           IN THE COURT OF CRIMINAL APPEALS
                       OF TEXAS
                                         NO. PD-1067-15



                Ex parte JAMES RICHARD “RICK” PERRY, Appellant



                    ON APPELLANT’S AND STATE’S PETITIONS
                         FOR DISCRETIONARY REVIEW
                     FROM THE THIRD COURT OF APPEALS
                               TRAVIS COUNTY

              K ELLER, P.J., delivered the opinion of the Court as to Parts I, II.B.3, III
and IV in which K EASLER, H ERVEY , A LCALA , Y EARY and N EWELL, JJ., joined and
announced the judgment of the Court and filed an opinion as to the remainder of Part
II in which A LCALA and Y EARY, JJ., joined. A LCALA, J., filed a concurring opinion.
N EWELL, J., filed a concurring opinion which was joined by K EASLER and H ERVEY, JJ.
M EYERS, J., filed a dissenting opinion. J OHNSON, J., filed a dissenting opinion.
R ICHARDSON, J., did not participate.


       This case arises from a governor’s threat to exercise a veto and his ultimate exercise of that

veto. Whether the State can prosecute the governor for these acts depends upon (1) whether

prosecuting the exercise of a veto under the “abuse of official capacity” statute is a violation of the

Separation of Powers provision of the Texas Constitution, and (2) whether the relevant portion of

the “coercion of a public servant” statute, being used to prosecute the threat to exercise a veto, is
                                                                                       PERRY — 2

facially unconstitutional in violation of the First Amendment. Before reaching the first question,

we must also decide whether the governor can raise his separation of powers complaint as an as-

applied challenge in a pretrial habeas application followed by an interlocutory appeal. Answering

these three questions in the affirmative, we reverse the judgment of the court of appeals with respect

to count one, affirm the judgment of the court of appeals with respect to count two, and order the

dismissal of the indictment.

                                          I. Background

                          A. The Indictment and Pretrial Proceedings

       The charges against the appellant, James Richard “Rick” Perry, arise from actions taken

while he was governor of the State of Texas. A Travis County grand jury returned a two-count

indictment against him. Count I alleged the offense of “abuse of official capacity,”1 and Count II

alleged the offense of “coercion of a public servant.”2 In a nutshell, Count I alleged that Governor

Perry3 abused his official capacity by misusing funds appropriated to the Public Integrity Unit of the

Travis County District Attorney’s Office, and Count II alleged that he coerced a public

servant—District Attorney Rosemary Lehmberg—by threatening to veto the funds for that unit if she




       1
           TEX . PENAL CODE § 39.02.
       2
           Id. § 36.03.
       3
           The Supreme Court has referred to a party by his title (“the President”) rather than by his
party designation when the party was the President of the United States and was involved in
litigation arising from acts in that capacity. See United States v. Nixon, 418 U.S. 683 (1974).
Because this case arises from acts of a governor in his capacity as governor, we refer to him by his
title, and we include his last name to distinguish him from the current governor.
                                                                                      PERRY — 3

did not resign.4

       The offense of abuse of official capacity is committed when a public servant, with intent to

harm another, intentionally or knowingly misuses government property that has come into his

custody or possession by virtue of his office or employment.5 “Public servant” includes an officer

of government,6 such as a governor. Count I alleged the following:

       On or about June 14, 2013, in the County of Travis, Texas, James Richard “Rick”
       Perry, with intent to harm another, to-wit, Rosemary Lehmberg and the Public
       Integrity Unit of the Travis County District Attorney’s Office, intentionally or
       knowingly misused government property by dealing with such property contrary to
       an agreement under which defendant held such property or contrary to the oath of
       office he took as a public servant, such government property being monies having a
       value of in excess of $200,000 which were approved and authorized by the
       Legislature of the State of Texas to fund the continued operation of the Public
       Integrity Unit of the Travis County District Attorney’s Office, and which had come
       into defendant’s custody or possession by virtue of the defendant’s office as a public
       servant, namely, Governor of the State of Texas.

       The offense of coercion of a public servant is committed when a person, by means of

coercion, influences or attempts to influence a public servant in the exercise of a specific

performance of his official duty.7 The Penal Code provides several methods of engaging in coercion,

but the definition of coercion at issue here is “a threat, however communicated . . . to take or


       4
          The counts are out of order chronologically—the acts alleged in Count II precede the acts
alleged in Count I.
       5
         TEX . PENAL CODE § 39.02(a)(2). Although there are other statutory methods of committing
abuse of official capacity, we focus solely on the statutory method described by the indictment’s
allegations. See Curry v. State, 30 S.W.3d 394, 404 (Tex. Crim. App. 2000) (“[T]he ‘law’ as
‘authorized by the indictment’ must be the statutory elements of the offense . . . as modified by the
charging instrument.”).
       6
           TEX . PENAL CODE § 1.07(a)(41).
       7
          Id. § 36.03(a)(1). Again, we focus solely on the statutory method of committing the
offense that is described by the indictment’s allegations.
                                                                                      PERRY — 4

withhold action as a public servant.”8 The coercion statute also provides an exception for certain

official conduct.9 The charging instrument must negate this exception, and the State must prove

beyond a reasonable doubt that the exception does not apply.10 Count II of the indictment alleged:

       Beginning on or about June 10, 2013, and continuing through June 14, 2013, in the
       County of Travis, Texas, by means of coercion, to-wit: threatening to veto legislation
       that had been approved and authorized by the Legislature of the State of Texas to
       provide funding for the continued operation of the Public Integrity Unit of the Travis
       County District Attorney’s Office unless Travis County District Attorney Rosemary
       Lehmberg resigned from her official position as elected District Attorney, James
       Richard “Rick” Perry, intentionally or knowingly influenced or attempted to
       influence Rosemary Lehmberg, a public servant, namely, the elected District
       Attorney for Travis County, Texas, in the specific performance of her official duty,
       to-wit: the duty to continue to carry out her responsibilities as the elected District
       Attorney for the County of Travis, Texas through the completion of her elected term
       of office, and the defendant and Rosemary Lehmberg were not members of the same
       governing body of a governmental entity, such offense having been committed by
       defendant, a public servant, while acting in an official capacity as a public servant.

       Governor Perry filed a motion to quash and dismiss the indictment and a pretrial application

for a writ of habeas corpus.       He claimed that the statutes underlying both counts were

unconstitutional as applied to the charges against him. Included in his claims were allegations that

the abuse-of-official-capacity statute was unconstitutional as applied because it infringed upon a

governor’s absolute right under the Texas Constitution to veto items of appropriation and because

it violated the Texas Constitution’s Separation of Powers clause. He also attacked Count II on the

basis that the relevant portion of the coercion statute was facially unconstitutional because it was



       8
            Id. § 1.07(a)(9)(F).
       9
            Id. § 36.03(c).
       10
          Id. § 2.02(b) (“The prosecuting attorney must negate the existence of an exception in the
accusation charging the commission of the offense and prove beyond a reasonable doubt that the
defendant or defendant’s conduct does not fall within the exception.”)
                                                                                        PERRY — 5

overbroad in violation of the First Amendment. The motion to quash also claimed that Count II

failed to negate the exception found in § 36.03(c).

       The trial court denied Governor Perry’s motion to quash, but the court’s order contained

some qualifications. The order expressed the court’s concern that Count I failed to specify what act

constituted the misuse of government property: “[I]f the act of vetoing the appropriations bill funding

the Public Integrity Unit is the act on which the State intends to rely . . . the indictment should say

so. On the other hand, if the veto is not the act of alleged misuse, then [Governor Perry] . . . does

not have sufficient notice of what facts support the State’s claim of misuse.” The trial court did not

at that time act on that concern because the motion to quash had not challenged the indictment’s lack

of specificity. The order did say that the filing of a motion to quash challenging the sufficiency of

the indictment would be permitted and that the State would be “permitted (and encouraged) to amend

the indictment to plead Count I with more specificity, as suggested.”

       As to Count II, the trial court agreed with Governor Perry that the indictment failed to

properly negate the exception found in § 36.03(c). The trial court concluded that the language “the

defendant and Rosemary Lehmberg were not members of the same governing body of a

governmental entity,” which the State included in order to negate the exception, neither expressly

nor implicitly did so. Nevertheless, the trial court found it premature to quash Count II of the

indictment and, instead, ordered the State to amend the indictment to cure the defect.

       The trial court otherwise denied the motion to quash and denied relief in the habeas action.

As to the various as-applied claims, the trial court held that state law does not permit them to be

raised pretrial. Regarding the facial challenge to Count II, the trial court held that neither of the

statutes under which Governor Perry is being prosecuted is facially unconstitutional.
                                                                                          PERRY — 6

        Responding to the trial court’s suggestion that more specificity be pled in Count I and the

trial court’s order that the State amend Count II, the State filed a document titled “Bill of Particulars

& Amendment of Indictment.”11 The bill of particulars identifies Governor Perry’s veto of the funds

for the Public Integrity Unit as the act of misuse in Count I.12 In its amendment of Count II, the State

struck the language found by the trial court to be inadequate to negate the exception and substituted

the following language:

        . . . and it is further alleged that Rosemary Lehmberg was an elected district attorney
        in the Judicial Department (or Branch) of Texas, specifically, the District Attorney
        of Travis County, Texas, and the defendant was the chief officer of the Executive
        Department (or Branch) of Texas, specifically, the Governor of the State of Texas,
        and the defendant was therefore not a member of the governing body of a
        governmental entity in which Rosemary Lehmberg was a member, and the
        defendant’s influence and attempt to influence Rosemary Lehmberg by means of an
        unlawful threat to veto legislatively-approved appropriation of funds did not
        constitute an official action taken by the defendant as a member of a governing body.

        In written objections, Governor Perry argued that a bill of particulars is not recognized in

Texas law. “It gives the appearance of notice to Governor Perry, while leaving the State free to

shift strategies at trial if needed.”13 He also raised a number of objections to the State’s amendment

of Count II.


        11
           After the trial court’s rulings denying habeas relief and denying Governor Perry’s initial
motions to quash the indictment, Governor Perry filed a third motion to quash that alleged, among
other things, that count one lacked specificity for the reasons the trial court had suggested. At a
subsequent hearing, the trial court asked if the State intended to amend count one. The State’s
attorney pro tem responded “possibly” but that there were “other procedural vehicles that would
satisfy the notice issue that the Court raised that possibly exists,” including “a bill of particulars.”
       12
          The bill of particulars concerning Count I makes a number of other allegations, including
allegations about Governor Perry’s intent and what the State believes his duties were. Because these
allegations are not relevant to the disposition of this case, we need not detail them here. The State’s
document also contains a bill of particulars as to Count II that we need not address.
        13
             Emphasis in original.
                                                                                         PERRY — 7

                                              B. Appeal

        Governor Perry filed an appeal in the court of appeals, claiming that the trial court erred in

denying relief on the habeas application. The court of appeals recognized that at least some as-

applied challenges can be addressed pretrial. Nevertheless, that court held that none of Governor

Perry’s as-applied claims were cognizable in a pretrial habeas action.14 In arriving at that holding,

the court of appeals relied upon our statements in prior cases that pretrial habeas may not be used

to advance an as-applied challenge.15 The court of appeals considered our decision in Ex parte

Boetscher16 as an “unstated qualification” of that principle but then held that Governor Perry’s

challenges were not like those in Boetscher.17

        The court of appeals further concluded that Governor Perry’s remaining proposed rationales

for the fact that some as-applied challenges are allowed on pretrial habeas were not rooted “in any

existing controlling precedent of the Court of Criminal Appeals” but in “broader ‘factors’ he

identifies in what he terms the high court’s ‘evolving jurisprudence regarding cognizability in pretrial

habeas.’”18 The court of appeals rejected these rationales, saying that, as an intermediate court, it

was not empowered “to ‘evolve’ or otherwise alter the binding effect of the Court of Criminal

Appeals’s controlling precedents,” even if it might perceive sound justifications for doing so.19


        14
             Ex parte Perry, 471 S.W.3d 63, 83-87 (Tex. App.–Austin 2015).
        15
             Id. at 84.
        16
             Ex parte Boetscher, 812 S.W.2d 600 (Tex. Crim. App. 1991).
        17
             Perry, 471 S.W.3d at 84-85.
        18
             Id. at 86.
        19
             Id.
                                                                                       PERRY — 8

       Finally, the court of appeals addressed a broader concern raised by Governor Perry and the

amici who support him.20 In their view, this is a case in which a defendant who will inevitably be

vindicated has nevertheless been made to face criminal charges of dubious legal viability (and/or

politically motivated origins).21 In such circumstances, the eventuality of obtaining a favorable

judgment at trial or on appeal will do little to rectify the harm the defendant suffers to reputation,

professional standing, and the like in the meantime.22 They suggested in the court of appeals that

inflicting such harms might, in fact, be the primary goal of those pursuing the charges.23 The court

of appeals found itself bound by what it considered to be this Court’s holdings and said that such

potential harms, “however considerable they may be,” are insufficient in themselves to provide a

basis for relief through pretrial habeas corpus.24 The court of appeals rejected all of Governor

Perry’s challenges to Count I and rejected a number of his challenges to Count II.25

       The court of appeals did, however, sustain Governor Perry’s First Amendment overbreadth

challenge to Count II.26 That court found Penal Code § 36.03(a)(1), as it incorporates the definition

of “coercion” found in Penal Code §1.07(a)(9)(F), to be unconstitutional.27



       20
            Id. at 87.
       21
            Id.
       22
            Id.
       23
            Id.
       24
            Id.
       25
            Id.
       26
            Id. at 125-26.
       27
            Id. at 91-126.
                                                                                         PERRY — 9

       The court of appeals recited a number of hypothetical situations offered by Governor Perry

to illustrate the improper reach of the statute:

       • A manager could not threaten to fire or demote a government employee for poor
       performance.

       • A judge could not threaten to sanction an attorney for the State, to declare a mistrial
       if jurors did not avoid misconduct, or to deny warrants that failed to contain certain
       information.

       • An inspector general could not threaten to investigate an agency’s financial
       dealings.

       • A prosecutor could not threaten to bring charges against another public servant.

       • A public university administrator could not threaten to withdraw funding from a
       professor’s research program.

       • A public defender could not threaten to file a motion for suppression of evidence
       to secure a better plea bargain for his client.28

The court agreed that the statute would indeed criminalize these acts.29 The court also offered its

own hypotheticals: that the statute would appear to criminalize a justice’s threat to write a dissenting

opinion unless another justice’s draft majority opinion were changed, and the court’s clerk’s threat,

when a brief is late, to dismiss a government entity’s appeal unless it corrects the deficiency.30

       The State claimed that § 36.03(a)(1) and subsection (F) do not implicate the First

Amendment at all. The State argued that under Garcetti v. Ceballos,31 statements made by public

officials do not constitute protected speech when uttered as part of the official’s job, and that under


       28
            Id. at 103.
       29
            Id.
       30
            Id. at 103-04.
       31
            547 U.S. 410 (2006).
                                                                                        PERRY — 10

Johanns v. Livestock Mktg. Ass’n,32 “government speech” is not protected.33 The court rejected these

claims, saying that, if the State were correct, “there would seem to be little left of the First

Amendment’s rights of speech and petition.”34 The court also concluded that most threats proscribed

by the statute would fall under the protection of the First Amendment because only a relatively small

fraction of the “threats” proscribed would constitute “true threats” (threats of force or violence)

under the Supreme Court’s jurisprudence.35 The court of appeals said that threats do not lose First

Amendment protection merely because they are designed to coerce action.36

        The court of appeals acknowledged that the statutory provisions at issue would reach some

threats that the State could properly proscribe criminally.37 Included in these threats, the court said,

would be threats designed to gain a prohibited personal benefit or threats of unlawful action.38 But

the court of appeals concluded that the statute would criminalize a number of threats that are part

of the basic workings of government.39

        The court of appeals further concluded that the statute was not narrowly drawn to serve a

compelling state interest (as is required for content-based restrictions on protected expression) and



        32
             544 U.S. 550 (2005).
       33
             See Perry, 471 S.W.3d at 106-10.
        34
             Id. at 110.
        35
             Id. at 110-13.
        36
             Id. at 112-13.
        37
             Id. at 116.
        38
             Id.
        39
             Id. at 117-18.
                                                                                       PERRY — 11

that its infringement on protected speech was therefore not justified.40 In addressing whether the

potential unconstitutional applications of the statute are substantial relative to legitimate ones, the

court found the statute to be of alarming breadth, “reaching even a public servant’s declared intention

to take or withhold action lawfully, aimed at bringing about another public servant’s lawful action

that the first public servant could lawfully demand or require,” even where there is a close

relationship between the two actions.41 In response to the State’s argument that no chilling effect

has been demonstrated because there has been no widespread prosecution of public servants

performing ordinary duties, the court of appeals observed that the statute has rarely been

utilized—“at least until now.”42 The court of appeals believed that the absence of prosecutions might

also have been because of the Waco Court of Appeals case of State v. Hanson,43 which held that a

prior version of the statute was unconstitutionally vague in violation of the First Amendment.44

Finally, the court of appeals concluded that no limiting construction could be used to save the

statute.45

        The court of appeals affirmed the trial court’s denial of habeas relief as to Count I but

reversed the denial of habeas relief as to Count II and ordered the trial court to dismiss Count II.

                              II. Count I and Separation of Powers


        40
             Id. at 119-21.
        41
             Id. at 121-22.
        42
             Id. at 122.
        43
             793 S.W.2d 270 (Tex. App.–Waco 1990, no pet.).
        44
             Perry, 471 S.W.3d at 122.
        45
             Id. at 122-25.
                                                                                       PERRY — 12

                                           A. General Principles

                                          1. Separation of Powers

       Unlike the United States Constitution, the Texas Constitution contains an express Separation

of Powers provision:

       The powers of the Government of the State of Texas shall be divided into three
       distinct departments, each of which shall be confided to a separate body of
       magistracy, to wit: Those which are Legislative to one; those which are Executive to
       another, and those which are Judicial to another; and no person, or collection of
       persons, being of one of these departments, shall exercise any power properly
       attached to either of the others, except in the instances herein expressly permitted.46

Our cases have given weight to this distinction: “All other things being equal, this textual difference

between the United States and Texas constitutions suggests that Texas would more aggressively

enforce separation of powers between its governmental branches than would the federal

government.”47 The Texas Separation of Powers provision is violated:

       (1) when one branch of government assumes or is delegated a power “more properly
       attached” to another branch, or

       (2) when one branch unduly interferes with another branch so that the other branch
       cannot effectively exercise its constitutionally assigned powers.48

                                             2. Cognizability

       We first address whether the court of appeals was correct in holding that Governor Perry’s

separation of powers claim is not cognizable on pretrial habeas. Pretrial habeas, followed by an



       46
            TEX . CONST . art. II, § 1.
       47
          State v. Rhine, 297 S.W.3d 301, 315 (Tex. Crim. App. 2009) (Keller, P.J., concurring).
See Meshell v. State, 739 S.W.2d 246 (Tex. Crim. App. 1987) (overturning Speedy Trial Act on
separation of powers grounds).
       48
            Ex parte Lo, 424 S.W.3d 10, 28 (Tex. Crim. App. 2014).
                                                                                         PERRY — 13

interlocutory appeal, is an extraordinary remedy.49 This remedy is reserved “for situations in which

the protection of the applicant’s substantive rights or the conservation of judicial resources would

be better served by interlocutory review.”50 Except when double jeopardy is involved, pretrial

habeas is not available when the question presented, even if resolved in the defendant’s favor, would

not result in immediate release.51

        We have permitted double jeopardy and bail claims to be raised on pretrial habeas,52 but we

have disallowed its use to assert a claim involving a right to a speedy trial,53 a challenge to the denial

of a motion to suppress,54 or a collateral estoppel claim that does not allege a double-jeopardy

violation.55 We have also said that pretrial habeas is generally not available to test the sufficiency

of the charging instrument or to construe the meaning and application of the statute defining the

offense charged.56 We have held pretrial habeas to be an appropriate vehicle to assert a facial

constitutional challenge to the validity of a statute, and, conversely, we have stated that pretrial

habeas cannot be used to advance an as-applied constitutional challenge to a statute.57 And we have



        49
             Ex parte Ellis, 309 S.W.3d 71, 79 (Tex. Crim. App. 2010).
        50
             Ex parte Weise, 55 S.W.3d 617, 620 (Tex. Crim. App. 2001).
        51
             Ex parte Doster, 303 S.W.3d 720, 724 (Tex. Crim. App. 2010).
        52
             Weise, 55 S.W.3d at 619.
        53
             Doster, 303 S.W.3d at 724.
        54
             Weise, 55 S.W.3d at 620.
        55
             Id.
        56
             Ellis, 309 S.W.3d at 79.
        57
             Id.
                                                                                            PERRY — 14

said that pretrial habeas is unavailable “when the resolution of a claim may be aided by the

development of a record at trial.”58

        The court of appeals relied on these statements to hold that Governor Perry could not litigate

his as-applied claims before trial. We conclude, however, that the nature of the constitutional right

at issue entitles him to raise these claims by pretrial habeas corpus.

                                               B. Analysis

                                              1. As-Applied

        Although we have said that as-applied challenges are not cognizable before trial, we allow

certain types of claims to be raised by pretrial habeas because the rights underlying those claims

would be effectively undermined if not vindicated before trial.59 Within this category of rights that

would be effectively undermined if not vindicated pretrial, we have, so far, recognized the

constitutional protections involving double jeopardy and bail.60 Facial constitutional challenges,

however, are cognizable on pretrial habeas regardless of whether the particular constitutional right

at issue would be effectively undermined if not vindicated prior to trial. When we say that as-applied

challenges are not cognizable pretrial, what we mean is that, unlike with facial challanges, the

unconstitutionality of a statute as applied is not, in the abstract, a basis for invoking the pretrial writ.

But, as will be discussed further below, certain types of as-applied claims may be raised by pretrial

habeas because the particular constitutional right at issue in the as-applied challenge is the type that




        58
             Doster, 303 S.W.3d at 724.
        59
             Weise, 55 S.W.3d at 619.
        60
             Id.
                                                                                      PERRY — 15

would be effectively undermined if not vindicated prior to trial.61

       The “effectively undermined if not vindicated prior to trial” rationale for allowing certain

claims on pretrial habeas derives from the Supreme Court’s decision in Abney v. United States,62 a

double-jeopardy case. In Abney, the Supreme Court decided that the resolution of a claim of former

jeopardy fell within the “collateral order exception” to the general prohibition against interlocutory

appeals in the federal system.63 One reason the Court gave for permitting an interlocutory appeal

when a trial is barred by double jeopardy is that the defendant would lose an aspect of the Double

Jeopardy Clause’s protection by being forced to endure a trial that the Double Jeopardy Clause was

designed to prohibit.64 “[I]f a criminal defendant is to avoid exposure to double jeopardy and thereby

enjoy the full protection of the Clause, his double jeopardy challenge to the indictment must be

reviewable before that subsequent exposure occurs.”65 In Ex parte Robinson, we adopted this

rationale to hold that a “right not to be exposed to double jeopardy” is cognizable on pretrial habeas

and reviewable in an interlocutory appeal from the habeas proceeding.66


       61
           A plurality of this Court has indicated that there are occasions when a double-jeopardy
claim is itself an as-applied challenge to a statute. See Ex parte Chaddock, 369 S.W.3d 880, 886
(Tex. Crim. App. 2012) (plurality op.) (“To the extent that Section 71.03(3) purports to authorize
successive prosecutions for engaging in organized criminal activity and for the commission of one
of the lesser-included predicate offenses listed in 71.02(a), we hold that it does indeed operate
unconstitutionally.”).
       62
            431 U.S. 651 (1977).
       63
            Id. at 659-62.
       64
            Id. at 661.
       65
            Id. (emphasis in original).
       66
         641 S.W.2d 552, 554-55 (Tex. Crim. App. 1982) (discussing Abney). See also Ex parte
Granger, 850 S.W.2d 513, 515 n.3 (Tex. Crim. App. 1993) (citing Abney).
                                                                                        PERRY — 16

       Federal courts have applied Abney to issues other than double jeopardy. In Helstoski v.

Meanor, the Supreme Court applied Abney’s holding to claims arising out of the United States

Constitution’s Speech and Debate Clause.67 Analogizing to Abney, the Court held that if a member

of Congress “is to avoid exposure to being questioned for acts done in either House and thereby

enjoy the full protection of the Clause, his challenge to the indictment must be reviewable before

exposure to trial occurs.”68 And in Nixon v. Fitzgerald, the Supreme Court relied in part on Abney

and Helstoski to hold that an interlocutory appeal in a civil case on the issue of presidential immunity

was allowed “[i]n light of the special solicitude due to claims alleging a threatened breach of

essential Presidential prerogatives under the separation of powers.”69

       Relying on Abney and Helstoski, several of the federal circuits have held that interlocutory

appeal is available for some separation of powers claims in a criminal case.70 Each of these cases

involved the prosecution of a public official who claimed that his own powers were being

unconstitutionally infringed upon.71 In addressing the separation of powers claim of a member of


       67
            442 U.S. 500, 506-07 (1979).
       68
            Id. at 507 (quoting Abney) (emphasis in original, brackets and ellipses omitted).
       69
          457 U.S. 731, 742-43 (1982). The Supreme Court has further extended this rationale to
claims of qualified immunity, to the extent such a claim turns on an issue of law. Mitchell v.
Forsyth, 472 U.S. 511, 524-30 (1985).
       70
          United States v. Myers, 635 F.2d 932, 935-36 (2d Cir. 1980); United States v. Claiborne,
727 F.2d 842, 844-45 (9th Cir. 1984); United States v. Hastings, 681 F.2d 706, 708-09 (11th Cir.
1982); United States v. Durenberger, 48 F.3d 1239, 1241-42 (D.C. Cir. 1995). See also United
States v. Levine, 658 F.2d 113, 125 (3d Cir. 1981) (observing extension of Helstoski rationale
employed by Second Circuit to separation of powers issue); United States v. Bird, 709 F.3d 388, 391
n.13 (5th Cir. 1983) (noting Second Circuit’s treatment of separation of powers issue).
       71
           Some federal circuit courts have dismissed attempted interlocutory appeals when a
separation of powers claim asserted an infringement of another person’s or entity’s official powers.
                                                                                         PERRY — 17

Congress in United States v. Myers, the Second Circuit commented that “the doctrine of separation

of powers serves as a vital check upon the Executive and Judicial Branches to respect the

independence of the Legislative Branch, not merely for the benefit of the Members of Congress, but,

more importantly, for the right of the people to be fully and fearlessly represented by their elected

Senators and Congressmen.”72 The Myers court found that the need to protect legislators was of such

importance that “it would not be too extravagant to suggest that a Member of Congress should be

entitled to pre-trial review of the denial of any legal claim that could be readily resolved before trial

and would, if upheld, prevent trial or conviction on a pending indictment.”73 Echoing the concerns

expressed in Myers, the Third Circuit observed the effect that the threat of criminal prosecution can

have on an elected public official’s performance of his constitutionally assigned duties:

        We must recognize that the mere issuance of an indictment has a profound impact on
        the accused, whether he be in public life or not. Particularly for a member of
        Congress, however, publicity will be widespread and devastating. Should an election
        intervene before a trial at which he is found innocent, the damage will have been
        done, and in all likelihood the seat lost. Even if the matter is resolved before an
        election, the stigma lingers and may well spell the end to a political career. Far from
        being hyperbolic, this evaluation of an indictment’s effect is coldly realistic. It
        cannot be doubted, therefore, that the mere threat of an indictment is enough to
        intimidate the average congressman and jeopardize his independence.74


See United States v. Wampler, 624 F.3d 1330,1338-39 (10th Cir. 2010) (defendants contended that
district court improperly usurped the Executive’s prosecutorial function); United States v. Cisneros,
169 F.3d 763, (D.C. Cir. 1999) (prospective nominee for cabinet position could not rely on alleged
infringement of President’s power to establish jurisdiction for an interlocutory appeal—“The
immunity, if any, is the President’s alone.”) (distinguishing Durenberger and Rostenkowski).
        72
             Myers, 635 F.2d at 935-36.
        73
             Id. at 936.
        74
            United States v. Helstoski, 635 F.2d 200, 205 (3d Cir. 1980). Although the claim in
Helstoski was based on the Speech and Debate Clause rather than separation of powers, the Third
Circuit cited to the Myers case in its discussion, see id. at 206, and the observation would appear to
                                                                                       PERRY — 18

Although the Myers case discussed the importance of protecting a member of Congress,75 other

Circuit cases have allowed interlocutory review of separation of powers claims made by federal

judges who were under indictment.76

       In accordance with the rationale of Myers and federal cases, as well as Abney and Helstoski,

and in light of our more aggressive enforcement of separation of powers in Texas,77 we hold that the

type of separation of powers claim in this case may be resolved prior to trial. If a statute violates

separation of powers by unconstitutionally infringing on a public official’s own power, then the mere

prosecution of the public official is an undue infringement on his power. And given the disruptive

effects of a criminal prosecution, pretrial resolution of this type of separation of powers claim is

necessary to ensure that public officials can effectively perform their duties.78 We conclude that

pretrial habeas is an available vehicle for a government official to advance an as-applied separation

of powers claim that alleges the infringement of his own power as a government official.79



apply equally to the separation of powers claim at issue in Myers.
       75
          See also Durenberger, 48 F.3d at 1242; United States v. Rostenkowski, 59 F.3d 1291, 1297
(D.C. Cir. 1995).
       76
            See Claiborne, 727 F.2d at 844; Hastings, 681 F.2d at 708.
       77
            See Rhine, 297 S.W.3d at 315 (Keller, P.J., concurring); Meshell, 739 S.W.2d 246.
       78
           The court of appeals suggested that some of the same concerns behind allowing pretrial
resolution of Governor Perry’s claims were also present in the Ellis and DeLay cases. See Perry, 471
S.W.3d at 87 & n.102. This is understandable given the allegations of a politically motivated
prosecution. However, neither of those cases involved a separation of powers claim, and the charges
were based upon election activities and not upon the public official’s performance of his duties. See
DeLay v. State, 465 S.W.3d 232 (Tex. Crim. App. 2014); Ellis, 309 S.W.3d 71.
       79
            Governor Perry’s brief identifies some “key considerations” that he says are taken into
account in determining whether a claim is cognizable on pretrial habeas, including: (1) whether the
right at stake would be effectively undermined if the issue were not resolved pretrial, and (2) whether
                                                                                         PERRY — 19

Consequently, Governor Perry may obtain pretrial resolution of his separation of powers claim that

alleges the infringement of his veto power as governor of the State of Texas.

                                     2. Record Development

        The State contends that another hurdle to pretrial cognizability is this Court’s past refusal to

allow pretrial resolution of issues that would require the development of facts. A key unresolved

fact, according to the State, is whether the act constituting “misuse” of the funds for the public

integrity unit is the Governor’s veto. The indictment does not specify the act of “misuse.” Although

the State’s “Bill of Particulars” specifies that the “misuse” was the Governor’s veto, the State

contends that it is not bound by that document because the allegations in it can be abandoned or

revised before trial. At oral argument, the State also contended that the bill of particulars is not a

recognized pleading in Texas law.

        The cases that have stated that pretrial resolution is not available when factual development

is necessary did not involve constitutional rights (like double jeopardy) that include a right to avoid




judicial economy would be best served by deciding the issue pretrial. These two considerations
reflect our statement in Weise that the remedy of pretrial habeas is reserved “for situations in which
the protection of the applicant’s substantive rights or the conservation of judicial resources would
be better served by interlocutory review.” See 55 S.W.3d at 620. Of these two considerations, the
first—focusing on the nature of the right at stake—is the one that more obviously compels pretrial
review. Judicial economy may sometimes favor pretrial review, but the nature of the right at stake
can compel it. Moreover, pretrial habeas enhances judicial economy only if the habeas applicant
wins; it actually hinders judicial economy if the habeas applicant loses. For these reasons, an
appellate court ought to first consider whether the right at stake provides a basis for cognizability and
only secondarily address whether judicial economy favors pretrial review. Consequently, because
Governor Perry has raised a claim involving a right that compels pretrial review, we resolve
cognizability on that basis and leave for another day the impact that judicial economy considerations
may have on the cognizability of certain types of claims. See Perry, 471 S.W.3d at 81-85 (discussing
unanswered questions regarding the continued viability and significance of the Boetscher case).
                                                                                        PERRY — 20

trial.80        As we have explained, a separation of powers claim that alleges infringement of the

governor’s power involves a constitutional right that includes a right to avoid trial by litigating the

issue before trial. We have, in fact, relied upon pretrial factual development to resolve, pretrial,

claims that involve a constitutional right that includes a right to avoid trial, like former jeopardy.81

           When the trial judge said that Count I gave Governor Perry insufficient notice of the charges

against him and the judge made it clear that he would consider granting a motion to quash on that

basis if one were filed, the State responded by alleging in its bill of particulars that the misuse of

power was the veto. Regardless of whether a bill of particulars is a “recognized” pleading,82 the


           80
           See State ex rel. Lykos v. Fine, 330 S.W.3d 904, 909-10 (Tex. Crim. App. 2011)
(challenge to punishment provision of capital-murder scheme); Doster, 303 S.W.3d at 724-27
(speedy-disposition claim under the IAD with this Court concluding that the IAD speedy-disposition
right was “much more like the right to a speedy trial than the right against Double Jeopardy”);
Gillenwaters v. State, 205 S.W.3d 534, 536-37 (Tex. Crim. App. 2006) (claim that statute was
unconstitutionally vague as applied); Ex parte Smith, 185 S.W.3d 887, 893 (Tex. Crim. App. 2006)
(in pari materia claim).
           81
           See Ex parte Coleman, 940 S.W.2d 96, 97-98 (Tex. Crim. App. 1996); (considering
testimony from prosecutor that the prior case and the pending case involved theft of the same items);
May v. State, 726 S.W.2d 573, 574, 576 n.6, 576-77 (Tex. Crim. App. 1987) (styled (correctly) in
the court of appeals as Ex parte May, 682 S.W.2d 326 (Tex. App.–Dallas 1984)) (considering the
testimony of the prosecutor from the prior case and the prosecutor from the pending case that showed
the same instance of driving was involved in the two cases); Ex parte Rathmell, 717 S.W.2d 33, 34
(Tex. Crim. App. 1986) (considering parties’ stipulation that the same automobile accident was
involved in the prior case and the pending case and agreeing that the claim was cognizable on pretrial
habeas). The State contends that modern double jeopardy law requires only a comparison of the
charging instruments, but that is not always true because “allowable unit of prosecution” issues
sometimes require an examination of evidence beyond the pleadings. Ex parte Benson, 459 S.W.3d
67, 74 (Tex. Crim. App. 2015); see also Maldonado v. State, 461 S.W.3d 144, 149-50 (Tex. Crim.
App. 2015) (looking beyond the pleadings at evidence of separate instances of sexual contact).
           82
            By providing that the indictment is the “primary pleading in a criminal action,” the Code
of Criminal Procedure indicates by inference “that other, ancillary pleadings by the State are
possible,” including those that convey notice of intent to seek a deadly weapon finding or notice of
intent to seek enhancement of punishment through the use of a prior conviction. Brooks v. State, 957
S.W.2d 30, 32 (Tex. Crim. App. 1997) (quoting TEX . CODE CRIM . PROC. art. 27.01, emphasis in
                                                                                         PERRY — 21

allegations in such a document may constitute admissions that we can consider on pretrial habeas,

just as we have considered pretrial admissions by the State in double jeopardy cases.83 Even if the

State has latitude to abandon such an admission,84 the State has not attempted to do so in the present

case, nor has the State suggested that its bill of particulars was inaccurate in alleging the veto as the

sole act of misuse. We will hold the State to its allegation in the bill of particulars that the veto is

the sole act of misuse on which the State relies.

                                             3. The Veto

        We now turn to the merits of Governor Perry’s separation of powers claim.85 Article IV, §

14 of the Texas Constitution gives the governor the authority to veto legislation.86 The provision



Brooks).
        83
             See supra n.81.
        84
            We need not address what circumstances would permit the State to abandon a pretrial
admission, but at least two factors would seem to weigh against permitting an abandonment here.
First, the State’s bill of particulars was made in response to a danger that the charges would
otherwise be dismissed for lack of notice. The State specifically represented to the trial court that
the bill of particulars was an available method of satisfying the notice concerns that Governor Perry
and the trial court had expressed. See supra n.11. And second, given the separation of powers
purpose of protecting against undue interference with the exercise of official power, one would
expect the State to already have (at the time of indictment) a factual basis for prosecution that does
not violate separation of powers. Using an indictment as a mechanism for engaging in a fishing
expedition for such a factual basis would be the sort of harassment that the separation of powers
protection is designed to prevent. See supra parts II.A.1 and II.B.1.
        85
          We agree with the Supreme Court’s sentiments, when faced with a separation-of-powers-
immunity type issue in Nixon, that we need not remand this case to the court of appeals for
resolution. See Nixon, 457 U.S. at 743 n.23. Several factors—the importance of the interests
protected by the Separation of Powers clause, the purely legal nature of the issue before us, and
concerns of judicial economy that are amplified by the need to speedily resolve the type of issue
before us—all counsel in favor of us addressing the merits of the separation of power claim now.
See id.
        86
             TEX . CONST . art. IV, § 14.
                                                                                       PERRY — 22

places temporal limits on that authority,87 and it limits the governor’s authority to veto only part of

a bill.88 The provision also authorizes the Legislature to override a veto with the vote of two-thirds

of the members present in each House.89 The Constitution does not purport to impose any restriction

on the veto power based on the reason for the veto, and it does not purport to allow any other

substantive limitations to be placed on the use of a veto.

       In the Pocket Veto Case, the United States Supreme Court emphasized the importance of the

veto as a part of our system of government and explained that Congress could not, directly or

indirectly, limit the President’s power to veto bills:

       The Constitution in giving the President a qualified negative over
       legislation—commonly called a veto—entrusts him with an authority and imposes
       upon him an obligation that are of the highest importance, in the execution of which
       it is made his duty not only to sign bills that he approves in order that they may
       become law, but to return bills that he disapproves, with his objections, in order that
       they may be reconsidered by Congress. . . . The power thus conferred upon the
       President cannot be narrowed or cut down by Congress, nor the time in which it is
       to be exercised lessened, directly or indirectly.90

We conclude that this applies equally to the governor’s veto in Texas. The Legislature cannot

directly or indirectly limit the governor’s veto power. No law passed by the Legislature can

constitutionally make the mere act of vetoing legislation a crime. And while the definition of misuse

includes “to deal with property contrary to . . . an agreement under which the public servant holds




       87
            Id.
       88
            Id.; Jessen Assoc. v. Bullock, 531 S.W.2d 593, 596 (Tex. 1975).
       89
            TEX . CONST . art. IV, § 14.
       90
            279 U.S. 655, 677-78 (1929).
                                                                                         PERRY — 23

the property,”91 and the indictment alleges this definition as an alternative method of misuse, the

governor cannot by agreement, on his own or through legislation, limit his veto power in any manner

that is not provided in the Texas Constitution.92

       Other state courts of last resort have held that the governor’s veto power is absolute if it is

exercised in compliance with the state constitution and that courts may not examine the motives

behind a veto or second-guess the validity of a veto.93 In discussing the power of the governor to

recommend or revoke a conditional pardon, we made similar statements that apply with even greater

force to a governor’s veto:

       Neither has this court any power over the acts of the Governor so long as he is within
       the law and the matter involved is one of his judgment and discretion in the
       performance of his duty assigned to him by the Constitution as is the matter before
       us. Whether or not his acts are harsh, ill advised, and arbitrary, is not a matter for this
       court to decide and that question so earnestly insisted upon by appellant is not given



       91
            TEX . PENAL CODE § 39.01(2)(A).
       92
            Although we are holding that the present prosecution violates separation of powers, we
need not decide whether the abuse-of-official-capacity statute itself violates separation of powers by
infringing on Governor Perry’s veto power. Governor Perry raised a number of other substantial
challenges to the indictment. There are serious questions about whether the State could prove the
existence of an agreement that Governor Perry could have acted contrary to, whether a veto could
ever be a violation of his oath of office, whether the Governor could be said to exercise custody or
possession of funds appropriated by the Legislature to a different government entity, and whether
the Governor could be said to exercise custody or possession of funds authorized in a portion of a
bill that (because of the veto) never became law. We need not address these questions. It is enough
to say here that, if the statute criminalizes the charged conduct, as the State claims, it would
unconstitutionally infringe on the Governor’s veto power.
       93
          Johnson v. Carlson, 507 N.W.2d 232, 235 (Minn. 1993) (“It is not for this court to judge
the wisdom of a veto, or the motives behind it, so long as the veto meets the constitutional test.”);
Barnes v. Secretary of Administration, 411 Mass. 822, 828, 586 N.E.2d 958, 961 (1992) (“We have
never inquired into a Governor’s motives in the use of the line item veto power. The language of
the constitutional amendment clearly authorizes the Governor’s reduction; his action was wholly
lawful, and our inquiry ends there.”).
                                                                                       PERRY — 24

       consideration. The Governor acted and he had the power to do so.94

The governor’s power to exercise a veto may not be circumscribed by the Legislature, by the courts,

or by district attorneys (who are members of the judicial branch).95 When the only act that is being

prosecuted is a veto, then the prosecution itself violates separation of powers.96 We sustain Governor

Perry’s separation of powers challenge to Count I.

                                    III. Count II and Overbreadth

                      A. Overbreadth and Statutory-Construction Principles

       The First Amendment protects, among other things, the freedom of speech.97 The First

Amendment right to freedom of speech applies to the states by virtue of the Fourteenth

Amendment.98 Under the First Amendment’s “overbreadth” doctrine, a law may be declared

unconstitutional on its face, even if it might have some legitimate applications.99 A challenge to a

statute under the overbreadth doctrine is a facial challenge that can be brought in a pretrial habeas




       94
             Ex parte Ferdin, 147 Tex. Crim. 590, 593, 183 S.W.2d 466, 467-68 (1944).
       95
             See TEX . CONST . art. V, §§ 21, 30.
       96
          A governor could be prosecuted for bribery if he accepted money, or agreed to accept
money, in exchange for a promise to veto certain legislation, and a governor might be subject to
prosecution for some other offense that involves a veto. But the illegal conduct is not the veto; it is
the agreement to take money in exchange for the promise. See Mutscher v. State, 514 S.W.2d 905,
914-15 (Tex. Crim. App. 1974). That is not what the State has alleged.
       97
             U.S. CONST . amend. I (“Congress shall make no law . . . abridging the freedom of
speech.”).
       98
             West Virginia Board of Education v. Barnette, 319 U.S. 624, 638-39 (1943).
       99
         United States v. Stevens, 559 U.S. 460, 473 (2010); Sabri v. United States, 541 U.S. 600,
609-10 (2004).
                                                                                          PERRY — 25

application, and the denial of relief may be immediately appealed.100

         The overbreadth of a statute must be “substantial, not only in an absolute sense, but also

relative to the statute’s plainly legitimate sweep.”101 The statute must prohibit a substantial amount

of protected expression,102 and the danger that the statute will be unconstitutionally applied must be

realistic103 and not based on “fanciful hypotheticals.”104 The person challenging the statute must

demonstrate from its text and from actual fact “that a substantial number of instances exist in which

the Law cannot be applied constitutionally.”105

         The first step in an overbreadth analysis is to construe the challenged statute; it is impossible

to determine whether a statute reaches too far without first knowing what it covers.106 In construing

a statute, we give effect to the plain meaning of its language unless the language is ambiguous or the

plain meaning leads to absurd results that the legislature could not have possibly intended.107 In

determining plain meaning, we consult dictionary definitions, apply rules of grammar, and consider




         100
               Ex parte Thompson, 442 S.W.3d 325, 333, 342 n.91, 349 (Tex. Crim. App. 2014).
         101
               United States v. Williams, 553 U.S. 285, 292 (2008).
         102
               Ashcroft v. Free Speech Coalition, 535 U.S. 234, 244 (2002); Thompson, 442 S.W.3d at
349-50.
         103
               Regan v. Time, 468 U.S. 641, 651 n.8 (1984); Thompson, 442 S.W.3d at 350.
         104
               See Stevens, 559 U.S. at 485 (Alito, J., dissenting) (citing Williams, 553 U.S. at 301-02).
         105
               New York State Club Ass’n v. City of New York, 487 U.S. 1, 14 (1988).
         106
               Williams, 553 U.S. at 293.
         107
               Thompson, 442 S.W.3d at 340; Boykin v. State, 818 S.W.2d 782, 785 (Tex. Crim. App.
1991).
                                                                                        PERRY — 26

words in context,108 and we presume that every word in a statute has been used for a purpose and that

each word, clause, and sentence should be given effect if reasonably possible.109 When the meaning

of statutory language is not plain, or leads to absurd results, extratextual factors that may be

considered include: (1) the object sought to be attained, (2) the circumstances under which the statute

was enacted, (3) the legislative history, (4) common law or former statutory provisions, including

laws on the same or similar subjects, (5) the consequences of a particular construction, (6)

administrative construction of the statute, and (7) the title (caption), preamble, and emergency

provision.110 A Texas court has a duty to employ, if possible, a reasonable narrowing construction

in order to avoid a constitutional violation, but such a construction should be employed only if the

statute is readily susceptible to one.111

        Even if a narrowing construction is not feasible, a state court may cure an overbreadth

problem by severing a portion of the statute.112 We have recognized that a facial challenge may be

made to a portion of a definition within a statute.113 Whether an overbreadth analysis should be

limited to only a portion of the statute depends on the feasibility of severing invalid portions.114 The



        108
              Lopez v. State, 253 S.W.3d 680, 685 (Tex. Crim. App. 2008).
        109
              Yazdchi v. State, 428 S.W.3d 831, 837 (Tex. Crim. App. 2014).
        110
              Chase v. State, 448 S.W.3d 6, 11 (Tex. Crim. App. 2014).
        111
          Thompson, 442 S.W.3d at 339; Long v. State, 931 S.W.2d 285, 295 (Tex. Crim. App.
1996). See also Stevens, 559 U.S. at 481.
        112
              New York v. Ferber, 458 U.S. 747, 769 n.24 (1982).
        113
            Ellis, 309 S.W.3d at 71, 80-81 (considering the facial validity of a portion of the
definition of “funds” in the money-laundering statute).
        114
              See Ferber, 458 U.S. at 769 n.24.
                                                                                         PERRY — 27

feasibility of severance depends upon the extent to which we can reconcile the full protection of First

Amendment liberties with the discernable intent of the Legislature.115 Severance is not feasible if

the valid and invalid statutory provisions at issue are inextricably intertwined so that a severance

would render the statute incomplete or contrary to legislative intent.116

                              B. Focus of the Overbreadth Challenge

        The coercion-of-a-public-servant statute, Penal Code § 36.03, provides in relevant part:

        (a) A person commits an offense if by means of coercion he:

        (1) influences or attempts to influence a public servant in . . . a specific performance
        of his official duty.

                                                  ***

        (c) It is an exception to the application of Subsection (a)(1) of this section that the
        person who influences or attempts to influence the public servant is a member of the
        governing body of a governmental entity, and that the action that influences or
        attempts to influence the public servant is an official action taken by the member of
        the governing body. For the purposes of this subsection, the term “official action”
        includes deliberations by the governing body of a governmental entity.117

        “Coercion” is not defined in § 36.03, but it is defined in § 1.07, the Penal Code’s general




        115
            See Acosta v. City of Costa Mesa, 718 F.3d 800, 821 (9th Cir. 2013). See also Alaska
Airlines v. Brock, 480 U.S. 678, 684-85 (1987) (“The standard for determining the severability of
an unconstitutional provision is well established: ‘Unless it is evident that the Legislature would not
have enacted those provisions which are within its power, independently of that which is not, the
invalid part may be dropped if what is left is fully operative as a law’ . . . . The more relevant inquiry
in evaluating severability is whether the statute will function in a manner consistent with the intent
of Congress.”) (internal quotation marks omitted, emphasis in original).
        116
          See People v. Tate, 352 P.3d 959, 975 (Colo. 2015); Conseco Fin. Servicing Corp. v. Mo.
Dep’t of Revenue, 98 S.W.3d 540, 546 (Mo. 2003).
        117
              TEX . PENAL CODE § 36.03(a)(1), (c).
                                                                                           PERRY — 28

definition section,118 and the definition applies to several other offenses.119 Governor Perry does not

claim that there is anything wrong with the definition of “coercion” by itself; it is the use of the

definition as it is incorporated into § 36.03 that he contends is the problem.

        The definition of “coercion” sets forth several meanings in six subsections,120 but Governor

Perry and the court of appeals have taken issue only with subsection (F), and only with a portion of

that subsection: “a threat, however communicated . . . to take or withhold action as a public servant

. . . .”121 This is the definition alleged in the indictment, and it involves activity that is distinct from

the other subsections in the definition of coercion, so we agree that an overbreadth challenge may

focus on this particular statutory meaning of coercion and that Governor Perry is not required to

demonstrate that § 36.03 is overbroad with respect to all of the definitions of coercion in §

1.07(a)(9). Our overbreadth analysis is, therefore, limited to the portion of § 36.03(a)(1) and (c) that,

after incorporating the language from § 1.07(a)(9)(F), proscribes the following offense:

        A person commits an offense if by means of a threat, however communicated, to take
        or withhold action as a public servant, he influences or attempts to influence a public
        servant in a specific performance of his official duty.

        It is an exception . . . that the person who influences or attempts to influence the
        public servant is a member of the governing body of a governmental entity, and that
        the action that influences or attempts to influence the public servant is an official


        118
              Id. § 1.07(a)(9).
        119
              See id. §§ 20A.01(2), 20A.02(a)(3), 31.01(3)(A), 33.01(12)(A), 38.12(d)(2)(E).
        120
              TEX . PENAL CODE § 1.07(a)(9)(A)-(F).
        121
           Id. § 1.07(a)(9)(F). The court of appeals observed that Governor Perry’s arguments were
directed entirely at the above-quoted portion material, constituting the first half of subsection (F),
so that the court had no occasion to resolve the constitutional implications of the second half of
subsection (F) (“a threat, however communicated . . . to cause a public servant to take or withhold
action”). Perry, 471 S.W.3d at 95 n.149.
                                                                                       PERRY — 29

       action taken by the member of the governing body. For the purposes of this
       subsection, the term “official action” includes deliberations by the governing body
       of a governmental entity.

                                  C. Narrowing Constructions122

                                             1. “Threat”

       Relying upon Olivas v. State,123 the State would have us narrow the meaning of the word

“threat” in the definition of “coercion” to “a communicated intent to inflict harm or loss on another

or on another’s property.”124 The State would substitute this definition for the word “threat” in the

statutory definition of “coercion,” so that the definition of “coercion” reads: “a communicated intent

to inflict harm or loss on another or another’s property, however communicated, to take or withhold

action as a public servant.”

        This attempt to restrict the meaning of the term “threat” is misguided. The definition cited

in Olivas was not intended to be a definition of the word “threat” in all possible contexts. The Olivas

court was addressing the meaning of the word “threaten” in the assault statute, and the question was

whether a victim had to perceive the actor’s conduct for that conduct to “threaten” the victim.125

“Threat” can also be defined more broadly as “[a]n expression of an intention to inflict something




       122
            We assume, arguendo, that the State is correct in claiming that the coercion statute does
not cover a manager’s threat to discipline a subordinate because the manager in that situation does
not act “as a public servant” but, instead, as an employer. See Garcetti, 547 U.S. at 422 (referring
to “the emphasis in our precedents on affording government employers sufficient discretion to
manage their operations”).
       123
             203 S.W.3d 341 (Tex. Crim. App. 2006).
       124
             See id. at 346 (quoting Threat, BLACK’S LAW DICTIONARY (7th ed. 2000)).
       125
             Id. at 345.
                                                                                            PERRY — 30

harmful”126 or “[a] declaration of an intention or determination to inflict punishment, injury, etc., in

retaliation for, or conditionally upon, some action or course.”127

         One indication that the State’s proposed definition of “threat” is too narrow is the fact that

it makes the statute ungrammatical—a fact that becomes clearer if one omits the modifying phrase

“however communicated.” The statute ought to make grammatical sense when the modifier is

omitted, and it does if we stick with the original language: “a threat . . . to . . . take or withhold action

as a public servant.” But with the State’s definition, the statute would read: “a communicated intent

to inflict harm or loss on another or another’s property to take or withhold action as a public

servant.”

         Another indication that the State’s proposed definition is too narrow is that it conflicts with

the language of the specific subsections in the statutory definition of “coercion.” Several of the

subsections specify that “another” or a “person” is the victim (personally or financially) of the

anticipated harm at issue:

         (B) to inflict bodily injury in the future on the person threatened or another;

         (C) to accuse a person of any offense;

         (D) to expose a person to hatred, contempt, or ridicule;

         (E) to harm the credit or business repute of any person.128

If anticipated harm to “another or another’s property” were necessarily associated with any type of



         126
               Threat, WEBSTER’S II NEW COLLEGE DICTIONARY (1999).
         127
               Threat, RANDOM HOUSE DICTIONARY OF THE ENGLISH LANGUAGE (2d ed. [unabridged]
1987).
         128
               TEX . PENAL CODE § 1.07(a)(9)(B)-(E) (emphasis added).
                                                                                        PERRY — 31

threat, there would be no need to specify “another” or a “person” as the victim in these subsections.

Moreover, two subsections (including the one incorporating the method of coercion at issue before

us) do not specify “another” or “a person” as the victim of the anticipated harm:

        (A) to commit an offense,

                                                 ***

        (F) to take or withhold action as a public servant, or to cause a public servant to take
        or withhold action.129

Not all offenses are committed against persons or the property of persons. By specifying “person”

in other subsections but leaving it out in subsection (A), the Legislature indicated that any offense

could be the subject of a threat, regardless of whether it causes loss to another or another’s property.

The same appears to be true of the subsection (F) method of coercion.

        Consequently, contrary to the State’s contention, subsection (F) is broad enough to cover (for

example) a trial judge’s expression of an intent to grant a mistrial or an appellate judge’s expression

of an intent to write a dissenting opinion.130 Grammatical considerations and the structure of the

statutory definition of “coercion” both counsel in favor of according the word “threat” a broad

construction. And because the definition of “coercion” applies to other statutes (e.g. theft),131 we are

not free to arbitrarily carve out a different meaning simply to avoid First Amendment complications

arising from its application to the statute before us.132


        129
              Id. § 1.07(a)(9)(A), (F).
        130
          But, as we shall see below, the appellate judge would be exempt from prosecution under
the “governing body” exception in § 36.03(c).
        131
              See supra note 119.
        132
              Thompson, 442 S.W.3d at 340-41.
                                                                                         PERRY — 32

                                   2. The Statutory Exception

                                            a. Generally

       The negation of any exception to the offense of coercion of a public servant is an element of

that offense,133 so the scope of such an exception—whether it is to be construed narrowly or

broadly—must be considered in an overbreadth analysis. We again set out the exception in §

36.03(c):

       It is an exception to the application of Subsection (a)(1) of this section that the person
       who influences or attempts to influence the public servant is a member of the
       governing body of a governmental entity, and that the action that influences or
       attempts to influence the public servant is an official action taken by the member of
       the governing body. For the purposes of this subsection, the term “official action”
       includes deliberations by the governing body of a governmental entity.134

To understand the scope of the exception, we need to know when a public servant is a member of

the governing body of a governmental entity, and what constitutes official action of such a member.

The terms “official action,” “governing body,” and “governmental entity” are not defined in § 36.03

or in the general definitions section of the Penal Code. The term “governmental entity” appears to

be purposefully broad—including the state, counties, municipalities, the Legislature, courts, boards,

commissions, departments, offices, state agencies, and other units of government—and that

impression is confirmed by definitions found in other statutes.135

                                       b. “Governing Body”


       133
         TEX . PENAL CODE § 1.07(a)(22)(D); Martinez v. State, 879 S.W.2d 54, 55 n.4 (Tex. Crim.
App. 1994). See also TEX . PENAL CODE § 2.02.
       134
             TEX . PENAL CODE § 36.03(c).
       135
           See e.g. TEX . GOV ’T CODE §§ 572.056(c), 615.101, 2007.002(1), 2051.041(1),
2054.375(1), 2109.001(1), 2251.001(3), 2252.001(2), 2252.031(1), 2252.121(3), 2253.001(1),
2254.002(1), 2267.001(5).
                                                                                        PERRY — 33

       The most recent version of Black’s Law Dictionary defines “governing body” as “[a] group

of (esp. corporate) officers or persons having ultimate control.”136 A prior version of Black’s Law

Dictionary defines the “governing body” of an “institution, organization or territory” as “that body

which has ultimate power to determine its polices and control its activities.”137 A key issue here is

whether a governing body under the exception can be composed of a single individual (like a

governor) or whether it must be composed of more than one individual. We agree with other state

supreme courts that the natural meaning of “governing body” refers to a group of individuals, not

a single individual.138 The sense in which “body” is used within “governing body” is “a group of

people . . . regarded or functioning as a unit.”139 The statutory exception’s references to “a member”

and to “the member” of the governing body further support the conclusion that the term “governing

body” was meant to refer to more than one individual.140 In a number of other Texas statutes,



       136
             Governing Body, BLACK’S LAW DICTIONARY (10th ed. 2014).
       137
             Governing Body, BLACK’S LAW DICTIONARY (5th ed. 1979).
       138
            Herald Co. v. City of Bay City, 463 Mich. 111, 129, 614 N.W.2d 873, 882 (2000) (“The
statutory terms used illustratively to define ‘public body’—‘legislative body and governing
body’—do not encompass individuals.”); Kagan v. Caroselli, 30 N.J. 371, 379-80, 153 A.2d 17, 23
(1959) (“To recapitulate, the Legislature provided that the appointment shall be made by the
‘governing body.’ The natural meaning of the term is the board of commissioners. For the reasons
stated, there is no incongruity with the provisions of the Walsh Act relating to the distribution of the
powers possessed by local government and hence no basis for denying ‘governing body’ its normal
meaning. There is no apparent reason why the Legislature would have intended but one of the
directors to exercise the power.”). See also Roach v. Springfield Clinic, 157 Ill. 2d 29, 42, 623
N.E.2d 246, 252 (1993) (“a ‘committee’ is comprised of a body or group of persons, not just a single
individual”).
       139
             See Body, WEBSTER’S NEW WORLD COLLEGE DICTIONARY (4th ed. 2000) (noun
definition 6, examples: “a body of soldiers” and “an advisory body”).
       140
             See TEX . PENAL CODE § 36.03(c).
                                                                                        PERRY — 34

“governing body” means an entity composed of more than one member.141 We have found a handful

of statutes from other states that define “governing body” in a particular context to include an

individual.142 Although defining “governing body” to include an individual may be a possible

construction, it is an unnatural and unlikely one.

       If we assume that such an unnatural and unlikely construction renders the statute ambiguous,

the legislative history of § 36.03(c) buttresses the natural reading of “governing body” as being

composed of more than one individual. The “supporters say” section of the bill analysis for the

amendment that added § 36.03(c) refers only to bodies composed of more than one member. It

explains that the exception would “allow members of governmental bodies, such as county

commissioners courts, to exercise their authority through the budget and oversight process without




       141
             See e.g. TEX . EDUC. CODE § 12.026 (referring to “members of the governing body” of a
school district); TEX . ELEC. CODE § 2.051(b) (referring to “members of the political subdivision’s
governing body”); TEX . GOV ’T CODE §§ 306.007 (referring to minutes of “meetings of the agency’s
governing body”), 418.1102(b)(2) (referring to exemption from quorum requirements for “a majority
of members of the governing body” of a local government entity), 651.008(a)(1) (referring to a
“governing body” composed of “an even number of voting members”), 651.009(a) (requiring
appointing authority to ensure, to the extent possible, for the governing body of a statewide entity
that “the membership of the governing body reflects the racial, ethnic, and geographic diversity of
this state”), 660.002(2) (“‘Board’ means a board, commission, committee, council, governing body,
or similar entity in the executive, legislative, or judicial branch of state government that is composed
of two or more members.”); TEX . LOCAL GOV ’T CODE § 22.010 (“If for any reason a single vacancy
exists on the governing body of the municipality, a majority of the remaining members, excluding
the mayor, may fill the vacancy by appointment unless an election to fill the vacancy is required by
Article XI, Section 11, of the Texas Constitution.”).
       142
            FLA . STAT . § 192.001(7) (general taxation provisions); Id. § 383.302(5) (maternal and
infant care); LA . R.S. § 37:1301(A)(1) (nonprofit hospitals; discrimination prohibited); N.M. STAT .
ANN . § 10-7E-4(B) (public employee bargaining); NY CLS PUB HEALTH § 206-a(11)(a)
(discrimination in hospital staff appointments and privileges prohibited); R.I. GEN . LAWS §
23-20.9-4(3) (smoking in schools); but see FLA . STAT . § 343.91 (relating to regional transportation
authorities: “‘Members means the individuals constituting the governing body of the authority”).
                                                                                       PERRY — 35

fear of being hauled before a grand jury on allegations of coercion.”143 The “supporters say” section

of the bill analysis further says, “Under the current law, someone could even try to bring criminal

charges against a legislator for wielding the budget hammer over state agencies to force necessary

improvements or for ‘horsetrading’ or ‘logrolling’ bills with a colleague.”144 On the House floor,

Representative Wolens expressed the need to protect county commissioners and legislators.145

       The bill analysis also contains an “other opponents say” section that maintained that the bill,

in creating an exception for members of governing bodies, did not go far enough to protect all public

officials.146 “Rather than make an exception only for members of governing bodies,” this part of the

bill analysis states, “the law should be clarified to apply only to threats by public officials to take

unlawful action. That change would apply to all public servants—not only to county commissioners

but to tax assessor-collectors and other stand-alone offices as well.”147 These “other opponents”

ultimately prevailed in part: A floor amendment added the word “unlawfully” to the definition of

“coercion” that applied to public-administration offenses so that it read “a threat, however

communicated . . . to unlawfully take or withhold action as a public servant, or to cause a public

servant to unlawfully take or withhold action.”148 In 1994, with the restructuring of the Penal Code,


       143
        House Research Organization, 71st Leg., Bill Analysis, H.B. 594 (March 14, 1989)
(SUPPORTERS SAY paragraph one).
       144
             Id. (SUPPORTERS SAY paragraph five).
       145
             Rep. Wolens, 71st Leg., House floor, H.B. 594, 2nd reading (March 14, 1989).
       146
             HRO Bill Analysis (OTHER OPPONENTS SAY paragraph one).
       147
             Id. (emphasis in original).
       148
           See Rep. Parker, 71st Leg., House floor, H.B. 594, 2nd reading (March 14, 1989) (stating
that the amendment would add language from the Model Penal Code); Acts 1989, 71st Leg., ch. 67,
                                                                                        PERRY — 36

the Legislature deleted the definitions of “coercion” from various specific statutes and added a

definition of “coercion” in § 1.07 (the general definitions statute) that omits the word “unlawfully”

from subsection (F).149

        By focusing on the need to protect county commissioners and legislators, while indicating

that “stand-alone” offices would have been left unprotected by the “governing body” language, the

legislative history supports the natural construction of “governing body” as an entity that consists

of more than one individual. The Legislature followed the recommendation to protect public

officials who were not members of governing bodies by adding “unlawfully” to the subsection (F)

version of the definition of “coercion” that applied to public-administration offenses, but when the

definition of “coercion” was consolidated under the general definitions section of the Penal Code

in 1994, this protection was lost.

        So, the language and the legislative history support reading “governing body” as a controlling

governmental unit that consists of more than one individual. To construe the term “governing body”

to include a controlling position held by a single individual—e.g. governor, comptroller, tax

assessor-collector—would broaden the meaning of that term beyond its natural import and, more to

the point, beyond what it appears that the Legislature contemplated. Given the language of the

statute and the legislative history, this broadening of the term is not a construction to which the


§ 2. See also Model Penal Code § 212.5(1) (“A person is guilty of criminal coercion if, with purpose
unlawfully to restrict another’s freedom of action to his detriment, he threatens to . . . .”) (emphasis
added). The “other opponents” also recommended a conforming change (adding “unlawfully”) to
the then-identical definition of “coercion” applicable to theft offenses, then Penal Code §
31.01(1)(F), see HRO Bill Analysis (OTHER OPPONENTS SAY paragraph two), but that
recommendation was not adopted. See TEX . PENAL CODE § 31.01(1) (West 1990).
       149
           See Acts 1993, 73rd Leg., ch. 900, § 1.01, eff. Sept. 1, 1994. This definition was identical
to the one previously contained in the theft statute. See TEX . PENAL CODE § 31.01(1) (West 1990).
                                                                                        PERRY — 37

statute is reasonably susceptible, and so we cannot impose it as a narrowing construction.150

                                         c. “Official Action”

        The remaining question in construing the exception is whether “official action” has a narrow

meaning or a broad meaning. Some ambiguity surrounds the meaning of the term. Does the term

“official action” mean only the bare exercise of an official power, or does it also include conduct that

is performed in one’s official capacity? That is, does official action mean only the government

actor’s vote, veto, or decision, or does it also include communications (e.g. threats) regarding an

anticipated vote, veto, or decision?

        The exception provides that official action “includes” deliberations by the governing body.151

To that extent, the exception unambiguously includes conduct other than the mere exercise of an

official power such as voting. The question is whether the exception includes other conduct, such

as a threat to exercise an official power that is made in a context other than deliberations within a

governing body. That is, does the exception extend to “cross-entity threats”—a threat to exercise

an official power made by a member of the governing body of one governmental entity to a person

in a different governmental entity?

         The “deliberations” language may be the reason that the State contends, both here and in

its indictment, that the exception applies only when both the issuer and the recipient of the threat are

members of the same governing body. But “includes” is a term “of enlargement and not of limitation

or exclusive enumeration” and its use “does not create a presumption that components not expressed



       150
           See Thompson, 442 S.W.3d at 342 (“[C]ourts should be circumspect about using a
‘narrowing construction’ that actually broadens the meaning of a term.”).
       151
             TEX . PENAL CODE § 36.03(c).
                                                                                       PERRY — 38

are excluded.”152 Nothing in the language of the exception would otherwise require that the issuer

and the recipient of the threat be members of the same governing body.

       Further, the Fifth edition of Black’s Law Dictionary defines “official act” as “[o]ne done by

an officer in his official capacity under color and by virtue of his office.”153 This definition would

include a cross-entity threat to exercise an official power. The exception is at least ambiguous as

to whether it covers cross-entity threats, so we turn to legislative history.

       And the legislative history settles the matter: “official action” includes cross-entity threats.

The HRO bill analysis explains that the coercion-of-a-public-servant law had “recently been abused

in counties where allegations of coercion have been made against members of the commissioners

court for threatening to take actions that they are lawfully entitled to take.”154 The bill analysis

specifically cited a case in Bosque County, “where the county judge was indicted for allegedly

threatening to have the salaries of some county employees eliminated in order to force certain county

officials to take a particular action.”155 The Bosque County case to which the bill analysis refers was

State v. Hanson.156 Hanson involved the prosecution of a constitutional county judge who threatened

“to terminate the county’s funding of the salaries of a deputy district clerk and an assistant district

attorney in an attempt to coerce the district judge into firing the county auditor and the county



       152
             TEX . GOV ’T CODE § 311.005(13); Ellis, 309 S.W.3d at 81 & n.51.
       153
           Official (official act), BLACK’S LAW DICTIONARY 978 (5th ed. 1979). The tenth edition
does not contain a definition of “official act.” See BLACK’S LAW DICTIONARY (10th ed. 2014).
       154
             HRO Bill Analysis (SUPPORTERS SAY paragraph two).
       155
             Id.
       156
             See State v. Hanson, 793 S.W.2d 270 (Tex. Crim. App. 1990).
                                                                                       PERRY — 39

attorney into revoking a misdemeanant’s probation.”157 The constitutional county judge is a member

of the county commissioners’ court but the district judge, county attorney, deputy district clerk, and

assistant district attorney are not.158 So, cross-entity threats were the very basis of the prosecution

against the defendant in Hanson. The legislative history provides us with another example of a

cross-entity threat contemplated by the Legislature: The bill analysis expressed the fear that, without

the exception, the coercion law might be used “against a legislator for wielding the budget hammer

over state agencies.”159 But a legislator is not a member of the same branch of government as most

state agencies, much less a member of the same governing body, so the threat contemplated was

cross-agency.

       The digest of the HRO bill analysis says that the exception “would apply only if the attempt

to influence a public servant was an official action taken as a member of the governing body.”160 So,

although the recipient of the threat does not have to be a member of the same governing body as the

maker of the threat, the maker of the threat must be making the threat as a member of the governing

body and not in some other official capacity. The exception would exempt a county judge from

criminal liability for threatening to do something in his capacity as a member of the commissioners

court that decides budgetary issues for the county161 but not for threatening to do something in his


       157
         Id. at 271. The district judges of a county appoint the county auditor. See TEX . LOCAL
GOV ’T CODE § 84.002.
       158
             See TEX . CONST . art. V, § 18(b).
       159
             See HRO Bill Analysis (SUPPORTERS SAY paragraph five).
       160
             HRO Bill Analysis (DIGEST).
       161
          See TEX . CONST . art. V, § 18(b) (county judge is presiding officer of county
commissioners court).
                                                                                         PERRY — 40

capacity as the judge of the county court that resolves litigation.162

        In light of the definition of “official act” in Black’s Law Dictionary and the legislative

history, we conclude that the term “official action” includes any threat by a member of a governing

body to take action as a member of the governing body, regardless of whether the recipient of the

threat is a member of the same governing body. The result of this construction, along with our

construction of the term “governing body,” is that the subsection (c) exception will exempt many

public servants from criminal liability for virtually any kind of threat that would otherwise fall within

the subsection (F) definition of “coercion.”

        The exception would, for example, cover legislators, judges on appellate courts, members

of commissioners courts, city council members, members of school boards, and members of various

commissions. Some government officers, e.g. constitutional county judges, serve in a dual capacity,

and would be exempted only for threats to take action as a member of a governing body. Other

officials, notably those in the executive branch of government and other trial judges, would not be

covered by the exception for their usual duties, though the exception would apply if the individual

were a member of the governing body of some other governmental entity (such as a legislatively

created commission) and issued a threat to act as a member of that governing body. The exception

greatly narrows the reach of the statute, but that narrowing is based on the status of the public servant

making the threat rather than the nature of the threat itself. So, while the class of public servants that

are subject to criminal sanctions has been narrowed (to those who do not belong to a governing body

or are not acting under the color of that governing body), the question remains whether § 36.03

penalizes a substantial amount of protected conduct with respect to the narrowed class in relation


        162
              See id. § 16.
                                                                                      PERRY — 41

to the statute’s legitimate application to the narrowed class.

                                    D. Constitutional Analysis

                             1. The First Amendment is Implicated.

       As we noted above, in its brief to the court of appeals, the State contended, “Statements made

by public officials to other public officials are unprotected under Garcetti and its progeny and are

no more entitled to First Amendment protection than criminal threats or extortion.” The State, now

represented by the State Prosecuting Attorney, has backed away from these statements. In its petition

for discretionary review, the State acknowledges that it knows of “no cases applying the government

speech theory to criminal prosecutions.” In its brief before us, the State acknowledges that “Garcetti

was an employment law case, and arguably, when the State criminalizes speech, it is acting not as

an employer, but as a sovereign.”

       The State Prosecuting Attorney is wise to back away from these earlier claims made by the

attorney pro tem. When government seeks criminal punishment, it indeed acts as sovereign163 and

not as employer or speaker.164 We hold that the First Amendment is implicated in this case.


       163
            See Oregon v. Ice, 555 U.S. 160, 170 (2009) (“[T]he authority of States over the
administration of their criminal justice systems lies at the core of their sovereign status.”);
Pasquantino v. United States, 544 U.S. 349, 362 (2005) (“This is a criminal prosecution brought by
the United States in its sovereign capacity to punish domestic criminal conduct.”).
       164
            See Dep’t of Hous. v. Rucker, 535 U.S. 125, 135 (2002) (“But both of these cases deal
with the acts of government as sovereign. In Scales, the United States criminally charged the
defendant with knowing membership in an organization that advocated the overthrow of the United
States Government. In Danaher, an Arkansas statute forbade discrimination among customers of
a telephone company. The situation in the present cases is entirely different. The government is not
attempting to criminally punish or civilly regulate respondents as members of the general populace.
It is instead acting as a landlord of property that it owns, invoking a clause in a lease to which
respondents have agreed and which Congress has expressly required.”); Cleveland v. United States,
531 U.S. 12, 23 (2000) (“Notably, the Government overlooks the fact that these rights include the
distinctively sovereign authority to impose criminal penalties for violations of the licensing
                                                                                           PERRY — 42

                                 2. Legitimate Applications Are Few

        The State contends that the legitimate sweep of the coercion statute includes “unprotected

speech in the nature of bribery and extortion” and the solicitation of criminal activity. Referring to

its brief in the court of appeals, the State argues that the statute would legitimately proscribe “a

legislator’s vote or governor’s veto that punishes a police department, district attorney’s office, or

judicial district if a traffic ticket is not torn up or a prosecution is not dismissed.” In its brief in the

court of appeals, the subject of the traffic ticket or prosecution in these hypotheticals was a friend

or a family member. As another example, the State suggests the statute would legitimately proscribe

a threat by a district judge to dismiss a lawsuit that a legislator filed if the legislator did not vote for

judicial pay raises.

        Most, if not all, of the coercive activity by government officials that a legislature might

legitimately proscribe—including the activity suggested by the State—is proscribed more specifically

by other statutory provisions. For instance, the State can legitimately prohibit threats that are

intended to coerce someone to engage in illegal activity, but the text of § 36.03(a)(1) itself contains

the alternative element “influences or attempts to influence a public servant to violate the public

servant’s known legal duty.”165 And the State can validly prohibit threats to do illegal acts, but the

definition of “coercion” also proscribes “a threat . . . to commit an offense.”166 And because “abuse


scheme.”). See also Healy v. James, 408 U.S. 169, 201-02 (1972) (Rehnquist, J., concurring)
(“Cases such as United Public Workers v. Mitchell, 330 U.S. 75 (1947), and Pickering v. Board of
Education, 391 U.S. 563 (1968), make it equally clear that the government in its capacity as
employer also differs constitutionally from the government in its capacity as the sovereign executing
criminal laws.”).
        165
              TEX . PENAL CODE § 36.03(a)(1).
        166
              Id. § 1.07(a)(9)(A).
                                                                                              PERRY — 43

of official capacity” is an offense, a wide range of unauthorized activity by a public servant is already

illegal.167 The State’s examples of seeking the dismissal of a traffic ticket or prosecution for a family

member or the seeking of a pay raise for oneself all involve attempts to obtain a personal benefit. As

such, those examples fall within the bribery statute.168

        The State argues, however, that in analyzing the legitimate reach of the statute, it is improper

to exclude conduct that is proscribed by other statutes. The State complains that, in Ex parte Lo169

and State v. Johnson,170 we made a mistake in excluding conduct covered by other statutes from the

legitimate sweep of the challenged statute. The State contends that “[e]xamples of speech that is not

protected by the First Amendment are correctly considered as part of the coercion statute’s legitimate

sweep, even if that speech could also be legitimately prosecuted under another statute.” The State

claims that, “the fact that statutes might overlap is not a basis for an appellate court to eliminate

conduct from the coverage of the statute being challenged.” The State suggests that there is “no



        167
              See id. §§ 39.01, 39.02.
        168
               A person is guilty of bribery if, among other things, he “intentionally or knowingly . . .
solicits . . . from another . . . any benefit as consideration for the recipient’s . . . exercise of discretion
as a public servant.” Id. § 36.02(a)(1). The term “solicit” is broad, requiring “no particular degree
of importunity, entreaty, imploration, or supplication.” Solicit, BLACK’S LAW DICTIONARY (5th ed.
1979). “Benefit” has a specialized meaning under the bribery statute and is defined to mean
“anything reasonably regarded as pecuniary gain or pecuniary advantage, including benefit to any
other person in whose welfare the beneficiary has a direct and substantial interest.” TEX . PENAL
CODE § 36.01(3). Coercive behavior designed to obtain a personal benefit may also fall under the
theft statute. See TEX . PENAL CODE §§ 31.01(3)(A) (“Consent is not effective if induced by
deception or coercion.” (emphasis added)), 31.03(a), (b)(1) (offense committed if person “unlawfully
appropriates property with intent to deprive the owner of property” and “[a]ppropriation is unlawful
if . . . it is without the owner’s effective consent”).
        169
              424 S.W.3d 10 (Tex. Crim. App. 2013).
        170
              475 S.W.3d 860 (Tex. Crim. App. 2015).
                                                                                        PERRY — 44

apparent reason to disregard those legitimate applications, except to suggest that the criminal

jurisprudence would not be diminished by the statute’s absence.” That, says the State, “is a question

for the legislature, not the courts.”

        The State’s approach raises concerns. With legitimate applications flowing solely, or almost

entirely, from conduct proscribed by other statutes, it could be said that the challenged statute has

no life of its own. In City of Los Angeles v. Patel, the Supreme Court held that a statute that

authorizes the police to inspect hotel records could not be upheld against a facial challenge on the

basis that inspections pursuant to a warrant or exigent circumstances constitute valid applications.171

In those situations, the statute “do[es] no work.”172 “[T]he proper focus of the constitutional inquiry

is searches that the law actually authorizes, not those for which it is irrelevant.”173 If the so-called

legitimate applications of a challenged statute are covered by other statutes, then arguably the

challenged statute does “no work.”

        At oral argument, amici for Governor Perry suggested another reason why we should take

into account whether the legitimate applications of a contested statute are already proscribed by other

statutes. The concern behind the substantiality requirement of an overbreadth analysis is that

“overbreadth doctrine is strong medicine” that has bad side effects. One side effect might be that

finding a statute unconstitutionally overbroad could take out of play a valuable law that is necessary

to prevent some real harm. If that harm is already being prevented by other statutes, then finding the



        171
              135 S. Ct. 2443, 2451 (2015).
        172
              Id.
        173
          Id. Whether a warrant may issue may itself be a matter of statutory authorization. See
TEX . CODE CRIM . PROC. art. 18.02.
                                                                                        PERRY — 45

statute overbroad is not particularly strong medicine and that side effect is not really present.

       Nevertheless, even if the State were correct as a general matter, its position is unavailing here

because the legitimate sweep of the statute is still vanishingly small. Each of the “illegal threat”

provisions cited above is embedded, not only within the same Penal Code section as the provision

upon which the State relies, but within the same subsection as an alternative element. The State

would like for this Court to count the activity that is specifically proscribed by these (uncharged)

alternative statutory elements as legitimate applications of the portions of the statute that it did

charge. We cannot agree with the State’s position because we presume that each word, clause, or

sentence in a statute should be given effect, and the State’s position is contrary to that presumption.

       Unlike the “illegal threat” provisions, bribery is proscribed by a different statute than

coercion of a public servant. But bribery is also proscribed by the Texas Constitution, which

articulates the elements of that offense.174 Given this constitutional proscription, we cannot conclude

that the Legislature intended to criminalize bribery in statutes that do not contain all of the



       174
             TEX . CONST . art. 16, § 41 (“Any person who shall, directly or indirectly, offer, give, or
promise, any money or thing of value, testimonial, privilege or personal advantage, to any executive
or judicial officer or member of the Legislature to influence him in the performance of any of his
public or official duties, shall be guilty of bribery, and be punished in such manner as shall be
provided by law. And any member of the Legislature or executive or judicial officer who shall
solicit, demand or receive, or consent to receive, directly or indirectly, for himself, or for another,
from any company, corporation or person, any money, appointment, employment, testimonial,
reward, thing of value or employment, or of personal advantage or promise thereof, for his vote or
official influence, or for withholding the same, or with any understanding, expressed or implied, that
his vote or official action shall be in any way influenced thereby, or who shall solicit, demand and
receive any such money or other advantage, matter or thing aforesaid for another, as the
consideration of his vote or official influence, in consideration of the payment or promise of such
money, advantage, matter or thing to another, shall be held guilty of bribery, within the meaning of
the Constitution, and shall incur the disabilities provided for said offenses, with a forfeiture of the
office they may hold, and such other additional punishment as is or shall be provided by law.”)
(emphasis added).
                                                                                         PERRY — 46

constitutionally required elements.175 Obtaining a personal benefit is a constitutionally required

element of bribery, but it is not an element of coercion of a public servant.

        Once we eliminate threats to do illegal acts, threats to procure illegal acts, and bribery, there

does not seem to be much (if anything) left that would constitute a legitimate application of the

combination of statutory provisions that we are focusing on in this case. The statute still criminalizes

communications that are coercive, but the fact that speech is coercive does not, alone, mean that it

can legitimately be proscribed:“[s]peech does not lose its protected character . . . simply because it

may embarrass others or coerce them into action.”176 And political logrolling—which involves the

swap of one authorized official act for another177—“has never before been condemned as

extortion.”178

                             3. Unconstitutional Applications are Many

        As we have explained, public servants have a First Amendment right to engage in expression,

even threats, regarding their official duties.179 Given our construction of the “governing body”

exception, officials subject to criminal liability under the provisions at issue in this case include any

public servant who, as a single individual, controls a governmental entity. This includes the

Governor, Attorney General, Comptroller, Secretary of State, Land Commissioner, tax-assessor

collectors, and trial judges. Many threats that these public servants make as part of the normal


        175
              See id.
        176
              NAACP v. Claiborne Hardware Co., 458 U.S. 886, 910 (1982).
        177
              United States v. Blagojevich, 794 F.3d 729, 735 (7th Cir. 2015).
        178
              Id. at 736.
        179
              See supra part III.D.1 and nn. 176-78 and accompanying text.
                                                                                       PERRY — 47

functioning of government are criminalized:

       • a threat by the governor to veto a bill unless it is amended,180

       • a threat by the governor to veto a bill unless a different bill he favors is also
       passed,181

       • a threat by the governor to use his veto power to wield “the budget hammer” over
       a state agency to force necessary improvements,182

       • a threat by the comptroller to refuse to certify the budget unless a budget shortfall



       180
              See Mike Ward, Abbott Tells House, Senate: Cut Business Tax, HOUSTON CHRONICLE ,
B1, (April 16, 2015) (3 star edition) (“This much is clear about all the tax talk at the Texas Capitol:
Gov. Greg Abbott is not backing off one bit on his demand to reduce business taxes or his pledge
to veto any budget that does not include such a cut. . . . ‘With regard to the veto word, I don’t want
to go throwing that out there loosely,’ he told reporters. ‘I’ve thrown down my one veto threat. I’ll
leave it at that right now.’”); Jason Embry, Texas’ Longest-Serving Governor Has Expanded Office’s
Power, AUSTIN AMERICAN -STATESMAN , A5 (February 10, 2010) (final edition) (“Some lawmakers,
such as Watson, say Perry is disengaged during much of the legislative session, until it comes time
for him to kill legislation with vetoes. Others take a more favorable view. ‘He can and does share
his opinion early on of issues he would support and not support,’ said Sen. Dan Patrick, a Houston
Republican and one of Perry's most outspoken legislative allies. ‘If I were governor, I would use the
veto threat, absolutely, to push the legislation and agenda I wanted pushed.’”); Liberal Arts
Instructional Technology Services, University of Texas at Austin, TEXAS POLITICS, § 5.1,
http://www.laits.utexas.edu/txp_media/html/exec/0501.html (December 17, 2015) (“A skillful
governor can use the threat of the veto to influence legislation during the session.”).
       181
            See Rural Chiefs Have Leverage in Fights Over Choice, EDUCATION WEEK, vol. 26, no.
13, p. 17 (November 29, 2006) (“While some rural, Republican states are fighting [school] choice
plans, some states with Democrats in power are accepting laws that expand it. The reasons range
from the influence of the Roman Catholic Church to the horse-trading that goes on between
governors and legislators of different parties, analysts say.”); Richard Sammon, So Now What? Bush
Must Adapt to Democratic Gains, KIPLINGER BUSINESS FORECASTS, Vol. 2006, No. 1110
(November 8, 2006) (“Bush’s history as governor of Texas suggests that he can work with a
Democratic legislature, horse-trading to get at least part of what he wants.”); How Dubya Did at
School, THE ECONOMIST (April 1, 2000) (U.S. edition) (“There was some useful horse-trading: Paul
Sadler, a Democrat who at the time chaired the Texan lower house’s Public Education Committee,
emphasised more money for education in general, and Mr. Bush pushed for tougher penalties for bad
schools.”).
       182
             See supra n.144 (referring to legislators wielding the budget hammer).
                                                                                       PERRY — 48

       is eliminated,183

       • a threat by the attorney general to file a lawsuit if a government official or entity
       proceeds with an undesired action or policy,184

       • a threat by a public defender to file, proceed with, or appeal a ruling on a motion
       to suppress unless a favorable plea agreement is reached,185

       • A threat by a trial judge to quash an indictment unless it is amended.

Of these, the only example involving anything unusual is the one in which the comptroller actually

followed through with her threat not to certify the budget. At least some of these examples,

involving the governor and the attorney general, involve logrolling, part of “the ‘usual course of


       183
            See Pete Slover, Strayhorn’s Budget Rejection Becomes Historic Decision, DALLAS
MORNING NEWS, A16 (June 20, 2003) (second edition) (“Ms. Strayhorn is the first comptroller to
employ the ultimate leverage of not certifying the spending plan. But, she and her recent
predecessors have a practically uninterrupted history of nudging the budget with the threat of
rejection.”); April Castro, Comptroller Rejects Two Year, $185.9 Million State Budget, AP, 101-02
(June 19, 2003) (Thursday, BC cycle) (“‘We need a certifiable “pay as you go” budget by mid-July
or the schools won’t open in September,’ Strayhorn said.”).
       184
            See Kiah Collier, Paxton Asks EPA to Halt Global Warming Plan, THE TEXAS TRIBUNE ,
http://www.texastribune.org/2015/08/20/paxton-asks-epa-stay/ (August 20, 2015) (“Renewing his
vow to sue if the answer is no, Texas Attorney General Ken Paxton on Thursday officially asked the
Environmental Protection Agency to halt a sweeping plan designed to combat climate change while
existing legal challenges from other states play out.”); Texas Attorney General Threatens to Sue
EPA, KWTX 10, http://www.kwtx.com/news/state/headlines/Texas-Attorney-General-Threatens-
To-Sue-EPA-270931801.html (August 12 2014) (“Texas Attorney General Greg Abbott is
threatening to sue if the U.S. Environmental Protection Agency doesn’t scrap a proposal to expand
the definition of federal waterways.”); Editorial, Loose Cannons on Guns, DALLAS MORNING NEWS,
A20 (January 25, 2013) (first edition) (“The previous week, Texas Attorney General and prospective
gubernatorial candidate Greg Abbott used Twitter to threaten a ‘double-barreled lawsuit’ if a city
passed an ordinance banning gun shows on city property.”); April Castro, AG Ready to Sue to Certify
Budget; Waiting for Negotiations, AP (June 20, 2003) (Friday, BC cycle) (“‘I have it ready to be
filed,’ Abbott said outside the Supreme Court where the case would be filed. ‘My belief is that
meaningful progress has been made with regard to budgetary issues and that matters will be resolved
shortly.’ If not, he said, ‘I will be forced to file that lawsuit.’”).
       185
          See Marsh v. State, 444 S.W.3d 654, 660 (Tex. Crim. App. 2014) (defendant waived right
to appeal motion to suppress as part of plea agreement).
                                                                                        PERRY — 49

business’ in politics.”186

        Another indication of the pervasive application that the statute has to protected expression

is that the last example we listed above occurred in this very case. Concluding that quashing Count

II would be premature, the trial court ordered the State to amend Count II of Governor Perry’s

indictment. But a trial court has no authority to order the State to amend an indictment; the State has

the right to stand on its indictment and appeal any dismissal that might result from refusing to

amend.187 The trial court’s order that the State amend the indictment was, in practical terms, a threat

to quash Count II if it were not amended. And the trial court’s exact words are of no moment

because the statute refers to a threat “however communicated.”188 The regular and frequent violation

of the statute by conduct that is protected by the First Amendment suggests that the statute is

substantially overbroad.189

        The State contends, however, that substantial overbreadth has not been shown because “there

is no evidence that in the years since the coercion statute was enacted, any public servant has been

chilled.” But when the “governing body” exception was being considered by the Legislature, there



        186
              Blagojevich, 794 F.3d at 736.
        187
            State v. Plambeck, 182 S.W.3d 365, 370-71 (Tex. Crim. App. 2005) (“Rather, it is the
State’s right to stand on its charging instrument and have an appellate court pass on whether the trial
court’s reasons for dismissal were sufficient.”); State v. Moreno, 807 S.W.2d 327, 333-34 (Tex.
Crim. App. 1991) (“The fact that the State has appealed the decision of the trial court should be
sufficient indication to the Court of Appeals that the State is unwilling to alter the indictment or
information and that for all practical purposes, the prosecution in the trial court has ‘terminated.’”).
        188
              See TEX . PENAL CODE § 1.07(a)(9).
        189
            See City of Houston v. Hill, 482 U.S. 451, 466-67 (1987) (finding an ordinance to be
substantially overbroad when its “plain language is admittedly violated scores of times daily” but
only some individuals are prosecuted in the discretion of the police).
                                                                                       PERRY — 50

was considerable concern about the effects of the statute. At least two incidents in which the law

was being used had sparked the Legislature’s concern: (1) county commissioners in Dallas being

brought before a grand jury,190 and (2) the prosecution of the Bosque County Judge.191 Jim Allison,

representing the County Judges & Commissioners Association of Texas testified before a House

subcommittee, “The problem with the present statute, is that it is both ambiguous and

unconstitutional.”192 Allison favored enacting both the “governing body” exception and the language

that limited the definition of coercion to threats “to unlawfully take or withhold action”193 (which

was added by Representative Parker’s amendment).194 The HRO bill analysis cited some people’s

concern that adding an exception for members of governing bodies “would not go far enough in

protecting public officials from unwarranted prosecution under the coercion statute” and that the

statute “should be clarified to apply only to threats by public officials to take unlawful action.”195

       As we have explained, the Legislature responded to these concerns with a two-pronged fix:

(1) adding the “governing body” exception and (2) inserting the word “unlawfully” in the “take or

withhold action” portion of the definition of “coercion.”196 With this fix, the Legislature and all

       190
             Rep. Wolens, 71st Leg., Committee on State Affairs, H.B. 594 (February 20, 1989).
       191
             HRO Bill Analysis (SUPPORTERS SAY paragraphs two and three).
       192
             Jim Allison, 71st Leg., Committee on State Affairs, H.B. 594 (February 20, 1989).
       193
             Id.
       194
          See 71st Leg., H.B. 594, introduced version (January 24, 1989); supra n.148 and
accompanying text.
       195
             HRO Bill Analysis (OTHER OPPONENTS SAY paragraph one) (emphasis in original).
       196
            Acts 1989, 71st Leg., ch. 67, § 1, 2. The Legislature also added another method of
committing coercion of a public servant: to influence or attempt to influence “a public servant to
violate the public servant’s known legal duty.” Id. § 3.
                                                                                      PERRY — 51

other public officials in Texas had every reason to believe that the problem was solved.

       Meanwhile, the Bosque County case that was pending during the legislative session made

its way to the Waco Court of Appeals. The Waco court held that the statute under which Judge

Hanson was prosecuted (before the Legislature amended it) was unconstitutionally vague as applied

to her conduct.197 The court declined to address the facial constitutionality of the statute, with

respect to overbreadth or otherwise.198

       In 1994, with the overhaul of the Penal Code, the second half of the Legislature’s two-

pronged solution was rescinded, but the Hanson opinion had been issued by then, and public officials

had reason to believe that it would prevent prosecutions like the one against Judge Hanson. The

continued existence of the “governing body” exception could also have been reasonably seen as a

roadblock to such prosecutions. The ruling sought by the State today would reintroduce the very

chilling effect that Hanson and earlier legislative action eliminated.199 We conclude that the portion

of Penal Code § 36.03(a)(1) at issue here, as it incorporates § 1.07(a)(9)(F), is unconstitutionally

overbroad in violation of the First Amendment.200 We overrule the State’s challenges to the court

of appeals’s disposition of Count II.



       197
             Hanson, 793 S.W.2d at 273.
       198
             Id.
       199
             See Johnson, 475 S.W.3d at 882.
       200
           We need not address the State’s complaint that the court of appeals conflated the tests for
overbreadth and content-based restrictions. The unconstitutional applications of the statute are
substantial in relation to the statute’s legitimate sweep regardless of what level of scrutiny is
employed. Nor are we called upon to address the substantial question of whether a threat designed
to induce a public servant to resign constitutes an attempt to influence the specific performance of
the public servant’s official duty under the coercion statute.
                                                                                     PERRY — 52

                                          IV. Disposition

       We reverse the judgment of the court of appeals as to Count I and affirm the judgment of the

court of appeals as to Count II. We remand this case to the district court to dismiss the indictment.

Delivered: February 24, 2016
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