The City of Chicago v. Sessions III
Filing
198
Memorandum Opinion and Order: For the reasons stated herein, the Court grants the City of Chicago's Motion for Summary Judgment on Counts I and II and correspondingly denies the Attorney General's Motion to Dismiss Counts I, II, and IV. The Court enters and immediately stays permanent injunctive relief as detailed above. The remaining claims are dismissed as moot. Enter memorandum opinion and order. Signed by the Honorable Harry D. Leinenweber on 7/27/18:Mailed notice(maf)
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THE UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF ILLINOIS
EASTERN DIVISION
THE CITY OF CHICAGO,
Plaintiff,
Case No. 17 C 5720
v.
Judge Harry D. Leinenweber
JEFFERSON BEAUREGARD
SESSIONS III, Attorney
General of the United States,
Defendant.
MEMORANDUM OPINION AND ORDER
This
between
case
core
involves
areas
of
the
state
overlap,
and
and
federal
potential
power:
conflict,
the
state’s
traditional police powers and the federal government’s broad,
undoubted power over immigration.
In order to advance federal
immigration policies, the Attorney General attached several new
immigration-related conditions to a longstanding federal grant
which provides funds to local and state police departments. Those
immigration-related
conditions
conflict
with
Chicago’s
policy
goals of promoting cooperation between local law enforcement and
immigrant
communities
and
ensuring
access
to
essential
city
services for all city residents regardless of citizenship status.
Chicago brought suit to enjoin the Attorney General from attaching
those conditions to the grant funds.
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Before the Court is the Attorney General’s Motion to Dismiss
the Complaint in its entirety and the City of Chicago’s Partial
Motion for Summary Judgment on Counts I, II, and V.
The Court
addresses both below.
I.
BACKGROUND
In addition to reciting here the most relevant facts, the
Court also incorporates those facts previously described in its
earlier ruling.
See City of Chicago v. Sessions, 264 F. Supp. 3d
933, 937-40 (N.D. Ill. 2017), aff’d, 888 F.3d 272 (7th Cir. 2018),
en banc reh’g granted and vacated in part by Order, No. 17-2991
(7th Cir. June 4, 2018), Dkt. No. 128.
The dispute centers around the Edward Byrne Memorial Justice
Assistance Grant (the “Byrne JAG grant”), a federal grant named
after a fallen New York City police officer which awards funds to
states
and
initiatives
local
for
jurisdictions
personnel,
community services.
to
support
equipment,
criminal
training,
See 34 U.S.C. § 10152(a).
and
justice
other
The Byrne JAG
program distributes grant funds by a statutorily-defined formula
based on a state’s population and the number of violent crimes
reported within that jurisdiction in the past year.
§ 10156.
See 34 U.S.C.
To receive funds under the program, the would-be grantee
must submit an application and comply with all conditions outlined
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in the Solicitation document provided by the Attorney General.
(See 34 U.S.C. § 10153; see, e.g., FY 2017 Local Solicitation,
Ex. T to Pl.’s Request for Judicial Notice, Dkt. No. 157-20.)
The
City of Chicago and its neighboring localities have received Byrne
JAG funds every year since 2005.
In 2016, Chicago used those funds
to buy police vehicles and to support the efforts of non-profit
organizations working in its high crime communities. (See Def.’s
Resp. to Pl.’s Statement of Undisputed Material Facts (“Facts”)
¶ 14, Dkt. No. 168; Sachs Decl. ¶ 4, Dkt. No. 154.)
The funds at
issue now were originally earmarked to be distributed in 2017, but
this litigation ensued.
Should Chicago receive those 2017 funds,
the City intends to expand its use of “SpotShotter” acoustic
surveillance technology, which allows officers to pinpoint the
location of gun shots across the City and thus respond more
quickly. (Def.’s Resp. to Pl.’s Facts ¶ 15, Dkt. No. 168.)
The grant conditions causing Chicago umbrage are related to
federal immigration enforcement.
In 2016, the Attorney General
determined that various state and local policies of withholding
information
and
other
cooperation
from
federal
immigration
authorities were frustrating the federal government’s immigrationrelated goals. (See May 31, 2016 Office of Inspector General Mem.,
Ex. H to Def.’s Request for Judicial Notice, Dkt. No. 140-8.)
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Citing public safety concerns, the Attorney General announced that
the Department of Justice (“DOJ”) would award Byrne JAG grants
only
to
localities
that:
share
certain
immigration-related
information with federal immigration agencies, allow immigration
agents access to local detention facilities, and provide notice
before releasing certain undocumented individuals.
Release, Ex. B to Compl., Dkt. No. 1-2.)
(See DOJ Press
In this suit, Chicago
challenges all three of these new conditions (hereafter, “the
Conditions”):
1. The “Access Condition” requires that Byrne JAG
recipients permit personnel of the U.S. Department of
Homeland Security (“DHS”) to access any detention
facility to meet with undocumented immigrants and
inquire as to their right to be or remain in the
United States.
2. The “Notice Condition” requires that Byrne JAG
recipients provide DHS at least 48 hours advance
notice of the scheduled release date and time of an
alien in the jurisdiction’s custody whenever DHS
requests such notice in order to take custody of the
alien upon release. The Attorney General later amended
this Condition to clarify that “[i]n the event that
. . . the scheduled release date and time for an alien
are such as not to permit the advance notice [of
scheduled release] . . . it shall not be a violation
of this condition to provide only as much advance
notice as practicable.”
3. The “Compliance Condition” requires that Byrne JAG
recipients certify compliance with 8 U.S.C. § 1373, a
federal statute that bars local governments from
restricting the sharing of immigration status
information with federal law enforcement.
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(See FY 2017 Local Solicitation, Ex. T to Pl.’s Request for
Judicial
Notice,
Dkt.
No.
157-20;
Example
Byrne
JAG
award
documents, Exs. F, G to Jennings Decl., Dkt. No. 158.)
The
Attorney General added the Notice and Access Conditions for the
first time in FY 2017, but the Compliance Condition also applied
the previous year. (Def.’s Resp. to Pl.’s Facts ¶¶ 17-18.)
According
to
Chicago,
these
Conditions
conflict
with
longstanding City policy of ensuring access to essential city
services regardless of a resident’s citizenship status and of
promoting cooperation between local law enforcement and immigrant
communities. (See
Compl. ¶ 1, Dkt. No. 1.)
Chicago’s local
policies protecting immigrant rights date back to 1985, when they
were
first
embodied
in
executive
orders
and
then
eventually
codified. (Def.’s Resp. to Pl.’s Facts ¶¶ 4-8, Dkt. No. 168.)
The
City’s Welcoming City Ordinance, enacted in 2012, encapsulates its
current policy. (Id. ¶¶ 7-8.)
Though Chicago’s policy and others
like it are commonly referred to as “sanctuary city policies,” the
Seventh Circuit has recognized the inaptness of that term.
See
City of Chicago v. Sessions, 888 F.3d at 281 (noting the term is
“commonly misunderstood” and does not accurately describe the
effect of such policies).)
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The
Welcoming
determination
that
City
Ordinance
effective
reflects
police
work
both
relies
the
City’s
on
willing
community assistance and its belief that the “cooperation of the
city’s immigrant communities is essential to prevent and solve
crimes and maintain public order, safety and security in the entire
city.”
Chicago, Ill. Muni. Code § 2-173-005.
The City intended
the Welcoming City Ordinance to clarify both the communications
and enforcement relationship between the City and the federal
government as well as the specific conduct City employees are
prohibited from undertaking, given the City’s view that such
prohibited
conduct
would
“significantly
relationship with immigrant communities.”
harm[]
the
city’s
Id.
Specifically, the Ordinance prohibits all City agents and
agencies
from:
requesting
or
disclosing
information
about
an
individual’s immigration status, id. §§ 2-173-020, -030; detaining
anyone based solely on their immigration status or an ICE detainer,
id. § 2-173-042(a); and spending on-duty time “responding to ICE
inquiries or communicating with ICE regarding a person’s custody
status or release date,” unless the responding City employee is
“acting pursuant to a legitimate law enforcement purpose that is
unrelated to the enforcement of a civil immigration law,” id. § 2173-042(b).
Notably, these prohibitions do not apply to certain
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classes of potentially dangerous individuals, including known gang
members
and
those
with
outstanding
criminal
warrants,
felony
convictions, or pending felony charges. Id. § 2-173-042(c); see
also Chicago Police Department (“CPD”)’s Special Order S06-14-03,
Ex.
F
to
Pl.’s
Request
for
Judicial
Notice,
Dkt.
No.
157
(reiterating the policies of the Welcoming City Ordinance and
establishing rules for CPD officers in conformance therewith).
Chicago
contends
that
the
new
Conditions
put
it
in
an
untenable position, forcing the City either to accept the grant
funds with the attached Conditions and—the City believes—lose the
trust and cooperation of its immigrant communities or decline the
grant and forgo much-needed funding for critical police resources
and community services. (Compl. ¶ 9.)
Chicago argues that the
Constitution protects it from making this Hobson’s choice.
To that end, Chicago brings a seven-count Complaint, alleging
constitutional
infirmities
and
unlawful
generally Compl., Dkt. No. 1.)
agency
action.
(See
Counts I and II allege the
Conditions are unconstitutional because the Byrne JAG statute does
not provide the Attorney General statutory authority to impose
them.
Count III alleges the Conditions violate the Spending
Clause.
Byrne
Id.
JAG
Chicago’s Count IV alleges that, independent of the
grant,
Section
1373
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is
an
impermissible
federal
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conscription of state power and is thus unconstitutional under the
anticommandeering doctrine. Id.
Next, Chicago charges in Count
V’s declaratory judgment claim that even if Section 1373 is
constitutional, the City complies with it and deserves judgment to
that effect.
Id.
In Count VI, the City alleges the Attorney
General’s decision to impose the Conditions was arbitrary and
capricious and thus violated the Administrative Procedures Act
(“APA”).
Id.
And finally, Count VII alleges violations of the
Paperwork Reduction Act. Id.
After filing its Complaint, Chicago moved for a preliminary
injunction as to all three Conditions.
This Court found that
Chicago was likely to succeed on its argument that the Attorney
General lacked the statutory grant of authority to impose the
Notice
and
Access
Conditions
Conditions nationwide.
Supp. 3d at 943.
and
accordingly
enjoined
those
See City of Chicago v. Sessions, 264 F.
However, the Court refused to enjoin the third
condition, the Compliance Condition, finding the City not likely
to succeed in arguing either that the Attorney General lacked the
authority to impose it or that Section 1373—again, the statute
with
which
Chicago
must
certify
compliance
under
this
third
Condition—is unconstitutional. Id. at 945-46. The Attorney General
appealed.
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The Seventh Circuit panel affirmed, agreeing that Chicago
demonstrated a likelihood of success that the Byrne JAG statute
does not grant the Attorney General the authority to impose the
Notice
and
Access
Conditions
and
approving
this
Court’s
corresponding issuance of the nationwide preliminary injunction.
See City of Chicago v. Sessions, 888 F.3d 272, 287, 293 (7th Cir.
2018), en banc reh’g granted and vacated in part by Order, No. 172991 (7th Cir. June 4, 2018), Dkt. No. 128.
The Attorney General
petitioned the Seventh Circuit for rehearing en banc.
See Def.’s
Petition for Rehearing En Banc, City of Chicago v. Sessions, No.
17-2991 (7th Cir. Apr. 27, 2018), Dkt. No. 120.
The Seventh
Circuit granted the Attorney General’s petition on the limited
issue of the injunction’s nationwide scope, thus vacating that
portion of the panel opinion but leaving intact the finding that
the Notice and Access Conditions are likely unlawful.
See En Banc
Order, City of Chicago v. Sessions, No. 17-2991 (7th Cir. June 4,
2018), Dkt. No. 128.
Turning to the matters now before the Court: The Attorney
General moves to dismiss Chicago’s Complaint in its entirety, and
Chicago cross-moves for partial summary judgment.
The Attorney
General moves to dismiss the Complaint on two grounds, raising
challenges to both this Court’s subject matter jurisdiction and to
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the
sufficiency
of
Chicago’s
Complaint.
See
FED.
R.
CIV.
P. 12(b)(1), (6). For its part, Chicago moves for summary judgment
on only Counts I, II, and V.
The City requests, first, a finding
that all three Conditions are not authorized by the Byrne JAG
statute and are thus ultra vires (Count I) and in violation of the
separation of powers (Count II). With that request, the City urges
the Court to reconsider its earlier-expressed belief that Chicago
was not likely to succeed on this argument as to the Compliance
Condition.
Second, Chicago requests a declaratory judgment that,
assuming the Compliance Condition is valid, the City complies with
Section 1373 (Count V).
II.
STANDARDS OF REVIEW
As already described, the Attorney General moves to dismiss
both
by
challenging
jurisdiction
and
by
asserting
that
the
Complaint fails to state a claim upon which relief may be granted.
FED. R. CIV. P. 12(b)(1), (6).
To survive a 12(b)(1) motion, the
plaintiff must carry the burden of providing sufficient evidence
to establish a prima facie case for personal jurisdiction.
RAR,
Inc. v. Turner Diesel, Ltd., 107 F.3d 1272, 1276 (7th Cir. 1997).
To survive a 12(b)(6) motion, the plaintiff must provide “a short
and plain statement of the claim showing that the pleader is
entitled
to
relief,”
FED. R. CIV. P. 8(a)(2),
- 10 -
and
“give
the
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defendant fair notice of what the claim is and the grounds upon
which it rests,” Bell Atlantic Corp. v. Twombly, 550 U.S. 544, 555
(2007) (internal quotation and alteration omitted).
On a 12(b)(6)
motion, the reviewing court accepts all well-pleaded facts as true,
Alam v. Miller Brewing Co., 709 F.3d 662, 665-66 (7th Cir. 2013),
and
draws
reasonable
inferences
in
favor
of
the
plaintiff,
Teamsters Local Union No. 705 v. Burlington N. Santa Fe, LLC, 741
F.3d 819, 823 (7th Cir. 2014) (citation omitted).
In doing so,
the court may consider the “complaint itself, documents attached
to the complaint, documents that are critical to the complaint and
referred to in it, and information that is subject to proper
judicial notice.”
Geinosky v. City of Chicago, 675 F.3d 743, 745
n.1 (7th Cir. 2012) (citations omitted).
Chicago cross-moves for summary judgment, which is proper
where the record shows no genuine issue of material fact and the
moving party is entitled to a judgment as a matter of law.
FED.
R. CIV. P. 56(a). The moving party bears the burden of establishing
the absence of any genuine issue of material fact, Celotex Corp.
v. Catrett, 477 U.S. 317, 322-23 (1986), and the Court construes
all facts and reasonable inferences in the light most favorable to
the nonmovant, Bentrud v. Bowman, Heintz, Boscia & Vician, P.C.,
794 F.3d 871, 874 (7th Cir. 2015) (quotation marks and citation
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omitted).
In ruling on summary judgment, courts do not determine
the truth of disputed matters.
Anderson v. Liberty Lobby, Inc.,
477 U.S. 242, 249 (1986).
III.
A.
DISCUSSION
Jurisdiction
Before the Court turns to the merits of this dispute, it must
address the threshold objection raised by the Attorney General in
his 12(b)(1) motion.
In short, the Attorney General argues that
because the DOJ has not yet reached a final decision on whether to
award Chicago funds under the Byrne JAG grant, the DOJ has not yet
consummated any “final agency action” that is ripe for judicial
review. 5 U.S.C. § 704; see Citizens for Appropriate Rural Roads
v. Foxx, 815 F.3d 1068, 1079 (7th Cir. 2016) (“In the context of
judicial review under the APA, a challenge to agency conduct is
ripe only if it is filed after the final agency action.”).
Chicago
responds that its lawsuit does not challenge the Attorney General’s
not-yet-finalized decision whether to award the funds, but rather
the decision to attach the Conditions to the grant in the first
instance.
The
Court
agrees
with
Chicago
that
determination is the one challenged by this suit.
45
(requesting
that
this
Court
- 12 -
“[d]eclare
this
earlier
(See Compl. at
that
all
three
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immigration-related conditions for the FY 2017 Byrne JAG are
unlawful”).)
“[T]wo conditions must be satisfied for agency action to be
‘final’: First, the action must mark the ‘consummation’ of the
agency’s
decisionmaking
process—it
must
not
be
of
a
merely
tentative or interlocutory nature. And second, the action must be
one by which ‘rights or obligations have been determined,’ or from
which ‘legal consequences will flow.’”
Bennett v. Spear, 520 U.S.
154, 177-78 (1997) (citations omitted); cf. Shanty Town Assocs.
Ltd. v. EPA, 843 F.2d 782, 788 (4th Cir. 1988) (evaluating EPA’s
imposition of conditions on a federal grant under the APA).
of these conditions are clearly met here.
Both
The imposition of these
Conditions by the Attorney General is far from “tentative”; Alan
Hanson, the Acting Assistant Attorney General for the Office of
Justice Programs at the DOJ, states in his declaration that every
FY 2017 award—presumptively including the award Chicago seeks
here—will include conditions identical to those attendant to the
grant awards already handed out to Binghamton and Greenville, the
only two cities to receive Byrne JAG funds thus far.
(See Hanson
Decl. ¶¶ 1, 5-6, Dkt. 32-1 (“[T]he award documents set[] out the
various conditions . . . that will apply to the FY 2017 Byrne JAG
award” (emphasis added)); see also Def.’s Resp. to Pl.’s Facts
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¶ 27, Dkt. No. 168.)
Both of those awards explicitly require
compliance with all three Conditions. (See Example Byrne JAG Award
Documents, Exs. F, G to Jennings Decl., Dkt. Nos. 158-6, 158-7.)
Further, all FY 2017 awards, including Chicago’s potential one,
are awarded based on applications invited by that year’s grant
Solicitation, which clearly imposes the Conditions as well.
(FY
2017 Local Solicitation, Ex. T to Pl.’s Request for Judicial
Notice, Dkt. No. 157-20; see also Def.’s Resp. to Pl.’s Facts
¶¶ 27-30, Dkt. No. 168.)
Thus, the Attorney General’s attachment
of the Conditions is the end result of his decision-making process
on this score.
That satisfies the first requirement for finality
under the APA.
See Bennett, 520 U.S. at 177-78.
The second requirement is met as easily as the first.
The
Conditions attached to the Byrne JAG funds trigger important legal
and practical consequences: They force Chicago to choose between
accepting the award with the Conditions or forgoing the award in
favor of maintaining the City’s policy preferences.
See City of
Chicago v. Sessions, 264 F. Supp. 3d at 940 (finding the Notice
and Access Conditions irreconcilable with Chicago’s Welcoming City
Ordinance); see also Abbs v. Sullivan, 963 F.2d 918, 926 (7th Cir.
1992)
(finding
dilemma:
comply
agency
with
action
a
rule
final
that
- 14 -
where
harms
plaintiff
[it]
and
faced
that
“a
[it]
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believe[s] to be invalid or violate the rule at the risk of
incurring
a
heavy
penalty”
(citation
omitted)).
The
second
requirement is met, and the Court accordingly finds that the
Attorney General’s decision to impose the Conditions constitutes
final agency action that is ripe for judicial review.
Finally, the Court notes that all of its sister courts in
parallel cases have reached the same conclusion.
See, e.g., City
of Philadelphia v. Sessions, No. 17-3894, 2018 WL 1305789, at *1819 (E.D. Pa. Mar. 13, 2018) (finding the Attorney General’s
imposition of the Conditions on the Byrne JAG grant was final);
California ex rel. Becerra v. Sessions, 284 F. Supp. 3d 1015, 103031 (N.D. Cal. 2018) (same).
For reasons that will become clear, the Court considers
Chicago’s claims out of order.
B.
Anticommandeering Doctrine (Count IV)
The Attorney General moves to dismiss Count IV, in which
Chicago alleges that Section 1373 unconstitutionally tramples upon
the Constitution’s anticommandeering doctrine by robbing local
policymakers of the option to decline to administer the federal
immigration programs Section 1373 supports. See New York v. United
States, 505 U.S. 144, 177 (1992) (applying the anticommandeering
doctrine to claims involving New York’s forced participation in a
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federal program); see generally Printz v. United States, 521 U.S.
898 (1997) (applying the anticommandeering doctrine to claims
involving conscription of local officials).
This Court previously
held that Chicago was unlikely to succeed on this argument given
that under then-current case law, “only affirmative demands” on
states—as
opposed
to
proscriptions—transgressed
the
Tenth
Amendment.
City of Chicago v. Sessions, 264 F. Supp. 3d at 949.
Section 1373 imposes no affirmative demand on local governments,
even though, in practical effect, the statute “may effectively
thwart
policymakers’
ability
to
extricate
their
state
or
municipality from involvement in a federal program.” Id. As such,
this Court hesitated to expand the anticommandeering doctrine to
a terrain that no higher court had yet seen fit to cover.
then,
eight
months
after
this
Court’s
preliminary
But
injunction
ruling, the Supreme Court navigated that ground in Murphy v.
National Collegiate Athletic Ass’n, 138 S. Ct. 1461 (2018).
Murphy
concerned
the
Professional
and
Amateur
Sports
Protection Act (“PASPA”), a federal law that prevented states both
from legalizing sports gambling and from repealing existing state
laws prohibiting it.
Id. at 1470-71.
New Jersey passed a law
partially repealing its gambling prohibition anyway, claiming it
could do so because PASPA’s edict to the contrary violated the
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Constitution’s anticommandeering principle.
Id. at 1472.
Before
the Supreme Court, the Murphy respondents argued PASPA could not
violate the Tenth Amendment because—much like this Court observed
in its preliminary injunction ruling—the Supreme Court had only
found
such
violations
in
cases
where
Congress
went
“beyond
precluding state action and affirmatively command[ed] it.” Id. at
1478.
But
the
Court
rejected
this
argument,
finding
the
“distinction . . . empty.” Id. It reasoned that regardless whether
a federal law commands state action or precludes it, “[t]he basic
principle
that
Congress
cannot
legislatures” still applies.
issue
direct
orders
to
Id. (alteration omitted).
state
The
reasoning highlights the Supreme Court’s reluctance to rely on a
distinction more reflective of sophisticated draftsmanship than
substantive effect. Thus, PASPA, which “unequivocally dictate[d]
what a state legislature may and may not do,” was held to be
unconstitutional.
Court’s
earlier
Id.
That holding pulls the lynchpin from this
Section 1373
constitutionality
analysis
and
demands that this Court reconsider that statute with fresh eyes.
But
before
delving
further
into
the
anticommandeering
analysis, the Court must first dispose of a threshold argument.
The Attorney General argues that no anticommandeering claim exists
here because compliance with Section 1373 is merely a condition on
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grant funds which Chicago is free to refuse. This argument ignores
that Section 1373 is an extant federal law with which Chicago must
comply, completely irrespective of whether or not the City accepts
Byrne JAG funding.
And the City’s Count IV clearly recites
Chicago’s anticommandeering challenge to the law itself, not to
the law as a condition imposed on the grant.
(See Compl. ¶¶ 132-
135 “Section 1373 is . . . facially unconstitutional”).)
distinction is important.
This
No Tenth Amendment problem exists when
a federal agency imposes grant conditions, because the Spending
Clause empowers the federal government to offer funds in exchange
for state action it could not otherwise demand.
See NFIB v.
Sebelius, 567 U.S. 519, 537 (2012) (observing that the federal
government may award grant funding that “may well induce the States
to adopt policies that the Federal Government itself could not
impose” (citation omitted)); South Dakota v. Dole, 483 U.S. 203,
210 (1987) (finding a “Tenth Amendment limitation on congressional
regulation of state affairs did not concomitantly limit the range
of conditions legitimately placed on federal grants”). But Section
1373 is not a grant condition which Chicago may freely shirk.
It
is a federal law and as such may be challenged on an independent
ground,
as
Chicago
has
here,
notwithstanding
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that
certifying
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compliance with Section 1373 appears as a condition for Byrne JAG
funding.
The Court now turns to the statute itself: Section 1373.
Congress enacted Section 1373 in 1996 as part of the Illegal
Immigration Reform and Immigrant Responsibility Act (included as
part of the Omnibus Consolidated Appropriations Act, Pub. L.
No. 104-208,
110
Stat
3009
(1996)).
The
Act
is
part
of
a
comprehensive federal statutory scheme to regulate immigration.
See Arizona v. United States, 567 U.S. 387, 401 (2012); DeCanas v.
Bica, 424 U.S. 351, 353 (1976).
In relevant part, Section 1373
provides:
(a) In general
Notwithstanding any other provision of Federal, State,
or local law, a Federal, State, or local government
entity or official may not prohibit, or in any way
restrict, any government entity or official from sending
to,
or
receiving
from,
the
Immigration
and
Naturalization
Service
information
regarding
the
citizenship or immigration status, lawful or unlawful,
of any individual.
(b) Additional authority of government entities
Notwithstanding any other provision of Federal, State,
or local law, no person or agency may prohibit, or in
any way restrict, a Federal, State, or local government
entity from doing any of the following with respect to
information regarding the immigration status, lawful or
unlawful, of any individual:
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(1) Sending such information to, or requesting or
receiving such information from, the Immigration
and Naturalization Service.
(2) Maintaining such information.
(3) Exchanging such information with any other
Federal, State, or local government entity.
8 U.S.C. § 1373.
The
Court’s
inquiry
“begin[s]
with
the
time-honored
presumption that [a statute] is a constitutional exercise of
legislative power.”
Reno v. Condon, 528 U.S. 141, 148 (2000)
(internal
marks
quotation
presumption has limits.
and
citation
omitted).
But
this
“While Congress has substantial powers to
govern the Nation directly, including in areas of intimate concern
to the States, the Constitution has never been understood to confer
upon Congress the ability to require the States to govern according
to Congress’ instructions.” New York, 505 U.S. at 162 (applying
anticommandeering
doctrine).
Not
all
laws
prohibiting
state
action are constitutionally problematic. In Reno, for example, the
Court
denied
a
Tenth
Amendment
challenge
to
a
federal
law
restricting both state and private actors from disclosing or
disseminating personal information provided in applications for
driver’s licenses.
528 U.S. at 151.
That law did not “require
the States in their sovereign capacity to regulate their own
citizens,” but rather permissibly regulated the States “as the
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owners of data bases.”
Id.
In contrast stands Printz, wherein
the Court struck down a statute requiring state officials to
perform background checks on prospective handgun purchasers.
U.S. at 935.
521
There, the federal scheme did not apply with equal
force to State and private actors; instead, the law commanded state
officers—and only state officers—to administer and enforce a
federal regulatory program.
Id.; see Travis v. Reno, 163 F.3d
1000, 1003-04 (7th Cir. 1998).
The
question
under
Murphy,
Reno,
and
Printz
is
whether
Section 1373 “evenhandedly regulates an activity in which both
States
and
activities
private
actors
undertaken
engage,”
by
as
government
opposed
to
entities
regulating
only,
thus
conscripting state action in the implementation of a federal
scheme.
Murphy, 138 S. Ct. at 1478.
federal
government
may
“pervasively
In other words, although the
regulate[]
the
states
as
marketplace participants,” it may not “call[] on the states to use
their sovereign powers as regulators of their citizens.”
v. Reno, 163 F.3d 1000, 1004–05 (7th Cir. 1998).
imposes
two
overlapping
regulations:
First,
Travis
Section 1373
subsection (a)
prohibits any “government entity or official” from restricting any
other “government entity or official” from exchanging immigration
status information with INS.
As is apparent, subsection (a) is
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directed exclusively to state actors.
Second, subsection (b)
prohibits any “person or agency” from doing the same.
§ 1373.
8 U.S.C.
Subsection (b) does not meaningfully expand the statute’s
scope by including “person[s]”: Who but a government actor can
restrict the activities of a government entity or official?
See
id.
The import is clear: Section 1373 does not evenhandedly
regulate activities in which both private and government actors
engage.
Thus, the saving grace of Reno does not apply here.
Rather, this statute mandates that local government employees have
the option of furnishing immigration information to the INS while
acting in their official, state-employed capacities.
Unlike in
Reno, the anticommandeering doctrine applies, and here it is
offended in four ways.
First,
Section
1373
supplants
local
control
of
local
officers; the statute precludes Chicago, and localities like it,
from
limiting
the
amount
of
paid
time
its
employees
use
to
communicate with INS. This weighs heavily on the constitutionality
analysis.
A state’s ability to control its officers and employees
lies at the heart of state sovereignty: “To say that the Federal
Government cannot control the State, but can control all of its
officers, is to say nothing of significance.
- 22 -
Indeed, it merits
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the
description
the
highest
Printz, 521 U.S. at 931 (citation omitted).
order.’”
‘empty
formalistic
reasoning
of
Adding
credence to this constitutional objection is the fact that the
information at issue is state-owned and only accessible to city
employees in their official capacities.
that
a
constitutionally-impermissible
Id. at 932 n.17 (noting
statute
required
state
employees “to provide information that belongs to the State and is
available
to
them
only
in
their
official
capacity”).
To
illustrate further, it is clear under Printz that an explicit
federal directive to state employees is unconstitutional.
See
Murphy, 138 S. Ct. at 1477 (characterizing Printz).
Given the
pre-Murphy
Congress,
command-versus-proscription
dichotomy,
perhaps cautious of running afoul of the Tenth Amendment by
demanding
that
states
share
immigration-status
information,
drafted Section 1373 to avoid the potential Printz problem by
framing it as a prohibition on, rather than a directive to, state
employees.
Rather
than
requiring
state
employees
to
share
immigration information with federal authorities, Section 1373
prohibits state policymakers from preventing their employees from
sharing.
See 8 U.S.C. § 1373.
not
Yet as Murphy demonstrates, this
draftsmanship
does
diminish
sovereignty.
To analogize to Printz: the Brady Act considered
- 23 -
the
infringement
on
state
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there
would
still
be
unconstitutional
even
if,
rather
than
affirmatively requiring state employees to complete background
checks,
the
Act
instead
prohibited
state
policymakers
from
preventing state employees from doing the same.
Second, the statute indirectly constrains local rule-making
by precluding city lawmakers from passing laws, like the Welcoming
City Ordinance, that institute locally-preferred policies which
run counter to Section 1373.
This was the concern squarely
addressed in Murphy, where the Court observed that a “more direct
affront to state sovereignty is not easy to imagine” than in a
federal law that “dictates what a state legislature may and may
not do.”
Murphy, 138 S. Ct. at 1478.
True, the statute in Murphy,
which explicitly forbade local lawmaking, presented a clearer case
than the one at bar.
See id.
But the spirit of Murphy is not
diminished here, where Section 1373 imposes a blanket, if indirect,
prohibition on certain local lawmaking.
See id.; see also Printz,
521 U.S. at 928 (“It is an essential attribute of the States’
retained sovereignty that they remain independent and autonomous
within their proper sphere of authority.”); United States v.
California, No. 2:18 CV 490, 2018 WL 3301414, at *13 (E.D. Cal.
July 5, 2018) (“Section 1373 does just what Murphy proscribes: it
tells States they may not prohibit (i.e., through legislation) the
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sharing of information regarding immigration status with the INS
or other government entities.”)
Third, Section 1373 redistributes local decision-making power
by stripping it from local policymakers and installing it instead
in
line-level
communicate
employees
with
who
INS.
may
This
decide
effects
whether
a
or
not
to
federally-imposed
restructuring of power within state government.
See Spencer E.
Amdur, The Right of Refusal: Immigration Enforcement and the New
Cooperative Federalism, 35 Yale L. & Pol’y Rev. 87, 136 (2016).
The Supreme Court tussled with a similar problem in Printz.
In
that case, the background-check law required local officials to
make
“reasonable
efforts”
within
five
days
of
receiving
information regarding a prospective gun purchase to determine
whether the sales therein described were lawful.
521 U.S. at 905.
The government argued unsuccessfully that the anticommandeering
doctrine prohibits only federal statutes compelling states to make
certain law, but not statutes that simply require local officials
to provide “limited, non-policymaking help in enforcing [federal]
law.”
Id. at 927.
distinction,
The Supreme Court did not agree with that
pointing
out
that
the
decision
concerning
what
“reasonable efforts” should be expended in conducting a background
check is “preeminently a matter of policy.”
- 25 -
Id. at 927-28.
In
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this case, Section 1373 prohibits the City from restricting its
employees’ communications with federal immigration authorities.
As such, the degree of discretion afforded to each City employee
or police officer is broad indeed.
Beyond simply determining what
constitutes “reasonable efforts,” as in Printz, City employees may
decide
for
themselves
authorities at all.
whether
See id.
to
communicate
with
federal
This is certainly a matter a policy,
and yet it is a matter that, under Section 1373, state policymakers
are not allowed to touch.
Finally, because Section 1373 eliminates the City’s ability
to control its employees’ communications with INS, the statute
prevents Chicago from extricating itself from federal immigration
enforcement.
Section
1373
thus
impermissibly
forecloses
New
York’s “critical alternative”: the option of non-participation in
a federal program.
Beyond
New York, 505 U.S. at 176.
this,
the
policy
rationales
undergirding
the
anticommandeering principle further counsel its application in
this case.
principle
between
Murphy articulated three such rationales: First, the
protects
federal
and
individual
state
liberty
by
governments;
dividing
second,
it
authority
promotes
political accountability by clarifying whether laws and policies
are promulgated by federal or state actors; and third, it prevents
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Congress from shifting the costs of regulation to the states.
Murphy, 138 S. Ct. at 1477.
Section 1373 flouts these rationales;
the statute makes it difficult for citizens to distinguish between
state and federal policy in the immigration context by barring
states from adopting policies contrary to those preferred by the
federal government.
The statute also forces states to allow their
employees to participate in the federal scheme, shifting employee
time—and thus corresponding costs—to federal initiatives and away
from state priorities.
Despite
Section 1373
all
this,
does
not
Chicago claims.
the
pose
Attorney
nearly
the
General
contends
regulatory
that
imposition
Instead, he says, the dictates of Section 1373
boil down to mere information sharing, which the Attorney General
believes to be exempt from Tenth Amendment scrutiny.
To that end,
the Attorney General opines that “the analysis in Murphy would
likely have been very different if PASPA had only required States
to
share
information
regarding
sports
betting
operations
to
facilitate federal regulation.” (Def.’s Resp. at 4, Dkt. No. 176.)
This Court is not so sure.
The Attorney General contends that information sharing is
immune from challenge under the anticommandeering doctrine.
the
Attorney
General’s
view,
Congress
- 27 -
could
From
constitutionally
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require states to provide the federal government with immigrationrelated information.
And if that is constitutional, then surely
a statute merely requiring that states allow their employees to
provide immigration-related information is also constitutional.
Cf. Freilich v. Upper Chesapeake Health, Inc., 313 F.3d 205, 21314 (4th Cir. 2002) (finding no Tenth Amendment violation where
state medical boards were required to share doctors’ licensure
information).
The Attorney General rests his argument in favor of
an information sharing carve-out on Printz.
It is true that
Printz’s dicta signals that such an exception might exist, but the
opinion neither states an exception conclusively nor provides any
guidance
as
distinguished
to
its
the
contours.
In
Printz,
the
Brady
Act
unconstitutional
Supreme
from
Court
a
law
“requir[ing] only the provision of information to the Federal
Government,” but declined to elaborate on the distinction. 521
U.S.
at
917-18.
Justice
O’Connor’s
concurrence
echoed
the
distinction, remarking that “the Court appropriately refrains from
deciding whether other purely ministerial reporting requirements
imposed by Congress on state and local authorities pursuant to its
Commerce
Clause
powers
are
(O’Connor, J., concurring).
similarly
invalid.”
Id.
at
936
Justice O’Conner cited 42 U.S.C.
§ 5779(a) as an example of such a federal statute, which requires
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state and local law enforcement agencies to report cases of missing
children to the DOJ. Id.
In this way, the Supreme Court left open
whether a federal law demanding “only the provision of information
to the Federal Government” or else imposing “purely ministerial
reporting requirements” violates the anticommandeering doctrine.
Id. at 918, 936.
Now, the Attorney General wants this Court to go
further than the Supreme Court has and hold that information
sharing
is
constitutionally
unique.
Though
this
Court
acknowledges the open question, the Attorney General’s request is
a stretch too far.
This Court will not, in the face of clear
guidance from Murphy and Printz, hang its hat on a possible
information sharing carve-out derived solely from dicta.
Still, the Attorney General argues that policy rationales
bolster
his
argument:
Federal
immigration
efforts
could
be
frustrated if localities may prohibit their employees from sharing
immigration-related information with federal authorities.
these rationales do not advance his position.
But
First, the Seventh
Circuit has already rejected the Attorney General’s argument that
finding the Conditions unlawful allows the City to “thwart federal
law enforcement,” characterizing such argument as a “red herring.”
See City of Chicago v. Sessions, 888 F.3d at 282 (“[N]othing in
this case involves any affirmative interference with federal law
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enforcement at all, nor is there any interference whatsoever with
federal immigration authorities.
The only conduct at issue here
is the refusal of the local law enforcement to aid in civil
immigration
enforcement
. . . .”);
see
also
United
States
v.
California, No. 2:18 CV 490, 2018 WL 3301414, at *18 (E.D. Cal.
July 5, 2018) (“Standing aside does not equate to standing in the
way.”).
Granted, the concern that federal enforcement efforts will be
impeded obviously extends to other federal initiatives that depend
upon state information.
See, e.g., Organized Crime Control Act of
1970, Pub. L. No. 91-452, § 806, 84 Stat. 922, 939-40 (creating
commission
to
evaluate
national
gambling
policy,
which
was
“authorized to call upon . . . States to furnish . . . statistical
data, reports, and other information as the Commission deems
necessary”).
holding
that
Yet this Court has found no controlling authority
such
information
sharing
provisions
are
constitutionally impervious, and a mere policy rationale does not
empower the Court to craft a constitutional exception heretofore
unidentified in Tenth Amendment jurisprudence.
Put more finely:
A federal need for state information does not automatically free
the federal government of the sometimes laborious requirement to
acquire that information by constitutional means.
- 30 -
See Printz, 521
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U.S. at 932-33 (rejecting the application of a balancing analysis
even where the federal law at issue served important purposes);
New York, 505 U.S. at 181 (“State sovereignty is not just an end
in itself: ‘Rather, federalism secures to citizens the liberties
that derive from the diffusion of sovereign power.’” (quoting
Coleman v. Thompson, 501 U.S. 722, 759 (1991) (Blackmun, J.,
dissenting))).
In
short,
the
federalist
diffusion
of
power
necessarily creates political barriers and inefficiencies.
But
these inefficiencies are part of federalism’s intended structure,
not
imperfections
to
consolidation of power.
be
remedied
by
judicially-wrought
See New York, 505 U.S. at 187 (“[T]he
Constitution protects us from our own best intentions: It divides
power among sovereigns and among branches of government precisely
so that we may resist the temptation to concentrate power in one
location as an expedient solution to the crisis of the day.”).
Furthermore, Section 1373 is more than just an informationsharing provision.
certain
rule
making
As described above, Section 1373 prohibits
by
state
policymakers.
In
doing
so,
Section 1373 presents more like the statute in Murphy and less
like
the
innocuous
missing-children
law
mentioned
in
Justice
O’Connor’s Printz concurrence. Compare Murphy, 138 S. Ct. at 1478,
with Printz, 521 U.S. at 936 (O’Connor, J., concurring) (citing 42
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U.S.C.
§ 5779(a)).
requiring
the
Whether
submission
a
of
different
information
federal
but
law
not
merely
explicitly
prohibiting any state policymaking would be permissible under an
information sharing carve-out is irrelevant; that is not the law
before the Court now.
In sum, Section 1373 impermissibly directs the functioning of
local government in contravention of Tenth Amendment principles,
and the Attorney General’s reliance on the purported information
sharing carve-out—which is not confirmed in Printz nor in any
other controlling case—cannot save it.
unconstitutional on its face.
Section 1373 is thus
See United States v. California,
No. 2:18 CV 490, 2018 WL 3301414, at *14 (E.D. Cal. July 5, 2018)
(finding the constitutionality of Section 1373 “highly suspect”);
City of Philadelphia v. Sessions, No. 17-3894, 2018 WL 2725503, at
*31-33
(E.D.
Pa.
June
6,
2018)
(holding
Section
1373
unconstitutional under the anticommandeering doctrine).
In so holding, this Court must respectfully disagree with
City of New York v. United States, 179 F.3d 29 (2d Cir. 1999).
In
that case, New York City implemented an executive order prohibiting
City employees from providing federal immigration authorities with
information concerning the immigration status of any individual
unless certain circumstances applied.
- 32 -
Id. at 31-33.
The City
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then sued, challenging the constitutionality of Section 1373 under
the Tenth Amendment.
Id. at 33.
The Second Circuit upheld the
statute’s constitutionality, refusing to permit the City to engage
in what the court of appeals called “passive resistance” to federal
programs.
Id. at 35.
For several reasons, this Court declines to
follow that decision’s lead.
First, the Supreme Court has explicitly approved of the type
of passive resistance criticized in City of New York, finding that
states
have
the
prerogative
to
“not
yield[]
to
federal
blandishments when they do not want to embrace the federal policies
as their own.”
NFIB, 567 U.S. at 579 (internal quotation marks
and citation omitted).
Second, as this Court has noted once
before, the balancing applied in City of New York is not the
appropriate analysis in weighing encroachments on federalism.
See
City of Chicago v. Sessions, 264 F. Supp. 3d at 947 (citing Printz,
521 U.S. at 932; Travis v. Reno, 163 F.3d 1000, 1003 (7th Cir.
1998) (both opinions disavowing use of balancing analysis in Tenth
Amendment challenges)).
And yet, the strongest rationale for
departing from City of New York is the same reason this Court took
up reconsideration of Section 1373’s constitutionality in the
first place. City of New York’s outcome ultimately does not depend
on the balancing test it employs, but rather the distinction it
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draws between affirmative obligations and proscriptions.
See City
of Chicago v. Sessions, 264 F. Supp. 3d at 947-48 (characterizing
City of New York).
This is the same distinction that motivated
this Court’s earlier finding that Chicago was not likely to succeed
on its anticommandeering argument, and it is the same distinction
the Supreme Court has since deemed “empty.”
Ct. at 1478.
See Murphy, 138 S.
For the same reasons explained above, the Court
believes that Murphy’s holding deprives City of New York of its
central support and thus provides the Attorney General little
counterweight
to
constitutionality.
Chicago’s
See id.
argument
against
this
statute’s
In the end, Section 1373 requires
local policymakers to stand aside and allow the federal government
to conscript the time and cooperation of local employees.
This
robs the local executive of its autonomy and ties the hands of the
local legislature.
Such affronts to State sovereignty are not
countenanced
by
Constitution.
Section 1373 is unconstitutional and cannot stand.
C.
the
anticommandeering
principle
of
the
Ultra Vires and Separation of Powers (Counts I and II)
In Counts I and II, Chicago claims that Congress did not
confer authority on the Attorney General to impose the Conditions,
so his imposition treads upon the separation of powers and is ultra
vires.
City of Arlington v. FCC, 569 U.S. 290, 317 (2013)
- 34 -
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(“Agencies are creatures of Congress; ‘an agency literally has no
power to act . . . unless and until Congress confers power upon
it.” (internal quotation marks and citation omitted)).
1.
Notice and Access Conditions
The Attorney General moves to dismiss Counts I (ultra vires)
and II (separation of powers), arguing that the Byrne JAG statute
provides authority to impose the Conditions, and Chicago moves for
summary judgment on the same counts. This Court previously granted
Chicago a preliminary injunction as to the Notice and Access
Conditions, finding that Chicago was likely to succeed on its
argument that the Byrne JAG statute does not authorize them.
of Chicago v. Sessions, 264 F. Supp. 3d at 937-40.
Seventh Circuit affirmed that decision.
City
A panel of the
City of Chicago v.
Sessions, 888 F.3d 272 (7th Cir. 2018), en banc reh’g granted on
other grounds, vacated in part by Order, No. 17-2991 (7th Cir.
June 4, 2018), Dkt. No. 128.
In affirming, the Seventh Circuit found Chicago likely to
succeed in arguing that neither Byrne JAG nor any other statute
grants the Attorney General “the authority to impose conditions
that require states or local governments to assist in immigration
enforcement, nor to deny funds to states or local governments for
the failure to comply with those conditions.”
- 35 -
Id. at 284.
In so
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holding, the court rejected the Attorney General’s “untenable”
contention that 34 U.S.C. § 10102(a)(6), which sets forth the
functions of the Assistant Attorney General for the Office of
Justice Programs, provides the Attorney General an expansive,
stand-alone grant of authority to impose any conditions on grant
recipients.
Id. at 284-85.
The court added that the structure of
§ 10102 and the Byrne JAG statute supported that conclusion, as
§ 10102 would be “an odd place indeed” for Congress to have
squirreled away a sweeping grant of authority.
Id.
The Seventh
Circuit concluded that “[t]he Attorney General in this case used
the
sword
of
federal
funding
to
conscript
state
and
local
authorities to aid in federal civil immigration enforcement.
But
the power of the purse rests with Congress, which authorized the
federal
funds
at
issue
and
did
not
impose
any
immigration
enforcement conditions on the receipt of such funds.”
City of
Chicago v. Sessions, 888 F.3d at 277.
In light of the Seventh Circuit’s reasoning and considering
that the Attorney General has not mustered any other convincing
argument in support of greater statutory authority, nothing has
shaken this Court from the opinion it expressed at the preliminary
injunction stage.
As such, for the same reasons stated in this
Court’s preliminary injunction ruling and the Seventh Circuit’s
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opinion, the Court holds that the Notice and Access Conditions are
unlawful.
The Attorney General’s Motion to Dismiss is denied, and
Chicago’s Motion for Summary Judgment is granted on Counts I and
II as to the Notice and Access Conditions.
2.
Compliance Condition
The Attorney General’s authority to impose grant conditions
extends only as far as Congress allows. See Alexander v. Sandoval,
532 U.S. 275, 291 (2001) (“Agencies may play the sorcerer’s
apprentice but not the sorcerer himself.”).
Whether the Attorney
General has authority to impose the third and final condition turns
on the meaning of the phrase “all other applicable Federal laws”
as it appears in the Byrne JAG statute.
Because this issue was
not considered on appeal, the Court must proceed without the
benefit of the Seventh Circuit’s guidance.
See City of Chicago v.
Sessions, 888 F.3d at 280 (expressing “no opinion” as to the denial
of the Compliance Condition).
We start with the text:
(A) . . . To request a grant under this part, the chief
executive officer of a State . . .
shall submit an
application to the Attorney General . . . in such form
as the Attorney General may require. Such application
shall include the following:
[. . .]
(5) A certification . . . that-(A) the programs to be funded by the grant
meet all the requirements of this part;
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(B) all the information contained in the
application is correct;
(C) there has been appropriate coordination
with affected agencies; and
(D) the applicant will comply with all
provisions of this part and all other
applicable Federal laws.
34 U.S.C. § 10153(A)(5)(D) (emphasis added).
competing interpretations of this language.
The parties offer
The Attorney General
argues that the word “applicable” refers to laws applicable to the
grantee—here, the City—and thus covers any federal law that
applies to Chicago; it follows that because Section 1373 plainly
applies
to
“local
government
entit[ies],”
within that broad sweep. 8 U.S.C. § 1373.
narrower
interpretation,
comprising
just
applicable to federal grantees generally.
Section
1373
falls
Chicago offers a far
those
federal
laws
That is, according to
Chicago, the “applicable Federal laws” countenanced by the Byrne
JAG statute include only those laws that “by their express terms
govern recipients of federal funds,” such as 42 U.S.C. § 2000d,
which
prohibits
discrimination
in
“any
program
or
activity
receiving Federal financial assistance.” (Pl.’s Mem. in Supp. of
Summ. J. at 6, Dkt. No. 152.)
Chicago concludes that because
Section 1373 does not expressly apply to federal grants, it is not
an “applicable law” under the Byrne JAG statute.
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The Court already dealt with this question once, in its
preliminary injunction ruling, and sees no convincing reason to
depart from the analysis conducted there. Simply put, this statute
is most consistent and coherent when “all other applicable Federal
laws” is “read to mean what it literally says.”
Ali v. Fed. Bureau
of Prisons, 552 U.S. 214, 228 (2008) (citation omitted).
The
Supreme Court has “stated time and again that courts must presume
that a legislature says in a statute what it means and means in a
statute what it says there.”
Conn. Nat’l Bank v. Germain, 503
U.S. 249, 254-55 (1992) (citations omitted).
Here, the language
is unambiguously expansive, the prefatory “all other” indicating
a broad reading in line with the Attorney General’s interpretation.
Cf. Norfolk & W. Ry. Co. v. Am. Train Dispatchers’ Ass’n, 499 U.S.
117, 129 (1991) (“By itself, the phrase ‘all other law’ indicates
no
limitation.”).
Had
Congress
intended
to
limit
§ 10153(A)(5)(D)’s reach to only a specific body of federal grantmaking laws, as Chicago argues, it easily could have. But Congress
opted not to include additional, limiting language; instead, it
used the capacious phrase “all other applicable Federal laws.”
The Court is unpersuaded by Chicago’s attempt to create ambiguity
where a plain reading of the Byrne JAG statute suggests none.
id.
- 39 -
See
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If the Court were conducting this ultra vires inquiry in a
vacuum, it would conclude that because Section 1373 is generally
applicable to Chicago, Section 1373 falls within the “applicable
Federal laws” described in the Byrne JAG statute and thus counts
among those statutes with which the Attorney General may lawfully
demand
compliance
§ 10153(A)(5)(D).
as
a
condition
for
funding.
34
U.S.C.
Instead, the Court concludes this analysis in
light of its earlier finding that Section 1373 violates the
anticommandeering
principle
and
is
unconstitutional.
As
an
unconstitutional law, Section 1373 automatically drops out of the
possible pool of “applicable Federal laws” described in the Byrne
JAG statute.
Cf. Branch v. Smith, 538 U.S. 254, 281-82 (2003)
(observing that adherence to an unconstitutional state law is not
mandated
by
redistricting
a
“as
federal
state
law
statute
requiring
requires”).
congressional
Thus,
it
makes
no
difference that the Court reads “all other applicable Federal laws”
broadly; no matter the breadth of this provision, it will never
capture an unconstitutional statute. See id.
Attorney
General
has
no
authority
to
demand
Accordingly, the
compliance
with
Section 1373, hereby deemed unconstitutional, under the Byrne JAG
statute.
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It is worth emphasizing a key constitutional distinction
between Section 1373 and the Compliance Condition.
Even though
the Compliance Condition is substantively the same as Section 1373
because the Condition was designed to reinforce Section 1373’s
requirements, the two are constrained by different constitutional
limitations.
The former is a federal statute carrying the force
the law, while the latter is merely a condition imposed on a
federal grant that Chicago may freely decline.
matters
because,
as
already
described,
the
This distinction
anticommandeering
doctrine does not limit the conditions agencies may attach to
federal grants. See Dole, 483 U.S. at 210 (reciting that the Tenth
Amendment’s limit on congressional regulation of state affairs
does
not
grants).
equally
limit
the
conditions
attachable
federal
Thus, the Compliance Condition does not fail because it
violates the anticommandeering doctrine.
statutory
to
authority
on
which
it
depends
It fails because the
sanctions
only
the
imposition of “applicable” federal laws; because Section 1373 no
longer falls within that category, the authority for the Compliance
Condition has been stripped away.
82.
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Cf. Branch, 538 U.S. at 281-
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Accordingly, the Attorney General’s Motion to Dismiss must be
denied, and Chicago’s Motion for Summary Judgment must be granted
on Counts I and II as to the Compliance Condition.
*
*
*
Granting Chicago summary judgment on Counts I and II affects
the balance of Chicago’s claims.
It renders the remaining counts—
Counts III, V, VI, and VII—moot. The Court dismisses them as such.
D.
1.
Injunctive Relief
Permanent Injunction
As discussed above, this Court grants Chicago’s Motion for
Partial Summary Judgment on Counts I and II as to all three
Conditions.
With the merits decided, Chicago asks the Court to
issue a permanent nationwide injunction.
The Court may issue
permanent injunctive relief if the moving party demonstrates:
(1) that it has suffered an irreparable injury; (2) that
remedies available at law, such as monetary damages, are
inadequate to compensate for that injury; (3) that,
considering the balance of hardships between the
plaintiff and defendant, a remedy in equity is
warranted; and (4) that the public interest would not be
disserved by a permanent injunction.
eBay Inc. v. MercExchange, LLC, 547 U.S. 388, 391 (2006).
The
permanent injunction standard is essentially the same as the
standard for a preliminary injunction except that the plaintiff
must in fact succeed on its claims rather than merely show a
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likelihood of success.
See Amoco Prod. Co. v. Vill. of Gambell,
480 U.S. 531, 546 n.12 (1987); compare id., with Winter v. Nat.
Res. Def. Council, Inc., 555 U.S. 7, 20 (2008) (citations omitted).
This Court discussed in detail how Chicago met the four factors in
its
preliminary
analysis here.
at 949-51.
injunction
ruling
and
now
incorporates
that
See City of Chicago v. Sessions, 264 F. Supp. 3d
The material facts have not changed since that earlier
ruling and adding the Compliance Condition to the mix does not
change the Court’s evaluation of the harm caused by the unlawful
Conditions.
All three Conditions undermine Chicago’s ability to
protect its relationship with its immigrant communities which the
City contends is vital to effective law enforcement.
As reflected
by a fresh consideration of the four injunction factors, the
circumstances here continue to demand equitable relief.
First,
Chicago’s
harm
is
irreparable
compensated by monetary damages.
and
cannot
be
Chicago submits an affidavit
from Lieutenant Kevin Hannigan, a longtime Chicago police officer,
explaining
that
undocumented
cooperate
if
the
immigrants
voluntarily
City
will
with
complies
be
less
local
with
likely
police,
the
to
Conditions,
interact
believing
that
and
such
contacts could put them or their families at risk of deportation.
(Def.’s Resp. to Pl.’s Facts ¶¶ 7, 11, Dkt. No. 168; Hannigan Decl.
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¶¶ 2, 5, Dkt. No. 155.)
In Lieutenant Hannigan’s view, informed
by twenty-nine years of experience, “requiring Chicago’s police
officers to request immigration status would drive a wedge between
[the CPD] and the local communities.”
No. 155.)
the
(Hannigan Decl. ¶ 5, Dkt.
Doing so “would run the risk of alienating portions of
Chicago
population;
could
increase
hostility
toward
law
enforcement in vulnerable areas of the City; and could deprive
officers of valuable sources of information.” Id.
If Chicago were
to adopt such a policy, he avers “that the type of cooperation
[the CPD is] able to achieve with immigrant communities would be
materially
damaged.”
Id.
Chicago
adopted
this
view
in
its
Welcoming City Ordinance, which the City clearly intended to
protect against such harms: The Ordinance itself states that “[t]he
cooperation of the City’s immigrant communities is essential to
prevent and solve crimes and maintain public order, safety and
security in the entire City” because the “assistance from a person,
whether documented or not, who is a victim of, or a witness to, a
crime is important to promoting the safety of all . . . residents.”
§ 2-173-005 (emphasis added).
The Attorney General takes the contrary view, arguing that
so-called sanctuary policies increase crime and make cities that
implement them less safe.
Of this the Court is not convinced.
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Chicago points out that not only are there no peer-reviewed studies
supporting the AG’s proposed correlation, the scholarship on the
subject actually suggests that such policies do not affect, and
might even lower, crime rates.
(See Def.’s Resp. to Pl.’s Facts
¶¶ 24-25 (noting University of California Riverside study found
“no support” for proposition that “sanctuary policies lead to
increased crime” and Center for American Progress study found
“crime [] statistically significantly lower in sanctuary counties
compared to nonsanctuary counties”).) But the Court need not delve
into this factual determination.
Cf. City of Chicago v. Sessions,
888 F.3d 272, 277 (7th Cir. 2018) (“Our role in this case is not
to assess the optimal immigration policies for our country.”).
The key point here is that the Attorney General offers no facts or
affidavits
belying
Chicago’s
declarations
concerning
the
connections between its policies and the effectiveness of its
police force.
The Attorney General never addresses the above-
discussed harm to Chicago’s immigrant communities or considers
that such harm may affect the CPD’s ability to prevent and solve
crimes. (See Def.’s Resp. to Pl.’s Facts ¶¶ 5, 7, 11; May 31, 2016
Office of Inspector General Mem., Ex. H to Def.’s Request for
Judicial Notice, Dkt. No. 140-8; July 25, 2017 DOJ Press Release,
Ex. R to Pl.’s Request for Judicial Notice, Dkt. No. 157-18.)
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such,
this
Court
finds
that
Chicago’s
compliance
with
the
Conditions would damage local law enforcement’s relationship with
immigrant communities and decrease the cooperation essential to
prevent and solve crimes both within those communities and Chicago
at large.
Trust once lost is not easily restored, and as such,
this is an irreparable harm for which there is no adequate remedy
at law.
Cf. Gateway E. Ry. Co. v. Terminal R.R. Ass’n of St.
Louis, 35 F.3d 1134, 1140 (7th Cir. 1994) (finding that loss of
goodwill can qualify as an irreparable harm for which there is no
adequate remedy at law).
Beyond that, the Hobson’s choice that
now confronts the City—whether to suffer this injury or else
decline much-needed grant funds—is not a choice at all and is
itself sufficient to establish irreparable harm.
Morales v. Trans
World Airlines, Inc., 504 U.S. 374, 381 (1992) (finding injunctive
relief available where plaintiffs faced choice between continually
violating state law and facing huge liability or violating the law
once as a test case but suffering the injury of obeying the
allegedly unconstitutional law during the pendency of review); see
also
City
of
Additionally,
Chicago
a
irreparable harm.
v.
Sessions,
constitutional
264
injury
F.
Supp.
alone
can
3d
at
950.
constitute
See 11A Wright & Miller, Federal Practice &
Procedure § 2948.1 (2d ed. 1995) (“When an alleged deprivation of
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a constitutional right is involved, most courts hold that no
further showing of irreparable injury is necessary.”); see also
Ezell v. City of Chicago, 651 F.3d 684, 698-700 (7th Cir. 2011);
County of Santa Clara v. Trump, 250 F. Supp. 3d 497, 537 (N.D.
Cal. 2017), appeal dismissed as moot, sub nom. City & County of
San Francisco v. Trump, No. 17 16886, 2018 WL 1401847, at *1 (9th
Cir. Jan. 4, 2018).
Chicago faces such an injury here, where the
Attorney General subjects the City’s receipt of grant funds to
unconstitutionally imposed Conditions.
For all of those reasons,
Chicago demonstrates irreparable harm and lacks an adequate remedy
at law.
The balance of hardships weighs in Chicago’s favor as well.
As already explained, Chicago will suffer irreparable harm if the
Attorney General’s imposition of the Conditions is not enjoined.
If Chicago accepts the Byrne JAG funds and its Conditions, the
City’s
relationship
with
its
immigrant
communities
will
be
degraded, making the City’s task of preventing and prosecuting
crime more difficult. (Def.’s Resp. to Pl.’s Facts ¶¶ 5, 7, 11.)
The picture is no brighter if Chicago declines the funds.
If it
does so, it will do so only to avoid the Conditions which the
Attorney General has no authority or right to impose.
Chicago
intends to use the FY 2017 funds to expand its use of the
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ShotSpotter acoustic-surveillance technology into two communities
plagued by high rates of gun violence.
(Id. ¶ 15.)
According to
Chicago’s submissions, implementing this technology has a direct
and positive effect on public safety.
(See id.; Sach Decl. ¶ 15
(reciting that Chicago had 302 fewer shootings compared to the
equivalent period in 2016 and that more than half of the reduction
came from areas that recently deployed ShotSpotter).)
But without
the already-budgeted FY 2017 Byrne JAG funds, Chicago will not be
able to expand its use of that technology as planned.
¶ 11.)
(Sach Decl.
Thus, the Conditions’ continued application causes Chicago
hardship by unlawfully blocking it from funds it could otherwise
accept without grievance.
On
the
other
side
of
the
hardship
scale,
from
the
the
Attorney
imposition
General
experiences
little
of
this
injunction.
First, as the Seventh Circuit recognized, Chicago,
“like other ‘welcoming’ or ‘sanctuary’ cities or states, does not
interfere in any way with the federal government’s lawful pursuit
of
its
civil
immigration
activities,
and
presence
in
such
localities will not immunize anyone to the reach of the federal
government.
The federal government can and does freely operate in
‘sanctuary’ localities.”
City of Chicago v. Sessions, 888 F.3d at
281 (citation omitted).
True, the corresponding downturn in
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cooperation
from
local
jurisdictions
could,
as
the
Attorney
General fears, decrease the effectiveness of federal immigration
enforcement.
(See May 31, 2016 Office of Inspector General Mem.,
Ex. H to Def.’s Request for Judicial Notice, Dkt. No. 140-8;
July 25, 2017 DOJ Press Release, Ex. R to Pl.’s Request for
Judicial Notice, Dkt. No. 157-18.)
Yet while the Attorney General
would prefer to avoid that outcome, his present attempt to steer
around
it
Conditions.
relies
upon
unlawfully
imposing
unauthorized
grant
Though the Attorney General has many tools at his
disposal to increase such local cooperation, conditioning the
Byrne JAG grant as he has here is not one of them.
The Attorney
General thus suffers little hardship here because the injunction
does not strip away any option he could otherwise exercise.
In
the end, the weight of the hardships rests with Chicago.
Finally, the public interest is served by issuing a permanent
injunction.
The Attorney General must administer the Byrne JAG
grant program in conformance with the limited statutory authority
Congress affords him.
As explained at length, Congress provided
the Attorney General no authority to impose the Conditions.
The
role of the judiciary to enjoin conduct by the executive that
crosses its constitutionally-imposed limits is as essential to our
form of government as it is well-established:
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The founders of our country well understood that the
concentration of power threatens individual liberty and
established a bulwark against such tyranny by creating
a separation of powers among the branches of government.
If the Executive Branch can determine policy, and then
use the power of the purse to mandate compliance with
that policy by the state and local governments, all
without the authorization or even acquiescence of
elected legislators, that check against tyranny is
forsaken. . . . It falls to us, the judiciary, as the
remaining branch of the government, to act as a check on
such usurpation of power.
We are a country that
jealously guards the separation of powers, and we must
be ever-vigilant in that endeavor.
City of Chicago v. Sessions, 888 F.3d at 277.
By enjoining the
unlawful Conditions, the Court acts as a check on the executive’s
encroachment of congressional power and thus serves the public
interest by constraining the Attorney General’s authority in order
to preserve the Byrne JAG program as Congress envisioned.
Gordon
v.
Holder,
721
F.3d
638,
653
(D.C.
Cir.
Cf.
2013)
(“[E]nforcement of an unconstitutional law is always contrary to
the public interest.” (citations omitted)).
In conclusion, Chicago has demonstrated all four requirements
for
permanent
injunctive
relief:
(1)
Chicago’s
harm
is
irreparable; (2) such harm cannot be fully remedied by monetary
damages; (3) the balance of hardships favors Chicago; and (4) a
permanent injunction will not undermine the public interest.
See
eBay, 547 U.S. at 391; accord City of Philadelphia v. Sessions,
No. 17-3894, 2018 WL 2725503, at *40-43 (E.D. Pa. June 6, 2018)
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(granting
permanent
injunctive
relief
in
analogous
factual
circumstances); City of Los Angeles v. Sessions, 293 F. Supp. 3d
1087, 1100-01 (C.D. Cal. 2018) (same).
finds
permanent
injunctive
relief
Accordingly, the Court
warranted
as
to
all
three
Conditions.
2.
Scope of the Permanent Injunction
The scope of the preliminary injunction is currently on appeal
before the Seventh Circuit sitting en banc.
This Court entered
the preliminary injunction on September 15, 2017, enjoining the
Attorney General from imposing Conditions nationwide.
Chicago v. Sessions, 264 F. Supp. 3d at 951-52.
See City of
On appeal, the
Seventh Circuit panel unanimously affirmed this Court’s ruling
that the Attorney General lacks the statutory authority to impose
the
Conditions
and
a
divided
panel
affirmed
this
Court’s
corresponding issuance of a nationwide preliminary injunction.
See City of Chicago v. Sessions, 888 F.3d at 293.
General
petitioned
for
rehearing
en
banc
solely
The Attorney
as
to
the
nationwide scope of the injunction, and the Seventh Circuit granted
that request.
See En Banc Order, City of Chicago v. Sessions,
No. 17-2991 (7th Cir. June 4, 2018), Dkt. No. 128.
banc
rehearing
is
pending,
the
Seventh
Circuit
While the en
stayed
the
nationwide scope of the preliminary injunction, thus limiting it,
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for now, to Chicago.
See Order, City of Chicago v. Sessions, No.
17-2991 (7th Cir. June 26, 2018), Dkt. No. 134.
The eventual en
banc ruling may well shed much-needed light on the proper scope of
such injunctions, which is at present a matter of some debate.
See City of Chicago v. Sessions, No. 17 C 5720, 2017 WL 4572208,
at *4 (N.D. Ill. Oct. 13, 2017) (discussing the advantages and
disadvantages of nationwide injunctions); see, e.g., Trump v.
Hawaii, 138 S. Ct. 2392, 2425-29 (2018) (Thomas, J., concurring)
(questioning
the
legality
and
historical
underpinnings
of
universal or nationwide injunctions); id. at 2446 n.13 (Sotomayor,
J., dissenting) (finding the district court did not abuse its
discretion
by
granting
nationwide
relief);
Samuel
L.
Bray,
Multiple Chancellors: Reforming the National Injunction, 131 Harv.
L. Rev. 417, 469 (2017) (arguing injunctions should only constrain
defendant’s conduct against the plaintiff); Spencer E. Amdur and
David Hausman, Nationwide Injunctions and Nationwide Harm, 131
Harv. L. Rev. Forum 49 (2017) (responding to Bray’s criticisms of
nationwide injunctions); Amanda Frost, In Defense of Nationwide
Injunctions, 93 N.Y.U. L. Rev. (forthcoming 2018) (defending the
use of nationwide injunctions); Getzel Berger, Note, Nationwide
Injunctions Against the Federal Government: A Structural Approach,
92 N.Y.U. L. Rev. 1068, 1100 (2017) (arguing injunctions against
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the federal government should extend only to the circuit where the
district court sits).
And yet, though the en banc rehearing is pending, these
district
court
proceedings
do
not
freeze
in
place.
When
a
preliminary injunction goes up on appeal, the district court
retains the power to reach the merits of a case and, in fact, is
duty-bound to do so.
See 16 Wright & Miller, Federal Practice &
Procedure § 3921.2 (3d ed.) (collecting cases and recognizing
“cases involving injunctive relief are apt to present an urgent
need for action”); Staffa v. Pollard, 597 F. App’x 893, 895 (7th
Cir. 2015) (“[A]n appeal from an interlocutory decision—here, the
denial of a preliminary injunction—does not divest a district
court of jurisdiction or prevent the court ‘from finishing its
work and rendering a final decision.’” (quoting Wis. Mut. Ins. Co.
v. United States, 441 F.3d 502, 504 (7th Cir. 2006)) (citations
omitted)); qad. Inc. v. ALN Assocs., Inc., 974 F.2d 834, 837 (7th
Cir. 1992) (finding the district court “on solid legal ground”
where
it
dissolved
an
injunction was pending).
injunction
even
while
appeal
of
the
Federal Rule of Civil Procedure 62(c)
specifically contemplates this circumstance and specifies that the
trial court retains power to “suspend, modify, restore, or grant
an injunction” during the pendency of the interlocutory appeal.
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FED. R. CIV. P. 62(c); see also State v. Trump, 263 F. Supp. 3d
1049, 1056 (D. Haw. 2017) (“Federal Rule of Civil Procedure 62(c)
allows this Court to issue further orders with respect to an
injunction it issued, notwithstanding appeal, in order to preserve
the status quo or ensure compliance with its earlier orders.”),
aff’d, 871 F.3d 646 (9th Cir. 2017).
District courts routinely
enter summary judgment and convert injunctions from preliminary to
permanent while such appeals are pending.
See, e.g., FTC v.
Assail, Inc., 98 F. App’x 316, 317 (5th Cir. 2004) (“[I]t is
settled that a district court has jurisdiction to proceed with the
merits of the case and to grant a permanent injunction while an
appeal of a preliminary injunction order is pending.” (citations
omitted)); Moltan Co. v. Eagle-Picher Indus., Inc., 55 F.3d 1171,
1174 (6th Cir. 1995) (same); cf. United States v. City of Chicago,
534 F.2d 708, 711 (7th Cir. 1976) (recognizing that “an order
granting or denying an interlocutory or preliminary injunction is
merged in a decree or order granting or denying the permanent
injunction, and that when both orders are appealed from, the appeal
from the former will be dismissed”).
Even so, the weight of practice and respect for both judicial
efficacy
and
higher
authorities
dictate
that
district
courts
should use such power only in a manner that preserves the status
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quo and thus the integrity of the appeal.
See Aljabri v. Holder,
745 F.3d 816, 820 (7th Cir. 2014) (noting that a district court
should not modify an order up on interlocutory appeal because to
do so is “at best wasteful of resources and at worst chaotic”);
Coastal Corp. v. Tex. E. Corp., 869 F.2d 817, 819-20 (5th Cir.
1989) (finding that district courts should not act in a way that
could divest the court of appeals from jurisdiction during the
pendency of an interlocutory appeal); Ideal Toy Corp. v. Sayco
Doll Corp., 302 F.2d 623, 625 (2d Cir. 1962) (same); cf. N.W.
Enters. Inc. v. City of Houston, 372 F.3d 333, 338 (5th Cir. 2004)
(per
curiam)
(holding
district
court
lacked
reverse injunctive relief already on appeal).
jurisdiction
to
Beyond this, the
Court notes that there have been no intervening changes in facts
or law since the preliminary injunction ruling that would shift
this Court’s understanding of the original injunction’s propriety.
A Seventh Circuit reversal en banc would, of course, be such a
change, but until such a ruling comes down, this Court will not
depart from its earlier analysis, which will preserve the status
quo and the integrity of the pending appeal.
As such, the Court
now orders a permanent nationwide injunction as to all three
Conditions, consistent with the Court’s earlier ruling enjoining
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the Attorney General from imposing the Notice and Access Conditions
nationwide.
However, recognizing and deferring to the Seventh Circuit’s
stay of the preliminary injunction as to all parts of the country
beyond Chicago, this Court stays the nationwide scope of the
permanent injunction in the same fashion. “Stays, like preliminary
injunctions, are necessary to mitigate the damage that can be done
during the interim period before a legal issue is finally resolved
on its merits.
The goal is to minimize the costs of error.”
In
re A & F Enters., Inc. II, 742 F.3d 763, 766 (7th Cir. 2014).
Courts use four factors to determine whether a stay is appropriate:
“(1) whether the stay applicant has made a strong showing that he
is likely to succeed on the merits; (2) whether the applicant will
be irreparably injured absent a stay; (3) whether issuance of the
stay will substantially injure the other parties interested in the
proceeding; and (4) where the public interest lies.” Hilton v.
Braunskill, 481 U.S. 770, 776 (1987).
In weighing the factors, “a
‘sliding scale’ approach applies; the greater the moving party’s
likelihood of success on the merits, the less heavily the balance
of harms must weigh in its favor, and vice versa.”
Enters., 742 F.3d at 766.
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In re A & F
Case: 1:17-cv-05720 Document #: 198 Filed: 07/27/18 Page 57 of 58 PageID #:3520
Here, those factors weigh in favor of staying the nationwide
scope of the injunction.
First, as illustrated above, the scope
of the injunction involves novel issues upon which reasonable minds
could differ, as evidenced by the disagreement between the majority
and dissenting opinions in the Seventh Circuit’s now-vacated panel
opinion.
See City of Chicago v. Sessions, 888 F.3d at 288-300.
And, while certainly not determinative, the fact that the court of
appeals granted rehearing en banc and stayed the injunction in the
first
place
makes
Chicago’s
nationwide-scope
argument
less
auspicious than it had otherwise been. The first factor thus tilts
the scales toward granting the stay, and the other factors do not
reset the balance.
The second and third factors weigh neutrally.
The Attorney General faces no great harm absent a stay because he
has no authority to impose the Conditions, and Chicago will not be
directly affected by the stay.
Finally, the fourth factor weighs
in favor of granting the stay.
The public interest will be best
served by allowing the court of appeals time to issue its ruling.
Noting that this complex issue is currently pending, prudence
dictates
relief.
waiting
for
guidance
before
effectuating
such
broad
Given the en banc stay already in place, mimicking that
stay now will keep these scope issues streamlined and, if the en
banc ruling were to overturn the panel’s affirmance, reduce the
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Case: 1:17-cv-05720 Document #: 198 Filed: 07/27/18 Page 58 of 58 PageID #:3521
judicial whiplash to which Byrne JAG applicants nationwide will be
subjected.
In sum, the required elements for a stay of the
nationwide scope of the permanent injunction are satisfied.
IV.
CONCLUSION
For the reasons stated herein, the Court grants the City of
Chicago’s Motion for Summary Judgment on Counts I and II and
correspondingly denies the Attorney General’s Motion to Dismiss
Counts I, II, and IV.
The Court enters and immediately stays
permanent injunctive relief as detailed above.
The remaining
claims are dismissed as moot.
IT IS SO ORDERED.
Harry D. Leinenweber, Judge
United States District Court
Dated: 7/27/2018
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