as Governor of Idaho; and
LAWRENCE WASDEN, in his official
capacity as State of Idaho,
Defendants.
INTRODUCTION
The Animal Legal Defense Fund, as well as various other organizations and
individuals,1 (collectively, “ALDF”), challenges section 18-7042 of the Idaho Code as
1
The other plaintiffs include non-profit organizations People for the Ethical Treatment of
Animals, American Civil Liberties Union of Idaho, Center for Food Safety, Farm Sanctuary, River’s
Wish Animal Sanctuary, Western Watersheds Project, Sandpoint Vegetarians, Idaho Concerned Area
Residents for the Environment, Idaho Hispanic Caucus Institute for Research & Education, and Farm
(Continued)
ORDER - 1
unconstitutional. The State defendants, Governor Butch Otter and Attorney General
Lawrence Wasden, move to dismiss ALDF’s claims. The Court heard oral argument on
June 25, 2014, and took the motion under advisement. For the reasons set forth below,
the Court will dismiss Governor Otter from the lawsuit, as well as ALDF’s challenge to
section 18-7042(1)(e). All other claims survive.
SUMMARY
Section 18-7042 creates the new crime – “interference with agricultural
production.” I.C. § 18-7042(1)(d). It, in essence, criminalizes undercover investigations
and videography at “agricultural production facilities.”
Section 18-7042 raises First Amendment concerns because it restricts protected
speech. The State defends the provision as a restriction on conduct, designed to protect
agricultural production facilities against trespass and conversion. The Court
acknowledges that the State has a real and substantial interest in protecting private
property. But the First Amendment requires more than the invocation of a significant
government interest; it requires that the restriction's benefits be balanced against the
burden on protected speech. The State therefore must justify a need to serve its interest in
Forward; the news journal CounterPunch; author and journalist Will Potter; animal agriculture scholar
and historian James McWilliams; investigator Monte Hickman; freelance journalist Blair Koch; and
agricultural investigations expert Daniel Hauff.
ORDER - 2
protecting private property through targeting protected speech. Laws that restrict more
protected speech than necessary violate the First Amendment. Because this question of
whether section 18-7042 burdens more speech than necessary remains unanswered, the
Court will not dismiss ALDF’s First Amendment claim.
ALDF’s Equal Protection claim also survives the State’s motion to dismiss. Laws
based on bare animus violate the Equal Protection Clause. ALDF alleges, as a factual
matter, that the Idaho legislators acted with animus against animal-rights activists in
passing section 18-7042. If ALDF’s allegations of animus prove true, the Court must
skeptically scrutinize any offered justifications for section 18-7042 to determine whether
bare animus motivated the legislation or whether the law truly furthers the offered
purposes.
Finally, the Court concludes that the State’s passage of section 18-7042 presents
ALDF with the immediate dilemma of choosing between complying with section 187042 and risking prosecution under the challenged provision by engaging in
whistleblower conduct it says federal law explicitly encourages and protects. ALDF’s
preemption claims are therefore ripe for review.
For all these reasons, the Court will allow ALDF’s claims to proceed with two
exceptions: the claims against Governor Otter and ALDF’s challenge to section 187042(1)(e) will be dismissed. The ultimate question of whether section 18-7042 is
unconstitutional remains for another day.
ORDER - 3
BACKGROUND2
Section 18-7042 was enacted last year after Mercy for Animals Dairy, a Los
Angeles-based animal rights’ group, released a video of workers abusing cows at the
Bettencourt Dairies’ Dry Creek Dairy in Hansen, Idaho. Mercy for Animals secretly
captured the abuse while conducting an undercover investigation of the dairy. Naerebout
Aff. ¶ 7, Dkt. 16-2.3 The undercover investigator made the audiovisual recording without
the dairy owner’s knowledge or consent. Id. And, according to the law’s supporters, the
investigator “failed to immediately report to the dairy operator or to local or state
authorities the conduct he recorded, allowing additional animal abuse to occur and
depriving the animals of immediate care and treatment.” Id. The investigator gave his
recordings to Mercy for Animals, which provided it to the Idaho State Department of
Agriculture. Id.
Mercy for Animals regularly conducts these undercover investigations. To gain
access to animal facilities, such as the Dry Creek Dairy, Mercy for Animals Dairy
members misrepresent their true identities, so they can secretly document animal abuse.
Once they gain access to the facility, they make audio and video recordings without the
2
The background is based on the allegations in the Complaint (Dkt. 1), unless otherwise noted.
3
Bob Naerebout, the Executive Director of The Idaho Dairymen’s Association, Inc. (“IDA”),
submitted his affidavit in support of IDA’s Motion to Intervene as Party-Defendant (Dkt. 16).
ORDER - 4
facility owner’s consent. Id. Other similar undercover investigations at factory farms
have found workers kicking pigs in the head, spray painting them in the eyes, stomping
and throwing chickens and turkeys like footballs, smashing piglets’ heads against
concrete floors, and beating and sexually assaulting pigs with steel gate rods and hard
plastic herding canes. Compl. ¶ 5, Dkt. 1.
In the case of the Dry Creek Dairy, the response was swift. The dairy owners
expressed their surprise and sorrow at the abuse and quickly fired the five people shown
abusing the animals. The owners also installed surveillance cameras throughout the
facility, and promised to use the Mercy for Animals video as a training tool for their
employees.4 The workers who abused the animals were prosecuted, and the dairy
industry teamed with Idaho schools to offer training in proper care of animals.5
While the Dry Creek Dairy owners implemented these changes, the Idaho
Dairymen’s Association (“IDA”) wrote and sponsored section 18-7042, which
criminalizes the types of undercover investigations that exposed the abuse at the Dry
Creek Dairy. Naerebout Aff. ¶ 10, Dkt. 16-2. The Idaho legislature passed the bill
quickly, and it was signed by Governor Otter on February 28, 2014.
4
Stephanie Zepelin, “Diary Owner Speaks Out After Release of Shocking Undercover Video,”
http://www.ktvb.com/home/Dairy-owner-speaks-out-after-release-of-shocking-undercover-video173632071.html.4.
5
Associated Press, “After Abuse, Idaho Schools Offer Dairy Training,”
http://www.ktvb.com/news/Afterabuse-Idaho-schools-offer-dairy-training-224793632.html.
ORDER - 5
The law creates the new crime – “interference with agricultural production.” I.C.
18-7042. A person commits the crime of interference with agricultural production if the
person knowingly:
(a) Is not employed by an agricultural production facility and enters an
agricultural production facility by force, threat, misrepresentation or
trespass;
(b) Obtains records of an agricultural production facility by force, threat,
misrepresentation or trespass;
(c) Obtains employment with an agricultural production facility by force,
threat, or misrepresentation with the intent to cause economic or other
injury to the facility's operations…
(d) Enters an agricultural production facility that is not open to the public
and, without the facility owner's express consent or pursuant to judicial
process or statutory authorization, makes audio or video recordings of the
conduct of an agricultural production facility's operations; or
(e) Intentionally causes physical damage or injury to the agricultural
production facility's operations, livestock, crops, personnel, equipment,
buildings or premises.
I.C. § 18-7042(1) (a)-(e). The statute defines agricultural production facility as “any
structure or land, whether privately or publicly owned, leased or operated, that is being
used for agricultural production.” I.C. § 18-7042(2) (b).
The law’s supporters argue that the law is necessary to protect dairy farmers, as
well as other agricultural operations in Idaho, from media persecution and potential
financial ruin. Naerebout Aff. ¶¶ 7, 8. Dkt. 16-2. On the other side, the law’s detractors
argue that the law – by silencing those who wish to publicize abusive, unsafe, and
unsanitary practices at agricultural facilities – stifles public debate about modern
ORDER - 6
agricultural practices, discourages whistleblowers from coming forward out of fear of
prosecution, and values profits over the public’s health and safety. Compl. ¶¶ 1, 14, Dkt.
1.
Challenging the law as unconstitutional, ALDF filed this action, alleging
violations of the Free Speech Clause of the First Amendment and the Equal Protection
Clause of the Fourteenth Amendment. Id. ¶¶ 144-68. In addition, ALDF raises
preemption claims under the retaliation prohibition in the False Claims Act, 31 U.S.C. §
3730(h), the employee protection provision of the Food Safety Modernization Act, 21
U.S.C. § 399d, and the employee protection provision of the Clean Water Act, 33 U.S.C.
§ 1367. Id. ¶¶ 173-86.
ANALYSIS
1. Governor Otter Is Not a Proper Defendant Under Ex Parte Young.
The Eleventh Amendment generally bars federal lawsuits against a state. Los
Angeles Cty. Bar Ass’n v. Eu, 979 F.2d 697, 704 (9th Cir. 1992). Yet few rules are
without exceptions, and in Ex Parte Young, 209 U.S. 123 (1908), the Supreme Court
created an exception to this rule. This exception allows suits against state officials for the
purpose of enjoining the enforcement of an unconstitutional state statute. Eu, 979 F.2d at
704.
A plaintiff, however, is not free to randomly select a state official to sue in order to
challenge an allegedly unconstitutional statute. Instead, the individual state official sued
“must have some connection with the enforcement of the act.” Ex Parte Young, 209 U.S.
ORDER - 7
at 157. “This connection must be fairly direct; a generalized duty to enforce state law or
general supervisory power over the persons responsible for enforcing the challenged
provision will not subject an official to suit.” Eu, 979 F.2d at 704. If a challenged statute
is not of the type to give rise to enforcement proceedings, a state official nonetheless may
be named as a defendant under Ex Parte Young if he has responsibility to “give effect” to
the law. See, e.g., id. at 704.
ALDF relies on two provisions to justify applying the Ex Parte Young exception
to Governor Otter: sections 19-4522 and 67-802 of the Idaho Code. However, ALDF fails
to explain how either of these provisions provides the requisite connection between the
Governor and enforcement of section 18-7024.
Section 19-4522 is part of the Uniform Criminal Extradition Act of 1936, and it
requires the Governor to issue a warrant for the arrest in another jurisdiction of a person
charged with a crime in Idaho if he receives a rendition application meeting the
requirements specified in section 19-4523 of the Idaho Code. The Governor’s duty in this
regard is entirely ministerial – he must issue such a warrant once he receives a proper
rendition application. And the decision to prosecute and request rendition rests with the
involved county’s prosecuting attorney. Simply because the Governor discharges a
wholly separate duty under the extradition statute does not give him enforcement
authority over section 18-7042 and does not create a justiciable controversy against the
Governor.
ORDER - 8
Likewise, section 67-802 does not provide the requisite enforcement connection to
overcome Eleventh Amendment immunity. Section 67-802 gives the Governor the
discretion to “require the attorney general to aid any prosecuting attorney in the discharge
of his duties.” Such general broad powers to enforce or execute the laws of a state by a
state official, alone, are not sufficient to make the officer a proper party defendant. Long
v. Van de Kamp, 961 F.2d 151, 152 (9th Cir. 1991) (per curiam); S. Pac. Transp. Co. v.
Brown, 651 F.2d 613 (9th Cir. 1980). Accordingly, the Ex Parte Young exception does
not apply to Governor Otter, and he must be dismissed as a defendant.
2. ALDF Has Standing to Challenge Subsections 18-7042(1)(c) But Not Subsection
(e).
The State contests ALDF’s standing to challenge subsections (c) and (e) of section
18-7042. It argues that ALDF fails to allege a concrete plan to violate either of these
subsections, which is required to establish standing under Article III. Lujan v. Defenders
of Wildlife, 504 U.S. 555, 560–61 (1992).
First Amendment cases, however, “present unique standing considerations.”
Libertarian Party of Los Angeles County v. Bowen, 709 F.3d 867, 870 (9th Cir. 2013).
The Supreme Court, to avoid the chilling effect of sweeping restrictions, “has endorsed
what might be called a ‘hold your tongue and challenge now’ approach rather than
requiring litigants to speak first and take their chances with the consequences.” Ariz.
Right to Life Political Action Comm. v. Bayless, 320 F.3d 1002, 1006 (9th Cir. 2003).
Consistent with this approach, when a threatened enforcement effort implicates First
ORDER - 9
Amendment rights, “the inquiry tilts dramatically toward a finding of standing.” Id. This
means ALDF need only show they engage in a “course of conduct arguably affected with
a constitutional interest and that there is a credible threat that the provision will be
invoked against the plaintiff.” Valle del Sol Inc. v. Whiting, 732 F.3d 1006, 1015 (9th Cir.
2013).
In this case, ALDF has alleged a concrete plan to violate subsection (c) but not
subsection (e).
Subsection (c) prohibits “[o]btain[ing] employment with an agricultural
production facility by …misrepresentation with the intent to cause economic… injury to
the facility’s …business interests.” The ADLF plans to obtain employment at agricultural
facilities with the intent to expose illegal, inhumane, or unsafe behavior. Compl. ¶¶ 4, 33,
39, 41, 83, 84, 86, 90-94, 97-121. ALDF hopes that exposure of illegal or abusive
behavior will result in boycotts, “food safety recalls, citations for environmental and
labor violations, evidence of health code violations, plant closures, criminal convictions,
and civil litigation,” id. ¶ 4 – all of which could and likely would cause economic injury
to an alleged violator’s business. Because exposure of such conduct could hurt a facility’s
profits and reputation and economically injure its business, the Court believes that ALDF
has alleged intent to violate subsection (c).
The State responds that ALDF does not allege a specific intent to cause economic
injury to an agricultural production facility, and therefore it does not have standing. Such
an argument could be used to persuade a jury to acquit ALDF of charges brought under
ORDER - 10
the statute, but it would not necessarily save it from the prosecution itself. Rarely do
prosecutors have direct evidence of intent; instead, they often must ask a jury to infer
intent from a defendant’s actions. In this case, because a natural consequence of exposing
animal abuse at an agricultural production facility is economic injury, intent could be
implied by the act of exposing abuse. This could subject ALDF to prosecution under
section 18-7042. Therefore, there is a credible threat that the provision will be invoked
against ALDF. This is enough to establish standing to challenge subsection (c).
By contrast, ALDF has not alleged intent to violate subsection (e), which prohibits
“caus[ing] physical damage or injury to [an] agricultural facility’s operations.” ALDF
does not allege intent to cause “physical” damage or injury. And the Court finds
unpersuasive its argument that “physical” only modifies “damage” and not “injury,” so
that a showing of physical injury is not required by the literal language of the statute.
The “most natural grammatical reading” of the statute is that the initial adjective,
“physical,” modifies both “damage” and “injury.” See, e.g., U.S. v. X-Citement Video,
Inc., 513 U.S. 64 (1994) (holding that the “most natural grammatical reading” of a statute
is that an initial adverb modifies each verb in a list of elements of a crime). If the
legislature intended to sever “physical” from “injury,” it would have criminalized the act
of causing “injury or physical damage.” Why would the legislature use the redundant and
awkward phrasing of “physical damage or physical injury”? The Fourth Amendment, for
example, does not protect against “unreasonable searches and unreasonable seizures.”
ORDER - 11
And the drafters, by putting the modifier, “unreasonable” in front of only the initial term
“searches,” surely did not intend to prohibit all seizures, unreasonable or not.
In short, the Court cannot give credence to ALDF’s argument that “physical” only
modifies “damage.” The Court will therefore dismiss ALDF’s claim with respect to this
provision.
3. ALDF Has Stated a Claim under the First Amendment.
The State contends that section 18-7042 does not implicate the First Amendment
because it is a generally applicable law aimed solely at wrongful conduct, not speech.
Therefore, the State argues, ALDF’s First Amendment claim should be dismissed.
A. The Rule of General Applicability Does Not Exempt Section 18-7042 from
First Amendment Scrutiny.
Relying primarily on the Supreme Court’s decision in Cohen v. Cowles Media
Co., 501 U.S. 663, 665 (1991), the State argues that section 18-7042 escapes all First
Amendment scrutiny because it “applies to a broad component of Idaho commerce and
regulates conduct not just by individuals or organizations conducting ‘undercover’ or
other investigations but by all persons.” Defs’ Opening Br. at 12, Dkt. 12-1. In Cohen,
the Supreme Court held that the First Amendment did not prohibit a confidential source
from recovering damages from a newspaper publisher who made and broke a promise of
confidentiality given in exchange for information. Id. at 665. In reaching this conclusion,
the Court explained, “generally applicable laws do not offend the First Amendment
ORDER - 12
simply because their enforcement against the press has incidental effects on its ability to
gather and report the news.” Id. at 669.
In other words, Cohen teaches that the First Amendment does not grant the press
special license to break the law in gathering and reporting news. Id. The press, just like
the general public, must obey copyright laws, Zacchini v. Scripps–Howard Broadcasting
Co., 433 U.S. 562, 576–579, and labor laws, Associated Press v. NLRB, 301 U.S. 103
(1937), and antitrust laws, Associated Press v. United States, 326 U.S. 1 (1945). Id.
Similarly, the press cannot escape liability for breaking enforceable promises, Cohen, 501
U.S. at 665, or for committing state common law torts, Dietemann v. Time, Inc., 449 F.2d
245 (9th Cir. 1971).
But this rather unremarkable proposition – that the press must follow generally
applicable, content-neutral laws in gathering the news – does not mean that section 187042 automatically escapes First Amendment scrutiny because it is “generally
applicable.” To read Cohen so broadly would essentially eviscerate the First
Amendment. As ALDF points out, if this were the rule, a law prohibiting all
demonstrations, for example, would not implicate the First Amendment because it applies
to all citizens equally. This simply is not the law. Even a generally applicable law may be
subject to heightened scrutiny under the First Amendment. Turner Broad. Sys., Inc. v.
F.C.C., 512 U.S. 622 (1994). This is true even if the law does not directly regulate
speech. See, e.g., N.A.A.C.P. v. Claiborne Hardware Co., 458 U.S. 886 (1982)
(interference with business relations); Hustler Magazine, Inc. v. Falwell, 485 U.S. 46
ORDER - 13
(1988) (intentional infliction of emotional distress); Cohen v. California, 403 U.S. 15
(1971) (breach of the peace). The fact that a law applies to all persons is the starting point
for constitutionality, not the ending point.
Moreover, the Court questions whether section 18-7042 even qualifies as a
“generally applicable law.” Cohen involved a common tort claim, promissory estoppel,
which was routinely applied to all citizens in similar circumstances. The Supreme Court
found “little doubt that the Minnesota doctrine of promissory estoppel [was] a law of
general applicability,” as it did not target or single out the press but instead generally
applied “to the daily transactions of all citizens of Minnesota.” Id. at 670. The Court
therefore refused to invalidate the plaintiff’s promissory estoppel claim simply because
the defendant was the press. Id.
By contrast, “laws that single out the press, or certain elements thereof, for special
treatment pose a particular danger of abuse by the State, and so are always subject to at
least some degree of heightened First Amendment scrutiny.” Turner Broad. System, 512
U.S. at 640 (internal quotation marks and citation omitted). ALDF alleges that section
18-7042 specifically targets undercover investigators who intend to publish videos they
make through the press and seeks to suppress speech critical of animal agricultural
practices. If ALDF’s allegations prove true – that the law was not designed as a generally
applicable prohibition on fraud or trespass or conversion, but rather as an indirect penalty
for criticizing animal agriculture – the Court would have to apply at least some degree of
heightened scrutiny.
ORDER - 14
To further distinguish this case from Cohen, it should also be noted that the
plaintiff in Cohen sought only compensatory damages, which the majority did not view
as “a form of punishment.” Cohen, 501 U.S. a 670. The statute at issue here, however,
mandates state-imposed criminal sanctions, which are undeniably a form of punishment.
This distinction alone places this case in an entirely different category than Cohen, and
brings it closer to Smith v. Daily Mail Publishing Co., 443 U.S. 97 (1979), where the
Supreme Court held that the state cannot make it a crime to publish lawfully obtained,
truthful information about a matter of public significance, “absent a need to further a state
interest of the highest order.” Id. at 103. By providing victim-restitution damages for
violations of section 18-7042, the State here may be doing just that and would therefore
need to articulate a very compelling state interest to justify application of criminal
penalties.
B. Section 18-7042 Regulates Speech.
The second part of the State’s argument – that section 18-7042 regulates only
conduct and not speech or other expressive activity – is likewise unpersuasive. Section
18-7042 bans certain misrepresentations, which is a ban on pure speech, as well as
audiovisual recordings, which is a ban on conduct preparatory to speech. As discussed
below, both types of expressive activity, in the context of this case, are protected speech.
The Court’s finding that the provisions regulate speech is significant because
“[r]egulations that inhibit speech must comport with the requirements of the First
Amendment.” Valle Del Sol Inc. v. Whiting, 709 F.3d 808, 817 (9th Cir. 2013). To make
ORDER - 15
this determination whether section 18-7042 violates the First Amendment, the Court must
balance the government’s interest in protecting private property against the burden
section 18-7042 places on protected speech. How the Court will conduct this balancing
depends on a number of factors, including whether the regulation is content-based or
content-neutral. Id.
Below, the Court addresses whether section 18-7042 implicates protected speech
and is therefore subject to First Amendment scrutiny. The Court also addresses whether
section 18-7042 is content-based or content-neutral. The Court, however, does not reach,
through this motion to dismiss, the ultimate question of whether Idaho’s interest in
protecting private property justifies its restriction on protected speech.
(1) Misrepresentation
Section 18-7042 makes it a crime for a person to (1) gain access, (2) obtain
records from, or (3) employment with agricultural production facilities through “force,
threat, misrepresentation, or trespass.” I.C. § 18-7042(1)(a)-(c). ALDF challenges these
provisions, which ban certain misrepresentations, as a content-based suppression of
protected speech.
False statements that do not constitute defamation, fraud, or perjury are fully
protected speech. United States v. Alvarez, 132 S. Ct. 2537, 2544-45 (2012). “Even a
false statement may be deemed to make a valuable contribution to public debate, since it
brings about ‘the clearer perception and livelier impression of truth, produced by its
collision with error.’” New York Times Co. v. Sullivan, 376 U.S. 254, 279 n.19 (1964)
ORDER - 16
(quoting John Stuart Mill, On Liberty 15 (Oxford: Blackwell 1947)). Regardless,
however, of whether a false statement contributes to the public discourse, it may be
protected speech: “The First Amendment is a value-free provision whose protection is not
dependent on the truth, popularity or social utility of the ideas and beliefs which are
offered.” Meyer v. Grant, 486 U.S. 414, 419 (1988) (internal quotation marks omitted).
The State responds that the misrepresentation provisions actually prohibit “certain
forms of conduct – e.g. trespass and conversion – that enjoy no First Amendment
protection at all.” Defs’ Reply at 4, n.1, Dkt. 35. In making this argument, the State
correctly notes that consent is a defense to both trespass and conversion, but consent
induced by misrepresentation can vitiate the consent. Restatement (Second) of Torts §
173. Invoking this rule – that misrepresentation vitiates consent – the State reasons that
section 18-7042, by prohibiting certain misrepresentations, actually prohibits trespass and
conversion, not speech.
There are several problems with this argument. First, it is a fallacy to suggest, as
the State does, that the misrepresentation provisions prohibit only conduct and not
speech. Under no reading of the statute does a prohibition against telling lies become a
prohibition of conduct. False speech is still speech – period. And, as previously noted,
even false speech may deserve some First Amendment protection. In fact, in some
circumstances, a law criminalizing misrepresentation may be facially content-based and
must satisfy the “most exacting scrutiny.” Alvarez, 2548. The State cannot deflect this
ORDER - 17
exacting scrutiny by trying to re-characterize what is unequivocally speech – telling lies
(or omitting truths) – as conduct.
Second, the State’s interpretation of section 18-7042 as prohibiting only trespass
and conversion does not withstand the application of basic canons of statutory
construction. Section 18-7042 explicitly prohibits trespass on agricultural production
facilities. Yet, the State contends that the clause criminalizing certain misrepresentations
really criminalizes trespass on agricultural facilities. Taking the State at its word, the
statute would make it a crime for a person to (1) gain access to (2), obtain records from,
or (3) employment with agricultural production facilities through “force, threat,
[trespass], or trespass.” I.C. § 18-7042(1)(a)-(c). As this exercise illustrates, the State’s
proposed interpretation would make the statutory language prohibiting misrepresentation
superfluous, which violates the basic principle that courts give effect, if possible, to every
word of a statute. See, e.g., Bowsher v. Merck & Co., 460 U.S. 824, 833 (1983).
The Court must therefore conclude that section 18-7042’s ban on certain
misrepresentations prohibits more than just trespass or conversion. Indeed, a
misrepresentation does not always vitiate consent. See, e.g., Desnick v. Am. Broad.
Cos.,44 F.3d 1345, 1351 (7th Cir. 1995). And not all lies to gain access to property or
documents or to secure employment are actionable. See, e.g., Med. Lab. Mgmt.
Consultants v. Am. Broad. Cos., 306 F.3d 806, 820 (9th Cir. 2002); Food Lion, Inc. v.
Capital Cities/ABC, Inc., 194 F.3d 505, 518 (4th Cir. 1999) (“The jury's finding of
trespass therefore cannot be sustained on the grounds of resume misrepresentation.”).
ORDER - 18
A protected union activity known as “salting” is a prime example of the legal use
of misrepresentation to gain access to a worksite. Trades Council Amicus Curiae Br. at 3,
Dkt. 30-1. Because union organizers are often denied access to worksites, unions have
turned to salting, “which is to send paid union representatives to apply for positions
which, if secured, would enable them as employees to solicit support among coworkers
for union representation.” Id. A salter frequently lies about or omits his or her union
affiliation on an employment application because identifying oneself as a union organizer
may preclude an offer of employment. Id. Salting is not only legal but is actually
protected activity under the National Labor Relations Act. NLRB v. Town & Country
Elec., 516 U.S. 85, 96, (1995). Because salting is protected union activity, presumably
the lies a salter tells to obtain employment would be protected speech – and not a
trespass. This example squarely demonstrates that the misrepresentation provisions do
encompass protected speech.
The State also suggested during oral argument that the “with the intent to cause
economic or other injury” requirement present in subsection (1)(c) saves it from First
Amendment scrutiny. It does not.
Certainly, misrepresentations designed to cause material harm are not protected by
the First Amendment. Alvarez, 13 S.Ct. at 2546. But in this case the limited
misrepresentations ALDF says it intends to make – affirmatively misrepresenting or
omitting political or journalistic affiliations, or affirmatively misrepresenting or omitting
certain educational backgrounds – will most likely not cause any material harm to the
ORDER - 19
deceived party. To illustrate, if an undercover investigator omits certain facts, like
political affiliations, to secure employment with agricultural facility and then publishes a
false story, the harm would stem from the publication of the false story, not the lies told
to gain access to the facility. And the facility owner could seek damages for defamation.
Conversely, if an undercover investigator lies to get a job at an industrial agricultural
facility and then publishes a true story revealing the conditions present at the facility
without causing any other harm to the facility, there is no compensable harm for fraud.
See, e.g., Food Lion, Inc. v. Capital Cities/ABC, Inc., 194 F.3d 505, 512-513 (4th Cir.
1999). Thus, such misrepresentations would be protected speech because they are not
made to cause material harm to an agricultural production facility but to expose truths
about the agricultural industry.6
In sum, the Court finds that the misrepresentations section 18-4072 criminalizes
are entitled to at least some First Amendment protection.
(2) Ban on Audiovisual Recording
Section 18-7042 also makes it a crime for any person – no matter how they gained
access to the facility – from making audio or video recordings without the facility
owner’s consent. I.C. § 18-7042(1)(d). The State justifies this ban on audiovisual
6
The Court recognizes that this analysis may appear to conflict with the standing analysis. But
the question of whether a plaintiff has standing to bring a First Amendment claim is vastly different than
whether a statute regulates protected speech.
ORDER - 20
recording as a regulation on conduct that does not directly limit the dissemination of
speech. But “laws enacted to control or suppress speech may operate at different points in
the speech process.” Citizens United v. FEC, 558 U.S. 310, 336 (2010). Limits on
campaign finance, for example, implicate the First Amendment because the money at
issue enables subsequent political speech. Buckley v. Valeo, 424 U.S. 1, 19 (1976). In
this same vein, the “act of making an audio or audiovisual recording is necessarily
included within the First Amendment’s guarantee of speech and press rights as a
corollary of the right to disseminate the resulting recording.” ACLU v. Alvarez, 679 F.3d
583, 597 (7th Cir. 2012).
In fact, an undercover investigator who never publishes a video after
surreptitiously filming a facility’s operations will likely never be punished for the filming
because, in most cases, authorities will not become aware of a violation of the statute
until a video is published. Authorities will therefore only enforce the statute against
investigators who choose to publish their videos. A law that expressly punished activists
for publishing videos of agricultural operations would be considered a regulation of
speech. As enforcement of section 18-7042 will likely have the same effect, it too should
be considered a regulation of speech. The Court therefore finds that the ban on
unauthorized audiovisual recording restricts speech and is subject to First Amendment
scrutiny.
ORDER - 21
C. Strict Scrutiny Applies to Section 18-7042.
The State may regulate protected speech. But those restrictions generally must be
content-neutral. Content-based restrictions on speech presumptively violate the First
Amendment. City of Renton v. Playtime Theatres, 475 U.S. 41, 47 (1986). A state is
prohibited from restricting protected activity based on its content because such laws
threaten to “manipulate the public debate through coercion rather than persuasion,”
Turner Broad. Sys., Inc. v. FCC, 512 U.S. 622, 641 (1994), and allow government to
“effectively drive certain ideas or viewpoints from the marketplace.” R.A.V. v. City of St.
Paul, 505 U.S. 377, 387 (1982). Content-based exemptions may pass constitutional
muster only if they are the least restrictive means to further a compelling interest. See
Hoyle v City of Oakland, 653 F.3d 835, 853 (9th Cir. 2011).
“A regulation is content-based if either the underlying purpose of the regulation is
to suppress particular ideas or if the regulation, by its very terms, singles out particular
content for differential treatment.” Berger v. City of Seattle, 569 F.3d 1029, 1051 (9th
Cir. 2009) (en banc) (citation omitted). On its face, section 18-7042 targets one type of
speech – speech concerning “the conduct of an agricultural production facility’s
operations,” I.C. § 18-7042, – but leaves unburdened other types of speech at an
agricultural production facility. An employee who films, without the owner’s consent,
animals being abused on a farm may be prosecuted and fined for violating section 187042; but an employee who films, without consent, the farm owner’s children (presuming
ORDER - 22
the children are only visiting the facility and not working), may not. Section 18-7042 is
therefore content based.
This conclusion is buttressed by the legislative history. Valle Del Sol, Inc. v.
Whiting, 709 F.3d 808, 819 (9th Cir. 2013) (relying, in part, on legislative history to
determine that day laborer provision was content-based). ADLF’s complaint contains
various statements from Idaho legislators suggesting a content-based legislative purpose
of silencing animal activists. Compl. ¶¶ 61–74. ALDF alleges that “Representative Pence
was clear in her intent to prevent animal rights activists’ speech, stating that by ‘releasing
the footage to the Internet . . . [and authoring] petitions calling for a boycott . . . the
organizations involved [in an undercover investigation of a milk producer] then crossed
the ethical line for me.’” Id. ¶ 66. ALDF also cites the statements of Representative Batt,
who expressed a need to protect the dairy industry from ‘the court of public opinion.’” Id.
¶ 68. ALDF further alleges that other legislators referred to animal rights activists as
“terrorists,” “extremists,” “vigilantes,” and “marauding invaders” for investigating and
exposing animal agriculture facilities. Id. ¶¶ 62–64, 67, 69.
Section 18-7042’s restitution provision also reinforces the conclusion that it is a
content-based restriction. The law mandates a restitution award for double the loss,
including “direct out-of-pocket losses or expenses,” I.C. § 19-5304(1)(a), related to any
violation of the statute. I.C. §18-7042(4). Other than physical damage to property, the
most likely loss that would flow from a violation of section 18-7042 would be losses
associated with the publication of a video critical of an agricultural facility’s practices. In
ORDER - 23
fact, the more successful an activist is in mobilizing public opinion against a facility by
publishing a video or story critical of the facility the more the activist will be punished.
Moreover, agricultural operations will be able to collect the same damages as in a libel
action without satisfying the constitutional defamation standard, which the Supreme
Court has expressly prohibited. See Hustler, 485 U.S. at 53.
It could even be said that section 18-7042 discriminates based on viewpoint. A
regulation of speech is viewpoint based if it is motivated by the desire to suppress a
particular viewpoint or it distinguished between speakers based on the viewpoint
expressed. See Berger v. City of Seattle, 569 F.3d 1029, 1051 (9th Cir. 2009) (en banc).
Section 18-7042 allows job applicants who make misrepresentations to secure
employment with the goal of praising the agricultural facility to skate unpunished while
punishing job applicants who misrepresent themselves with the intent of exposing
abusive or unsafe conditions at the facility. I.C. § 18-7042(1)(c). Likewise, the law only
prohibits unauthorized filming, so it is more likely that those who wish to portray the
agricultural facility in a positive light will be allowed to film while those critical of the
industry will not. By, in effect, privileging speech that is supportive of the agricultural
industry, section 18-7042 impermissibly discriminates on viewpoint.
For all of these reasons, the Court concludes that I.C. § 18-7042 must survive the
highest level of scrutiny to pass constitutional muster, and that ALDF has, under that
standard, stated a colorable First Amendment claim.
ORDER - 24
4. ALDF States a Plausible Equal Protection Claim.
The Equal Protection Clause of the Fourteenth Amendment provides that no state
shall “deny to any person within its jurisdiction the equal protection of its laws.” U.S.
Const. amend. XIV, § 1. The Constitution “neither knows nor tolerates classes among
citizens.” Plessy v. Ferguson, 163 U.S. 537, 559 (1896) (Harlan, J., dissenting). But the
guarantee of equal protection coexists with the practical necessity that most legislation
must classify for some purpose or another. Romer v. Evans, 517 U.S. 620, 631 (1996).
Section 18-7042 creates a classification between whistleblowers generally and
whistleblowers in the agricultural industry. Typically, when a law creates a classification
but does not target a suspect class or burden a fundamental right, the court presumes the
law is valid and will uphold it so long as it rationally relates to some legitimate
governmental purpose. Heller v. Doe, 509 U.S. 312, 319 (1993). The court defers to the
judgment of the legislature if there is at least a debatable question whether the underlying
basis for the classification is rational. Minnesota v. Clover Leaf Creamery Co., 449 U.S.
456, 464 (1981).
However, even under the most deferential standard of review, the court must still
“insist on knowing the relation between the classification adopted and the object to be
obtained.” Romer v. Evans, 517 U.S. 620, 632 (1996). This search for a rational
relationship “ensure[s] that classifications are not drawn for the purpose of
disadvantaging the group burdened by the law.” Romer, 517 U.S. at 633. As a result, laws
enacted with animus cannot survive rational basis review. Dep’t of Agric. v. Moreno, 413
ORDER - 25
U.S. 528, 534 (1973). “The Constitution's guarantee of equality ‘must at the very least
mean that a bare congressional desire to harm a politically unpopular group cannot’
justify disparate treatment of that group.” United States v. Windsor, 133 S.Ct. 2675
(2013) (quoting Moreno, 413 U.S. at 534-535).
ALDF alleges, as a matter of fact, that the Idaho legislators acted with animus in
passing section 18-7042, in violation of the Equal Protection Clause. Compl. ¶¶ 18, 21,
56–75, 187–95. Specifically, ALDF alleges that “the law was drafted by the Idaho
Dairymen’s Association ‘with the express purpose of disadvantaging animal rights and
whistleblower speech’ and was supported by multiple legislators ‘specifically because it
would silence animal protection organizations.’” Compl. ¶¶ 72, 74. By alleging animus,
it would seem that ALDF has stated a plausible Equal Protection claim.
The State responds that ALDF’s allegations of animus are irrelevant because
courts may only reach the animus question if they find no other rational basis for a
classification other than animus. The State is correct in arguing that a classification bears
a strong presumption of validity and a legislative choice is not subject to courtroom factfinding; indeed, it may be based on rational speculation unsupported by evidence or
empirical data. Heller v. Doe, 509 U.S. 312, 320 (1993). In the past, it was therefore
“entirely irrelevant for constitutional purposes whether the conceived reason for the
challenged distinction actually motivated the legislature.” F.C.C. v. Beach Commc’ns,
Inc., 508 U.S. 307, 313 (1993).
ORDER - 26
However, in recent cases, the Supreme Court appears to have shifted its approach
to equal protection cases involving allegations of animus. SmithKline Beecham Corp. v.
Abbott Lab., 740 F.3d 471, 481 (9th Cir. 2014). In Windsor, “instead of conceiving of
hypothetical justifications for the law [in question], the Court evaluated the ‘essence’ of
the law,” looking to the law’s ‘design, purpose, and effect.’” Id. (quoting Windsor, 133
S.Ct. at 2693). As explained by the Ninth Circuit, “Windsor thus requires not that we
conceive of hypothetical purposes, but that we scrutinize Congress's actual purposes.” Id.
at 482.
Although Windsor addressed a classification based on sexual orientation, the
Court did not limit its prohibition against animus-based classifications to sexual
orientation. In fact, the Court in Windsor relied heavily on Moreno, in which the Court
invalidated an amendment to the Food Stamp Act that denied food stamps to any
household containing one or more people unrelated by blood or marriage to others in the
household. Moreno had nothing to do with classifications based on sexual orientation.
Yet it too applied “a more searching form of rational basis review” because the law
exhibited a desire to harm a politically unpopular group. Lawrence v. Texas, 539 U.S.
558, 580 (2003); see also Mountain Water Co. v. Montana Dep't of Pub. Serv.
Regulation, 919 F.2d 593, 599 (9th Cir. 1990) (acknowledging that Moreno applied
“heightened scrutiny”).
In Moreno, the Supreme Court found that the classification in question
(households of related persons versus households containing one or more unrelated
ORDER - 27
persons) was “clearly irrelevant to the stated purposes of the [Food Stamp] Act.” 413
U.S. at 534. Therefore, in an effort to discern the real purpose of the law, the Court
looked to legislative history to explain the amendment. Based on the “little legislative
history” available, the Court found that the amendment was intended to prevent “hippies”
and “hippie communes” from participating in the food stamp program. Id. Because the
limited legislative history revealed an animus toward “hippies” and “hippie communes,”
the Court refused to defer to hypothetical alternative justifications offered by the
government. Id.
Here, ALDF’s allegations arguably reveal an animus toward animal-rights
activists. And if ALDF’s allegations of animus prove true, the Court must skeptically
scrutinize any offered justifications for section 18-7042 to determine whether bare
animus motivated the legislation or whether the law truly furthers the offered purposes.
To be rational, a law must serve a “legitimate” end, and antipathy can never be a
legitimate end.
This does not necessarily mean that the Court will find that section 18-7042
violates the Equal Protection clause, but only that the Court will examine any potential
reasons for the law with particular care to determine whether the statute reflects an
impermissible bias against animal-rights activists. Indeed, ALDF may face a very
difficult battle in proving its allegation that section 18-7402 “serves no rational, nonanimus based purpose.” Compl. ¶ 193, Dkt. 1.
ORDER - 28
5. ALDF’s Preemption Claims Are Ripe for Review.
A state law that “stands as an obstacle to the accomplishment and execution of the
full purposes and objectives of Congress” is preempted. Hines v. Davidowitz, 312 U.S.
52, 67 (1941). Here, ALDF alleges that section 18-7042 is preempted by three different
federal statutes7 – the retaliation prohibition in the False Claims Act (“FCA”), the
employee protection provision of the Food Safety Modernization Act (“FSMA”), and the
employee protection provision of the Clean Water Act (“CWA”) – because each of the
identified statutes encourages and protects the very same whistleblowing activity that
section 18-7042 criminalizes. Therefore, argues ALDF, section 18-7042 stands as an
unconstitutional impediment to the vitality and enforcement of federal law.
The State argues that ALDF’s “as-applied” preemption claims should be dismissed
because they are not ripe for adjudication. The ripeness doctrine aims to prevent courts
from entangling themselves in abstract disagreements by avoiding premature
adjudication. Abbott Labs. v. Gardner, 387 U.S. 136, 148, (1967), overruled on other
grounds by Califano v. Sanders, 430 U.S. 99, 105, (1977). Whether a dispute is ripe
7
Amicus Curiae Idaho Building Trades Council and Idaho State AFL-CIO allege that section 187042 is also preempted by the National Labor Relations Act, 29 U.S.C. § 141 et seq. because section 187042 prohibits conduct that is protected under the NRLA – namely, “salting,” which is to send paid union
representatives to apply for positions that would enable them to solicit support among co-workers for
union representation. The Court finds this argument to be compelling, but the Trades Council is neither a
plaintiff nor is NLRA preemption a claim alleged in the Complaint. Therefore, the Court will not address
this argument.
ORDER - 29
depends on “the fitness of the issues for judicial decision” and “the hardship to the
parties” of withholding review. Id.
The Court must determine first whether ALDF’s preemption claims are “fit for
judicial determination.” Fitness for resolution hinges on whether the matter involves
uncertain events that may not happen at all, and whether the issues involved are legal
questions or factual ones. Id. In this case, ALDF brings a facial preemption challenge
(not an as-applied challenge, as the State contends). And the overwhelming majority of
courts hold that cases involving facial challenges based upon preemption are fit for
judicial review even without specific factual development or the law actually being
enforced. Pacific Gas & Elec. Co. v. State Energy Resources Conserv. & Dev. Comm'n.,
461 U.S. 190, 201 (1983) (resolution of preemption issue need not await development of
record by state interpretation or application of statute); see also Abbott, 387 U.S. at 149
(statutory construction was a purely legal issue ripe for review). Accordingly, the Court
finds that this matter is fit for judicial review; therefore the first factor for prudential
ripeness is met.
Under the second prong of the ripeness inquiry – the potential hardship of
withholding judicial resolution – the Court examines whether the challenged action
creates a direct and immediate dilemma for the parties. Chavez v. Director, Office of
Workers Comp. Programs, 961 F.2d 1409, 1415 (9th Cir. 1992). The State suggests that
enactment of section 18-7042 does not create such a dilemma because ALDF’s claims are
subject to too many contingencies. The State points to the fact that an FCA retaliation
ORDER - 30
claim can arise only if (1) an individual seeks qui tam relief against an agricultural
facility enterprise and (2) the defendant retaliates against that individual. The State argues
it is entirely speculative to assume that the retaliation prohibited under the FCA would
arise in the future or that the retaliatory action would be based on conduct prohibited
under section 18-7042. The FSMA and CWA preemption claims, according to the State,
are even more attenuated: “[t]hey funnel retaliation claims through administrative
processes that the complaint does not allege has ever been initiated, much less initiated to
redress employer retaliation predicated on ‘whistleblower’ conduct that would have
subjected the employee to potential prosecution under § 18-7042 had the statute then
been in effect.” Defs’ Reply at 9-10, Dkt. 35.
But ALDF does face an immediate dilemma: it must choose between complying
with section 18-7042 and risking prosecution by engaging in whistleblower conduct it
says federal law explicitly encourages and protects. Multiple courts have held that the
choice between refraining from conduct proscribed by an allegedly unconstitutional rule
or risk running afoul of the rule creates an immediate dilemma. See, e.g., Abbott Labs,
387 U.S. at 152-53; City of Auburn v. Qwest Corp. , 260 F.3d 1160, 1171-1172 (9th Cir.
2001), overruled on other grounds by Sprint Telephony PCS, L.P. v. Cnty. of San Diego,
543 F.3d 571 (9th Cir. 2008). As explained by the Supreme Court in Abbott Laboratories,
“where the legal issue presented is fit for judicial resolution, and where a regulation
requires an immediate and significant change in the plaintiffs’ conduct of their affairs
ORDER - 31
with serious penalties attached to noncompliance, access to the courts…must be
permitted, absent a statutory bar or some other unusual circumstance.” 387 U.S. at 153.
ALDF faces this exact conundrum of choosing between altering its conduct to
comply with section 18-7042, which it alleges is unconstitutional, and risking criminal
penalties. There can be no question that ALDF has expressed a present intention to
engage in conduct that could subject it to prosecution under section 18-7042. Just as in
Abbott Laboratories, if it fails to observe section 18-7042 in its quest to uncover food
safety issues and animal abuse, it is “quite clearly exposed to the imposition of strong
sanctions.” Id. at 154. Nor is ALDF’s dilemma speculative or conjectural. “Abbott
Laboratories does not require Damocles' sword to fall before we recognize the ‘realistic
danger of sustaining a direct injury’ that is the heart of the constitutional component of
ripeness.” Qwest Corp., 260 F.3d at 1172. Their preemption claims are therefore ripe.
The Court reiterates that it does not speak to the merits of ALDF’s preemption
claims – it only says they are ripe for review. It is quite possible that no conflict exists
between federal law and section 18-7042, and section 18-7042 is not preempted. This
question remains open.
ORDER
IT IS ORDERED that Defendants’ Motion to Dismiss (Dkt. 12) is GRANTED to
the extent that Governor Otter will be dismissed as a defendant. Additionally, all claims
under section 18-7042(1)(e) will be dismissed. The Motion to Dismiss is DENIED in all
other respects.
ORDER - 32
DAT
TED: Septe
ember 4, 20
014
__________
__________
_____
___
B. L
Lynn Winm
mill
Chief Judge
ited
District Cou
urt
Uni States D
ORDER - 33
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