The Northeast Ohio Coalition for the Homeless et al v. Brunner
Filing
691
FINAL JUDGMENT: Findings of Fact and Conclusions of Law. Signed by Judge Algenon L. Marbley on 6/7/2016. (cw)
IN THE UNITED STATES DISTRICT COURT
FOR THE SOUTHERN DISTRICT OF OHIO
EASTERN DIVISION
THE NORTHEAST OHIO COALITION
FOR THE HOMELESS, et al.,
Plaintiffs,
v.
JON HUSTED, in his official capacity as
Secretary of the State of Ohio,
Defendant.
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Case No. 2:06-CV-896
JUDGE ALGENON L. MARBLEY
Magistrate Judge Terence P. Kemp
FINAL JUDGMENT
TABLE OF CONTENTS
I. Introduction .................................................................................................................... 1
II. Procedural History......................................................................................................... 1
A. 2010 Consent Decree ................................................................................................. 4
B. Second Supplemental Complaint ............................................................................... 7
III. Findings of Fact ........................................................................................................... 9
A. Parties ........................................................................................................................ 9
1. Plaintiffs ............................................................................................................. 9
a. NEOCH ......................................................................................................... 9
b. CCH ............................................................................................................ 13
c. ODP ............................................................................................................. 14
2. Defendant ......................................................................................................... 15
B. Voting in Ohio ......................................................................................................... 15
1. Election-Day Voting ........................................................................................ 15
2. Absentee Voting............................................................................................... 16
a. In-Person Absentee Voting ......................................................................... 17
b. Mail-in Absentee Voting ............................................................................. 17
3. Provisional Voting ........................................................................................... 18
C. The Challenged Laws .............................................................................................. 19
1. SB 205 .............................................................................................................. 19
2. SB 216 .............................................................................................................. 20
D. The Lead-up to SB 205 and SB 216 ........................................................................ 22
E. The Implementation of SB 205 and SB 216 ............................................................ 27
1. Individual Voter Testimony ............................................................................. 27
2. Aggregate Data and Testimony from Board Officials ..................................... 30
3. Varied Board Practices .................................................................................... 31
F. Burden on Plaintiffs.................................................................................................. 33
1. Information Requirements ............................................................................... 33
2. Prohibition Against Poll-Worker Assistance ................................................... 34
3. Reduction of the Cure Period ........................................................................... 35
G. The State’s Justifications for Enacting the Challenged Laws ................................. 35
1. Information Requirements ............................................................................... 35
2. Prohibition Against Poll-Worker Assistance ................................................... 37
3. Reduction of the Cure Period ........................................................................... 37
H. Disparate Impact ...................................................................................................... 38
1. Dr. Jeffrey Timberlake ..................................................................................... 38
a. Background and Methodology .................................................................... 38
b. Conclusions Regarding Disparate Impact ................................................... 40
2. Dr. Nolan McCarty .......................................................................................... 42
3. Dr. M.V. “Trey” Hood ..................................................................................... 45
4. Conclusions from Expert Reports .................................................................... 47
I. Racial Discrimination ................................................................................................ 48
1. The Senate Factors ........................................................................................... 48
a. Fifth Factor: Extent of Discrimination Hindering Participation in
Political Process ....................................................................................... 49
b. First and Third Factors: Voting-Related Discriminatory Processes ........... 53
c. Second Factor: Racially Polarized Voting in Ohio ..................................... 56
d. Sixth Factor: Racialized Appeals in Politics ............................................... 57
e. Seventh Factor: Minority Representation .................................................... 59
f. Eighth Factor: Lack of Responsiveness ....................................................... 60
g. Ninth Factor: Tenuousness .......................................................................... 60
2. The Calculus of Voting .................................................................................... 61
IV. Conclusions of Law ................................................................................................... 62
A. Standing ................................................................................................................... 62
1. Organizational Standing................................................................................... 63
2. Associational or Representational Standing .................................................... 66
3. Third-Party Standing ........................................................................................ 67
B. Constitutional Claims............................................................................................... 69
1. Equal Protection: Undue Burden ..................................................................... 69
a. Information Requirements ........................................................................... 72
b. Prohibition Against Poll-Worker Assistance .............................................. 76
c. Reduction of Cure Period ............................................................................ 77
2. Equal Protection: Disparate Treatment of Election-Day, Provisional, and
Absentee Voters ............................................................................................ 79
3. Equal Protection: Lack of Uniform Standards ................................................. 82
4. Procedural Due Process ................................................................................... 83
5. Substantive Due Process .................................................................................. 85
6. Race Discrimination under the Fourteenth and Fifteenth Amendments .......... 86
7. Viewpoint Discrimination................................................................................ 90
C. Voting Rights Act Claims ........................................................................................ 92
1. Section 2........................................................................................................... 92
a. SB 205 and SB 215 Have a Disparate Impact on African-Americans ........ 94
b. SB 205 and SB 216 Combine with the Effects of Past Discrimination to
Interfere with the Voting Power of African-Americans ......................... 97
2. Materiality Provision ..................................................................................... 106
3. Literacy Test .................................................................................................. 107
V. Conclusion ................................................................................................................ 110
I.
INTRODUCTION
Because the right to exercise the franchise “is preservative of other basic civil and
political rights, any alleged infringement of the right of citizens to vote must be carefully and
meticulously scrutinized.” Reynolds v. Sims, 377 U.S. 533, 562 (1964). Throughout this
protracted litigation, the Court has endeavored to fulfill its duty to scrutinize various restrictions
of this basic right in Ohio. The current dispute centers on Plaintiffs’ challenge to certain portions
of Senate Bills 205 (“SB 205”) and 216 (“SB 216”), which took effect on June 1, 2014 and made
changes, respectively, to Ohio’s absentee- and provisional-voting regimes. Plaintiffs, the
Northeast Ohio Coalition for the Homeless (“NEOCH”), the Columbus Coalition for the
Homeless (“CCH”), and Plaintiff-Intervenor the Ohio Democratic Party (“ODP”), ask the Court
to declare that the challenged portions of the laws are unconstitutional and violate the Voting
Rights Act, and to enjoin the Secretary of State of Ohio (“Defendant” or “Secretary”) from
enforcing them.
The Court presided over a bench trial on the matter and, after carefully considering all of
the evidence, issues its findings of fact and conclusions of law under Federal Rule of Civil
Procedure 52(a). For the reasons that follow, the Court enters JUDGMENT in part for
Plaintiffs, and JUDGMENT in part for Defendant. The Court finds that the new information
requirements, prohibition against poll-worker assistance to voters, and reduction in the cure
period in SBs 205 and 216 are unconstitutional and violate the Voting Rights Act (“VRA”). The
Court ENJOINS the Secretary from enforcing them.
II.
PROCEDURAL HISTORY
The Court has recited the byzantine factual and procedural background of this case, and
its related case, Service Employees International Union, Local 1 v. Husted, Case No. 2:12-cv-
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562 (the “SEIU case”) numerous times. (See Docs. 108, 383, 452; SEIU case, Docs. 90, 103.)
For purposes of this Final Judgment, the following overview of the litigation’s history will
suffice.
Plaintiffs NEOCH and the Service Employees International Union (“SEIU”) initiated this
action against the Secretary on October 24, 2006. (Compl., Doc. 2 at 50-52.) The Complaint
alleged that portions of recently-enacted Ohio election laws ran afoul of the Due Process and
Equal Protection clauses of the Fourteenth Amendment to the United States Constitution,
constituted a poll-tax in violation of the Twenty-Fourth Amendment, and violated 42 U.S.C. §
1971(a)(2)(A) and (B), sections of the Civil Rights Act of 1964. (Doc. 2 at 38-49.)
Plaintiffs challenged the new laws on the basis that they subjected voters to possible
criminal penalties that were confusing, vague, and impossible to apply; placed an unequal and
undue burden on election-day voters by requiring them to produce identification (“ID”) while
exempting absentee voters from that requirement; imposed a poll tax by mandating that voters
purchase a state-ID card or birth certificate; and treated provisional voters fundamentally unfairly
by applying vague and internally inconsistent standards in a non-uniform manner. (Id. at ¶¶ 1-4.)
Plaintiffs asked the Court to declare the challenged laws unconstitutional and to restrain the
Secretary from enforcing those laws. (Id. at 50-51.)
The Court granted Plaintiffs’ motion for a temporary restraining order on October 26,
2006. (Order Granting Mot. for TRO, Doc. 17.) The Court exempted certain voters from some
of the ID requirements of the challenged laws, and the Court found that phrases in the challenged
laws were unconstitutionally vague and unequally applied by county Boards of Elections
(“Boards”). (Id. at 3.) On November 1, 2006, the parties entered into a consent order, which
applied only to the November 2006 general election, addressing and clarifying election-day,
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absentee, and provisional voter-ID requirements for the 2006 election. (Consent Order, Doc.
51.) The Consent Order reiterated the requirements of certain provisions of the state voter-ID
Law, amended the ID requirements for in-person absentee voters, and defined the terms of the
Secretary’s Directive 2006-78, which sought uniformity in administering the voter-ID law. (Id.)
On November 14, 2006, Plaintiffs filed a Motion to Enforce the Consent Order, alleging
that some Boards were in violation of the 2006 Consent Order. (Mot. to Enforce Consent Order,
Doc. 55.) The next day, all parties entered into an agreed enforcement order. (Doc. 57.) As
with the Consent Order, the Enforcement Order set forth guidelines for the Secretary and Boards
to follow in administering the election. (Id.)
Subsequently, on September 30, 2008, the Court found that Plaintiffs’ showing of
member injury was sufficient to confer standing for only three of their six challenges to the
voter-ID laws. (Order Granting in Part and Den. in Part Mot. to Dismiss for Lack of Jurisdiction,
Doc. 108.)
On October 14, 2008, Plaintiffs moved the Court for a preliminary injunction that would
enjoin the enforcement of Ohio voter-ID laws as unconstitutional, both facially and as applied to
Plaintiffs’ homeless members and other similarly situated homeless Ohio voters in the 2008
general election. (Mot. for Prelim. Inj., Doc. 111.) On October 27, 2008, the Court adopted
then-Secretary of State Jennifer Brunner’s directive resolving some of the issues in the Motion
for Preliminary Injunction. (Order Granting Mot. for Prelim. Inj., Doc. 143.) The Court ordered
the Secretary to instruct the Boards not to reject provisional ballots for reasons attributable to
poll-worker error and not to reject provisional ballots when a voter with no fixed place of
residence failed to list a building address on the form. (Id. at 2-3.)
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NEOCH and SEIU filed an amended supplemental complaint on November 21, 2008,
adding CCH and individual homeless Ohio voters as additional Plaintiffs. (Am. Compl., Doc.
159 at ¶¶ 2-20.) The Amended Complaint made allegations regarding events that happened after
the Complaint in the matter was filed, and added new claims based on those new facts in light of
the Supreme Court’s decision in Crawford v. Marion County, 553 U.S. 181 (2008). According
to the Amended Complaint, many homeless persons wishing to vote in the 2008 election did not
have and could not easily obtain required ID. (Id. at ¶¶ 6-24.) Plaintiffs alleged that the
Secretary and Boards administered the 2006 and 2008 general elections in violation of the
Fourteenth and Twenty-Fourth Amendments. (Id. at ¶¶ 116-131.) Plaintiffs requested, among
other remedies, a declaration from the Court that the voter-ID laws were unconstitutional, both
facially and as applied to NEOCH, CCH, and their members. (Id. at ¶ 39a-b.)
A. 2010 Consent Decree
On April 19, 2010, the parties entered into a consent decree. (Doc. 210.) The Consent
Decree included various terms and orders, including an order for the Secretary to instruct Boards
that voters who met certain criteria would be able to cast a valid provisional ballot using the last
four digits of their Social Security number (“SSN-4”) as ID, and an order for the Secretary to
instruct Boards that they could not reject ballots filed erroneously due to poll-worker error. (Id.
at ¶ 5a-c.) Specifically, the parties stated in Section I of the Decree that:
[i]n resolution of this action, the parties hereby AGREE to, and the Court expressly
APPROVES, ENTERS, and ORDERS, the following . . .
1.
The purposes of this Decree are to ensure that:
a. The fundamental right to vote is fully protected for registered and
qualified voters who lack the identification required by the Ohio Voter ID
Laws, including indigent and homeless voters—such as the Individual
Plaintiffs and certain members of the Coalitions—who do not have a
current address and cannot readily purchase a State of Ohio ID Card;
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b. These voters are not required to purchase identification as a condition to
exercising their fundamental right to vote and have their vote be counted;
c. The legal votes cast by these voters will be counted even if they are cast
by provisional ballot on Election Day;
d. These voters will not be deprived of their fundamental right to vote
because of differing interpretations and applications of the Provisional
Ballot Laws by Ohio’s 88 Boards of Elections;
e. These voters will not be deprived of their fundamental right to vote
because of failures by poll workers to follow Ohio law. For purposes of
this Decree[,] poll[-]worker error will not be presumed, but must be
demonstrated through evidence; and
f. All legal votes that are cast by indigent and homeless voters on Election
Day will be counted.
(Id. at ¶ 1.)
The Consent Decree enjoined the Boards to count provisional ballots cast by persons with
no ID other than the last four digits of their Social Security numbers so long as:
i. The individual who cast the provisional ballot is registered to vote;
ii. The individual is eligible to cast a ballot in the precinct and for the election in
which the individual cast the provisional ballot;
iii. The provisional ballot affirmation includes a statement that the individual is
registered to vote in the precinct in which the provisional ballot was cast and a
statement that the individual is eligible to vote in the election in which the
provisional ballot was cast;
iv. The individual’s name and signature appear in the correct place on the
provisional ballot affirmation form, unless the voter declined to execute the
affirmation and the poll workers complied with their statutory duties under R.C.
3505.182 and R.C. 3505.181(B)(6) when a voter declines to execute the
affirmation;
v. The signature of the voter substantially conforms to the signature contained in
the Board of Election’s records for that voter;
vi. The provisional ballot affirmation includes the last four digits of that voter's
social security number, which is not found to be invalid;
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vii. The individual’s right to vote was not successfully challenged;
viii. The individual did not already cast a ballot for the election in which the
individual cast the provisional ballot; and
ix. Pursuant to R.C. 3505.183(B)(2), the Board of Elections determines that, in
addition to the information included on the affirmation, there is no additional
information for determining ballot validity provided by the provisional voter or to
the Board of Elections during the ten days after the day of the election that casts
doubt on the validity of the ballot or the individual’s eligibility to vote.
(Doc. 210 at ¶ 5a.) The Consent Decree further enjoined the Boards from rejecting, for any of
the following reasons, a provisional ballot cast by a voter who uses only her SSN-4:
i. The voter provided the last four digits of a Social Security Number but did not
provide a current driver’s license, state issued identification, or other document
which serves as identification under Ohio law;
ii. The voter did not provide a date of birth;
iii. The voter did not provide an address that is tied to a house, apartment or other
dwelling provided that the voter indicated that he or she resides at a non-building
location, including but not limited to a street comer, alley or highway overpass
located in the precinct in which the voter seeks to cast a ballot and that the nonbuilding location qualifies as the individual’s voting residence under R.C.
3503.02;
iv. The voter indicated that he or she is homeless;
v. The voter cast his or her provisional ballot in the wrong precinct, but in the
correct polling place, for reasons attributable to poll[-]worker error;
vi. The voter did not complete or properly complete and/or sign the provisional
ballot application for reasons attributable to poll[-]worker error; or
vii. The poll worker did not complete or properly complete and/or sign the
provisional ballot application witness line and/or the provisional ballot
affirmation form, except for reasons permitted by the governing statutes.
(Id. at ¶ 5b.)
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The Consent Decree originally was set to expire on June 30, 2013. (Id. at ¶ 9.) On
August 5, 2013, on Plaintiffs’ motion, the Court extended the Consent Decree through December
31, 2016. (Order Granting in Part Mot. to Extend and Modify Consent Decree, Doc. 383 at 21.)
B. Second Supplemental Complaint
On September 24, 2014, the State provided notice to the Court that SB 216 would amend
portions of the Notice required under Article IV, ¶ 8 of the Consent Decree. (Notice, Doc. 425.)
Specifically, Defendant provided that the following changes in the new law were relevant to, and
would supersede, these terms of the Consent Decree: (i) the elimination of a procedure allowing
an individual who refused to execute a provisional ballot affirmation to still cast a provisional
ballot; (ii) the requirement that the provisional ballot voter provide his or her date of birth on the
provisional ballot affirmation in order for the provisional ballot to count, and that if the day and
month of the date of birth does not match that of the voter in the Statewide Voter Registration
Database (the “SVR”), the ballot cannot be counted unless the SVR states that the voter’s date of
birth is January 1, 1800, or the Board finds, by a vote of at least three members, that the voter has
met all the other requirements; (iii) the requirement that the provisional ballot voter provide his
or her current address on the provisional ballot affirmation; (iv) the revision of the time period a
provisional ballot voter may appear at the Board to provide acceptable ID from ten to seven
days; and (v) the requirement that a provisional ballot voter is responsible for completing all
parts of the provisional ballot affirmation. (Id. at 2-3.)
On October 30, 2014, Plaintiffs filed their Motion for Leave to File a Second
Supplemental Complaint. (Mot. for Leave to File Second Suppl. Compl., Doc. 429). The Court
granted the Motion on August 7, 2015 (Order Granting Mot., Doc. 452 at 26), later deeming the
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Second Supplemental Complaint to have been filed on October 30, 2014. (See Order, Doc. 642 at
6.) This is now the operative complaint in the case.
Plaintiffs contend that the contested portions of SB 205 and SB 216, in violation of the
Due Process and Equal Protection Clauses of the Fourteenth Amendment, as well as the First and
Fifteenth Amendments, abridge, burden, and/or deny voting rights by:
Requiring Boards to reject absentee and provisional ballots on the basis of technical
errors or omissions, or mismatches with the SVR database—such as errors in the
month and/or day of the voter’s date of birth, signature or ID—even when the
information sought is otherwise verifiable and the voter’s identity is not in question;
For absentee voters, creating a period to cure errors that is shorter than the period for
timely submitting ballots (and shorter than the period within which one might receive
notice of any errors);
For provisional ballot voters, shortening the period for correcting ID issues and
providing no opportunity to correct any other errors; and
Creating the risk of disparate treatment of “right location, wrong precinct” provisional
ballot voters from county to county, based on whether a Board chooses to combine its
poll books at multiple-precinct locations.
(Second Supplemental Compl., Doc. 453 at 31-41.) Plaintiffs further contend that the challenged
laws violate Section 2 of the VRA because they will have a disproportionate impact on AfricanAmerican and Latino voters, and that the Ohio legislature in fact intended as much. (Id. at 3640.) Finally, Plaintiffs claim that SBs 205 and 216 violate additional provisions of the VRA that
prohibit disenfranchisement of voters due to literacy tests and immaterial errors or omissions in
an application to vote.
The Court presided over a twelve-day bench trial that concluded on March 31, 2016, and
now issues the following findings of fact and conclusions of law.
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III.
FINDINGS OF FACT
A. Parties
1. Plaintiffs
At trial, the Court had an opportunity to hear the testimony and observe the demeanors of
NEOCH Executive Director Brian Davis, CCH Board Member Donald Strasser, and ODP
General Counsel and Director of Operations Zachary West. The Court has no reservations as to
the competency or credibility of any of those witnesses.
a. NEOCH
NEOCH is a Cleveland-based 501(c)(3) non-profit charitable organization comprising
service providers, homeless persons, and volunteers. (Test. of Brian Davis, Tr., Vol. 4 at 16162.) Founded in the 1980s, NEOCH advocates on behalf of the Cleveland homeless, airing and
addressing issues related to their lack of housing, employment, and health care. (Id. at 162.)
One of NEOCH’s primary purposes is to protect the civil rights of homeless persons, including
their right to vote. (Id. at 162-63.) Indeed, it was a picture of nuns registering homeless persons
to vote that first piqued Brian Davis’s interest in the organization. (Id. at 163.) According to
Davis, ensuring that homeless persons exercise their right to vote is crucial to NEOCH’s
advocacy because elected officials are more attentive to the will of electors than of non-voters.
(Id.) As he put it, “[E]lected officials don’t often think that homeless people participate in the
voting process, and so if you can sit down with a mayor or city council member and say . . . we
have X number of voters who are here with us, that says a lot more than just people who are
coming with issues with government.” (Id.)
To become a member of NEOCH, individuals sign a form and return it to the
organization. (Id. at 184.) NEOCH annually sends a letter asking members to renew their
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memberships for the upcoming year. (Id.) Individuals maintain membership in the organization
by filling out and returning those forms, which are also available at membership meetings and
during other face-to-face meetings with individuals. (Id.) NEOCH’s membership includes about
400 homeless persons, about 60 of whom are currently homeless. (Id. at 185.) The small
number of currently homeless members compared to total membership is due to the ephemerality
of homelessness—the average duration of any bout of homelessness in Cuyahoga County is 22
days for an individual, and 52 to 54 days for a family. (Id.) Approximately 70% of NEOCH’s
in-person homeless applicants are African-American. (Id. at 186.) This mirrors statistics for the
homeless population in Cuyahoga County, which is double the percentage of African-Americans
residents in Cuyahoga County. (Id. at 186, 232.)
NEOCH staff members meet daily with homeless individuals to address their problems
and also conduct monthly membership meetings to discuss important issues for the homeless
community. (Davis Tr., Vol. 7 at 58.) The Court finds that NEOCH has a close relationship
with its members. (See id.)
NEOCH has succeeded in improving the conditions of homeless persons, including
getting the Cleveland Police to agree not to harass persons for innocent behavior on public
streets under the terms of a federal consent decree, one of only a few in the United States.
(Davis Tr., Vol. 4 at 164.) Davis attributes such success to the votes cast by NEOCH’s homeless
constituents. (Id.) Were NEOCH’s members unable to vote, their bargaining power vis-à-vis
elected officials would be diminished, which would in turn diminish NEOCH’s effectiveness at
advocating on their behalf, frustrating its mission and exposing an already vulnerable population
to further governmental neglect. (Id. at 165.) The homeless constituents of NEOCH and CCH
face challenges that hinder them from asserting their own rights, including mental illness and/or
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addiction, difficulty maintaining a regular address or phone number, limited access to
transportation, and illiteracy or lack of education. (Davis Tr., Vol. 7 at 59-60.) They also find it
challenging to gain entrance to courtrooms and public buildings due to lack of ID, and many
homeless people have a negative relationship with the judicial system or hesitate to get involved
in litigation to assert their rights because they are more focused on meeting their immediate
needs. (Id.)
Promoting voting among its members, and among the homeless county-wide, is central to
NEOCH’s mission, and NEOCH’s executive director, staff, and volunteers expend substantial
resources on voting activities in even-numbered years. Davis spends as much as 80 hours per
week around the voting registration deadline on such activities, and one part-time NEOCH staff
person devotes 20 hours per week to early voting turnout efforts. (Davis Tr., Vol. 4 at 211, 221.)
In presidential election years, between 100 and 125 persons volunteer their time to help
NEOCH’s homeless members vote. (Id. at 227.) In the month before Election Day, almost all of
Davis’ official activities are voting-related. (Id. at 217.) In the month prior to that, about 60-70
percent of Davis’ time is spent devoted to getting as many homeless people as possible registered
to vote and then ensuring they cast a ballot that is counted. (Id.) NEOCH’s members are keen
for the help—all but one of its homeless members that have filled out NEOCH membership
forms have said they plan to vote in the 2016 general election. (Id. at 187-88, 192-93.) Of the
NEOCH homeless members who have voted in primary elections, about eight vote in the
Democratic primary for each one who votes in the Republican primary. (Id. at 198.)
If the challenged laws are not enjoined, NEOCH will have to divert significant resources
to educate and assist voters to ensure that they cast a valid, counted ballot. This is because
NEOCH will have to change its strategy for the 2016 election to focus on early in-person voting
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as opposed to vote-by-mail. (Id. at 203-04, 212-13, 220-21.) In the 2014 election, NEOCH
encouraged both options, and handed out blank absentee ballot applications to members. (Id. at
203.) NEOCH later found that its members had difficulty filling out the Cuyahoga County
absentee ballot identification envelope. (Id.) In Davis’s experience, eight to ten percent of those
living in shelters across Cuyahoga County are absolutely illiterate, and the majority read at only
a fourth-grade level. (Id. at 195.) Davis feared that the complexity of the form, along with SB
205’s provisions demanding that voters fill out the required fields completely and accurately,
discussed in Section III(C)(1), infra, increased the risk of NEOCH’s members being
disenfranchised. (Id. at 195, 202.) In his twenty years working with the homeless, Davis has
noticed that homeless persons have pervasive and profound problems filling out the forms. (Id.
at 195.) Not being able to read or fill out forms correctly is embarrassing and humiliating for
many of NEOCH’s members, and they hesitate to ask for help. (Id.) NEOCH’s practice with
other government forms, such as those relating to Social Security disability and Medicaid
benefits, is to read the forms aloud and fill them out on the homeless person’s behalf as a matter
of course. (Id. at 194-95.)
In response to concerns about the complexity of the new voting forms, NEOCH will no
longer provide blank cards to its members to vote by mail, but will instead focus its get-out-thevote campaign on driving people to the polls to vote, which will divert drivers and vehicles from
doing other work on behalf of the organization and its members, burdening NEOCH staff
members and volunteers appreciably more than if it handed out blank forms. (Id. at 206-07,
224.) The push to drive voters to the polls also will require more financial resources than a voteby-mail effort. (Id. at 224.)
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b. CCH
CCH is a Columbus-based 501(c)(3) non-profit charitable organization dedicated to
advocacy and education to improve the lives of homeless people in Columbus. (Test. of Donald
Strasser, Tr., Vol. 7 at 14.) It is a coalition of service providers, current and former homeless
persons, and concerned citizens. (Id. at 16-17.) Its mission is:
to work together to educate the central Ohio community about the devastating
effects of homelessness upon individuals and families; to advocate on behalf of
homeless persons and organizations that serve them; and to empower homeless
persons to achieve greater self-sufficiency.
(CCH website, P-1566.)
CCH’s organizing efforts include holding monthly meetings in which CCH encourages
people both to register and vote, and directs them to resources that can help with obtaining the ID
required to vote. (Pl.’s Resp. to Interrog., P-1559 at 5.) CCH also assists members one-on-one
by accompanying them to appointments to access social services. (Strasser Tr., Vol. 7 at 16.)
Sixty percent of homeless people in shelters in Columbus, the population for which CCH
advocates, are African-American. (Id. at 12.) Both homeless individuals and homeless shelters
are members of CCH, and the shelter members also have daily interaction with homeless people
and provide direct services to them. (Id. at 18.) CCH has a close relationship with its members.
(Id. at 16-18.) Its members often have difficulty dealing with large-scale bureaucracies or courts,
and they face other challenges in asserting their rights such as mental health and chemical
dependency problems, low literacy rates, inadequate work history, and residential instability.
(Id. at 19.)
CCH plans to increase its voter-education efforts by explaining new voting requirements
to homeless persons at meetings, publishing articles about the requirements, and training its
constituent homeless members to educate other homeless persons about the voting requirements.
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(P-1559 at 5.) CCH plans to spend its resources educating voters in 2016 about the new
requirements in the challenged laws. (Strasser Tr., Vol. 7 at 32-33.) CCH is a small concern—
with one full-time staff person and one part-time staff person, and a 2012 account balance of
$77,624.30—and any time or money spent on educating the homeless about new voting
requirements will pose an immediate and stark burden on the organization. (P-1559 at 4-5; 2012
Annual Report, P-1565.)
c. ODP
ODP is a political party comprising 1.2 million members dedicated to, among other goals,
advancing the interests of the Democratic Party. (Test. of Zachary West, Tr., Vol. 2 at 228);
Ohio Democratic Party: Constitution and Bylaws, 2014, https://ohiodems.org/wpcontent/uploads/2015/08/2014odpconstitution.pdf (last visited June 2, 2016).1 Like NEOCH and
CCH, ODP spends significant resources on voting-related activity, including voter registration,
education, and protection efforts, and will continue to do so through the 2016 general election
and beyond. (West Tr., Vol. 2 at 222-25.) This includes sending out a Voter Bill of Rights in
presidential election years, which contains information such as polling locations and hours and
the types of ID voters need to cast a valid ballot. (Id. at 223-24.) ODP conducts more voter
outreach and education during presidential election years because those are the elections that
have the highest turnout and the most new registrants. (Id. at 224.) ODP conducts activities
aimed at promoting vote-by-mail and early in-person voting as part of its Get Out the Vote
(“GOTV”) strategy. (Id. at 228, 234.) Changes to election laws between 2012 and 2016 will
require ODP to devote more resources to educate voters about the new procedural requirements.
(Id. at 234-35.) In some cases, ODP will have to re-educate voters to whom it already has
1
The the Court takes judicial notice of this non-controversial, publicly available foundational
fact. See United States v. Harris, 331 F.2d 600, 601 (6th Cir. 1964) (per curiam).
14
conducted outreach to inform them that they must comply with the five-field requirement. (Id. at
235.) This will be especially burdensome to ODP because, as a result of a 2010 action by the
Federal Elections Commission (“FEC”), GOTV activity must be paid for with “hard” money,
which is subject to stricter contribution limits and thus more challenging for the party to raise
than “soft” money. (Id. at 234.)
2. Defendant
The Secretary functions as Ohio’s chief election officer. Ohio Rev. Code § 3501.04. His
responsibilities include, among others, appointing members of the Boards, issuing directives and
advisories to Board members regarding election administration and enforcing them, and
prescribing the form of registration cards, ballots, cards of instructions, and poll books. Id. §
3501.05.
B. Voting in Ohio
To cast a legitimate vote in Ohio, an elector must be at least eighteen years old and a
citizen of the United States. Ohio Const., Art. V, § 1. Electors also must have resided in Ohio
and the requisite county, township, or ward, and have been registered for at least 30 days prior to
the election. Id. Ohio voters can cast a legitimate ballot in the following three ways: (1) inperson on Election Day; (2) no-excuse, mail-in early absentee voting; and (3) no-excuse, inperson early absentee voting. (Test. of Dr. M.V. “Trey” Hood, III, Tr., Vol. 10 at 18-19); Ohio
Rev. Code §§ 3505.181-82, 3509.01, 3509.06(D)(3)(b). Voters may cast a provisional ballot
either on Election Day or before. (Test. of Matthew Damschroder, Tr., Vol. 11 at 120.)
1. Election-Day Voting
In-person, Election Day voting is the most common form of voting in Ohio, accounting
for approximately two-thirds of all votes cast in any given election. (Id.)
15
Election-Day voters go to their assigned polling place on Election Day, check in with a
poll worker, and announce their name and address. See Ohio Rev. Code § 3505.18(A)(1). A
voter must provide proof of identity in the form of a current and valid photo ID, a military ID, or
a copy of a current utility bill, bank statement, government check, paycheck, or other
government document, other than a notice of voter registration mailed by a Board. Id. If the
elector cannot provide proof of identity, she may cast a provisional ballot. Id. § 3505.18(A)(2).
2. Absentee Voting
Beginning in 2006, all registered voters have had the option to vote absentee instead of
on Election Day, without excuse, either in person or by mail. (Damschroder Tr., Vol. 11 at 12728.) To receive an absentee ballot, a voter must furnish to the Board of the county in which the
voter will vote a written application including the voter’s name, signature, address, date of birth,
and one of these three items: (1) the voter’s driver’s license number; (2) the voter’s SSN-4; or (3)
a copy of the voter’s current and valid photo ID, military ID, utility bill, bank statement,
government check, paycheck, or other government document besides a notice of voter
registration mailed by a Board that shows the name and address of the elector. See Ohio Rev.
Code § 3509.03(A)-(E). If a Board director receives an absentee ballot application that does not
contain the required information, the director “promptly shall notify the applicant of the
additional information required to be provided by the applicant to complete that application.” Id.
§ 3509.04(A). If the application meets the requirements, the Board “shall deliver to the applicant
in person or mail directly to the applicant” the absentee ballot. Id. § 3509.04(B). Voters may
then submit their absentee vote either in-person or by mail. (Test. of Anthony Perlatti, Tr., Vol.
2 at 147; Test. of Sherry Poland, Tr., Vol. 10 at 207-08.)
16
a. In-Person Absentee Voting
Beginning four weeks before an election, any Ohio voter may vote early and in-person at
their county Board during designated days and hours. See Ohio Rev. Code §§ 3509.01(B)(3),
3501.10(C). For the 2016 general election, Ohio will offer 23 days of early in-person voting
starting on October 12.2 (2016 General Election Early Voting Calendar, D-32.) The requirement
to fill out the absentee ballot application is the same for in-person absentee voting as mail-in
absentee voting. See Ohio Rev. Code § 3509.03.
b. Mail-in Absentee Voting
Ohio also offers all voters a no-excuse mail-in absentee option. See id. § 3509.05. Since
2012, the Secretary has mailed absentee ballot applications statewide for even-year general
elections both to every registered, active voter and to every registered voter who cast a ballot in
one of the past two federal general elections, regardless of voter status. (Dir. 2014-15, D-35;
Damschroder Tr., Vol. 11 at 129.)
Before mailing the form back to the Board, the voter must sign and include in the
envelope an affirmation declaring that the voter is eligible to vote and, if the voter did not
provide a driver’s license number or SSN-4 on the affirmation, the voter must include in the
application a copy of the voter’s: (1) current and valid photo ID; (2) military ID; or (3) current
utility bill, bank statement, government check, paycheck, or other government document, besides
a notice of voter registration mailed by a Board, that shows the name and address of the elector.
See Ohio Rev. Code § 3509.05(A).
2
Since the conclusion of the trial, another court in this district has reinstated an additional week
of early voting, known as “Golden Week,” on the grounds that the elimination of that week of
voting violates the VRA and the Fourteenth Amendment. See Ohio Organizing Collaborative v.
Husted, No. 2:15-cv-1802, slip op. at 102 (S.D. Ohio May 24, 2016) (Watson, J.). Therefore,
more than 23 days will now be offered.
17
If the Board finds an error in one of the five fields on a voter’s absentee ballot
identification envelope, the Board mails a Form 11-S to the voter specifying which of the five
fields contained an error and informing the voter that her ballot will not be counted unless: (1)
she returns the Form 11-S to the Board by the seventh day after the election; or (2) mails it by the
seventh day after the election and it is received by the Board by the tenth day after the election.
(Form 11-S, D-48; Damschroder Tr., Vol. 11 at 160.)
3. Provisional Voting
Sometimes, if the Board cannot confirm eligibility, a voter is not able to cast a regular
ballot either early in-person or on Election Day. See Ohio Revised Code § 3505.181(A)(1).
Those voters must instead complete a provisional ballot. As the name suggests, provisional
ballots allow voters to cast ballots provisionally, subject to later verification. (Damschroder Tr.,
Vol. 11 at 124-25.) The vast majority of provisional ballots are cast at the polling place on
Election Day. (Poland Tr., Vol. 10 at 187; Damschroder Tr., Vol. 11 at 126.)
Provisional ballots are available to those voters: (1) who declare that they are eligible to
vote and registered in the precinct in which they wish to vote but whose names do not appear on
the list of eligible voters; (2) who are unable to provide the requisite forms of ID pursuant to
Ohio Revised Code § 3505.18(A)(1); (3) whose names are marked as having requested an
absentee, uniformed services, or overseas ballot for that same election but appear in person to
vote; (4) whose notification of registration has been returned undelivered to the Board and whose
address the Board was unable to verify as correct; (5) whose eligibility has been successfully
challenged by a poll worker at the polling place pursuant to Ohio Revised Code §§ 3505.20 or
3513.20, or whose application or challenge hearing will be held after Election Day pursuant to
Ohio Revised Code § 3503.24(D)(1); (6) whose name has changed and remains within the
18
precinct without providing proof of the name change, or who has moved from one precinct to
another within a county, or moved from one county to another within Ohio; and (7) whose
signature is not the same as the signature of the person who signed the registration forms. Ohio
Rev. Code § 3505.181(A)(1)-(7). Voters who cast provisional ballots because they do not have a
valid ID may provide either a driver’s license number or SSN-4 or appear at the Board of
Elections within seven days of Election Day to provide an ID or their driver’s license number or
SSN-4. Id. § 3505.18(A)(2)(a)-(b).
C. The Challenged Laws
1. SB 205
SB 205 changed Ohio law regarding absentee voting procedures. At issue here are the
amendments as reflected in §§ 3509.03-04 and 3509.06-07 of the Revised Code. Plaintiffs
challenge the portions of §§ 3509.03 and 3509.04 that explicitly prohibit any election official
from filling out any portion of the required forms unless the voter declares to an election official
that she cannot fill the form out due to blindness, disability, or illiteracy. See Ohio Rev. Code §
3505.24.
Section 3509.06 now imposes a completeness requirement for absentee ballot ID
envelopes, mandating that an ID envelope is considered incomplete if the voter fails to fill out
the five fields of required information—name, residence address, date of birth, signature, and
some form of ID, which includes all types of ID required for the absentee ballot application
form—or the information does not conform to the information contained in the SVR. See id. §
3509.06(D)(3)(a)-(b). In such event:
the election officials shall mail a written notice to the voter, informing the voter of
the nature of the defect. The notice shall inform the voter that in order for the
voter’s ballot to be counted, the voter must provide the necessary information to
the board of elections in writing and on a form prescribed by the secretary of state
19
not later than the seventh day after the day of the election. The voter may deliver
the form to the office of the board in person or by mail. If the voter provides the
necessary information to the board of elections not later than the seventh day after
the day of the election and the ballot is not successfully challenged on another
basis, the voter’s ballot shall be counted in accordance with this section.
Id. § 3509.06(D)(3)(b). Before SB 205 was enacted, the absentee voter ID envelope requested
the information contained in the five fields (name, address, date of birth, identification and
signature), but did not require it, meaning that Boards had the discretion to count the ballot even
if some of the information requested in the five fields was missing or incorrect.3 (Test. of
Timothy Burke, Tr., Vol. 2 at 192.)
Section 3509.07 provides that absentee voters must complete the five fields in the manner
described in § 3509.06(D)(3)(a), or the election officials “shall not” accept or count the ballot
unless the would-be voter provides the missing required information no later than the seventh
day after the election. See Ohio Rev. Code § 3509.07(A). Before SB 205, voters had ten days
after the election to cure any deficiencies, pursuant to a directive issued by Secretary Brunner.
(Damschroder Tr., Vol. 11 at 158; D-34, Directive 2010-68 at 6.)
2. SB 216
The challenged portions of SB 216 concern provisional voting procedures, and are
reflected in §§ 3501.22, and 3505.181-83 of the Revised Code.
3
Ohio law makes an exception for a voter who fills in an incorrect birth date provided that the
voter has filled in the field and: (1) the voter has filled in the correct month and day; (2) the SVR
lists the voter’s birthday as January 1, 1800; or (3) by a vote of at least three members the Board
finds that the voter has met the requirements of the other four fields. See Ohio Rev. Code §
3509.06(D)(3)(a)(iii)(III).
20
Section 3501.22(A)(2)(b) gives Boards, by a vote of three of four members, the option to
combine the poll books in multi-precinct voting locations, creating a single poll book for each
location.4
Under § 3505.181(B)(2), a provisional voter must complete and execute the provisional
ballot affirmation, which requires the following fields: printed name, date of birth, current
address, signature, and proof of identity, which may include SSN-4, Ohio driver’s license
number, a form of unexpired government ID containing the voter’s name and current address (or
former address if an Ohio driver’s license or ID), a military ID card, current utility bill, bank
statement, government check, paycheck, or other government document that contains the voter’s
name and address, other than a notice of voter registration mailed by a Board. See Ohio Rev.
Code § 3505.182(A)-(D). SB 216 added two new fields—date of birth5 and current address—
that voters must fill in on a provisional ballot affirmation form. Id. § 3505.183(B)(1)(a);
Damschroder Tr., Vol. 11 at 133. Before SB 216 amended the Code, under § 3505.183, voters
were required to provide only their names, IDs, and signatures. (Senate Bill 216, P-1189 at 22.)
SB 216 also required voters to print, rather than simply include, their names on the provisional
ballot envelope. (Compare id. with Ohio Rev. Code § 3505.183.) Finally, unlike SB 205, SB
216 did not create a new completeness requirement for the five fields, because § 3505.182(F)
already contained such a requirement. (See P-1189 at 18.)
4
Since the Second Supplemental Complaint was filed, the Secretary has issued a directive
requiring all county boards to combine poll books in multi-precinct voting locations into a single
poll book for each location. (D-2, Directive 2015-24 at 2-80-81; Damschroder Tr., Vol. 11 at
150.) The Court finds, therefore, that Plaintiffs’ challenge to the portion of SB 216 that gives
Boards the option, but does not require, the combining of poll books is moot.
5
Like for absentee ballots, Ohio law makes an exception for an incorrect birth year, a birth year
in the SVR of January 1, 1800, or if by a vote of at least three members the Board finds that the
voter has provided all other required information. Ohio Rev. Code § 3505.183(B)(3)(e).
21
Section 3505.181(F) dictates that, like with the challenged portions of the Code as
amended by SB 205, persons filling out provisional ballots may receive help from poll workers,
but only if the voter “[d]eclares to the . . . election official” that the voter “is unable to mark the
. . . ballot by reason of blindness, disability, or illiteracy.” Ohio Rev. Code § 3505.24(b).
SB 216 reduced the period to cure incomplete or incorrect provisional ballots from ten to
seven days after the election. Id. § 3505.181(B)(7). (Damschroder Tr., Vol. 11 at 133-34; P1189 at 14.) Provisional voters who did not provide a driver’s license number, SSN-4, or valid
ID on Election Day may go to the Board during this period to cure their ballots, but voters with
other errors on the affirmation forms may not. Ohio Rev. Code § 3505.181(B)(7). The Board is
not required to notify a provisional voter before the end of the cure period if the information on
the provisional ballot envelope is incomplete or defective. See id. § 3505.181.
D. The Lead-up to SB 205 and SB 216
The only members of the General Assembly from whom the Court heard testimony at
trial were Representative Kathleen Clyde and former Senator Nina Turner, both Democrats who
voted against the bills. The Court found both witnesses credible as to their recollection of the
events surrounding passage of the challenged laws. Representative Clyde, who has represented
the 75th district in the Ohio House of Representatives since 2011, has an extensive background
as a lawyer and advocate on voting rights and election law issues. (Test. of Kathleen Clyde, Tr.,
Vol. 1 at 26.) Her work experience includes internships at the Brennan Center for Justice and
Election Law at Moritz, an election law institute at the Ohio State University Moritz College of
Law, and Secretary Brunner’s office, as well as employment as the Democratic Director of the
Early Vote Center in Franklin County for Barack Obama’s 2008 presidential election campaign
and as Deputy Legal Counsel to the Ohio House Democrats. (Id. at 28-29, 31.) She has also
22
worked with homeless populations at the Community Shelter Board in Columbus, Ohio and is
thus familiar with issues homeless people face in voting. (Id. at 26-27.)
Former Senator Turner, who represented the 25th district in the Ohio Senate from 20082015, was born and raised in Cleveland, Ohio, where she currently is a tenured professor of
African-American and United States history at Cuyahoga Community College. (Test. of Nina
Turner, Tr., Vol. 6 at 88-89, 110, 118.) Senator Turner’s district was primarily AfricanAmerican, and throughout her career, including her time in the Senate and her employment with
different elected officials, she has worked on issues affecting African-Americans, particularly
with regard to socioeconomic disparities and the educational achievement gap between AfricanAmerican and white students. (Id. at 99-101.)
Following the 2010 election, control of the Ohio House of Representatives switched from
the Democratic to the Republican Party. (Clyde Tr., Vol. 1 at 33.) “Rather quickly” after that
change in leadership, House Republicans introduced two bills: (1) a bill to require all Ohioans to
show a photo ID when voting; and (2) House Bill 194 (“HB 194”), an expansive election-law bill
that included “a number of restrictions on voting, including the restrictions that we see in [SBs
205 and 216].” (Id. at 33.) Representative Clyde testified that the debate over HB 194 was “very
partisan and hostile” and “very quick.” (Id. at 39.) HB 194 was ready for the Governor’s
signature within two months of its introduction, which Representative Clyde testified marks a
significantly shorter time period than usual for the passage of legislation of such complexity.
(Id. at 50.)
In August 2012, in an unprecedented move, the Ohio legislature voted to repeal HB 194
after hundreds of thousands of Ohioans signed petitions to place it on the ballot for a statewide
referendum in November 2012. (Id. at 55, 57.)
23
Sixteen other bills proposing voting restrictions were introduced in the 2013-2014
General Assembly, eight of which passed. (Id. at 59.) One bill was passed to shorten the
window to gather signatures for referenda, which made it more difficult for citizens to put a
referendum on the ballot. (Id. at 60.) Another bill was passed making it easier to purge voters
from the registration rolls. (Id. at 60-61.) Senate Bill 238, which eliminated the first week of the
early voting period, also was enacted.6 (Id. at 62.) Other bills were introduced, but not passed,
which would have limited voting in the following ways: shortening the early voting period to 14
days; eliminating early voting hours; limiting the mailing of absentee ballot applications to
voters and preventing the paying of return postage on absentee ballot envelopes; instituting a
photo-ID requirement; and requiring state universities to provide in-state tuition rates to students
if they provided those students with ID that they needed to vote. (Id. at 64.)
SB 205 was considered by the Policy and Legislative Oversight Committee for
approximately one or two months, and it passed the House in a total of four or five months. (Id.
at 70, 80.) Representative Clyde and Senator Turner both testified that proponents of the
challenged laws defended them on the ground that they would create a more uniform voting
process and that voters needed to take responsibility to fill out information without the assistance
of poll workers. (Id. at 69, 71; Turner Tr. Vol. 6 at 162.) None of the proponents cited fraud as a
justification. (Id.) Representative Clyde also stated that during the floor debate over SB 205,
Representative Mike Dovilla, the floor manager of the bill and Chairman of the Committee,
argued that “Government doesn’t need to spoon-feed voting materials to voters.” (Clyde Tr.,
Vol. 1 at 69.) She further testified that, in contrast to most proposed legislation, there was no
6
As noted above in Section III(B)(2)(a), another court in this district subsequently found SB
238’s elimination of the first week of the early voting period to be unconstitutional and in
violation of Section 2 of the Voting Rights Act. See OOC, slip op. at 102. Accordingly, that
court enjoined SB 238’s enforcement.
24
data or testimony offered about the need for the measures proposed in SB 205. (Id. at 72.)
Clyde and other opponents of the bill raised concerns about the impact of the proposed changes
on voters with disabilities or low literacy levels. (Id. at 73-74.) Clyde also testified that it was
highly unusual that no proponents of the bill testified in its favor in front of the legislature,
although on cross-examination she conceded that at least one proponent did testify. (Id. at 81,
114-15.) Several interest groups spoke against the proposed changes in front of the committee.
(Id. at 81-82.) Clyde and Turner both recalled some of their Democratic colleagues arguing that
the bill would have a “negative impact . . . on the African-American community.” (Turner Tr.,
Vol. 6 at 164; Clyde Tr., Vol. 1 at 101.) During committee debate, Representative Matt
Huffman, speaking in favor of SB 205, asked “should we really be making it easier for those
people who take the bus after church on Sunday to vote,” which Clyde testified she understood
to be referring to the Souls to the Polls initiative for African-American voters to vote early in
person. (Id. at 82-83.)
During the debate over SB 216, its supporters in the legislature testified that the intent
behind the bill was to comply with the court order in the SEIU case. (Id. at 96.) Turner also
stated that Senator Seitz, the bill’s sponsor, characterized the bill as “streamlining the process for
elections officials.” (Turner Tr., Vol. 6 at 166.) Two Democratic amendments were tabled on
party-line votes and not included in the final bill. (Clyde Tr., Vol. 1 at 105.) The first
amendment would have counted provisional ballots cast at the wrong polling place when there
was evidence of poll-worker error. (Id. at 103.) The second would have counted provisional
ballots as long as there was enough information to identify the voter. (Id. at 103-04.)
With respect to both SB 205 and SB 216, Democratic legislators spoke about their
concerns that the provisional and absentee ballots of African-American voters would be thrown
25
out disproportionately. (Id. at 102.) Clyde and other House Democrats also spoke out about
their concerns that voters who made minor errors or had low literacy would be adversely affected
by the bill. (Id. at 99-101.) Both chambers passed an amendment, which eventually made it into
the final version of SB 216, that allowed ballots to be counted in some circumstances if the voter
put the wrong year for his or her birthdate. (Id. at 106; Test. of Kenneth Terry, Tr., Vol. 11 at
51; Ohio Rev. Code § 3509.06(D)(3)(a)(iii)(III).)
The Court also heard testimony from two members of the Ohio Association of Election
Officials (“OAEO”), Kenneth Terry and Timothy Ward. Terry, a Democrat, is Director of the
Allen County Board of Elections and was a Legislative Committee Member and Democratic CoChair of the OAEO’s Legislative Committee. (Terry Tr., Vol. 11 at 18-19.) Ward, a
Republican, is currently Director of the Madison County Board of Elections and the first Vice
President of the OAEO. (Test. of Timothy Ward, Vol. 7 at 189-90.) He was the Republican cochair of the OAEO’s Legislative Committee, which reviews draft legislation and makes
recommendations to the General Assembly. (Id. at 190-91.) The Court found both witnesses
credible regarding the operations and actions of the OAEO.
The OAEO is an organization comprising directors, deputy directors, board members,
and staff from Boards of each of Ohio’s 88 counties. (Terry Tr., Vol. 11, Doc. 665 at 19.) The
OAEO is bipartisan, with equal representation from the Democratic and Republican Parties. (Id.
at 20; Ward Tr., Vol. 7 at 191.) It seeks to uphold and promote professionalism among elections
administrators in Ohio. (Id.) Both Terry and Ward testified that they served on a 2013 OAEO
task force to address how to improve Ohio’s absentee balloting system. (Id. at 193; Terry Tr.,
Vol. 11 at 23-24.)
26
Ultimately, many of the OAEO’s suggestions were rejected by the legislature. The
OAEO, for example, recommended that early in-person voters be treated identically to Election
Day voters, obviating the requirement to fill out an identification envelope. (Id. at 95; D-62 at
4.) Moreover, although the OAEO supported the five-field requirements in the challenged laws
(Ward Tr., Vol. 7 at 196), Terry testified that they did not discuss whether the ballots would be
thrown out if the five fields were not complete. (Terry Tr., Vol. 11 at 96.) As such, the Court
finds that the OAEO’s position on the legislation sheds little light on the intent of the General
Assembly since the General Assembly only adopted the OAEO’s recommendations in part.
E. The Implementation of SB 205 and SB 216
1. Individual Voter Testimony
Plaintiffs introduced testimony from individual voters who were disenfranchised for
failing to follow the challenged laws’ new information requirements. Kenneth Boggs, for
example, voted by absentee ballot in the 2014 election in Franklin County. (Doc. 672-2.) His
ballot was rejected because, it being October when he filled out the form, he mistakenly wrote
“10” instead of “6” in the field for his birth month. (Id.) He later received notice that his vote
was thrown out, but when he was notified it was too late to correct the error, leaving him
“furious” that his vote was thrown out because he made “a very minor and obvious mistake.”
(Id.)
Elizabeth Coffman and her husband voted by provisional ballot in Franklin County in the
2015 general election. (Doc 672-3.) She mistakenly wrote her current address in the “former
address” field. (Id.) She and her husband received notice from the Board of Elections asking
them to verify their new address, which they filled out and returned. Ms. Coffman’s ballot was
27
nonetheless rejected, which she did not know until contacted as a result of this litigation. (Id.)
She is “angry” that she was disenfranchised. (Id.)
Cheryl and Hugh Davis voted by absentee ballot in Franklin County in the 2014 general
election. (Docs. 672-4, 672-5.) Mr. Davis filled out their ID envelopes, accidentally swapping
their information. (Id.) Mr. Davis crossed out the information and corrected the mistakes as to
all fields except their dates of birth. (Id.) Both of their ballots were rejected without notice, for
what Mr. Davis characterized as a “mistake . . . clear to anyone who looked at [their] ballot
forms and ID envelopes.” (Doc. 672-5.)
Keith Dehmann is a Fairfield County resident and active serviceman for the United States
Air National Guard Reserves. (Doc. 672-6.) He voted by absentee ballot in the 2014 general
election. (Id.) After mailing his ballot, he received notice of an error on its ID envelope for
failing to fill in the date of birth field. (Id.) He received a supplemental form from the Fairfield
Board of Elections to correct the mistake, which he filled out and returned soon after receiving it.
(Id.) His ballot was ultimately rejected, which he did not know until contacted as a result of this
litigation, leaving him “frustrated and disappointed” that his ballot was not counted. It made him
question “whether [he] should continue doing absentee voting in the future.” (Id.)
Katherine Galko is a Summit County resident who resides in an assisted-living facility.
(Doc. 672-7.) She is 92 years old, and has been voting since she was 18. (Id.) She voted in her
assisted-living facility for the 2014 general election with assistance from someone who read the
ballot to her. (Id.) The person who helped her fill out the form mistakenly wrote the date of the
election instead of her Social Security number. (Id.) Her ballot was rejected. (Id.)
Roland Gilbert is a Franklin County resident. (Doc. 672-8.) A lawyer by training, he is
86 years old and legally blind. (Id.) He voted by absentee ballot in the 2014 general election.
28
(Id.) Although he used a closed-circuit lighted machine that magnifies print to help him see, he
mistakenly wrote the current date in the date-of-birth field. (Id.) His ballot was rejected, which
he did not know until contacted as a result of this litigation. He does not believe his vote should
have been rejected due to an “obvious clerical error.” (Id.)
Kadar Hiir became a United States citizen in 2012. (Doc. 672-9.) He voted for the first
time in the 2014 general election, by provisional ballot. (Id.) He mistakenly transposed the
month and day of his birth on the provisional ballot affirmation form, which is customary both in
Somalia, where he grew up, and in most parts of the world besides the United States. (Id.) His
ballot was rejected, and he received no notice either of his mistake or of his ballot’s rejection.
(Id.)
Elisabeth Hire is a Franklin county resident who voted in person in the 2014 general
election. (Doc. 672-10.) She was told she had to vote provisionally, but she mistakenly wrote
one digit of her Social Security number incorrectly. (Id.) She never received any notice about
the error. (Id.)
Gunther and Linda Lahm voted by absentee ballot in Franklin County in the 2014 general
election. (Docs. 672-13, 14.) Mrs. Lahm filled out their ID envelopes but mistakenly mixed
them up. She later fixed all of the mistakes except for the date-of-birth fields. (Id.) Their ballots
were rejected, leaving them both “very angry.” (Id.) They feel strongly that voting is very
important—so strongly that both offered to fly back to Columbus from Florida to testify on the
matter. (Id.)
Courtney White, a college student in Toledo, voted by absentee ballot in Delaware
County in the 2014 general election. (Doc. 672-18.) She provided her then-current college
mailing address in the voting-residence field on the ID envelope. (Id.) She did not interpret
29
“voting residence” to mean the residence where she was registered. Her ballot was rejected
without notice, and she was unaware of the rejection until contacted as a result of this litigation.
(Id.)
2. Aggregate Data and Testimony from Board Officials
Plaintiffs have produced many other examples of voters who failed to meet the
information requirements of the forms, which indicates that the voters either disregarded or
misunderstood what was being asked. (See Pls.’ Proposed Findings of Fact and Conclusions of
Law, Doc. 687-2, Table A.) In the 2014 general election, 4,734 of the 49,262 provisional ballots
cast statewide were rejected. (Provisional Ballot Report, 2014 General Election, P-19.) Of
those, 16 were for failure to print a full name on the provisional envelope, 188 were for failure to
provide a current address, 59 were for missing or incorrect birth date, 163 were for failure to sign
the provisional ballot envelope, and 173 were for failure to provide ID. (Id.) In the 2015 general
election, 12,208 of the 79,414 provisional ballots cast were rejected. (Provisional Ballot Report,
2015 General Election, P-20.) Of those, 22 were for failure to print a full name on the
provisional envelope, 310 were for failure to provide a current address, 63 were for missing or
incorrect birth date, 263 were for failure to sign the provisional envelope, and 278 were for
failure to provide ID. (Id.)
As for absentee ballots, in the 2014 general election, 1,018 were rejected for missing or
incorrect date of birth, 354 for different address on the identification envelope than on file with
the Board, 633 for “voter ID envelope contains insufficient information,” and 199 for lack of
proper ID. (P-17.) In 2015, there were 236 rejections for missing or incorrect date of birth, 94
for different address on the identification envelope than on file with the Board, 436 for “voter ID
envelope contains insufficient information,” and 77 for lack of proper ID. (P-18.)
30
Plaintiffs also submitted thousands of provisional and absentee voter forms from the 2014
and 2015 general elections that they obtained in discovery from twenty-four of the eighty-eight
Boards in Ohio. Many of the more than 3,100 rejected ballots that Plaintiffs obtained showed
that ballots were rejected for reasons such as wrongly entering a mailing address instead of a
registration address, leaving the date-of-birth field blank, leaving the field blank for
identification or checking a box next to a form of identification but failing to fill it in, or writing
a name in cursive instead of print (for provisional voters). (See Doc. 687-2, Table A)
The Court also heard testimony from Board officials that missing one of the fields is
fairly common, and that the required identification envelope has “a lot of wording, a lot of stuff
crammed into that space.” (Test. of Zach Manifold, Tr., Vol. 3 at 57.)
As to the cure period, one Board official testified that before the challenged laws went
into effect, voters did come in during the eighth, ninth and tenth days of the cure period after the
election to cure their provisional and absentee ballots. (Burke, Tr., Vol. 2 at 184.) Moreover,
there is evidence that because the Board can receive absentee ballots up until ten days after
Election Day, yet the cure period is only seven days, some voters to whom the Board sends a
Form 11-S notifying them of their need to cure their ballot will not receive it in time to do so.
(See Test. of Eric Morgan, Tr., Vol. 4 at 97; Test. of Jocelyn Bucaro, Vol. 6 at 57-58.)
3. Varied Board Practices
Testimony and other evidence from twenty-four Boards of Elections statewide likewise
demonstrate that voters have been disenfranchised for failing to conform to the new
requirements. Concerning the address field, if, for example, on a provisional or absentee ballot
form, the voter’s street number is incorrect,7 Adams, Allen, Carroll, Fayette, Harrison, Meigs,
7
Per the Secretary’s Directive, Ohio counties are now required to pre-print the voter’s name and
address on their absentee ballot identification envelopes. (Damschroder Tr., Vol. 11 at 162.)
31
Noble, Paulding, and Wyandot Counties accept the ballot, while Butler, Cuyahoga, Franklin,
Hamilton, Lawrence, Lorain, Lucas, Miami, Richland, Stark, and Summit Counties reject it.
(Pls.’ Proposed Findings of Fact and Conclusions of Law, Table C-3, Doc. 687-4.) If the street
name is missing or incorrect, voters will have their ballots accepted in Allen, Carroll, Fayette,
Harrison, Meigs, Noble, Paulding, and Wyandot Counties, while they will have their ballots
rejected in Cuyahoga, Delaware, Franklin, Hamilton, Lorain, Lucas, Stark and Summit Counties.
(Id., Table C-4, Doc. 687-4 at 7-8.) In Butler County, the ballot may be accepted. (Id. at 7.) If
voters write an address that is not subsequently confirmed by the Board, voters in Carroll and
Wyandot Counties will have their votes counted, while those in Butler, Delaware, Fairfield,
Franklin, Hamilton, Lorain, Lucas, Meigs, and Miami Counties will have their votes rejected.
(Id., Table C-1, Doc. 687-4.) If the voter writes a commercial rather than a residential address,
Boards in Cuyahoga, Delaware, Lawrence, and Montgomery Counties will reject the ballot,
while those of Fairfield and Lucas might or might not accept it. (Id., Table C-2, Doc. 687-4.)
As to the date-of-birth-field requirement, if, for example, the voter fills in the wrong
month or day but the correct year, her vote is accepted in Adams, Allen, Carroll, Fayette, Meigs,
Noble, and Wyandot Counties, while it is rejected in Butler, Delaware, Fairfield, Franklin,
Lawrence, Lorain, Miami, and Summit Counties. (Id., Table D-1, Doc 687-5.) The votes might
or might not be accepted in Cuyahoga or Harrison Counties. (Id. at 2.) If the voter accidentally
provides the current date instead of her date of birth, Harrison, Meigs, Noble, and Wyandot
Counties will accept the vote, while Butler, Cuyahoga, Delaware, Lawrence, Lorain, Lucas,
Miami, Summit, and Warren Counties will not. (Id., Table D-3.)
32
F. Burden on Plaintiffs
Plaintiffs seek relief from three portions of the challenged laws: (1) the requirement that
voters accurately complete all five fields on the provisional ballot affirmation and absentee
identification envelope before their ballots can be counted; (2) prohibitions against poll-worker
assistance to voters; and (3) the reduction in the period to cure deficient ballots from ten to seven
days after the election.
1. Information Requirements
As noted in this Court’s findings of fact in Section (III)(A)(1)(a), supra, the vast majority
of NEOCH’s individual homeless members plan to participate in the 2016 general election.
(Davis Tr., Vol. 4 at 187-88, 192-93; see also NEOCH’s Second Suppl. Resp. to Interrogs., P1562 at 10.) Many of CCH’s members also plan to vote. (See CCH’s Second Suppl. Resps. to
Interrogs., P-1563 at 1.) And as the Court found, many of the organization’s members are
illiterate, barely literate, and/or mentally ill. The Court credits CCH’s Strasser’s testimony that
“without assistance, a homeless person could [not] complete the entire form” and that due to the
complexity and amount of print on the form, “some homeless people would just tear it up and
say, you know, to hell with it.” (Strasser Tr., Vol. 7 at 24, 26-27.)
Demanding perfect, or near-perfect, adherence to the five-field requirement on ballots
imposes a significant burden for homeless voters, who are some of society’s most vulnerable
members. See, e.g., OOC, slip op. at 81 (“The new requirements will especially burden voters
with . . . low literacy.”). As demonstrated in Section III(E)(2), supra, forms that are, in the
words of one Board official, “pretty complex,” with “a lot of wording, a lot of stuff crammed
into” them (Manifold Tr., Vol. 3 at 57; see also Strasser Tr., Vol. 7 at 23), can trip up even
educated, literate voters.
33
2. Prohibition Against Poll-Worker Assistance
The prohibition against poll-worker assistance burdens persons with low literacy,
particularly if they are embarrassed to reveal their illiteracy due to the stigma it entails. (Strasser
Tr., Vol. 7 at 25; see Damschroder Tr., Vol. 12 at 26.) Plaintiffs have introduced ample evidence
that many of their members fall into this category, and that illiteracy or low literacy levels are
prevalent among the homeless. (Davis Tr., Vol. 4 at 196; Strasser Tr., Vol. 7 at 19.) Homeless
voters suffer disproportionately from disabilities, including mental illness, which can also
hamper their ability to fill out forms. (Davis Tr., Vol. 4 at 197.) About a third of the homeless
individuals with whom NEOCH works have a mental disability, forty-five to fifty percent read at
a fourth-grade level, and eight to ten percent are completely illiterate. (Id.) They may write
poorly and have handwriting that is difficult to read or, due to mental illness, they struggle to
focus on basic tasks without help. (Strasser Tr., Vol. 7 at 25-26.) All of these issues combine to
create difficulties for homeless voters in filling out forms without assistance like the absentee ID
envelope and the provisional ballot affirmation. (Id. at 29; Davis Tr., Vol. 4 at 195.) Moreover,
Davis testified that in his experience with voter mobilization of homeless people in 2014, Board
staff members were more hesitant to engage with voters and offer help when it appeared to be
necessary, and that homeless voters have been more likely to make mistakes because of the lack
of help. (Id. at 202.) Secretary Husted failed to conduct any review or testing of the effect of the
provisional ballot affirmation or the absentee identification envelope on voters with low literacy,
despite a suggestion to do so from the League of Women Voters. (Damschroder Tr., Vol. 11 at
211-12.)
34
In sum, many homeless people face vexing and profound obstacles in exercising the basic
right to vote, and the prohibition against poll-worker assistance is likely to exacerbate the
problem.
3. Reduction of the Cure Period
Reducing the cure period from ten days to seven inconveniences voters who would face
logistical difficulties curing their ballots in a shorter time period. For provisional voters, the
opportunity to cure their ballots is limited to providing ID that they failed to provide when they
voted, but absentee voters have the ability to cure any problems with their identification
envelope. (See Bloom Tr., Vol. 1 at 227; Terry Tr. Vol. 11 at 42.) Moreover, some absentee
voters may not receive their Form 11-S notifying them of a deficiency with their ballot until
close to or after the conclusion of the cure period. (Morgan Tr., Vol. 4 at 102.)
NEOCH and CCH represent voters whose means are much more limited than the average
voter and who are less likely to be able to access transportation and more likely to suffer from
residential instability. They are also less likely to be able to fill out their address correctly. (Davis
Tr., Vol. 4 at 97.) Even to read the Form 11-S, which Boards mail when absentee identification
envelopes are deficient, may require assistance for some illiterate or semi-literate homeless
voters, and logically, a reduced cure period would give them less time to receive a Form 11-S,
seek assistance in reading it, and bring it to the Board to cure the ballot.
G. The State’s Justifications for Enacting the Challenged Laws
1. Information Requirements
Defendant argues that standardization is one of the reasons for adding the new five-field
requirement in SBs 205 and 216, contending that the new laws created rules that streamline and
clarify absentee and provisional voting procedures. As to SB 205, Senator William Coley, the
35
bill’s sponsor, testified, “Whether you reside in Lima or Lowell, Batavia or Bedford Heights,
Hamilton or Hilliard, you should play by the same rules.” (Sponsor Test., D-98 at 1.)
Defendant also offers administrative convenience as a rationale for the five-field
requirement because the two additional fields give Boards more information with which they can
identify voters, increasing the likelihood that Boards can identify voters and thus count more
votes. (See Ward Tr., Vol. 11 at 52.) This is one of the reasons the bipartisan OAEO was
“generally supportive” of these new information requirements. (Interested Party Test. of Aaron
Ockerman, Executive Director of OAEO, D-95 at 1).
Defendant’s next rationale, as to SB 216 only, is that the law aims to “reduce the number
of provisional ballots cast in the State of Ohio,” that is, to update address and name changes and
register more voters who will then be able to cast regular ballots in future elections. (Sponsor
Test. of Bill Seitz, D-101 at 1.) In Ohio, most provisional ballots rejections are due to the voter
not being registered anywhere in the State, or being registered in the State but not in the precinct
where the voter has shown up to vote on Election Day. (See D-13-17; Perlatti Tr., Vol. 2 at 143.)
Before the bill’s enactment, the front of the provisional ballot affirmation form, which required
only a name, signature, and form of ID, did not include enough information with which Boards
could register voters. (Poland Tr., Vol. 10 at 204-05.) The Secretary tried to address this issue
by requiring Boards to include a separate registration form on the back of the affirmation form
for the voter to fill out, although the testimony of Board officials differed as to whether a
significant numbers of voters typically completed the form. (Damschroder Tr., Vol. 11 at 144;
Poland Tr., Vol. 10 at 204; Terry Tr., Vol. 11 at 52-53; Test. of Lavera Scott, Tr., Vol. 6 at 24243; Ward Tr., Vol. 7 at 211; Test. of Paula Sauter, Tr., Vol. 7 at 177.) Voters who had moved
without updating their registration could cast a valid provisional ballot but, under the prior
36
system, where providing the new address was not mandatory, the ballot of a provisional voter
who did not provide a current address would be rejected, because it would appear to Boards that
the ballot was cast in the wrong precinct. (Dir. 2012-54, D-106; Damschroder Tr., Vol. 11 at
143-45.).
Under the new law, Boards may use the provisional ballot forms with the newly required
information fields to register voters who have filled out the fields correctly, in an attempt to
decrease the number of provisional voters in future elections. (See, e.g., Poland, Vol. 10 at 20607 (stating that in the 2014 election, 256 voters in Hamilton County had their provisional ballots
rejected because they were not registered to vote, but the Board used the affirmations of 233 of
them to register them); Ward Tr., Vol. 7 at 212-13 (testifying that in 2015, 156 of 158 previously
unregistered voters are now registered thanks to the information provided on their provisional
ballot affirmations).)
2. Prohibition Against Poll-Worker Assistance
The State’s proffered interests in preventing poll workers from completing voters’
absentee and provisional ballot forms are twofold. First, mistakes seem less likely because in
most cases, only the voter knows her personal information. (Damschroder Tr., Vol. 12 at 29-30.)
Second, the prohibition should minimize the burden on poll workers, who are temporary workers
without significant expertise. (Terry Tr., Vol. 11 at 39-40; Poland Tr., Vol. 10 at 185-86; Test.
of Eben McNair, Tr., Vol. 2 at 40.)
3. Reduction in Cure Period
The State’s justification for reducing the cure period is to standardize the post-election
processes and to provide a “workable stopping point before election officials must begin the
official canvass” eleven days after Election Day. (Def.’s Proposed Findings of Fact and
37
Conclusions of Law at 36-37 (citing Hood Tr., Vol. 10 at 23).) As for SB 205, the State offered
the further justification that the law actually codified a seven-day cure period whereas the
previous ten-day cure period was authorized merely by directive. (Id. at 49-50; Damschroder
Tr., Vol. 11 at 158.)
H. Disparate Impact
At trial, the Court heard testimony from one opinion witness for Plaintiffs and two for
Defendant about the impact of SBs 205 and 216 on African-American as compared to white
voters.
1. Dr. Jeffrey Timberlake
a. Background and Methodology
Dr. Jeffrey Timberlake is a tenured Associate Professor of Sociology at the University of
Cincinnati. (Test. of Jeffrey Timberlake, Tr., Vol. 5 at 4.) He has published several scholarly
works involving original quantitative data analysis using secondary data sources, and the
statistical tool on which he has most relied is regression analysis. (Id. at 7-8.) Regression
analysis, a broad category of statistical methods, is a common tool to determine a statistical
numerical relationship between two sets of variables. (Id. at 20, 22.)
Prior to trial, Dr. Timberlake prepared and submitted an expert report for a lawsuit
brought by state and local political parties against the Secretary that included similar claims to
those in the case sub judice, including allegations that recently enacted Ohio election laws have a
disparate impact on African-American voters. (Compl., OOC, Case No. 2:15-cv-01802 (the
“OOC case”), Doc. 1 at 56.) Dr. Timberlake grouped all Ohio counties into three categories
based on their percentages of minority residents and poverty rates: high minority, low
minority/high poverty, and low minority/low poverty. (Timberlake Tr., Vol. 5 at 17; Timberlake
38
Rpt., P-1194 at PTF-00163.) In that case, as here, the Secretary put on a rebuttal case to critique
Dr. Timberlake’s methodology. (Timberlake Tr., Vol. 5 at 17.) The rebuttal expert faulted Dr.
Timberlake for not using a regression analysis, which is more sophisticated than the method he
used in the OOC case, and the court in that case ultimately agreed with the rebuttal expert that
Dr. Timberlake’s opinion was entitled to little weight for that reason. (OOC, slip op. at 8.)
Acknowledging the limitations of the other method, Dr. Timberlake conducted a regression
analysis for the report he presented in this trial. (Timberlake Tr., Vol. 5 at 17.)
A regression analysis is useful because Ohio does not record voters’ race, making it
impossible to examine differential rates of voting among racial groups directly. (Id. at 20-21.)
Dr. Timberlake compared the minority population share of each of Ohio’s counties—the
independent variable—to the usage and rejection rates of absentee and provisional balloting in
each county—the dependent/explanatory variable—to discern whether SB 205 and SB 216 have
had a differential impact on African-American and white voters. (Id. at 20.) The simplest
regression analysis here would have been an assessment of county minority population share and
the rate of absentee and provisional ballot use and rejection. (Id.) But such an analysis runs into
a problem known as ecological inference; in other words, it does not account for other factors
that might be driving the disparity. (Id. at 22-23.) By controlling for such factors, the data tell a
clearer story regarding county-percent minority and the rates of absentee and provisional ballot
use and rejection. (Id. at 23.) Accordingly, Dr. Timberlake controlled for the following
variables: (1) whether the county is urban or rural; and (2) three characteristics of the county
white population: (i) its median age; (ii) its median income; and (iii) its percentage with a college
degree. (Id.) Dr. Timberlake controlled for these characteristics of the white population because
differences among whites across different counties, rather than between whites and minorities
39
within one county, could have explained the different results. (Id. at 28.) He explained that he
controlled for these four factors because research in the field reveals that age, income, and
education are “strongly predictive of all different kinds of voting.” (Id.)
b. Conclusions Regarding Disparate Impact
In the OOC case, Dr. Timberlake concluded that minority voters used provisional and
absentee balloting at higher rates and had their ballots rejected at higher rates than whites over
each of the several years for which he had data. (Id. at 33.) After controlling for the additional
demographic factors in this case, Dr. Timberlake’s regression analysis led him to soften
somewhat, but not contradict, his finding of disparate impact compared with his findings in the
OOC case. (Id. at 34.) Most notably, he no longer concluded that minorities used absentee
balloting at higher rates than whites. (Id.) Dr. Timberlake’s overall findings here were as
follows:
[T]here is very little evidence that minority voters used absentee balloting at higher rates
than whites do. There is very strong evidence that minorities use provisional balloting at
higher rates than whites do. And there is pretty strong evidence that minority provisional
ballots are rejected at higher rates [than those of whites]. And there is good, but not
great, evidence that minority absentee ballots are rejected at higher rates.
(Id.)
As to absentee ballot usage, it appears from Dr. Timberlake’s analysis that minority
voters actually use absentee balloting8 at lower rates than white voters. (Id. at 44.) When Dr.
Timberlake conducted a regression analysis and controlled for the four variables discussed
above, his findings showed that minority voters probably cast proportionately fewer absentee
8
Dr. Timberlake’s findings did not break out early in-person voting and mail-in absentee voting
but rather included total absentee ballots cast. (Id. at 44-45.) Two other courts in this district
have found that African-American voters use early in-person voting more than white voters. See
OOC, slip op. at 36-39 (S.D. Ohio May 24, 2016); NAACP v. Husted, 43 F. Supp. 3d 808, 851
(S.D. Ohio 2014), vacated by 2014 WL 10384647 (6th Cir. Oct. 1, 2014).
40
ballots than white voters in the 2012 and 2014 elections, although they cast slightly more than
whites in 2008 and 2010. (Id. at 44.)
As to absentee ballot rejection, evidence suggests that in 2008 and 2012 (presidential
election years), there was a positive relationship between minority population share and absentee
ballot rejection. (Id. at 45.) This, according to Dr. Timberlake, shows that minorities’ absentee
ballots are rejected more often than whites’, at least in presidential election years. (Id. at 47.)
Dr. Timberlake did not have data on absentee ballot rejections for 2010, and he testified that in
2014 there was not a strong relationship between county-percent minority and the rejection of
absentee ballots, leading him to conclude that the disparate impact was likely confined to
presidential election years. (Id.) More specifically, Dr. Timberlake’s data showed that for every
100,000 residents of voting age, an additional one percent minority population in a county led to
an additional 15.9 absentee ballots rejected in 2008 and 4.6 rejected in 2012. (Timberlake Rpt.,
P-1194 at 7-8)
As to provisional ballot usage, Dr. Timberlake found a positive correlation between a
county’s minority population share and the number of provisional ballots cast for all years
analyzed—i.e., 2008, 2010, 2012, and 2014. (Timberlake Tr., Vol. 5 at 48.) In 2008, for every
100,000 residents of voting age, an additional 58.6 provisional ballots were cast for each percent
minority population in a county. (Timberlake Rpt., P-1194 at 9.) For 2010, 2012, and 2014, the
corresponding numbers were 32.2, 50.7, and 7.2, respectively. (Id. at 9-10.)
As for provisional ballot rejections, “there [was] a higher rate of rejection of provisional
ballots as the percent minority increases in all years except 2014.” (Timberlake Tr., Vol. 5 at
48.) So in 2008, 2010, and 2012, “provisional ballots are rejected at higher rates as the percent
minority gets higher in the county” although this trend did not hold true in 2014. (Id.) The
41
effect was more pronounced in presidential election years. Specifically, for every 100,000
residents of voting age, an additional 17.7 provisional ballots were rejected in 2008, 4.4 in 2010,
9.3 in 2012, and 0.3 in 2014. (Timberlake Rpt., P-1194 at 9-10.)
2. Dr. Nolan McCarty
Dr. Nolan McCarty, an opinion witness for Defendant, served as a rebuttal witness to Dr.
Timberlake. Dr. McCarty is Professor of Politics and Public Affairs and Chair of the Politics
Department at Princeton University. (Test. of Nolan McCarty, Tr., Vol. 8 at 4.) He uses
quantitative and statistical methods, including regression analysis, to analyze electronic and
legislative voting data. (Id. at 4-5.) Dr. McCarty focused on evaluating what he characterized as
Dr. Timberlake’s “claim[] that the new laws will enhance and increase racial disparities.” (Id. at
60.) Dr. McCarty’s testimony was two-fold: he criticized Dr. Timberlake’s methods and
conclusions, and then offered his own approach.
Dr. McCarty opined that Dr. Timberlake’s analysis suffered from two related problems:
aggregation bias and omitted variable bias. (McCarty Rpt., D-11 at 6-7.) Aggregation bias “is
the idea that we cannot infer things about individual-level behavior from aggregate data very
precisely.” (McCarty Tr., Vol. 8 at 29.) Because Dr. Timberlake relied on county-level data to
support his assertion that SBs 205 and 216 are likely to have a disparate impact on minority
voters, Dr. McCarty concluded that it is difficult to draw from any correlation between minority
population share and ballot rejection rates an individual relationship between race and rejection.
(Id. at 29.) Such a relationship can only be certain when comparing data from two homogeneous
populations, which is not possible at the county level in Ohio because its county with the highest
minority population share is only about 30% minority and overall ballot rejection rates constitute
only one or two percent of the votes. (Id. at 29-30.)
42
Aggregation bias is a subset of omitted variable bias. (Id. at 41.) Omitted variable bias
arises when a regression analysis does not account for other variables that could be responsible
for the statistical relationships observed. (Id. at 33.) Although he acknowledged that Dr.
Timberlake did account for some omitted variables, Dr. McCarty testified that many other
factors completely unrelated to race could have explained the results in part, including the
number and competitiveness of local political races, voters’ average distance from a polling
location, and other factors. (Id. at 33-34.)
Dr. McCarty also performed his own analysis of Dr. Timberlake’s data, namely a “firstdifference” analysis, or an analysis of changes in ballot rejection rates within a county over time.
(Id. at 39.) Specifically, Dr. McCarty compared provisional and absentee ballot usage and
rejection rates across counties from 2010 (before the implementation of the challenged laws) to
2014 (after implementation). (Id. at 40-41.) According to Dr. McCarty, the first-difference
analysis eliminates many concerns about omitted variable bias because one can assume that
many other factors are consistent across two midterm election years in any given county. (Id. at
40.) From this analysis, Dr. McCarty concluded that the changes in the ballot-casting rejections
rates from 2010 to 2014 “had no real relationship to the minority population share.” (Id. at 44.)
Although the Court recognizes and appreciates Dr. McCarty’s expertise and perspective,
in the Court’s view, his criticism of Dr. Timberlake’s analysis is largely irrelevant, and the
submission of his own methods only slightly probative. Dr. McCarty’s criticism of Dr.
Timberlake’s analysis is irrelevant because the criticism adds nothing to the Court’s
understanding of what Dr. Timberlake has already acknowledged, which is that the quantitative
election data cannot definitively show an individual relationship between race and ballot usage
and rejection because Ohio does not maintain data on the race of its voters. (Timberlake Tr.,
43
Vol. 5 at 20-21.) As to aggregation bias, the Court notes that Dr. Timberlake could not have
used precinct-level data rather than county-level data for his analysis of ballot rejection because
Ohio does not maintain rejection rates of provisional and absentee ballots at the precinct level.
Although Dr. Timberlake could have used precinct-level data to calculate absentee and
provisional ballot usage, he had no choice but to use the county-level data to analyze rejection
rate. As to omitted variable bias, although the Court recognizes that, of course, there are always
more variables that could be included in a multivariable regression analysis, the factors that Dr.
Timberlake used tend to be highly predictive of voting behavior and, therefore, Dr. Timberlake’s
analysis, if not perfect, is nevertheless probative of disparate impact. (Id. at 28.)
Dr. McCarty’s first-differences analysis is only slightly probative because, as he admits,
African-American voter turnout is lower—not only in absolute numbers, but relative to white
voters—in midterm elections than presidential elections. (McCarty Tr., Vol. 8 at 62.) Because
the Court finds Dr. Timberlake’s conclusions regarding disparate impact to be especially
compelling in the presidential years of 2008 and 2012, Dr. McCarty’s analysis of changes from
2010 to 2014 is mostly irrelevant to Dr. Timberlake’s most persuasive findings of disparate
impact. Second, the Court finds that even in this first-differences analysis, which purports to
control for the important variables that contribute to the disparities between high-minority and
low-minority counties, there was an appreciable difference in the competitiveness of the 2010
and 2014 gubernatorial elections (see Timberlake Rebuttal Rpt., P-1195 at 3; McCarty Tr., Vol.
8 at 68-699), and thus in voter turnout, and the Court finds that this factor, for which Dr. McCarty
has not accounted, could be somewhat probative of the difference in provisional ballot rejections
between the 2010 and the 2014 elections.
9
Republican John Kasich won the hotly contested 2010 gubernatorial election with 49% of the
vote to Democrat Ted Strickland’s 47%, yet Kasich defeated Democrat Ed Fitzgerald 64-33% in
2014. (Timberlake Rebuttal Rpt., P-1195 at 3.)
44
3. Dr. M.V. “Trey” Hood, III
Defendant also called Dr. M.V. “Trey” Hood, III, as an opinion witness.10 Dr. Hood is a
tenured professor of political science at the University of Georgia, and he teaches classes and has
published articles on politics, including southern politics, racial politics, and election
administration. (Test. of Trey Hood, Tr., Vol. 10 at 5-8.)
Dr. Hood criticized the methodology and conclusions of Dr. Timberlake’s regression
analysis. He reiterated Dr. McCarty’s concern about aggregate bias, a concern on which the
Court has already explained it puts little weight. (Hood Rebuttal Rpt., D-10 at 9-10). The Court
disagrees with Dr. Hood’s opinion that no conclusion can be drawn from the provisional ballot
usage and data and, as discussed above, finds that Dr. Timberlake’s data and analysis paint a
fairly compelling picture that minorities use provisional ballots more often than whites and that,
in presidential years in particular, those ballots are rejected more often than the ballots of white
voters. The Court infers from Dr. Timberlake’s analysis that in future presidential elections in
which SB 205 and SB 216 are in place, minorities would be more likely to use provisional
ballots and to have those ballots rejected. Neither Dr. McCarty nor Dr. Hood has offered
convincing reasons for the Court to infer otherwise. (See McCarty Tr., Vol. 8 at 61.)
Dr. Hood also suggests that the rate of provisional ballot rejections has decreased over
time, and relies on the post-implementation data from 2014 and 2015 in so concluding, but as Dr.
Timberlake pointed out in his rebuttal report, the provisional ballot rejection rate actually
increased from 2014 to 2015, from 9.6% to 15.4%. (Timberlake Rebuttal Rpt., P-1195 at 4; see
also McCarty Tr., Vol. 8 at 67.) The Court also finds more useful Dr. Timberlake’s calculations
for provisional ballot rejections, which are calculated as a percentage of the provisional ballots
10
Much of Dr. Hood’s expert report and opinion testimony concerned Dr. Timberlake’s
discussion of the Senate factors, which will be discussed in Section III(I)(1), infra.
45
cast rather than Dr. Hood’s calculations using the total number of ballots cast in that election.
(Timberlake Rebuttal Rpt., P-1195 at 3-4.) Using his own method, Dr. Timberlake found,
contrary to Dr. Hood’s conclusion, that the provisional ballot rate has, in fact, fluctuated over
time and shows no clear pattern other than that it was higher during the last two presidential
election years (19.3% in 2008 and 16.5% in 2012) than the last two midterm election years
(11.2% in 2010 and 9.6% in 2014). (Timberlake Rebuttal Rpt., P-1195 at 4.) Given that the
rejection rate most recently increased again in 2015, the Court concludes that the data shows that
it would be premature to assume that the provisional ballot rejection rate is declining, much less
to suggest that SB 216 has actually caused fewer rejections, as Defendant suggests.
Besides criticizing Dr. Timberlake’s data, methodology, and opinions, Dr. Hood also
testified as to what he considered to be valid reasons for enacting the new laws, notably
improved election administration, including enabling Boards to identify voters more easily in a
database and making it easier for voters to register if they cast a provisional ballot but were not
properly registered in the appropriate county and precinct. (Hood Tr., Vol. 10 at 21-22.) He
formed these opinions based on conversations with Assistant Secretary Damschroder and review
of sworn statements by Board officials submitted in the OOC case. (Id. at 26.) Dr. Hood’s
testimony does not particularly add to the Court’s understanding or interpretation of any of the
testimony or submissions from representatives of the various Boards and Assistant Secretary
Damschroder. The Court gives little weight to Dr. Hood’s opinion that the rejection of
provisional ballots for trivial errors is unlikely to occur under the new law because the Boards
review provisional and absentee ballots and “screen out” trivial errors from substantive errors,
which he defines as errors that “preclude[] the Board from being able to identify who the voter
is.” (Hood Rpt., D-8 at 4, 8; Hood Tr., Vol. 10 at 127.) This proffered opinion carries no weight
46
because it assumes that Boards will not disenfranchise voters whom it can identify, even though
the evidence before the Court suggests that Boards have disenfranchised such voters.
In sum, Dr. Hood’s testimony and report were in large part irrelevant to the issues before
the Court and also reflected methodological errors that undermine his conclusions. Other courts
have found likewise.11 As such, the Court finds his contribution of limited value.
4. Conclusions from Expert Reports
The Court finds that Dr. Timberlake’s methodology, given the limited data available on
the race of voters, accounted for sufficient factors to address the concerns arising from
aggregation bias and omitted variable bias. For the reasons outlined above, the Court gives great
weight to Dr. Timberlake’s conclusions that across all even-numbered election years, minorities
use provisional ballots more often than whites, and that in presidential election years, the
absentee ballots and provisional ballots of minority voters are more likely to be rejected than
those of white voters.
The Court gives little weight to Dr. McCarty’s opinions, finding that they are irrelevant to
Dr. Timberlake’s findings or do not refute his most compelling conclusions. The Court gives
little to no weight to Dr. Hood’s opinions.
11
See Veasey v. Perry, 71 F. Supp. 3d 627, 663 (S.D. Tex. 2014) (“On cross-examination,
Plaintiffs pointed out a multitude of errors, omissions, and inconsistencies in Dr. Hood’s
methodology, report, and rebuttal testimony, which Dr. Hood failed to adequately respond to or
explain. The Court thus finds Dr. Hood’s testimony and analysis unconvincing and gives it little
weight.”) (footnotes omitted); Frank v. Walker, 17 F. Supp. 3d 837, 881-84 (E.D. Wis. 2014)
(discounting Dr. Hood’s findings), rev’d on other grounds, 768 F.3d 744 (7th Cir. 2014); Florida
v. United States, 885 F. Supp. 2d 299, 324 (D.D.C. 2012) (“In finding that African-American
voters in the covered counties will be disproportionately affected by the reduction in early voting
days under the new law, we reject the contrary opinions of Florida's expert witness, Professor
Hood. We do so because the analysis underlying his conclusions suffers from a number of
methodological flaws.”) (footnotes omitted); Common Cause/Georgia v. Billups, No. 4:05-cv0201, 2007 WL 7600409, at *14 (N.D. Ga. Sept. 6, 2007) (excluding Dr. Hood as an expert
witness as to absentee voting analysis because his testimony was either unreliable or not
relevant).
47
I. Racial Discrimination
1. The Senate Factors
In addition to their testimony on potential disparate impact by race, Drs. Timberlake and
Hood offered testimony and expert reports regarding the applicability of the Senate factors in this
case.12 Senator Turner and Representative Clyde also offered lay testimony that is relevant to a
consideration of the Senate factors. Courts use these factors, which come from Senate Judiciary
Committee recommendations issued in connection with the 1982 amendments to the VRA and
were incorporated and expanded by the Supreme Court in Thornburg v. Gingles, to determine
whether “the totality of circumstances” shows that minorities “have less opportunity than other
members of the electorate to participate in the political process.” 478 U.S. 30, 36 (1986) (citing
52 § U.S.C. 10301(b)). The factors include:
1. the extent of any history of official [voting-related] discrimination in the state
or political subdivision . . .
2. the extent to which voting in the elections of the state or political subdivision is
racially polarized;
3. the extent to which the state or political subdivision has used unusually large
election districts, majority vote requirements, anti-single shot provisions, or other
voting practices or procedures that may enhance the opportunity for
discrimination against the minority group;
4. if there is a candidate slating process, whether the members of the minority
group have been denied access to that process;
5. the extent to which members of the minority group in the state or political
subdivision bear the effects of discrimination in such areas as education,
employment and health, which hinder their ability to participate effectively in the
political process;
6. whether political campaigns have been characterized by overt or subtle racial
appeals;
7. the extent to which members of the minority group have been elected to public
office in the jurisdiction.
[8.] whether there is a significant lack of responsiveness on the part of elected
officials to the particularized needs of the members of the minority group[;][and]
12
Dr. Timberlake’s expert report on the Senate factors was prepared for the OOC case and also
admitted at trial here.
48
[9.] whether the policy underlying the state of political subdivision’s use of such
voting qualification, prerequisite to voting, or standard, practice or procedure is
tenuous.
Id. at 36-37 (quoting S.Rep. No. 97-417, 97th Cong., 2d Sess., pages 28-29 (1982)). The Court
finds the following facts relevant to an assessment of the “social and historical conditions” faced
by African-American voters in Ohio. Id. at 47. As the Court will explain in detail, it finds Dr.
Timberlake’s testimony regarding the Senate factors to be highly probative and gives little to no
weight to Dr. Hood’s analysis of the Senate factors.
a. Fifth Factor: Extent of Discrimination Hindering Participation
in Political Process
It is neither surprising nor accidental that African-Americans comprise a disproportionate
share of NEOCH’s and CCH’s constituent homeless members. (See Davis Tr., Vol. 4 at 132,
186.) Ohio’s history of race-based discrimination has led to current racial disparities that are
pervasive, profound, and deplorable. After examining socioeconomic indicators across the
categories of employment, housing, income, education, and health, Dr. Timberlake came to the
“simple” conclusion that there is “pronounced racial inequality on all of these indicators in the
state of Ohio.” (Timberlake Tr., Vol. 5 at 64) (emphasis added). Indeed, “[r]ace-specific data
from the Ohio subsample of the nationally representative American Community Survey (“ACS”)
reveals substantial and entrenched inequalities.” (Timberlake Rpt., P-1194 at PTF-167)
(emphasis added). For example, 34% of the African-American population in Ohio lives in
poverty compared to 12% of the white population—a difference of nearly three to one.
(Timberlake Tr., Vol. 5 at 69.) The disparities between Ohio’s African-American and white
populations in family income and poverty are “stark.” (Timberlake Rpt., P-1194 at PTF-178.)
Household income of African-Americans in Ohio is about 60% of that of whites across all
counties, and in counties with a higher percentage of minority residents, the inequality is even
49
worse. In those high-minority counties—where three-quarters of Ohio minorities live—white
household income is 84% greater than African-American household income. (Id.)
Unemployment is significantly higher among working-age African-American Ohioans
than white. (Id. at 167.) Job-level racial segregation has led to “the relegation of minority
employees to lower-return and more precarious jobs, and ongoing minority vulnerability to
discrimination in hiring, firing, promotion, demotion, and harassment.” (Id. at 166-67). Thirtyfive percent of white Ohioans hold professional positions compared to 25% of AfricanAmericans, while 53% of African-Americans hold service jobs compared to 41% of whites. (Id.
at 168.) Because they are more likely to have professional positions, whites are more likely than
African-Americans to have the greater job security, flexibility, earnings, and benefits that
accompany those jobs. (Id.) Importantly, substantial research reveals that, even controlling for
such factors as experience and education, significant disparities remain, indicating that
discrimination plays a significant role in creating these employment disparities and job-level
segregation, “especially when the disparities are as large as they are in Ohio.” (Id. at 169-70.)
Ohio also has pronounced race-based housing disparities. According to one recent
nationwide analysis, Cleveland, Cincinnati, and Columbus are the 8th, 12th, and 22nd most
segregated cities in the United States. (Id. at 171.) Whites in Ohio are almost twice as likely to
be homeowners as African-Americans and, relatedly, African-Americans are more likely to
move in any given time period than whites. (Id. at 173.) Indeed, over each year, 21.6% of
African-American Ohioans move their residence compared to 13.1% of white Ohioans. (Id.)
African-Americans live in substantially poorer neighborhoods than whites, the consequences of
which include reliance on public transportation and lack of access to neighbors with resources
such as cars, which could result in greater difficulties procuring transportation to places like
50
polling locations and Boards. (Id. at 174-75.) Research indicates that African-Americans prefer
living in integrated, as opposed to segregated, communities, so self-selection cannot explain
these disparities. (Id. at 176).
What can? A large part of the current problem of race-based housing disparities is
structural and generational—“the result of a long history of discrimination at the federal, state,
[and] local . . . levels.” (Id. at 176.) For example, in the Great Depression, the United States
government created the Home Owners Loan Corporation (“HOLC”) and the Federal Housing
Administration (“FHA”) “to help families reclaim their homes from foreclosure and to foster
homeownership among new generations of Americans.” (Id. at 176-77.) Using federal dollars,
these agencies engaged in “redlining” practices, refusing to issue loans to residents in AfricanAmerican neighborhoods. (Id. at 177.) This practice was devastating for African-Americans in
Ohio because they were “virtually shut out of the opportunity to buy or build homes” and
languished in “older, decaying, segregated neighborhoods in central cities,” while the federal
government subsidized white families’ exodus to the suburbs. (Id.) At the local level, Ohio
municipalities have been found liable for discrimination against African-Americans under the
Fair Housing Act. (Id.) As recently as last year, the Medina Metropolitan Housing Authority
settled a housing discrimination suit brought by the United States Department of Housing and
Urban Development (“HUD”). (Id.)
Along with the structural and generational roots of current racial disparities, there is also
the problem of individual prejudice. African-Americans continue to experience longstanding
discrimination at the hands of private landlords. For example, a HUD-funded study found that
within the Cleveland suburban housing market, “African-American testers were more likely than
white testers to receive poor treatment at the hands of real estate agents.” (Id.)
51
Ohio also suffers racial disparities in educational opportunities and attainment. (Id. at
178.) Both Cleveland and Columbus were ordered by federal courts to take steps to desegregate
their schools in the late 1970s—more than 20 years after Brown v. Board of Education. See
Reed v. Rhodes, 422 F. Supp. 708 (N.D. Ohio 1976); Columbus Bd. of Educ. v. Penick, 443 U.S.
449 (1979). Even now, Ohio has three of the top 100 most segregated school districts in the
nation: Cleveland, Youngstown, and Cincinnati. (Timberlake Rpt., P.-1194 at PTF-180.)
African-American children are also disproportionately clustered in schools with high poverty
rates. (Id. at 181.) For example, the average African-American child in Toledo goes to a school
where four-fifths of her classmates live in poverty, compared to two-fifths for the average white
child. (Id.) This degree of school poverty is significant because it reinforces racial disparities.
Indeed, research suggests the following:
the higher the concentration of poverty in a school, the more negative overall
implications for peer associations and aspirations, school and classroom climate,
extracurricular programming, school physical quality, safety and resources,
curriculum availability, spending per pupil, and teacher quality and experience, all
of which hold consequences for race-specific gaps in educational attainment and
achievement. Thus, African American children in the State of Ohio are
significantly hampered by persistent, contemporary school segregation and the
resource and social inequalities that emanate from that.
(Id.)
Race-based disparities in education in Ohio are evinced by educational attainment at both
the low and high ends of the spectrum. (Timberlake Rpt., P-1194 at PTF-183.) At the most
basic levels, African-American Ohioans are disproportionately illiterate compared to white
Ohioans,13 (Timberlake, Tr., Vol. 6 at 21, 73), and African-American dropout rates are 7% higher
13
The court in the OOC case was unwilling to find that African-Americans have a lower literacy
rate than whites despite evidence of disproportionate lower standardized test scores and higher
high school dropout rates among African-Americans compared to whites. Reasonable minds
might disagree as to the prudence of that particular finding in those circumstances, but the record
52
than they are for whites. (Timberlake Rpt., P-1194 at PTF-183.) At the upper end, over a
quarter of white adults in Ohio have attained a bachelor’s degree or higher, compared to less than
15% of African-Americans. (Id.) In high-minority counties, these racial disparities are even
greater. (Id.)
Negative health indicators are more common in adult African-Americans than whites in
Ohio, including high blood pressure (37.5% to 26.2%); diabetes (12.3% to 9.2%); stroke (3.4%
to 2.1%); and disability generally (19.3% to 15.6%). (Id. at 186.) Worse yet, 27.6% of AfricanAmerican Ohioans are uninsured compared to 17.0% of whites. (Id.) African-American babies
are twice as likely to be born with low birth weight, and the African-American infant mortality
rate is 2.5 times that of the rate for whites. (Id.) Childhood asthma rates (19.5% for AfricanAmericans versus 12.2% for whites), preventative dental care (87.9% to 95.7%) and treatment
for those with mental illness (60% to 30%) demonstrate a current and widespread problem of
racially disproportionate health disparities between African-American and white Ohioans. (Id.)
b. First and Third Factors: Voting-Related Discriminatory Processes
The history of Ohio’s racially discriminatory voting laws goes back to its founding. In
1802, the new state constitution explicitly limited voting rights to white men. (Id. at 190.) The
exclusion of African-Americans from the franchise “was seen as initially important owing to
concerns that freed slaves would migrate en masse to the State.” (Id.) Racial exclusion continued
with the Ohio legislature’s passage of “Black Codes” and “Black Laws” from 1804-1807. Those
codes instituted the following racist practices:
Requiring that “black or mulatto persons” have a court certificate validating
that they were in fact free.
there, unlike here, included no evidence that literacy and race were related per se. (OOC, slip op.
at 82.)
53
Requiring that all “black or mulatto” adults and their children be registered
with the county clerk’s office at the cost of 12.5 cents per name.
Imposing penalties for employers who employed “black or mulatto” persons
without such certification.
Imposing penalties for any individual harboring a “black or mulatto person.”
Requiring African-Americans to prove they were not slaves and to find at
least two people who would guarantee a surety of five hundred dollars for an
African-American’s good behavior.
Restricting interracial marriage and gun ownership among AfricanAmericans.
(Id. at 190-91.) Although the Ohio legislature eventually repealed the laws in 1849, the
exclusion of African-Americans from the franchise continued long after. (Id. at 191.) In 1868,
the Ohio General Assembly amended the Act to Preserve the Purity in Elections, granting
election officials the right to question prospective voters whether they were of African descent.
(Id.) The Supreme Court of Ohio ruled the amendment unconstitutional, concluding that male
citizens “having a visible admixture of African blood, but in whom the white blood
preponderates, are white male citizens within the meaning the constitution of Ohio, and have the
same right to vote as citizens of pure white blood.” Monroe v. Collins, 17 Ohio St. 665, 666
(1867). A 1912 state referendum to remove the race-based voting restriction in its entirety was
defeated. (Timberlake Rpt., P-1194 at PTF-191.)
It was not until passage of the 19th Amendment guaranteeing women’s suffrage that
“white” was removed from the Ohio Constitution, leaving it facially discriminatory long after the
ratification of the Fifteenth Amendment. (Id.) Throughout most of Ohio’s history, AfricanAmericans had virtually no representation in elected office. (Id.) In 1962, in response to the
United States Supreme Court’s mandate in Baker v. Carr, 369 U.S. 186 (1962), Ohio and other
states were required to craft congressional districts that accurately reflected the presence and
concentration of certain voters, including African-Americans. The Ohio Constitution was later
amended in 1967 to ensure more clearly proportional representation statewide. (Id.)
54
And more recently, voting practices and changes in Ohio continue to discriminate against
minority voters. Poll watching, for example, although ostensibly aimed at combatting voter
fraud, has a pernicious history of intimidation of minority voters. (Id. at 192.) Groups such as
True the Vote, an independent citizen group, were allowed to operate in some Ohio counties
during the 2012 general election. (Id.) Franklin County banned the group’s activity due to,
among other concerns, disturbing “complaints and reports that the group trained volunteers ‘to
use cameras to intimidate voters when they entered the polling place, record their names on
tablet computers and attempt to stop unquestionably qualified voters before they could get to a
voting machine.’” (Id. at 192) (citing Ed O’Keefe, Tea Party-Linked Poll Watchers Rejected in
Ohio County, Wash. Post, Nov. 6, 2012). True the Vote also furnished software to local citizen
groups to monitor prospective voters, disparately targeting African-Americans and college
students. (Id.)
In 2006, Ohio passed a voter ID law requiring all voters to announce their full name and
current address and provide proof of their identity. (Id. at 194.) Studies have shown that voter
ID laws are most common in states with a high percentage of minority residents. (Id.)
In response to the long lines and misallocation of voting machines that afflicted heavily
minority precincts in the 2004 presidential election, Ohio expanded opportunities for early
voting, including early-in person voting, which improved minority participation in the 2008
election. (Id. at 193.) Estimates from the Current Population Survey (CPS) Voting and
Registration Supplement indicated that in 2008, 19.9% of African-Americans used early inperson voting compared to 6.2% of whites. (Id.)
But after the gains in minority participation in the 2008 election, Ohio introduced
legislation to restrict ballot access, including HB 194, which was subsequently repealed by the
55
General Assembly after citizens gathered signatures to place it on the ballot, and SB 238, which
cut early in-person voting hours and eliminated Golden Week but was later enjoined due to its
discriminatory effect. (Id. at 194; OOC, slip op. at 120.)
Dr. Hood finds fault with Dr. Timberlake’s analysis of historical discrimination because a
number of the examples on which he relies are more than 200 years old. (Hood Rebuttal Rpt.,
D-10 at 5.) True enough, but this critique fails to account for the most recent actions to restrict
voting rights, which Dr. Timberlake discusses in detail. (See Timberlake Rpt., P-1194 at PTF192-94.) And Dr. Hood’s contention that Ohio does not have a history of official discrimination
simply because it was never covered under the preclearance provisions of Section 5 of the VRA
is misplaced. (See Hood Rebuttal Rpt., D-10 at 5.) All states are required to comply with
Section 2 of the VRA. As recently as last month, a court not only found that Ohio has a history
of official discrimination, but also found that Ohio’s elimination of Golden Week violated
Section 2. (OOC, slip op. at 102, 107-08.) Finally, Dr. Hood’s contention that Plaintiffs lack
evidence of the first and third Senate factors because African-American turnout rates were
roughly equivalent to white turnout rates in the two most recent presidential elections is, again,
not probative of evidence about how discriminatory practices “tend to enhance the opportunity
for discrimination against the minority group.” Gingles, 478 U.S. at 45.
c. Second Factor: Racially Polarized Voting in Ohio
Racially polarized voting in Ohio is extensive. Exit polls from Ohio voters in the 2012
presidential election “suggest significant and substantial patterns of racially polarized voting.”
(Timberlake Rpt., P-1194 at PTF-195.) Approximately 41% of white voters and 96% of
African-American voters reported voting for President Barack Obama—an enormous
differential. (Id.) Other statewide races, including presidential, gubernatorial, and senatorial
56
races have yielded differentials of 40 to 60% or more. (Id. at 196-97.) And racially polarized
voting is also evident in primary contests, such as the 2008 Democratic primary contest, in which
38% of white Ohio Democrats voted for Senator Obama, compared to 89% of AfricanAmericans. (Id. at 196.) Dr. Hood does not respond to Dr. Timberlake’s analysis of this factor
other than to comment that the candidate who was favored by African-American voters often
won the election (Hood Rebuttal Rpt., D-10 at 6), which is irrelevant to the question of whether
there was racial polarization.
d. Sixth Factor: Racialized Appeals in Politics
Recent political campaigns in Ohio have suffered from both overt and subtle racialized
appeals, or “race codings.” (Timberlake Rpt., P-1194 at PTF-197.) These appeals serve to
“discourage[e] or dissuad[e] minority voters and prospective candidates by reinforcing the
message that they simply do not belong in the political process and/or by mobilizing white voters
in a particular direction by playing on insidious, sometimes explicit and sometimes implicit,
stereotypes.” (Id.) Political science research indicates that many political campaigns are
designed to invoke fears surrounding crime, welfare, and immigration to “play on white racial
stereotypes and to fuel animosity and mobilization,” which “allow[s] for racial appeal without
the explicit appearance of race baiting.” (Id. at 197-98.)
Plaintiffs have introduced many examples of racialized appeals. For instance, former
Senator Turner testified about racially charged political attack ads against her when she ran for
Ohio Secretary of State, including an Ohio Republican Party mail piece and television
commercial, both of which referred to her as a “slum landlord” and distorted her picture to make
her skin appear darker, which she interpreted as playing on pernicious stereotypes about AfricanAmericans. (Turner Tr., Vol. 6 at 148-49, 151.)
57
Shortly before the 2012 presidential election, anonymous funders placed sixty “Voter
Fraud” billboards in Cleveland and Columbus. Although voter fraud is a crime, there was little to
no evidence that such fraud was taking place in Ohio. Tellingly, these billboards seemed to be
strategically placed disproportionately in African-American and Latino neighborhoods in both
cities, often within eyesight of large public housing communities. (Timberlake Rpt., P-1194 at
PTF-198.)
During the same election season, the Tea Party Victory Fund aired a commercial
featuring a shouting African-American woman claiming that President Obama gave her a cell
phone and would take care of welfare recipients. (Id. at 199.) The commercial was an appeal to
anti-welfare sentiment and, although it did not mention race explicitly, Dr. Timberlake wrote in
his report that it nonetheless appeared to reinforce the stereotype that African-Americans are
poor, lazy, and dependent on the government for handouts. (Id.)
In August 2012, Doug Preisse, Chairman of the Franklin County Republican Party,
stated, “I guess I really actually feel we shouldn’t contort the voting process to accommodate the
urban—read African-American—voter turnout machine.” This was not a slip of the tongue but,
rather, a written response to a reporter’s question. (Id. at 200.)
58
Dr. Hood takes issue with Dr. Timberlake’s characterization of racialized appeals in Ohio
politics because some of Dr. Timberlake’s cited examples were not tied to a particular
candidate—like Preisse’s comment about the African-American voter turnout machine—or
funded by a particular campaign, like the billboards, for which a private family foundation paid.
(Hood Rebuttal Rpt., D-10 at 6.) But the Court sees no reason why this distinction is relevant to
an analysis of the presence of racialized appeals in politics more generally, given that the
pertinent question is the effect of such appeals on minority voters, not the source.
e. Seventh Factor: Minority Representation
Although Ohio has made “significant progress” in minority representation at the state and
federal levels, African-Americans remain underrepresented in the most important and visible
elected statewide posts. (Timberlake Rpt., P-1194 at 203.) For instance, despite comprising
12.4% of Ohio’s population, African-Americans have filled the positions of Governor,
Lieutenant Governor, Attorney General, Auditor, Secretary of State, and State Treasurer only
five times in Ohio history—one lieutenant governor, one secretary of state, and three state
treasurers. (Id. at 202.) No African-American holds any of these positions currently. (Id.)
Similarly, of the 156 justices on the Supreme Court of Ohio, only three have been AfricanAmerican, and only one of the nineteen current members of the State Board of Education is
African-American. (Id.) Until last year, and for the first time in sixty years, the Governor’s
twenty-six-person cabinet was entirely white. (Id. at 203.) In local offices and state legislative
bodies, however, African-Americans hold elected office in numbers roughly proportional to their
percentage in the population (e.g., the Ohio General Assembly) or even greater (e.g., the
Columbus City Council). (Hood Rebuttal Rpt., D-10 at 7-8.)
59
f. Eighth Factor: Lack of Responsiveness
The primary evidence for Ohio’s lack of responsiveness to the particularized needs of
African-American Ohioans is the extensive data and testimony concerning racial disparities in
employment, housing, income, education, and health. (See Timberlake Rpt., P-1194 at 203.)
Nor have many of those socioeconomic disparities improved in recent years. In 1989, for
example, the African-American poverty rate in Ohio was 32.3%, while in 2013, it was 33.6%.
(Id.) Disparities in employment rates have remained steady over the last few decades too. (Id. at
168; 203.) Moreover, Ohio has a history of requiring federal intervention to protect minority
rights in the desegregation of its schools and housing. (Id. at 203-04.) Additionally, the
legislature’s response to the increased minority access to the polls following the post-2004
election reforms has been to take repeated steps to limit such access, which suggests a lack of
responsiveness to African-Americans. (Id. at 204.) Senator Turner also testified that Secretary
Husted, to the best of her knowledge, never reached out to her or any other members of the Ohio
Legislative Black Caucus to ask for their input regarding how any of the voting procedures or
directives he has implemented might affect African-American voters. (Turner Tr., Vol. 10 at
157-58.)
g. Ninth Factor: Tenuousness
Defendant does not argue here, as he has in defending other election laws,14 that SBs 205
and 216 are justified by cost savings or preventing voter fraud. Defendant’s primary justification
for the challenged laws is that they improve election administration, representing “the result of
more than a decade of efforts by legislators, boards of elections, and state elections officials to
continuously evaluate and improve Ohio’s voting systems.” (Def.’s Proposed Findings of Fact
and Conclusions of Law, Doc. 686 at ¶ 18.) But, given that the State’s justifications are not
14
See NAACP, 43 F. Supp. 3d at 818-19.
60
supported by evidence, see infra, Section IV(B)(1), and SB 216’s sponsor, Senator Seitz,
admitted in a news article to trying to “ratchet back” the post-2004 voting laws that expanded
opportunities for voters, the justifications for SBs 205 and 216 appear tenuous. (Timberlake
Rpt., P-1194 at PTF-204.)
2. The Calculus of Voting
In addition to his testimony on the Senate factors, Dr. Timberlake testified about how the
Calculus of Voting could explain what causes the disparate impact he identified in absentee
ballot rejection rates and provisional ballot usage and rejection rates. Developed from rational
choice theory, the Calculus of Voting is a framework to assess the individual thought processes
and social mechanisms that influence whether potential voters choose to vote. (Timberlake Tr.,
Vol. 5 at 56-57.) For example, in the OOC case, Dr. Timberlake considered voters’
employment. (Id. at 57.) Voters with blue-collar jobs are more likely to have inflexible work
schedules and to lack financial resources or access to a car and, therefore, might not vote because
voting would pose too costly a burden to be justified by the result of those voters’ ballots. (Id.)
In that case, the Calculus of Voting provided a basis to explain why, for example, AfricanAmericans would use early in-person voting more frequently, namely because AfricanAmericans are more likely to be wage workers than whites and early in-person voting is a more
flexible way to vote. (Id.)
Here, the Calculus of Voting helps explain why increasing the information required to be
filled out correctly by voters might depress those illiterate voters’ willingness to participate in
elections. (Id. at 58.) And because the challenged laws reduce the post-election cure period from
ten days to seven, thus decreasing the flexibility afforded to voters to cure problems with their
ballots, voters with less flexible schedules might be less able or likely to cure defects,
61
particularly since provisional voters must go to the Board in person to cure the ballots. (Id. at 5960.) Therefore, given the evidence of profound socioeconomic disparities between whites and
African-Americans, the Calculus of Voting explains why African-Americans may be more likely
to have their ballots thrown out for errors in the five fields due to their lower educational
attainment levels (which are correlated with literacy rates) or may have more difficulty curing
their provisional ballots because they are less likely to have the flexible work schedule and
access to transportation to go to the Board. (Id. at 61-62, 73.)
Dr. McCarty testified that he had no opinion on the usefulness of the Calculus of Voting
framework or its applicability to this case. (McCarty Tr., Vol. 8 at 81.) Dr. Hood was not
directly questioned about the Calculus of Voting but did acknowledge that factors like higher
residential mobility could affect voter turnout and the provisional ballot casting rate. (Hood Tr.,
Vol. 10 at 121, 124.) The Court finds this method to be persuasive in offering an explanation for
some of the causal factors that may influence the disparities in provisional ballot usage and
absentee and provisional ballot rejection rates.
IV.
CONCLUSIONS OF LAW
A. Standing
The Court has an “independent obligation to ensure [its] jurisdiction over a case.” In re
Cannon, 277 F.3d 838, 852 (6th Cir. 2002). Based on its factual findings and the relevant law,
the Court concludes that Plaintiffs NEOCH, CCH, and ODP have constitutional and prudential
standing to bring all of their claims.15
To establish constitutional standing, a plaintiff must show: (1) an “injury in fact” that is
concrete and particularized and actual or imminent; (2) a causal connection between the injury
15
The Court will address separately, in Section IV(C), the parties’ arguments regarding
Plaintiffs’ statutory standing under the Voting Rights Act.
62
and the conduct complained of; and (3) a likelihood, rather than mere speculation, that the injury
will be redressed by a favorable decision. Lujan v. Defenders of Wildlife, 504 U.S. 555, 560-61
(1992).
NEOCH, CCH, and ODP have both organizational and associational (or representational)
standing to bring this suit. An organization may assert constitutional standing in one of two
ways: “(1) on its own behalf because it has suffered a palpable injury as a result of [a
defendant’s] actions; or (2) as the representative of its members.” MX Grp., Inc. v. City of
Covington, 293 F.3d 326, 332-33 (6th Cir. 2002). Additionally, NEOCH and CCH have thirdparty standing to assert their members’ interests.
1. Organizational Standing
As to organizational standing, Plaintiffs have shown that the challenged laws have
created and will create “a drain on [the] organization[s’] resources,” which “constitutes a
concrete and demonstrable injury for standing purposes.” Miami Valley Fair Housing Ctr., Inc.
v. Connor Grp., 725 F.3d 571, 576 (6th Cir. 2013) (citing Havens Realty Corp. v. Coleman, 455
U.S. 363, 379 (1982)). Here, the Court finds that NEOCH has diverted resources from its voteby-mail program to early in-person voter turnout due to its assessment that the challenged laws
will increase the likelihood that its members’ ballots will be thrown out, and that in the 2016
election it will have to continue that diversion of resources. Driving voters to the polls requires
more resources than NEOCH’s vote-by-mail campaigns and will result in a greater drain on
NEOCH’s resources, a drain that will be especially pronounced in 2016 because it is a
presidential year that requires turning out more voters. CCH, in turn, must increase its votereducation efforts by explaining new voting requirements to its homeless members and training
its members to educate other members about those requirements. Finally, ODP must divert
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resources from registering and educating new voters to educating other voters about the new
procedural requirements in the challenged laws. This diversion of resources will prove even
more burdensome due to the FEC’s requirement that GOTV activity be paid for from “hard”
dollars, which have more strict contribution limits and are thus harder to raise than “soft” dollars.
SB 205 and SB 216 have altered the course of Plaintiffs’ “daily operations” and caused them
injury. See Am. Canoe Ass’n v. City of Louisa Water & Sewer Comm’n, 389 F.3d 536, 546-47
(6th Cir. 2004) (finding organizational standing where the organizations’ “daily operations are
stymied to the extent that they can no longer honor their own monitoring and reporting
obligations to their members”).
The factual record supports the Court’s conclusion that Plaintiffs, with their limited
organizational resources, have diverted and will continue to divert funds as a result of the
challenged laws. See Miami Valley, 725 F.3d at 576; cf. Fair Elections Ohio v. Husted, 770 F.3d
456, 461 (6th Cir. 2014) (holding that the plaintiff lacked organizational standing because it
maintained only an “abstract social interest in maximizing voter turnout” as opposed to a
concrete financial interest in encouraging ballot access). Although the Sixth Circuit held in Fair
Elections Ohio that an organization is not injured when it must “instruct election volunteers
about absentee voting procedures when the volunteers are being trained in voting procedures
already,” the organizational plaintiff in that case asserted only that it would have to change its
training program and materials. Id. at 459-60. Here, on the other hand, Plaintiffs would be
compelled to revamp their entire get-out-the-vote strategy to focus on early in-person absentee
voting instead of vote-by-mail absentee voting due to the increased risk of error in the mail-in
absentee balloting process. Because this new get-out-the-vote effort will be more costly and
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time-consuming, NEOCH and CCH have shown a significantly greater injury than the Fair
Elections Ohio plaintiff.
As to ODP, a showing that a political party would be “compell[ed] . . . to devote
resources to getting to the polls those of its supporters who would otherwise be discouraged by
the new law from bothering to vote” is sufficient to confer standing. Crawford v. Marion Cnty.
Election Bd., 472 F.3d 949, 951 (7th Cir. 2007), aff’d, 553 U.S. 181, 189 n.7 (2008) (“We also
agree with the unanimous view of [the Seventh Circuit panel] that the Democrats have standing
to challenge the validity of [the voter ID law] and that there is no need to decide whether the
other petitioners also have standing.”). And “[t]he fact that the added cost has not been
estimated and may be slight does not affect standing, which requires only a minimal showing of
injury.” Id. (citing Friends of the Earth, Inc. v. Laidlaw Envtl. Servs. (TOC), Inc., 528 U.S. 167,
180-84 (2000)). Moreover, in Fair Elections Ohio, the panel majority explicitly observed that if
“a political party can marshal its forces more effectively by winning its lawsuit, that ought to be
enough for Article III” standing. 770 F.3d at 460 (contrasting political party’s standing with
“armchair observer[s] [who] decide[] that the government is violating the law”). See also OOC,
slip op. at 24-28 (finding that ODP had standing to challenge election laws, some of which also
are challenged here).
Here, the Court concludes that all three Plaintiffs’ diversion of organizational resources
constitutes an injury-in-fact. Further, Plaintiffs have shown that the enactment of the challenged
laws has caused the diversion of resources and that, absent the enforcement of these laws, they
would not be required to divert these resources.
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2. Associational or Representational Standing
Plaintiffs also have shown that they have associational standing, or standing to bring suit
on behalf of their members. An association has standing to bring suit on its members’ behalf
“when its members would otherwise have standing to sue in their own right, the interests at stake
are germane to the organization’s purpose, and neither the claim asserted nor the relief requested
requires the participation of individual members in the lawsuit.” Laidlaw, 528 U.S. at 181
(citing Hunt v. Wash. State Apple Advert. Comm’n, 432 U.S. 333, 343 (1977)). In Sandusky
County Democratic Party v. Blackwell, the Sixth Circuit found that a state and local political
party and three labor unions had associational standing to challenge the rejection of provisional
ballots cast in the wrong precinct even though the plaintiffs had not “identified specific voters
who will seek to vote at a polling place that will be deemed wrong by election workers.” 387
F.3d 565, 574 (6th Cir. 2004) (per curiam). The court reasoned that “by their nature, mistakes
cannot be specifically identified in advance. . . . It is inevitable, however, that there will be such
mistakes.” Id. Therefore, the court concluded that the injury was not speculative, but real and
imminent, and that the organizations had standing to assert “the rights of their members who will
vote in the November 2004 election” even though they could not pinpoint which members would
be harmed by having their names dropped from the voter rolls or listed in an incorrect precinct.
Id. Similarly, Plaintiffs here have shown that their members are at risk of being disenfranchised
in the 2016 general election due to a failure to fill out the five-field information correctly or cure
their ballots within the allotted cure period.
Each organizational plaintiff has shown that the interests at stake are germane to the
organization’s purpose. See Laidlaw, 528 U.S. at 181. NEOCH and CCH both seek to
encourage homeless people to advocate for their interests, an important component of which is to
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register to vote and to vote. ODP registers its members, educates them about voting procedures
and requirements, and encourages them to vote for Democratic candidates.
Nor is there any doubt that individual members of NEOCH, CCH, and ODP would have
standing to sue in their own right. The individuals these organizations serve would have
standing to challenge SB 205 and SB 216 in their own right because, as members of a highly
transient population with low literacy rates, they stand at risk of being disenfranchised.
Finally, the participation of individual members in the lawsuit is unnecessary because
Plaintiffs seek injunctive relief, which would affect all Ohio voters. See Hunt, 432 U.S. at 344
(noting that a request for declaratory and injunctive relief does not require individualized proof
and is thus “properly resolved in a group context”); see also United Food and Commercial
Workers Union 751 v. Brown Grp., Inc., 517 U.S. 544, 546 (1996) (same). Therefore, the Court
concludes that Plaintiffs have associational standing to bring their claims.
3. Third-Party Standing
Additionally, NEOCH and CCH have third-party standing to bring their claims.
Generally, a party “must assert his own legal rights and interests, and cannot rest his claim to
relief on the legal rights or interests of third parties.” Warth v. Seldin, 422 U.S. 490, 499 (1975).
A limited exception to this rule applies, however, where: (1) the party asserting the right has a
“close” relationship with the person who possesses the right; and (2) the possessor of the right is
hindered in her ability to protect her own interests. Kowalski v. Tesmer, 543 U.S. 125, 129-30
(2004) (quoting Powers v. Ohio, 499 U.S. 400, 411 (1991)). Whether a close relationship and
hindrance exist are questions of fact. Singleton v. Wulff, 428 U.S. 106, 114-15 (1976).
NEOCH and CCH have close relationships with homeless populations in Cuyahoga and
Franklin Counties such that they are “fully, or very nearly, as effective a proponent of the right
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as” homeless individuals themselves. Id. at 115. NEOCH and CCH regularly work with
homeless individuals, advocate for their needs, connect them to necessary social services, and
encourage their participation in civic life. The Supreme Court has recognized relationships
between lawyers and clients or doctors and patients as sufficiently close to confer third-party
standing and stressed that third-party standing may lie when the litigant has a relationship as an
“advocate” for the third-party. See Eisenstadt v. Baird, 405 U.S. 438, 445-46 (1972); see also
Carey v. Population Servs., Int’l, 431 U.S. 678, 683-84 (1977) (holding that retail seller of
contraceptives had third-party standing on behalf of customers to challenge statute restricting the
sale of contraceptives). Again, Fair Elections Ohio does not control because the plaintiff there, a
federation of churches conducting voter outreach, had no particular connection to the individuals
at risk of disenfranchisement—registered voters who were jailed after 6:00 p.m. on the Friday
before Election Day and not released in time to cast their votes in person—and, therefore, these
“unidentified, future late jailed voters” lacked a close relationship with the federation. 770 F.3d
at 461.
As to hindrance, Plaintiffs have shown that NEOCH’s and CCH’s members, as some of
the most vulnerable individuals in the state, suffer disproportionately from mental health
problems, substance abuse, limited financial resources, and low levels of literacy and education.
Due to these challenges, they often have difficulty navigating the court system, obtaining
counsel, maintaining a consistent address and phone number, and obtaining ID that would allow
them access to courtrooms. A right holder’s hindrance need not be “insurmountable” but only
“genuine.” Singleton, 428 U.S. at 116-17. The homeless individuals served by NEOCH and
CCH face exactly the kind of “practical obstacles” the Supreme Court has recognized as
sufficient to confer third-party standing. Sec’y of State of Md. v. Joseph H. Munson Co., 467
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U.S. 947, 956 (1984). NEOCH and CCH have shown that they bear a close relationship to the
homeless populations they serve, and that such individuals are hindered by numerous obstacles
in their ability to protect their own interests. Therefore, NEOCH and CCH have third-party
standing to assert the claims of their members.
B. Constitutional Claims
1. Equal Protection: Undue Burden
The Equal Protection Clause of the Fourteenth Amendment to the United States
Constitution guarantees that no State shall “deny to any person within its jurisdiction the equal
protection of the laws.” U.S. Const. amend. XIV. This includes protecting a qualified citizen’s
right to vote, which is a right “of the most fundamental significance under our constitutional
structure.” Burdick v. Takushi, 504 U.S. 428, 433 (1992) (quoting Ill. Bd. of Elections v.
Socialist Workers Party, 440 U.S. 173, 184 (1979)). Undermining this right renders even the
most basic of other rights “illusory.” Wesberry v. Sanders, 376 U.S. 1, 17 (1964). Restrictions
on the franchise in presidential elections “implicate a uniquely important national interest”
because only the President and Vice President represent all voters across the country and,
accordingly, a state’s restrictions “ha[ve] an impact beyond its own borders.” Anderson v.
Celebrezze, 460 U.S. 780, 794-95 (1983). The right includes both “the initial allocation of the
franchise” and also “the manner of its exercise,” League of Women Voters of Ohio v. Brunner,
548 F.3d 463, 477 (6th Cir. 2008) (quoting Bush v. Gore, 531 U.S. 98, 104 (2000)), and one
aspect of “the manner of its exercise” is when a State “places restrictions on the right to vote,” as
Ohio has done here, Obama for Am. v. Husted, 697 F.3d 423, 428 (6th Cir. 2012).
Balanced against a citizen’s fundamental right to vote is the responsibility of the States to
choose the “Times, Places and Manner of holding Elections,” U.S. Const., Art. I § 4, cl. 1, which
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gives them “the power to regulate their own elections,” Burdick, 504 U.S. at 433. The regulation
of elections is, of course, necessary to ensure that they are fair, orderly, and honest. Storer v.
Brown, 415 U.S. 724, 730 (1974).
In conducting an equal-protection analysis, “[t]he precise character of the state’s action
and the nature of the burden on voters will determine the appropriate equal protection standard.”
Obama for Am., 697 F.3d at 428-29. This begins with an analysis of the regulations at issue. See
id. (citing Biener v. Calio, 361 F.3d 206, 214 (3d Cir. 2004)).
In evaluating the constitutionality of laws that impose no burden on the fundamental right
to vote, courts apply rational basis review. Ne. Ohio Coal. For the Homeless v. Husted, 696 F.3d
580, 592 (6th Cir. 2012) (“NEOCH”). On the other hand, a law that “‘severely’ burdens the
fundamental right to vote,” such as a poll tax, triggers strict scrutiny, Obama for Am., 697 F.3d at
429 (quoting Burdick, 504 U.S. at 434), and must be “narrowly drawn to advance a state interest
of compelling importance,” Norman v. Reed, 502 U.S. 279, 289 (1992). And “[fo]r the majority
of cases falling between these extremes, [courts] apply “the ‘flexible’ Anderson-Burdick
balancing test.” NEOCH, 696 F.3d at 592 (quoting Burdick, 504 U.S. at 434). The AndersonBurdick test provides as follows:
A court considering a challenge to a state election law must weigh “the character
and magnitude of the asserted injury to the rights protected by the First and
Fourteenth Amendments that the plaintiff seeks to vindicate” against “the precise
interests put forward by the State as justifications for the burden imposed by its
rule,” taking into consideration “the extent to which those interests make it
necessary to burden the plaintiffs’ rights.”
Burdick, 504 U.S. at 434 (quoting Anderson, 460 U.S. at 789).
This balancing of interests is necessarily fact-intensive. See Obama for Am., 697 F.3d at
429. There is no “‘litmus test’ that would neatly separate valid from invalid restrictions,” so the
trial court must weigh the burden on voters against the state’s asserted justifications and “make
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the ‘hard judgment’ that our adversary system demands.” Crawford, 553 U.S. at 190 (Stevens,
J., plurality opinion). When the Court identifies any burden a state law places on the right to
vote, “[h]owever slight that burden may appear, . . . it must be justified by relevant and
legitimate state interests ‘sufficiently weighty to justify the limitation.’” Id. at 191 (quoting
Norman, 502 U.S. at 288-89).
Plaintiffs challenge three specific provisions in both SB 205 and SB 216: (1) the
requirements that voters must accurately complete five fields on the provisional ballot
affirmation and absentee identification envelope before their ballots can be counted; (2) the
prohibitions against poll-worker assistance to voters; and (3) the reduction in the period to cure
deficient ballots from ten to seven days after the election. Mindful that the Court’s task is to
balance the “‘character and magnitude of the asserted injury to the rights protected by the First
and Fourteenth Amendments that the plaintiff seeks to vindicate’ against ‘the precise interests
put forward by the State as justifications for the burden imposed by its rule,’” Burdick, 504 U.S.
at 434 (quoting Anderson, 460 U.S. at 789) (emphasis added), the Court will analyze the burden
with particular attention to the record evidence regarding relevant characteristics of the homeless
constituencies of Plaintiffs NEOCH and CCH.
This is in keeping with Crawford, where a plurality of the Supreme Court acknowledged
that, although for most voters it is not a substantial burden to comply with a photo ID
requirement, a “somewhat heavier burden may be placed on a limited number of persons . . .
includ[ing] elderly persons born out of State, who may have difficulty obtaining a birth
certificate[,] . . . homeless persons[,]” and others. 553 U.S. at 198-99. Although the Crawford
Court rejected the plaintiffs’ argument that the law should be enjoined on the basis of the burden
to that smaller group of voters, it did so because the record in that case did not contain evidence
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of the specific burdens imposed on those vulnerable groups. Id. at 201-02. Because the record
was virtually devoid of evidence that would have allowed the Court to measure the “magnitude
of the burden on this narrow class of voters or the portion of the burden imposed on them that is
fully justified,” id. at 200, the Court considered only the burden on all Indiana voters, which it
determined was only “limited,” id. at 203.16 Here, as this Court explains below, Plaintiffs have
introduced sufficient evidence to show a significant burden on NEOCH’s and CCH’s members
as to the three aspects of the challenged laws.
a. Information Requirements
Plaintiffs NEOCH and CCH argue that the challenged laws will impose a burden on the
right to vote of their illiterate and homeless members. The Court agrees. The weight of the
evidence presented at trial compels the Court to find that the information requirements impose a
significant burden on NEOCH and CCH because many illiterate and homeless voters have
difficulties filling out forms correctly, as discussed in the Court’s findings of fact in Section
III(F)(1). The Court now turns to whether the State’s “precise interests” for maintaining the laws
are “sufficiently weighty” and “necessary” to justify the burden. See Obama for Am., 697 F.3d
at 433.
16
Defendant cites Justice Scalia’s concurrence in Crawford that stated “our precedents refute the
view that individual impacts are relevant to determining the severity of the burden [the law]
imposes.” 553 U.S. at 205 (Scalia, J., concurring). Justice Scalia, writing for three Justices,
argued that rather than upholding the law on the basis that the record did not show a substantial
burden on particular groups of vulnerable voters, the Court should not have taken into account
the law’s effects on any group but the electorate as a whole, characterizing the lead opinion as
endorsing a “case-by-case approach [that] naturally encourages constant litigation.” Id. at 208.
The Sixth Circuit has declined to follow the concurring opinion’s approach. Obama for Am., 697
F.3d 441 n.7. This approach failed to garner support from a majority of the justices, as it was
disfavored by the lead opinion and implicitly by the two dissents, both of which discussed the
specific burdens the law would impose on poor, elderly, or disabled voters who would have
difficulty procuring transportation to the Bureau of Motor Vehicles or obtaining the documents
required to get the free voter ID. Crawford, 553 U.S. at 220-22 (Souter, J., dissenting); id. at
238-39 (Breyer, J., dissenting).
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The Court finds that the State has not offered explanations for the portions of the law
disenfranchising voters who fail to conform to the new informational requirements that are
sufficiently weighty to justify the significant burden on homeless voters who struggle to fill out
the forms completely and accurately. Unlike in several other cases in which courts have
scrutinized voting restrictions in Ohio,17 Defendant has not offered combatting voter fraud as a
justification for requiring the additional information, so the integrity of the process is not at
issue. Boards are thus rejecting ballots from qualified voters for mere technical mistakes.
Significantly, the OAEO did not support this portion of the law. Although otherwise generally
supportive of many of the reforms, OAEO did not weigh in on whether the new requirements
should cause ballots to be rejected for nonconformance. (Terry Tr., Vol. 11 at 96.) And
Defendant’s own election administration opinion witness, Dr. Hood, conceded that many of the
errors causing ballots to be rejected are “trivial.” (Hood Tr., Vol. 10 at 127.) In fact, Dr. Hood
stated that the purpose of the five-field requirement was “to positively identify voters, not to
disqualify ballots based on inconsequential errors on the part of voters,” suggesting that he may
not have even understood that ballots would be thrown out for non-conformity with the
requirements, much less could he offer a significant state interest in doing so. (Hood Rpt., D-8 at
8 n.15.)
Defendant’s justification that the new requirements give Boards more information for
identifying and registering voters may be persuasive as a reason to include the five fields on the
form, but it is unpersuasive as a rationale for rejecting ballots with missing or incomplete
information. While giving Boards more information can certainly prove helpful for both
identification and future registration, (see, e.g., Ward Tr., Vol. 7 at 205, 234), Defendant has
17
See, e.g., NEOCH, 696 F.3d at 596; Sandusky Cnty. Democratic Party, 387 F.3d at 569;
NAACP, 43 F. Supp. 3d at 844.
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failed to prove in any way how disenfranchising voters who fail to conform to the requirements
furthers that goal. Board officials have testified that they did not need all five fields to identify
voters, and in most cases easily could identify voters before the new date-of-birth and address
requirements. (Perlatti Tr., Vol. 2 at 73; Bucaro Tr., Vol. 6 at 41-42; Sauter Tr., Vol. 7 at 127-28)
For absentee ballots, it is even easier for the Board to confirm a voter’s identity because the
identification envelopes in which voters return their absentee ballots have unique bar codes on
them which, when returned to the Board, can be used to identify the voter. (Burke Tr., Vol. 2 at
185; Manifold Tr., Vol. 3 at 97-99; Scott Tr., Vol. 6 at 223-24; Damschroder Tr., Vol. 11 at 211.)
Moreover, because absentee voters have already provided the information in the five fields when
completing their absentee-ballot application, the Board already has this information and it is
unnecessary to have all five fields for identification; one piece of information would suffice. See
Ohio Rev. Code § 3509.03(A)-(E).
Because they can usually identify the voter with the bar code (for absentee ballots) and
one or two fields (for provisional ballots), requiring Boards to spend additional time checking
that each of the five fields is filled out completely and accurately before crediting it actually
takes additional time for election officials, thus further undermining the State’s purported
administrative-convenience justification. (Damschroder Tr., Vol. 11 at 203; Burke Tr., Vol. 2 at
191-92.) In the case of absentee ballots, Boards are required to expend even more time and
resources because when they receive incomplete or incorrect identification envelopes, rather than
simply counting the ballots if they can identify the voters, they must send the Form 11-S
notifying voters of the deficiency and giving them an opportunity to cure the errors or omissions.
(Id. at 192.)
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Additionally, there is nothing in the record to show why uniformity, standing alone, is a
sufficiently weighty interest to justify the burden on Plaintiffs. And again, even if there is a
uniformity interest—which Defendant characterizes as somewhat related to administrative
convenience—in standardizing all the required types of absentee and provisional balloting forms,
the Secretary offers no justification for why uniformity requires rejecting nonconforming ballots.
Finally, the Court finds it significant and telling that Assistant Secretary Damschroder
expressed regret for not conducting literacy testing on the forms prior to their issuance for the
sole reason that doing so would have avoided litigation. (Damshroder Tr., Vol. 12 at 31.) He
prefaced this admission with “I don’t intend this answer to sound flip,” but irrespective of
whether he meant it to be “flip,” the answer raises a question about the motivation for this burden
on voters’ rights. This is the same witness who, just a day earlier, agreed that Defendant should
do everything within reason to ensure that qualified voters are able to cast ballots that are
counted. (Damschroder Tr., Vol. 11 at 179.) The State’s interest in avoiding litigation certainly
does not outweigh the burden on NEOCH’s and CCH’s members, some of our most vulnerable
citizens.
Defendant characterizes one of the Sixth Circuit decisions in the related SEIU case as
closely analogous to the issue of the five-field requirement here. See NEOCH, 696 F.3d at 599600.18 There, the Sixth Circuit affirmed in part and reversed in part a preliminary injunction
granted by this Court, finding that the plaintiffs were unlikely to succeed on the merits of their
challenge to the disqualification of deficient provisional ballot affirmation forms because the
instructions on the provisional ballot form, which at the time included only fields for name,
identification, and signature (with the signature field being optional), were “rather simple.” Id.
The Sixth Circuit faulted this Court’s Anderson-Burdick analysis as both overstating the burden
18
The NEOCH and SEIU cases were consolidated on appeal for purposes of that opinion.
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to voters in compliance with this form and minimizing the “legitimate state interests” in “election
oversight and fraud prevention.” Id. Based on the ample factual record at trial that detailed the
obstacles faced by homeless and illiterate or semi-literate voters and the number of rejections for
errors in the date-of-birth and address fields on the forms in question, the Court finds that the
burden here is far from “minimal” and “unspecified.” See id. at 600. Moreover, Defendant has
not asserted fraud as a justification here and, most importantly, the other state interests, as the
Court has explained exhaustively, provide no rationale for making the five fields mandatory,
much less a “sufficiently weighty” one to “justify the limitation” on Plaintiffs’ rights. Crawford,
553 U.S. at 191 (quoting Norman, 502 U.S. at 288-89). Accordingly, the Court finds that the
five-field requirement violates Plaintiffs’ equal-protection rights.
b. Prohibition Against Poll-Worker Assistance
The Court finds that prohibiting poll workers from assisting voters unless the voter
declares her illiteracy or disability imposes a significant burden on NEOCH and CCH, because
as discussed in the Court’s findings of fact in Section III(F)(2), many of their members are
illiterate, barely literate, or suffering from disability or mental illness, which limits their ability to
complete basic voting-related tasks. The Court then finds lacking the State’s justifications for
preventing poll workers from assisting voters who do not affirmatively ask for help because they
are illiterate or disabled.
Although there is always a risk of poll-worker error, just as there is of voter error, poll
workers are trained and certainly more skilled in filling out forms than homeless voters. (See
Terry Tr., Vol. 11 at 39-40.) Particularly when missing or incomplete information is a
problem—for instance, if a voter leaves a field completely blank or writes in a street number
without an address—poll workers are much more likely to be able to help a voter than to create
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an error. And Assistant Secretary Damschroder conceded that he was not aware of any other
government workers who are explicitly barred from helping people fill out forms unless they
specifically request assistance, which suggests that a restriction like this is not necessary to
burden homeless voters’ rights, given that many other government agencies also likely have an
interest in avoiding creating errors on forms. (Damschroder Tr., Vol. 12 at 30; Clyde Tr., Vol. 1
at 50.) Because Plaintiffs’ members require so much assistance—NEOCH fills out forms of all
types for its members as a matter of course—the Court concludes that the State’s interest in
minimizing poll-worker error, although not completely unfounded like some of the other
interests it has put forth, does not outweigh the magnitude of the burden in this case. See
Burdick, 504 U.S. at 434.
c. Reduction of the Cure Period
As discussed in Section III(F)(3), supra, NEOCH and CCH represent voters whose
means are much more limited than the average voter. They are, for example, less likely to have
access to reliable transportation and more likely to suffer from residential instability. As to
absentee voters specifically, limiting the cure period would be especially burdensome for voters
with low literacy who may need to seek assistance in reading the Form 11-S and filling it out
before returning it to the Board. Limiting the window in which they may cure a deficient ballot
imposes a significant burden on homeless, impoverished, and illiterate voters. The Court now
turns to whether the State’s interests are “sufficiently weighty to justify the limitation” on
Plaintiffs’ rights. Norman, 502 U.S. at 288-89.
The reduction of the post-election cure period to seven days does not survive any sort of
heightened scrutiny. Of the twenty-one Board officials who testified at trial, not one indicated
that he or she had experienced any inconvenience or increased cost during the pre-2014 ten-day
77
cure period, or stated that the county Board needed extra time between the conclusion of the cure
period and the start of the canvass to address any particular matters. (See, e.g., Burke Tr., Vol. 2
at 184-85; Terry Tr., Vol. 11 at 88-89.) Senator Seitz, one of the bills’ sponsors, told Allen
County Board of Elections Director Terry that the reduction was intended to prevent an influx of
voters from coming into the Boards while election officials were preparing to conduct their
canvass. (Terry Tr., Vol. 11 at 88.) Terry responded, “[t]hat doesn’t happen.” (Id.) Although
the Court heard testimony from several Board officials that the few weeks immediately
following the election were quite “busy” (Poland Tr., Vol. 10 at 231), there was no testimony
that eliminating the cure period actually saves Boards any time or staff resources. And Assistant
Secretary Damschroder’s testimony that the three additional days gives the Boards time to “get
everything ready for the Board to actually vote,” or begin the canvass (Damschroder Tr., Vol. 12
at 41), is not substantiated by testimony from any of the actual Board officials who testified at
trial, none of whom mentioned any specific tasks that needed to be conducted between the end of
the cure period and the beginning of the canvass.
In Obama for America, the Sixth Circuit concluded that the State’s proffered interest in
reducing costs and administrative burdens did not justify the increased burden on voters of
eliminating early voting the weekend before the election because there was “no evidence that
local boards of elections have struggled to cope with early voting in the past [and] no evidence
that they may struggle to do so during the November 2012 election.” 697 F.3d at 434. Similarly
here, although “the list of responsibilities of the boards of elections is long, . . . the State has
shown no evidence indicating how this election will be more onerous than the numerous other
elections that have been successfully administered in Ohio since” the ten-day cure period was in
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place. Id. at 432-33. Therefore, the Court finds no evidence that the cure period would benefit
the Boards by alleviating their administrative burden in any way.
In sum, the Court finds that the five-field requirement, the prohibition against poll-worker
assistance to voters, and the seven-day cure period in both SB 205 and SB 216 violate Plaintiffs’
equal-protection rights. The Court ENTERS JUDGMENT FOR PLAINTIFFS on this claim.
2. Equal Protection: Disparate Treatment of Election-Day, Provisional, and Absentee
Voters
State law and election procedure “must not result in ‘arbitrary and disparate treatment’ of
votes.” Hunter v. Hamilton Cnty. Bd. of Elections, 635 F.3d 219, 234 (6th Cir. 2011). The Court
considers Plaintiffs’ equal-protection claim of arbitrary-and-disparate treatment under the
Anderson-Burdick framework. See Obama for Am., 697 F.3d at 430; Jolivette v. Husted, 694
F.3d 760, 771 (6th Cir. 2012) (“We examine [the plaintiff’s] equal-protection challenges to the
Ohio statutory framework using the same balancing framework as his First Amendment
challenge.”).
To prevail on an equal-protection claim, Plaintiffs must show that the government has
“treat[ed] differently persons who are in all relevant respects alike.” Nordlinger v. Hahn, 505
U.S. 1, 10 (1992); see also Jolivette, 694 F.3d at 771 (“[The plaintiff’s] equal-protection claims
do not get off the ground because independent candidates and partisan candidates are not
similarly situated for purposes of election regulations.”). It is possible for voters to be similarly
situated in certain relevant respects—and thus an equal-protection claim would lie—even if they
are not similarly situated in all respects. For instance, in Obama for America, the Sixth Circuit
took note of this possibility:
In many respects, absent military and overseas voters are not similarly situated to Ohio
voters. Typically, their absence from the country is the factor that makes them distinct,
and this is reflected in the exceptions and special accommodations afforded to these
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voters under federal and state law. With respect to in-person early voting, however, there
is no relevant distinction between the two groups.
697 F.3d at 435.
Here, Plaintiffs asks the Court to find that the State has treated the following types of
voters impermissibly: (1) provisional and absentee voters differently than Election Day voters,
because Election Day voters are not required to fill out all five fields; (2) certain early-in person
absentee voters and all vote-by-mail absentee voters differently than other early in-person
absentee voters, by requiring the former two groups to fill out the absentee ballot identification
form; and (3) treating wrong-location/wrong-precinct voters differently than rightlocation/wrong-precinct voters by rejecting the former group’s ballots and counting the latter’s.
Plaintiffs fail to show any of these groups are similarly situated and, therefore, this claim fails as
a threshold matter. (Doc. 687 at ¶¶ 265-67.)
First, Election Day voters are not similarly situated to either provisional or absentee
voters in “all relevant respects.” Nordlinger, 505 U.S. at 10. Election Day voters show the poll
worker their ID and sign the poll book in the presence of the poll worker. (Damschroder Vol. 11
at 120-21.) Vote-by-mail absentee voters, on the other hand, never interact with poll workers.
Nor are provisional voters similarly situated, as the reason they are classified as provisional in
the first place is that they are unable to cast a regular ballot and additional information may be
needed to verify their eligibility. See Ohio Rev. Code § 3505.181(A)(1). Moreover, Election
Day voters casting a regular ballot do not have the option of providing only their SSN-4 as an
ID, as absentee and provisional voters do, a classification that actually cuts against Plaintiffs’
argument that provisional and absentee voters are treated disparately. (Davis Tr., Vol. 7 at 6869.)
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Nor are early-in-person voters who vote on DRE machines similarly situated to other
absentee voters. Evidence at trial suggests it would be virtually impossible for someone other
than the voter who filled out the absentee ballot application to vote on a DRE machine. (Test. of
Susan Bloom, Tr., Vol. 1 at 269; Bucaro Tr., Vol. 6 at 67-68.) The same cannot be said for an
absentee voter who does not appear in person at the Board. Although Plaintiffs may have a
stronger argument that an early in-person voter who votes on a paper ballot is similarly situated
to an early in-person DRE machine voter, Plaintiffs did not adduce evidence at trial to compare
the circumstances of these groups of voters and thus the Court does not find that they are
similarly situated.
As to wrong-location/wrong-precinct voters, when the related SEIU case was previously
before the Sixth Circuit on a motion to stay the Court’s preliminary injunction, which directed
the Secretary to count provisional ballots that were cast at the wrong multi-precinct polling place
due to poll-worker error, the Sixth Circuit granted the Secretary’s motion for a stay. Service
Emps. Int’l Union Local 1 v. Husted, 698 F.3d 341, 343 (6th Cir. 2012) (per curiam). The court
found it highly likely that the Secretary would succeed on appeal and relied heavily on the fact
that “[w]hile poll-worker error may contribute to the occurrence of wrong-place/wrong-precinct
ballots, the burden on these voters certainly differs from the burden on right-place/wrongprecinct voters—and likely decreases—because the wrong-place/wrong-precinct voter took
affirmative steps to arrive at the wrong polling location.” Id. at 344. From this ruling the Court
concludes that wrong-location/wrong-precinct voters are not similarly situated to rightlocation/wrong-precinct voters. The Court ENTERS JUDGMENT FOR DEFENDANT on
Plaintiffs’ arbitrary-and-disparate treatment claim.
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3. Equal Protection: Lack of Uniform Standards
Plaintiffs’ bring their next equal-protection claim, characterized as a challenge to Ohio’s
lack of uniform standards, under Bush v. Gore, 531 U.S. 98 (2000). Plaintiffs allege that Boards
used different standards and procedures, and arrived at different results, when determining
whether to reject or count absentee and provisional ballots with a five-field error or omission in
the 2014 and 2015 elections. (Doc. 687 at ¶ 256.)
In Bush, the Supreme Court, although explicitly limiting its consideration “to the present
circumstances,” found that the Florida recount process lacked “adequate statewide standards for
determining what is a legal vote, and practical procedures to implement them.” 531 U.S. at 10910. The standard for counting ballots in that recount, as ordered by the Florida Supreme Court,
was to consider “the intent of the voter,” but the Supreme Court found fault with the “absence of
specific standards to ensure [the] equal application” of this principle. Id. at 105-06.
The Bush Court clarified that its holding did not implicate “whether local entities, in the
exercise of their expertise, may develop different systems for implementing elections.” Id. at
109. Instead, it suggested that “where a state court with the power to assure uniformity has
ordered a statewide recount with minimal procedural safeguards,” that court’s remedy must
contain “at least some assurance that the rudimentary requirements of equal treatment and
fundamental fairness are satisfied.” Id. Finding a number of procedural irregularities, such as
one county changing its evaluative standards for a valid ballot in the middle of the counting
process, id. at 106-07, the Florida Supreme Court’s failure to specify who would recount the
ballots in each county, id. at 109, and the inclusion of partial as well as full recounts in some
counties, id. at 108, the United States Supreme Court found that the court-ordered recount
violated Governor Bush’s equal protection rights, id. at 110.
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Although Bush was limited to its facts, the Sixth Circuit has recognized that Bush may
apply to other situations where the state has failed to establish uniform standards and counties’
treatment of voters varies in unreasonable ways. See League of Women Voters of Ohio, 548 F.3d
at 477-78 (holding that the plaintiffs stated a Bush v. Gore claim when they alleged that voting
machines were not allocated proportionately, long wait times caused voters to leave their polling
places without casting a ballot, poll workers misdirected voters to the wrong polling place,
touch-screen voting machines malfunctioned, and disabled voters were turned away from
voting). The Sixth Circuit also has recognized that “[c]onstitutional concerns regarding the
review of provisional ballots by local boards of elections are especially great” because “the
review of provisional ballots occurs after the initial count of regular ballots is known.” Hunter,
635 F.3d at 235.
Here, the Court finds that the Boards are “exercis[ing] . . . their expertise” in
“develop[ing] different systems for implementing elections.” Bush, 531 U.S. at 109. The
standard that allows the Board to decide by a vote of three members whether to count a missing
date-of-birth field does not rise to the level of the standard-less recount in Bush. The Boards are
implementing the state’s specific standards “for determining what is a legal vote,” and the Ohio
system does not approach the ambiguous “intent of the voter” Florida standard. Id. at 110.
The Court ENTERS JUDGMENT FOR DEFENDANT on this claim.
4. Procedural Due Process
Plaintiffs next allege that Defendant has deprived absentee and provisional voters of
notice and an opportunity to be heard when their ballots were rejected. Plaintiffs challenge
several aspects of SBs 205 and 216 that are relevant to notice and an opportunity to be heard.
First, as to absentee voters, Plaintiffs take issue with the fact that the Form 11-S requires voters
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to be literate and may arrive after the end of the cure period. (Doc. 687 at ¶ 248.) Second, as to
provisional voters, Plaintiffs charge that due process is not satisfied because provisional voters
receive no pre-deprivation process or opportunity to cure unless their error is lack of
identification, and an inadequate pre-deprivation notice and opportunity to cure a missing form
of identification. (Id. at ¶ 246.)
In Hunter v. Hamilton County, another Ohio provisional voting case, a court considered a
claim from NEOCH, the ODP, and a judicial candidate that the Hamilton County Board of
Elections violated their procedural due process rights when it rejected provisional ballots cast in
the wrong precinct without providing voters with notice and an opportunity to be heard. 850 F.
Supp. 2d 795, 846 (S.D. Ohio 2012). After a permanent injunction hearing, Judge Dlott entered
judgment for the plaintiffs on their equal-protection claim because the Board, in determining
whether provisional ballots were cast in the wrong precinct due to poll-worker error, considered
evidence of the location where the ballots were cast for some, but not all, provisional ballots,
thereby treating voters disparately. Id. at 847. The court ruled for the Board on the plaintiffs’
procedural due-process claim, however, explaining as follows:
This claim fails because, in the Court’s view, the harm that Plaintiffs allege is the direct
result of the Ohio statutes in question, not the lack of process. Even if the Board had
given provisional voters notice and an opportunity to explain the cause of their miscast
ballots, Ohio law would have prevented the Board from counting those miscast ballots
regardless of the explanation. Ohio law makes clear, as the Ohio Supreme Court held in
Painter, that provisional ballots cast in the wrong precinct shall not be counted, even
where the ballot is miscast due to poll-worker error. . . . Thus, Plaintiffs’ proposed postdeprivation remedy is inextricably intertwined with the validity of Ohio’s election laws.
It would be superfluous for the Court to order the Board to provide provisional voters
with notice and an opportunity to be heard if Ohio law prevents the Board from counting
miscast ballots regardless of the voter’s particular circumstance
Id. at 846-47 (citations and footnote omitted); see also Davis v. Robert, No. 15-cv-12076, 2016
WL 1084683, at *4 (E.D. Mich. Mar. 21, 2016) (“It is the statute . . .that has deprived him of
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access to the document he seeks. . . . [T]he lack of adequate process has caused him no harm.”)
(citing Hunter, 850 F. Supp. 2d at 846-47). Similarly, here, the Court finds that Plaintiffs’ harm
is caused by the portions of SBs 205 and SB 216 that impose a completion requirement for the
five fields, not the lack of process given when a ballot is rejected. Accordingly, the Court
ENTERS JUDGMENT FOR DEFENDANT on Plaintiffs’ procedural due-process claim.
5. Substantive Due Process
Plaintiffs’ substantive due-process claim also fails. The Sixth Circuit has held that
substantive due process is implicated “in the exceptional case where a state’s voting system is
fundamentally unfair.” Warf v. Bd. of Elections of Green, Cnty., Ky., 619 F.3d 553, 559 (6th Cir.
2010) (finding no due-process violation when a state court voided all 542 absentee ballots cast in
an election as tainted). A voting system may be “fundamentally unfair” when “poll-worker error
cause[d] thousands of qualified voters to cast wrong-precinct ballots from the correct polling
locations,” NEOCH, 696 F.3d at 597, and the state nevertheless “enforce[d ]its strict
disqualification rules without exception, despite the systemic poll-worker error identified in this
litigation and others,” id. (affirming this Court’s grant of preliminary injunction on the plaintiff’s
substantive due-process claim). The evidence before the Court does not reveal that thousands of
ballots have been or will be rejected due to poll-worker error or that SB 205 and SB 216 have
resulted in “significant disenfranchisement and vote dilution.” Warf, 619 F.3d at 559 (citing
League of Women Voters of Ohio, 548 F.3d at 478). The Court, therefore, cannot conclude that
Plaintiffs have shown a “fundamentally unfair” voting system. Id.
The Court ENTERS JUDGMENT FOR DEFENDANT on Plaintiffs’ substantive dueprocess claim.
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6. Race Discrimination Under the Fourteenth and Fifteenth Amendments
Plaintiffs assert that SB 205 and SB 216 violate the Fourteenth and Fifteenth
Amendments because they were enacted with a discriminatory purpose. To prevail on a
discriminatory intent claim, a plaintiff need not show that the discriminatory purpose was the
sole purpose or even the “dominant” or “primary” one. Vill. of Arlington Heights v. Metro.
Hous. Dev. Corp., 429 U.S. 252, 265 (1977). But the plaintiff must show that racial
discrimination was “a motivating factor in the decision.” Id. at 265-66. The discriminatory
purpose need not be “express or appear on the face of the statute.” Washington v. Davis, 426
U.S. 229, 241 (1976). Courts should inquire into both circumstantial and direct evidence of
intent to discern whether an invidious discriminatory purpose was a motivating factor. Arlington
Heights, 429 U.S. at 266.
In Arlington Heights, the Supreme Court laid out several evidentiary sources relevant to
this inquiry: the historical background of the decision, “particularly if it reveals a series of
official actions taken for invidious purposes”; the “specific sequence of events leading up [to] the
challenged decision”; “[d]epartures from the normal procedural sequence” of legislative
enactments; and the legislative or administrative history, “especially when there are
contemporary statements by members of the decisionmaking body, minutes of its meetings, or
reports.” Id. at 266-68. The Supreme Court also stated that in rare cases the law’s impact, or
whether it “bears more heavily on one race than another,” may be probative, but only when “a
clear pattern, unexplainable on grounds other than race, emerges from the effect of the state
action even when the governing legislation appears neutral on its face.” Id. at 266 (internal
quotation marks omitted). Recognizing that “discriminatory intent is so difficult to prove by
direct evidence, it is incumbent on a sensitive decisionmaker to analyze all of the surrounding
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facts and circumstances to see if discriminatory intent can be reasonably inferred.” Grano v.
Dep’t of Dev. of Columbus, 637 F.2d 1073, 1081 n.7 (6th Cir. 1980) (citing Arlington Heights,
429 U.S. at 252).
Having examined all of the surrounding facts and circumstances to the passage of the
challenged laws, the Court cannot reasonably infer discriminatory intent. Plaintiffs ask the Court
to infer such intent from the lead-up to the passage of SBs 205 and 216—namely, the multitude
of proposed legislation in the previous legislative session which aimed to restrict voting rights—
and the legislative history and debate surrounding the passage of SBs 205 and 216. No House or
Senate representatives who voted in favor of the bill testified at trial, so the Plaintiffs ask the
Court to find this discriminatory intent based mostly on the testimony of Representative
Kathleen Clyde and former-Senator Nina Turner, Democrats and opponents of the challenged
laws.
This is not the “rare” case described in Arlington Heights, where “a clear pattern,
unexplainable on grounds other than race,” requires a conclusion of discriminatory intent absent
any other evidence of such intent. 429 U.S. at 266; see Gomillion v. Lightfoot, 364 U.S. 339,
341-42 (1960) (finding that plaintiff had stated a race-discrimination claim when the city of
Tuskegee redrew its boundaries to remove from the city all but four or five of 400 AfricanAmerican voters while not removing a single white voter). The Court turns, therefore, to the
remaining Arlington Heights factors. Although the Court agrees, based on its discussion above
regarding the Senate factors, that there is a history of discrimination surrounding voting in Ohio,
particularly with regard to the 2004 election, the evidence Plaintiffs presented at trial does not
show that the legislature departed from its normal procedural practices in passing the challenged
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laws or that the legislative drafting history weighs in favor of a finding of discriminatory
purpose.
First, the procedural lead-up to the passage of this bill was not highly unusual. Although
it may have been rare for only a few supporters to testify in favor of the bills in committee, or for
no data or studies to demonstrate the need for the bills, this does not counsel a finding of
discriminatory intent. Likewise, the fact that Democratic amendments to the bills were defeated,
although revelatory of a highly polarized and partisan legislative session, is not evidence of
racial discrimination. See Moore v. Detroit Sch. Reform Bd., 293 F.3d 352, 369-70 (6th Cir.
2002) (noting that allegations of speedy passage of legislation, failure to analyze relevant
information before voting on the legislation, reliance on tenuous justifications, and rejection of
certain amendments “indicate a general dissatisfaction with the legislative process that preceded
the enactment of the [challenged law]” but were not evidence of discriminatory intent). The
timelines for debate and passage through the House of Representatives, approximately four or
five months, was also not unusual.
Second, although Representative Clyde and Senator Turner testified that they and other
Democrats in the legislature raised concerns that the bills would have a disproportionate impact
on African-American voters, the only testimony in the record regarding comments about race by
a member of the legislature is Representative Clyde’s description of Representative Huffman’s
statement during committee debate, in which he asked: “[S]hould we really be making it easier
for those people who take the bus after church on Sunday to vote,” which was a reference to
African-American voters. (Clyde Tr., Vol. 1 at 82-83.) Given that Arlington Heights endorses
the use of circumstantial as well as direct evidence, there is no bright-line rule that the record
must demonstrate the racial animus of a certain number of legislators in order to justify a finding
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of discriminatory intent. See 429 U.S. at 266. But on this record, with its scarce evidence in
support of the other Arlington Heights factors, the Court concludes that Representative
Huffman’s discriminatory intent—while patent on its face—cannot be imputed to the majority of
the legislative body, which voted for passage of the bills.
Nor does evidence of Doug Preisse’s statement and the billboard erected by a nonlegislator, both of which the Court finds reprehensible, particularly given the history of racial
discrimination in Ohio, allow the Court to strike down SBs 205 and 216 based on discriminatory
motives of the legislature. (See Clyde Tr., Vol. 1 at 40; Turner Tr., Vol. 6 at 142, 257.)
Make no mistake: the Court is deeply troubled by the flurry of voting-related legislation
introduced during the time period in question, all of which sought to limit the precious right to
the franchise in some manner, and most of which was a peripatetic solution in search of a
problem. The Court agrees, moreover, that the Republican-controlled General Assembly’s
frenetic pace of introducing such legislation reflects questionable motives, given the wealth of
other problems facing the state which actually needed solutions. If the dog whistles in the
General Assembly continue to get louder, courts considering future challenges to voting
restrictions in Ohio may very well find that intentional discrimination is afoot. But when
applying all of the Arlington Heights factors to the record before it today, the Court cannot infer
that the General Assembly acted with racially discriminatory intent in the passage of SBs 205
and 216.
The Court ENTERS JUDGMENT FOR DEFENDANT on the intentionaldiscrimination claim.
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7. Viewpoint Discrimination
Plaintiffs cast their final constitutional claim as one of voter viewpoint discrimination
under the First Amendment and the Equal Protection Clause. They contend that the challenged
laws intentionally discriminate against voters who support the Democratic Party, as evidenced by
the intent of the legislature in enacting the laws as well as various actions and omissions of
Defendant Husted including: failing to investigate discrimination against Democratic voters,
ignoring objections and pleas for intervention from Democratic representatives, firing
Democratic members of the Boards of Elections, and issuing directives intended to
disenfranchise Democratic voters. (Doc. 687 at ¶ 277-81.)
Defendant cites to Supreme Court precedent that “if a nondiscriminatory law is supported
by valid neutral justifications, those justifications should not be disregarded simply because
partisan interests may have provided one motivation for the votes of individual legislators.”
Crawford, 553 U.S. at 204. But here Plaintiffs contend that the laws, although facially
nondiscriminatory, were, in fact, enacted for a viewpoint-discriminatory purpose and are
enforced as such, and they urge the Court to enjoin the laws in question because they burden
voters based on the political party they support, which constitutes impermissible viewpoint
discrimination under the First Amendment.
The Supreme Court has recognized that it is constitutionally impermissible to “‘[f]enc[e]
out’ from the franchise a sector of the population because of the way they may vote.”
Carrington v. Rash, 380 U.S. 89, 94 (1965). In Vieth v. Jubelirer, with Justice Scalia writing for
a four-judge plurality, the Supreme Court held that “neither Article I, § 2, nor the Equal
Protection Clause, nor (what appellants only fleetingly invoke) Article I, § 4, provides a
judicially enforceable limit on the political considerations that the States and Congress may take
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into account when districting.” 541 U.S. 267, 305 (2004). Concurring in the judgment, Justice
Kennedy wrote that in his view the arguments for finding cases of partisan gerrymandering
nonjusticiable “are not so compelling that they require us now to bar all future claims of injury
from a partisan gerrymander.” Id. at 309 (Kennedy, J., concurring). Justice Kennedy noted that
a statute which declared “All future apportionment shall be drawn so as most to burden Party X’s
rights to fair and effective representation, though still in accord with one-person, one-vote
principles” would undoubtedly be held unconstitutional. Id. at 312. Justice Kennedy further
mused that:
The First Amendment may be the more relevant constitutional provision in future cases
that allege unconstitutional partisan gerrymandering. After all, these allegations involve
the First Amendment interest of not burdening or penalizing citizens because of their
participation in the electoral process, their voting history, their association with a political
party, or their expression of political views.
Id. at 314 (citing Elrod v. Burns, 427 U.S. 347 (1976) (plurality opinion)). If a court found that a
state “did impose burdens and restrictions on groups or persons by reason of their views, there
would likely be a First Amendment violation, unless the state shows some compelling interest.”
Id. at 315. Justice Kennedy cautioned, however, that courts should be wary in “adopting a
standard that turns on whether the partisan interests in the redistricting process were excessive.
Excessiveness is not easily determined.” Id. at 316.
Here, Plaintiffs essentially propose that the Court apply such a First Amendment
standard, although they cite to no other court that has done so. See OOC, slip op. at 118 (noting
that no courts have recognized a cause of action based on the concurrence in Vieth). They argue
that there is sufficient evidence to justify the searching review required by strict scrutiny because
a discriminatory purpose behind the laws belies their facial neutrality. Even if the Court adopts
Plaintiffs’ standard, however, Plaintiffs have not put forth sufficient evidence of the General
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Assembly’s impermissible motive. As the Court acknowledged when entering judgment for
Defendant on Plaintiffs’ claim of intentional race discrimination, the racist comments of one
state legislator, coupled with the introduction of other bills limiting voting rights and a refusal to
consider Democratic amendments, come just short of a finding of intentional discrimination.
Therefore, even if the Court could identify a workable standard in this type of case to determine
whether the legislature has engaged in viewpoint discrimination, the Court’s factual findings
compel a contrary conclusion on the first-order question. Put simply, although “partisan interests
may have provided one motivation for the votes of individual legislators,” Crawford, 553 U.S. at
204, there is insufficient evidence before the Court to show that the Ohio General Assembly
passed these laws with any more of an impermissible objective than the Indiana legislature that
passed the voter-ID statute in Crawford. The Court ENTERS JUDGMENT FOR
DEFENDANT on Plaintiffs’ viewpoint-discrimination claim.
C. Voting Rights Act Claims
1. Section 2
Section 2 of the Voting Rights Act provides, in relevant part:
(a) No voting qualification or prerequisite to voting or standard, practice, or procedure
shall be imposed or applied by any State or political subdivision in a manner which
results in a denial or abridgement of the right of any citizen of the United States to vote
on account of race or color . . . .
(b) A violation of subsection (a) is established if, based on the totality of circumstances, it
is shown that the political processes leading to nomination or election in the State or
political subdivision are not equally open to participation by members of a class of
citizens protected by subsection (a) in that its members have less opportunity than other
members of the electorate to participate in the political process and to elect
representatives of their choice. . . .
52 U.S.C. § 10301.
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The Supreme Court has instructed that the Voting Rights Act “should be interpreted in a
manner that provides ‘the broadest possible scope’ in combating racial discrimination.” Chisom
v. Roemer, 501 U.S. 380, 403 (1991) (quoting Allen v. State Bd. of Elections, 393 U.S. 544, 567
(1969)). After the 1982 amendments to the VRA, proof of intentional discrimination is not
required for a plaintiff to prevail on a Section 2 claim. Id. at 394 n.21; Moore, 293 F.3d at 363.
In vote-denial cases like this one, courts conduct a two-part analysis under the “results test” of §
10301(b). OOC, slip op. at 95; see also League of Women Voters of N.C. v. North Carolina, 769
F.3d 224, 240 (4th Cir. 2014). First, a court determines whether a practice or procedure has a
disparate impact on a minority group. See Gingles, 478 U.S. at 44 (“The ‘right’ question . . . is
whether ‘as a result of the challenged practice or structure plaintiffs do not have an equal
opportunity to participate in the political processes and to elect candidates of their choice . . . . In
order to answer this question, a court must assess the impact of the contested structure or practice
on minority electoral opportunities ‘on the basis of objective factors.’”) (internal citations
omitted). Second, if it finds disparate impact, the court assesses whether the “electoral law,
practice, or structure interacts with social and historical conditions to cause an inequality in the
opportunities enjoyed by black and white voters to elect their preferred representatives.” Id. at
47. In applying the results test, the Court considers “the totality of circumstances.” 52 U.S.C. §
10301(b).
Defendant argues that Plaintiffs have failed to prove that the challenged laws harm
African-Americans’ right to vote, that the laws cause the right to vote to be denied, and that
African-Americans lack meaningful access to the polls on account of race. (Doc. 686 at ¶ 232.)
Essentially, Defendant’s first argument relates to the Court’s inquiry regarding disparate impact,
and the second and third go to the Court’s assessment of whether the challenged laws interact
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with social and historical conditions in Ohio to create an inequality in the ability of AfricanAmerican voters to participate in the democratic process as compared to whites.
a. SB 205 and SB 216 Have a Disparate Impact on African-Americans
The evidence shows that SB 205 and SB 216 have a disproportionate impact on AfricanAmerican voters in Ohio, creating greater risk of disenfranchisement of African-Americans than
whites. The burdens imposed on voters by the five-field requirement, the prohibition on
pollworker assistance, and the reduced cure period fall more heavily on African-Americans than
whites.
Dr. Timberlake’s data on disparities in provisional and absentee ballot usage and
rejection rates reveal that higher minority population share is correlated to higher rates of
absentee ballot rejection and provisional ballot usage and rejection. Although Dr. Hood, and
implicitly Dr. McCarty, criticized Dr. Timberlake’s analysis for relying on county-level rather
than precinct-level data, and Dr. McCarty criticized the analysis for not controlling for enough
other factors that could explain the disparities, the Court concludes that since Dr. Timberlake’s
multivariable regression analysis accounted for a variety of key factors besides race that were
likely to explain disparities in rejection rates (including the median age, income, and educational
attainment of the white voters in those counties as well as the urbanicity of the counties), Dr.
Timberlake’s data yield convincing evidence that restrictions on absentee and provisional
balloting leads to higher rejection rates of minority voters’ provisional and absentee ballots.
In particular, as noted above in its findings of fact, the Court credits Dr. Timberlake’s
findings that: (1) in the presidential election years of 2008 and 2012, where minority turnout was
higher than during typical midterm elections, minorities’ absentee ballots were rejected at a
higher rate than whites’; (2) in 2008, 2010, 2012, and 2014, minorities cast provisional ballots at
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a higher rate than whites;19 and (3) in 2008, 2010, and 2012, minorities had higher rates of
rejection of provisional ballots than whites. The State makes much of the fact that the 2014
election did not reveal the same relationship between rates of provisional-ballot rejections and
minority population share, asking the Court to draw the conclusion that the challenged laws were
actually having the effect of decreasing provisional ballot rejections. But Plaintiffs presented
evidence that the gubernatorial election was significantly less competitive in 2014 than in 2010,
that overall turnout was lower in 2014 than 2010, and that overall provisional ballot rejections
increased in 2015. It is premature, therefore, to conclude that overall provisional ballot rejection
rates are decreasing or that African-American voters’ provisional ballot rejection rates are
decreasing. And in presidential election years in particular, the evidence strongly suggests that
provisional ballot and absentee ballot rejections fall disproportionately on African-American
voters.
Defendant’s argument that Plaintiffs have failed to show harm because they cannot
identify an objective benchmark against which to assess the burdens of the challenged laws on
African-American voters is unpersuasive. Essentially, Defendant charges that Plaintiffs sought
to use Ohio’s pre-2014 election procedures as a benchmark, which improperly grafts a
retrogression analysis—the inquiry for a Section 5 claim—onto a Section 2 claim.
The “purpose of § 5 has always been to insure that no voting-procedure changes would
be made that would lead to a retrogression in the position of racial minorities with respect to
their effective exercise of the electoral franchise.” Beer v. United States, 425 U.S. 130, 141
(1976). In contrast, Section 2 has a “broader mandate” of barring all states and their political
subdivisions from “maintaining any voting ‘standard, practice or procedure’ that ‘results in a
19
This finding is also corroborated by studies upon which Dr. Timberlake relied that showed that
African-American voters use provisional ballots at a higher rate than white voters nationwide.
(See Timberlake Rebuttal Rpt., P-1195 at PTF-243.)
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denial or abridgment of the right . . . to vote on account of race or color.’” Reno v. Bossier
Parish Sch. Bd., 520 U.S. 471, 479 (1997) (“Bossier I”) (quoting 52 U.S.C. § 10301(a)). The
Supreme Court has held that a benchmark is nevertheless required for Section 2 claims, noting
that in the context of vote-dilution cases:
It makes no sense to suggest that a voting practice “abridges” the right to vote without
some baseline with which to compare the practice. In § 5 preclearance proceedings—
which uniquely deal only and specifically with changes in voting procedures—the
baseline is the status quo that is proposed to be changed . . . . In § 2 . . . proceedings, by
contrast, which involve not only changes but (much more commonly) the status quo
itself, the comparison must be made with a hypothetical alternative.
Reno v. Bossier Parish Sch. Bd., 528 U.S. 320, 334 (2000) (“Bossier II”).
In contrast to the Section 2 vote dilution cases such as those where the Supreme Court has
addressed the benchmark requirement, however, the “hypothetical” benchmark here is more
straightforward. See, e.g., Bossier II, 528 U.S. at 334; Holder v. Hall, 512 U.S. 874, 884 (1994)
(plurality opinion) (“[W]ith some voting practices, there in fact may be no appropriate
benchmark to determine if an existing voting practice is dilutive under § 2.”). This Court’s
relevant inquiry is whether African-American voters “have less opportunity than other members
of the electorate to participate in the political process.” 52 U.S.C. § 10301(b); see also OOC,
slip op. at 97 (“[T]he relevant benchmark is inherently built into § 2 claims and is whether
members of the minority have less opportunity than other members of the electorate to
participate in the political process and elect representatives of their choice.”). The benchmark,
accordingly, is simply the ability of other groups of voters to participate in the political process
compared to African-Americans’ ability to do so.20 The Court concludes for the reasons stated
20
Defendant repeatedly attempts to compare Ohio’s voting practices with respect to provisional
and absentee balloting to those of other states but, as the Supreme Court made clear in Gingles, a
court’s Section 2 analysis is “an intensely local appraisal of the design and impact of” election
administration “in the light of past and present reality, political and otherwise.” 478 U.S. at 78
(quoting White v. Regester, 412 U.S. 755, 769-70 (1973)); see also League of Women Voters of
96
above that Dr. Timberlake’s multivariable regression analysis provides convincing evidence that
because of the passage of the challenged laws, African-American voters are more likely than
white voters to have their absentee or provisional ballots rejected.21
Having found that Plaintiffs have shown that SB 205 and SB 216 have a disproportionate
impact on African-Americans, the Court turns to the second part of the Section 2 results
standard.
b. SB 205 and SB 216 Combine with the Effects of Past Discrimination to Interfere with the
Voting Power of African-Americans
The second part of the results test22 requires “a searching practical evaluation of the past
and present reality” and a “‘functional’ view of the political process” to determine whether the
N.C., 769 F.3d at 243 (“Section 2 . . . is local in nature.”); OOC, slip op. at 97 (considering
challenged statutes “as they are now, wholly within the State of Ohio (rather than comparing
Ohio across other states)”).
21
To the extent Defendant argues that past voting practices have no relevance to the Section 2
analysis, he is mistaken. On its face, Section 2 requires a broad “totality of circumstances”
review. 52 U.S.C. § 10301(b). There is no doubt that to analyze the totality of the circumstances
requires attention to past practices, and neither the Supreme Court nor the Sixth Circuit has held
that such an inquiry is improper. See League of Women Voters of N.C., 769 F.3d at 241
(“Clearly, an eye toward past practices is part and parcel of the totality of the circumstances.”);
Sanchez v. State of Colo., 97 F.3d 1303, 1325 (10th Cir. 1996) (quoting from the legislative
history of the 1982 amendments to Section 2 that “[i]f [a challenged] procedure markedly departs
from past practices or from practices elsewhere in the jurisdiction, that bears on the fairness of its
impact”) (quoting 1982 U.S.C.C.A.N. at 207, n.117). Further, as the Fourth Circuit noted in
League of Women Voters, the Supreme Court has acknowledged that some parts of the Section 2
and Section 5 inquiries “may overlap,” 769 F.3d at 241 (quoting Georgia v. Ashcroft, 539 U.S.
461, 478 (2003)). Moreover, “[b]oth Section 2 and Section 5 invite comparison by using the
term ‘abridge[ ].’” Id. Compare 52 U.S.C. § 10304(a) and 52 U.S.C. § 10301(a)).
22
Courts have interpreted this second part of the test as a requirement for a “causal connection
between the challenged electoral practice and the alleged discrimination that results in a denial or
abridgement of the right to vote.” Ortiz v. City of Phila. Office of City Comm’rs Voter
Registration Div., 28 F.3d 306, 310 (3d Cir. 1994); see also Gingles, 478 U.S. at 47 (“The
essence of a § 2 claim is that a certain electoral law, practice, or structure interacts with social
and historical conditions to cause an inequality in the opportunities enjoyed by black and white
voters to elect their preferred representatives.”) (emphasis added); Wesley v. Collins, 791 F.2d
1255, 1260-61 (6th Cir. 1986) (“[A] showing of disproportionate racial impact alone does not
establish a per se violation of the Voting Rights Act. Rather, such a showing merely directs the
court’s inquiry into the interaction of the challenged legislation with those historical, social and
97
challenged laws diminish voting opportunities for African-American Ohioans. Gingles, 478 U.S.
at 45. The Senate Judiciary Report accompanying the 1982 bill that amended Section 2
describes the “typical factors” that may be probative of a Section 2 violation, which the Supreme
Court adopted in Gingles, 478 U.S. at 36.
The Gingles/Senate factors include: (1) a history of official discrimination that affected
the right of members of a minority group to register, vote, or otherwise participate in the
democratic process; (2) the extent to which voting is racially polarized; (3) the extent to which
the state has used unusually large election districts, majority vote requirements, anti-single shot
provisions, or other voting practices or procedures that may enhance the opportunity for
discrimination; (4) denial of access to a candidate slating process; (5) the extent to which
members of the minority group bear the effects of discrimination in areas such as education,
employment, and health, which hinder their ability to participate in the political process; (6)
whether political campaigns have been characterized by overt or subtle racial appeals; (7) the
extent to which members of the minority group have been elected to public office; (8) whether
there is significant lack of responsiveness on the part of elected officials to the particularized
needs of the members of the minority group; and (9) whether the policy underlying the state’s
use of the voting qualification, prerequisite to voting, or practice or procedure is tenuous. Id. at
36-37. The plaintiff need not prove “any particular number of factors . . . [nor] that a majority of
them point one way or the other.” Id. at 45 (citation and internal quotation marks omitted).
political factors generally probative of dilution.”) (internal quotation marks and citation omitted);
Irby v. Va. State Bd. of Elections, 889 F.2d 1352, 1358-59 (4th Cir. 1989) (finding no causal link
between a system of appointing school board members and African-American
underrepresentation because there was evidence that African-American residents were not
seeking school board seats in numbers commensurate with their share of the population).
98
Although the Senate Report indicated that “the enumerated factors will often be pertinent
to certain types of § 2 violations, particularly to vote dilution claims,” and the claim at issue in
Gingles itself was a vote-dilution claim, neither the Report nor the Gingles Court suggested that
the factors should be considered only in vote-dilution cases.23 See Gingles, 478 U.S. at 45.
Several circuits have expressly adopted the Senate factors to analyze vote-denial claims. See,
e.g., League of Women Voters of N.C., 769 F.3d at 239-40; Johnson v. Governor of State of Fla.,
405 F.3d 1214, 1227 n.26 (11th Cir. 2005) (en banc); Smith v. Salt River Project Agric.
Improvement & Power Dist., 109 F.3d 586, 596 (9th Cir. 1997). Moreover, “the principles that
make vote dilution objectionable under the Voting Rights Act logically extend to vote denial”
and “[v]ote denial is simply a more extreme form of the same pernicious violation” of vote
dilution. League of Women Voters of N.C., 769 F.3d at 239.
The Court finds that all the Senate factors except the fourth weigh in favor of a finding
that SBs 205 and 216 interact with social and historical conditions to decrease AfricanAmericans’ access to the electoral process.
Factor One: History of Official Discrimination. The evidence at trial showed that Ohio
has a long history of official discrimination against African-American voters, as another court in
this district recently concluded. See OOC, slip op. at 102 (“Plaintiffs have provided evidence
that Ohio had facially discriminatory voting laws between 1802 and 1923.”). Also relevant here,
however, is recent discrimination against African-American voters, including the unequal
allocation of voting machines in the 2004 election that led to hours-long waits for voters in
predominantly African-American urban neighborhoods, as well as repeated attempts by the
General Assembly—some of which passed, others that did not or were blocked by the courts—to
23
In their proposed findings of fact and conclusions of law, Defendant obliquely suggests that
the Senate factors are not useful in the vote-denial, as opposed to the vote-dilution, context and
thus the Court has chosen to address this argument. (Doc. 686 at ¶ 237.)
99
roll back election administration changes made after 2004 that expanded voting opportunities.
See, e.g., Obama for Am., 697 F.3d at 425; NAACP v. Husted, 43 F. Supp. 3d 808 (S.D. Ohio
2014), vacated by 2014 WL 10384647 (6th Cir. Oct. 1, 2014). (Clyde Tr. Vol. 1 at 55, 57, 6061.) This recent onslaught of attempts to limit voter registration and turnout, coupled with the
numerous earlier laws on the books that Ohio used to disenfranchise African-Americans,
suggests that the disparate impact is linked to social and historical conditions of discrimination
against African-American voters.
Factor Two: Racially Polarized Voting. African-Americans tend to vote overwhelmingly
for Democratic candidates and the majority of whites in most parts of the state vote for
Republicans. This pattern holds true across different races and election cycles and indicates
stark polarization. See also NAACP, 43 F. Supp. 3d at 849 (noting the “polarized nature of
recent elections in Ohio”); United States v. City of Euclid, 580 F. Supp. 2d 584, 607 (N.D. Ohio
2008) (finding that the City of Euclid had a pattern of racially polarized voting where “racial
bloc voting occurred in seven of the eight elections since 1995 involving African-American
candidates”).
Factor Three: Voting Practices that Enhance the Opportunity for Discrimination. Like
the first factor, this factor weighs in favor of a finding of discriminatory result. As noted above,
of particular concern to the Court is that after the expansion of early voting opportunities
following the disastrous 2004 election—which was plagued by long lines in predominantly
African-American precincts—the Ohio General Assembly has moved so doggedly to roll back
the expansion of the franchise. Indeed, two others courts in this district have explicitly found
that “minority voters are disproportionately affected by the elimination of those early voting
days.” Obama for Am. v. Husted, 888 F. Supp. 2d 897, 906-07 (S.D. Ohio 2012) (noting that the
100
state had submitted no studies or evidence to counter plaintiffs’ argument in this regard); see also
OOC, slip op. at 98.
Factor Five: Effects of Discrimination in Education, Employment, and Health on
Political Participation. As discussed at length above, African-Americans have suffered
discrimination in housing, education, and health and suffer from higher poverty rates, acute
residential segregation, and lower educational attainment. These socioeconomic disparities have
undoubtedly hindered their ability to participate in the political process. Inflexible hourly-wage
jobs, health problems, and limited access to transportation also make it logistically more difficult
to show up to vote. See OOC, slip op. at 104 (“[African Americans] are more likely to be
transient than whites and are more likely than whites to rely on public transportation. The Court
finds this discrimination hinders African Americans’ ability to participate effectively in the
political process.”). Lower educational attainment also poses challenges in navigating the
registration and voting process. See City of Euclid, 580 F. Supp. 2d at 609 (“[T]he social science
literature on voter participation makes clear that educational achievement is strongly and directly
correlated with voter registration and turnout.”). This factor weighs strongly in favor of a
finding of discriminatory results.
Factor Six: Overt or Subtle Racial Appeals in Campaigns. From an email from a top
Republican Party official denigrating the “urban—read African-American—voter turnout
machine” to racist appeals like the “Obama phone lady” ad, Ohio has seen both overt and subtle
racial appeals in campaigns over the last several years. Moreover, the targeting of minority
communities for anti-voter fraud efforts, including with billboards, is an indication that voter
suppression tactics have not disappeared but are now merely cloaked in ostensibly race-neutral
language. Old dogs, it seems, can learn new tricks.
101
Factor Seven: Proportional Representation. Although African-American candidates
have won elected office in recent years at the local level (and in Ohio’s delegation to the United
States House of Representatives) in numbers roughly proportional to their percentage of the
state’s population, they have not enjoyed similar success at the state level or in districts where
the electorate is predominantly white. Due to the lack of representation on the statewide level,
this factor weighs somewhat in favor of finding a discriminatory result.
Factor Eight: Lack of Legislative Responsiveness to Minority Needs. State elected
officials have often overlooked the needs of minority constituents. The Court finds that this
factor weighs in favor of finding a discriminatory result because the state government has
repeatedly and vigorously taken action to roll back the much-needed post-2004 voting reforms
that led to an increase in African-American turnout rates, and because the state has also shown a
lack of interest in intervention to address many of the longstanding, entrenched problems that
plague Ohio’s minority communities, including educational inequality and segregation, as well
as poverty, infant mortality, and other negative health and economic outcomes. Federal or court
intervention has often been required to address these problems.
Factor Nine: Tenuousness. Although the State’s purported rationale for the challenged
laws is to improve election administration, the Court finds that this rationale is weak. As
discussed above, improving election administration and making it easier for Boards to identify
voters does not justify throwing out the ballots of voters whom the Boards can and have
identified. And given Senator Seitz’s statement that he hoped SB 216 would help “ratchet back”
the post-2004 reforms that expanded electoral opportunities for Ohio voters, especially AfricanAmerican voters (see Timberlake Rpt., P-1194 at PTF-204), the Court finds that the State’s
justifications are tenuous.
102
Defendant offers little response to Plaintiffs’ evidence regarding the Senate factors. He
does contend, however, that Plaintiffs cannot show that African-American voters lack
meaningful access to the polls because voter registration and turnout numbers, as introduced
through the testimony of Dr. Hood, show that African-American and white voters are currently
on equal footing with regard to these important metrics. According to Defendant, then, no matter
what historical and social conditions exist, it is impossible to conclude that the challenged laws
deny African-Americans the opportunity to participate in the electoral process any less than
whites. But this is both an overbroad and under-broad interpretation of the factors. Registration
and turnout numbers in presidential election years do not tell the entire story of a group’s access
to the polls. Additionally, the purpose of the Senate factors is to examine the context of “social
and historical conditions” to determine whether they interact with the disparate impact the Court
has identified, not to consider turnout rates in isolation. It may be useful to consider turnout and
registration rates as one component of the “functional view of the political process.” Gingles,
478 U.S. at 45 (internal quotation marks omitted). But other factors enter the Court’s
consideration when looking at these turnout and registration numbers in context, such as the
opportunity to elect (and re-elect) the nation’s first African-American President, which may have
had a positive effect on registration and turnout numbers among African-American voters in
2008 and 2012.24 Moreover, as Dr. McCarty acknowledged at trial, although turnout of voters
from all demographic groups is lower in midterm elections than presidential elections, AfricanAmerican turnout drops more than white turnout in midterm elections. (McCarty Tr., Vol. 8 at
62.)
24
See Veasey v. Perry, 71 F. Supp. 3d 627, 655 (S.D. Tex. 2014), vacated in part on other
grounds by Veasey v. Abbott, 796 F.3d 487 (5th Cir. 2015), reh’g en banc granted, 815 F.3d 958
(5th Cir. 2016) (noting that Dr. Hood testified in that case that “he linked the 2008 increased
voter turnout to the unprecedented Obama campaign”).
103
Because other factors likely had an effect on turnout and registration numbers in the 2008
and 2012 elections, and because other evidence regarding the Senate factors weighs strongly in
favor of a finding of discriminatory result, the Court concludes that the challenged laws interact
with the effects of discrimination against minority voters to create inequality in the electoral
opportunities enjoyed by African-American voters as compared to white voters. Gingles, 478
U.S. at 47. When considering the relevant “social and historical conditions” in Ohio, id., the
Court finds that this case is a classic example of a Section 2 vote denial claim, akin to the
hypothetical that Justice Scalia laid out in Chisom:
If, for example, a county permitted voter registration for only three hours one day a week,
and that made it more difficult for blacks to register than whites, blacks would have less
opportunity “to participate in the political process” than whites, and [Section] 2 would
therefore be violated . . . .
501 U.S. at 408 (emphasis in original); see also League of Women Voters of N.C., 769 F.3d at
246. The Court finds that the Calculus of Voting, as described by Dr. Timberlake, explains the
interaction between the challenged laws and the effects of discrimination against AfricanAmericans. As Dr. Timberlake stated, voters must
understand the rules that they must follow to register and vote successfully, they
must have the time available to register and vote, either in person or by absentee
ballot, and in many cases they must have the financial wherewithal to go to the
polls. Because of these resource requirements, poor, uneducated, and minority
voters are most at risk of not having the capacity to cast ballots.
(Timberlake Rpt., P-1194 at PTF-206.)
Evidence of the fifth Senate factor shows that African-Americans are less likely to own a
car or have access to child care, more likely to be employed in hourly-wage, inflexible jobs, and
more likely to suffer health problems. (Id. at 168, 179, 185, 188.) African-Americans also move
more frequently than whites, and such a move requires a change in voter-registration address
under Ohio law. (Id. at 173.) Finally, African-Americans have lower levels of educational
104
attainment than whites, and low literacy is correlated to substandard educational opportunities
and attainment. (Id. at 183-85; Timberlake Tr., Vol. 5 at 73.)
The Court agrees with Dr. Timberlake that these inequalities, rooted in historical
discrimination against African-Americans, have “significant and far-reaching” effects with
“specific and direct consequences for voting.” (Timberlake Rpt., P-1195 at PTF-187.) Because
low literacy levels are also correlated with substandard education (Timberlake Tr., Vol. 5 at 73),
and the Court has credited Dr. Timberlake’s findings that African-Americans suffer from lower
educational attainment than whites in Ohio, the Court concludes that African-Americans would
also suffer from higher costs associated with the five-field requirement and the prohibition on
poll-worker assistance because they would face disproportionately more challenges filling out
the forms. Because African-Americans move more frequently than whites, they may be more
likely to be forced to vote provisionally. (Id. at 67-68; see also Hood Tr., Vol. 10 at 121, 124.)
They are also more likely to be homeless. (Davis Tr., Vol. 4 at 186.) And because they are more
likely to have inflexible schedules or lack access to a car, they are more likely to be burdened by
a shorter cure period for absentee and provisional ballots. (Timberlake Tr., Vol. 5 at 61-62.) All
of these effects of discrimination against African-Americans combine to create an inequality in
their opportunities to participate in the political process. Gingles, 478 U.S. at 47.
The Ohio General Assembly took action after the disastrous 2004 election to expand
voters’ access to absentee and provisional balloting, and the rollback of these improvements will
disproportionately harm African-American voters. Due to the General Assembly’s retrenchment
and the social and historical conditions affecting African-American Ohioans, SBs 205 and 216
have a discriminatory impact on African-Americans.
105
SB 205 and SB 216 violate Section 2 of the Voting Rights Act. The Court ENTERS
JUDGMENT FOR PLAINTIFFS on their Section 2 claim.
2. Materiality Provision
Section 1971 of the Voting Rights Act provides that no person acting under color of law
shall “deny the right of any individual to vote in any election because of an error or omission on
any record or paper relating to any application, registration, or other act requisite to voting, if
such error or omission is not material in determining whether such individual is qualified under
State law to vote in such election.” 52 U.S.C. § 10101(a)(2)(B). In McKay v. Thompson, the
Sixth Circuit held that Section 1971 is enforceable only by the Attorney General, not by private
citizens. 226 F.3d 752, 756 (6th Cir. 2000). In so stating, the Sixth Circuit cited to the section of
the statute that provides that when any person is deprived of a right or privilege to include
§ 10101(a)(2)(B), “the Attorney General may institute for the United States, or in the name of the
United States, a civil action . . . .” 52 U.S.C. § 10101(c). The only other authority the court cited
was a case from the Eastern District of Michigan holding that there was no private right of action
under the materiality provision. See Willing v. Lake Orion Cmty. Sch. Bd. of Trs., 924 F. Supp.
815, 820 (E.D. Mich. 1996). The Sixth Circuit offered no explanation for why § 10101(c),
which allows for an action by the Attorney General, necessarily bars a private right of action.
The Eleventh Circuit has subsequently examined this issue in depth and found that a
private right of action does exist, reasoning that the Supreme Court has found that other sections
of the Voting Rights Act, 42 U.S.C. §§ 1973c and 1973h, could be enforced by a private right of
action, even though those sections also explicitly provide for enforcement by the Attorney
General but not by individuals. Schwier v. Cox, 340 F.3d 1284, 1294-95 (11th Cir. 2003). The
Eleventh Circuit also relied on legislative history during the debate over whether to add the
106
provision giving the Attorney General the power to bring a civil suit, before which time
individual plaintiffs could and did enforce the provisions of Section 1971 under Section 1983,
namely that the House Judiciary Committee stated that the bill’s purpose was “to provide means
of further securing and protecting the civil rights of persons.” Id. at 1295.
Plaintiffs have indicated that they seek to challenge the holding of McKay on appeal, but
regardless of the thorough reasoning in Schwier, this Court remains bound by McKay and finds
that Plaintiffs lack standing to bring a claim under the materiality provision of the VRA. The
Court ENTERS JUDGMENT FOR DEFENDANT on this claim.
3. Literacy Test
Section 1973aa of the Voting Rights Act provides that no citizen shall be denied the right
to vote “because of his failure to comply with any test or device.” 52 U.S.C. § 10501(a). The
statute defines “test or device” as:
any requirement that a person as a prerequisite for voting or registration for voting (1)
demonstrate the ability to read, write, understand, or interpret any matter, (2) demonstrate
any educational achievement or his knowledge of any particular subject, (3) possess good
moral character, or (4) prove his qualifications by the voucher of registered voters or
members of any other class.
Id. § 10501(b).
As a threshold matter, Defendant contends that because the Sixth Circuit has found that
Congress did not create a private right of action under Section 1971 of the VRA, see McKay, 226
F.3d at 756, an issue on which there is a circuit split, see Schwier, 340 F.3d at 1296, there is
likewise no private right of action under Section 1973aa. Defendant points to 52 U.S.C. §
10504, which provides that “[w]henever the Attorney General has reason to believe that a State
or political subdivision . . . has enacted or is seeking to administer any test or device as a
prerequisitive to voting . . . he may institute for the United States, or in the name of the United
107
States, an action in a district court of the United States . . . .” This section, the Secretary asserts,
closely mirrors the language of the statute that the Sixth Circuit held to prohibit a private right of
action to enforce the materiality provision of the VRA.
But the Court has found no case, in the Sixth Circuit or elsewhere, squarely holding that
there is no private right of action under Section 1973aa, and numerous courts have found
standing under this section of the VRA either explicitly or implicitly. See, e.g., Greater
Birmingham Ministries v. State, No. 2:15-cv-2193, 2016 WL 627709, at *7 (N.D. Ala. Feb. 17,
2016); Diaz v. Cobb, 435 F. Supp. 2d 1206, 1215 (S.D. Fla. 2006). But see Jennerjahn v. City of
Los Angeles, No. 15-cv-263, 2015 WL 5138671, at *5 (C.D. Cal. July 27, 2015) (dismissing
complaint for failure to state a claim but also stating that “[Plaintiff] should consider whether the
ordinance falls within the statutory definition of a ‘test or device’ and whether he has authority to
sue for any such violation”).
Further, the Supreme Court has read an implied private right of action into other sections
of the VRA, including the prohibition against poll taxes under 52 U.S.C. § 10306, see Morse v.
Republican Party of Va., 517 U.S. 186, 233-34 (1996) (plurality opinion), and id. at 240 (Breyer,
J., concurring) (agreeing with plurality opinion that a private right of action lies under § 10306),
and the provision allowing for declaratory judgments that a new state enactment is subject to the
preclearance requirements of Section 5 of the Act under 52 U.S.C. § 10304, see Allen v. State
Bd. of Elections, 393 U.S. 544, 560 (1969). In light of these sections of the VRA, which contain
similar language empowering the Attorney General to bring suit, the Court concludes that a
private right of action also lies under Section 1973aa, and Plaintiffs thus have standing to bring
their literacy-test claim.
108
That said, the Court concludes that the challenged laws do not violate Section 1973aa of
the VRA. Requiring voters to fill out absentee and provisional ballot forms with their birth date
and address does not constitute a requirement to “comply with [a] test or device.” 52 U.S.C. §
10501(a). Although Plaintiffs object that filling out the form requires illiterate or semi-literate
voters to demonstrate “the ability to read, write, understand, or interpret any matter,” id. §
10501(b), other plaintiffs have used the statute to vindicate their rights when required to read
very complex forms or forms written only in a language they do not speak. See, e.g., Puerto
Rican Org. for Political Action v. Kusper, 490 F.2d 575, 580 (7th Cir. 1973) (upholding a
preliminary injunction requiring election commissioners to provide voting assistance in Spanish
to Spanish-speaking voters).
Moreover, although the Court has discussed the difficulties homeless and illiterate voters
face in filling out forms in the context of the Anderson-Burdick burden analysis, the Court is not
persuaded that a plaintiff can prevail on a VRA literacy-test claim when a state statute explicitly
provides for assistance to illiterate voters, as the Ohio Revised Code does. See Ohio Rev. Code §
3505.24; Ohio Rev. Code § 3505.181(F). See also Diaz, 435 F. Supp. 2d at 1215 (holding that a
requirement that voters check a box reading “I affirm that I have not been adjudicated mentally
incapacitated with respect to voting or, if I have, my competency has been restored,” did not
violate Section 1973aa because “applicants are free to request and receive (and others free to
offer and provide) assistance in completing the application”). Cf. United States v. Louisiana, 265
F. Supp. 703, 708 (E.D. La. 1966) (invalidating a state law prohibiting illiterate voters from
receiving assistance at the polls); United States v. Mississippi, 256 F. Supp. 344, 348 (S.D. Miss.
1966) (requiring state to provide assistance to illiterate voters).
109
Although Plaintiffs point to testimony from the House Report on the VRA, they offer no
response to Defendant’s argument that literacy is not a requirement of the challenged laws
because Ohio law allows for assistance to illiterate or blind voters. Because Ohio law so allows,
Plaintiffs’ claim must fail. The Court ENTERS JUDGMENT FOR DEFENDANT on the
Section 1973aa claim.
V.
CONCLUSION
The Court enters JUDGMENT for Plaintiffs on their Fourteenth Amendment undueburden claim and Section 2 VRA claim. The Court enters JUDGMENT for Defendant on all
other claims.
Accordingly, the Court PERMANENTLY ENJOINS the enforcement of the
amendments from SB 205 and SB 216 to the Ohio Revised Code as follows:
Ohio Revised Code §§ 3509.06 and 3509.07 are enjoined to the extent they require full
and accurate completion of absentee-ballot identification envelopes before an otherwise qualified
elector’s ballot may be counted;
Ohio Revised Code §§ 3509.06 and 3509.07 are enjoined to the extent they provide for
only seven days for voters to correct absentee-ballot identification envelopes, and the ten-day
period provided by Secretary of State directive is restored;
Ohio Revised Code §§ 3505.181, 3505.182, and 3505.183 are enjoined to the extent they
require full and accurate completion of provisional-ballot affirmation forms, and require a
printed name, before an otherwise qualified elector’s ballot may be counted;
Ohio Revised Code §§ 3505.181, 3505.182, and 3505.183 are enjoined to the extent they
provide for only seven days for voters to correct provisional-ballot affirmation forms rather than
ten days;
110
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