19-267-cv(L)
State of New York v. U.S. Dep’t of Justice


                          United States Court of Appeals
                                   FOR THE SECOND CIRCUIT

      At a stated term of the United States Court of Appeals for the Second Circuit,
held at the Thurgood Marshall United States Courthouse, 40 Foley Square, in the
City of New York, on the 13th day of July, two thousand twenty.

PRESENT:
                 ROBERT A. KATZMANN,
                      Chief Judge,
                 JOSÉ A. CABRANES,
                 ROSEMARY S. POOLER,
                 PETER W. HALL,
                 DEBRA ANN LIVINGSTON,
                 DENNY CHIN,
                 RAYMOND J. LOHIER, JR.,
                 SUSAN L. CARNEY,
                 RICHARD J. SULLIVAN,
                 JOSEPH F. BIANCO,
                 WILLIAM J. NARDINI,
                 STEVEN J. MENASHI,
                      Circuit Judges.



STATE OF NEW YORK, STATE OF
CONNECTICUT, STATE OF NEW JERSEY,
STATE OF WASHINGTON,
COMMONWEALTH OF MASSACHUSETTS,
COMMONWEALTH OF VIRGINIA, STATE OF
RHODE ISLAND, CITY OF NEW YORK,

                          Plaintiffs-Appellees,

                 v.                                         No. 19-267-cv(L)
                                                            No. 19-275-cv(con)
UNITED STATES DEPARTMENT OF JUSTICE,
WILLIAM P. BARR, IN HIS OFFICIAL
CAPACITY AS ATTORNEY GENERAL OF
THE UNITED STATES,

                   Defendants-Appellants.



For Plaintiffs-Appellees State of New       Barbara D. Underwood, Solicitor
York, Connecticut, New Jersey,              General, Anisha S. Dasgupta,
Rhode Island, and Washington, and           Deputy Solicitor General, Linda
Commonwealths of Massachusetts              Fang and Ari Savitzky, Assistant
and Virginia:                               Solicitors General, for Letitia James,
                                            Attorney General of the State of New
                                            York, New York, NY.

For Plaintiff-Appellee City of New          Richard Dearing, Devin Slack,
York:                                       Jamison Davies, for James E.
                                            Johnson, Corporation Counsel of the
                                            City of New York, New York, NY.



      Following disposition of this appeal on February 26, 2020, Plaintiffs-
Appellees filed petitions for rehearing en banc and an active judge of the Court
requested a poll on whether to rehear the case en banc. A poll having been
conducted and there being no majority favoring en banc review, the petitions for
rehearing en banc are hereby DENIED.

      José A. Cabranes, Circuit Judge, joined by Debra Ann Livingston, Richard J.
Sullivan, Joseph F. Bianco, William J. Nardini, and Steven J. Menashi, Circuit
Judges, concurs by opinion in the denial of rehearing en banc.

     Raymond J. Lohier, Jr., Circuit Judge, joined by Peter W. Hall, Circuit Judge,
concurs by opinion in the denial of rehearing en banc.




                                        2
      Richard J. Sullivan, Circuit Judge, joined by José A. Cabranes, Debra Ann
Livingston, and Joseph F. Bianco, Circuit Judges, concurs by opinion in the denial
of rehearing en banc.

      Robert A. Katzmann, Chief Judge, dissents by opinion from the denial of
rehearing en banc.

     Rosemary S. Pooler, Circuit Judge, joined by Denny Chin and Susan L.
Carney, Circuit Judges, dissents by opinion from the denial of rehearing en banc.

       Michael H. Park, Circuit Judge, took no part in the consideration or decision
of the petitions.

                                      FOR THE COURT:
                                      CATHERINE O’HAGAN WOLFE, CLERK




                                         3
JOSÉ A. CABRANES, Circuit Judge, joined by DEBRA ANN LIVINGSTON, RICHARD J. SULLIVAN,
JOSEPH F. BIANCO, WILLIAM J. NARDINI, and STEVEN J. MENASHI, Circuit Judges, concurring
in the order denying rehearing en banc:

       I concur in the order denying rehearing of this case en banc.

       As a member of the unanimous panel in this case, I begin by observing that the

panel opinion expressly underscored the importance of the issues involved in this

appeal. 1 And yet, despite the controversy that this subject matter naturally engenders,

the fact remains that the core questions on appeal are basic “questions of statutory

construction.” 2

       In her dissent from the Court’s order denying rehearing en banc, Judge Pooler

characterizes the outcome of this petition for rehearing en banc as “[a]stonishing[]”;

asserts that she is “frankly, astounded,” that the Court did not grant rehearing,

particularly in light of the circuit split that now exists; and remarks that the contrary

opinions of our sister circuits “call[] into serious question the correctness of our Court’s

rationale and conclusions.” 3 Regardless of the differing opinions of those circuits, our

Court’s decision to deny rehearing—one made by an en banc court consisting of twelve



1       See New York v. Dep’t of Justice (“DOJ”), 951 F.3d 84, 90 (2d Cir. 2020) (“Th[is] case
implicates several of the most divisive issues confronting our country … national immigration
policy, the enforcement of immigration laws, the status of illegal aliens in this country, and the
ability of States and localities to adopt policies on such matters contrary to, or at odds with,
those of the federal government.”).

2      Id.

3      See post, Pooler, J., dissenting from denial of rehearing en banc, at 1-3.
                                                  1
of our Court’s thirteen active Circuit Judges—evinces an unmistakable truth: that, in the

circumstances presented, reasonable judicial minds can differ as to whether the relevant

statutory text permits the Department of Justice to impose the challenged conditions on

grants of money to state and municipal law enforcement. There is nothing

“astonishing” here about a disagreement among sister circuits, much less anything

deserving the castigation by another colleague who asserts that our panel’s decision is

“wrong, wrong, and wrong again.” 4

        Despite the vigor and intensity of Judge Pooler’s dissent, she sheds little new

substantive light on the debate. 5 Instead, Judge Pooler primarily marshals the



4       See post, Lohier, J., concurring in denial of rehearing en banc, at 3. As the only active
judge on a panel that includes Senior Judges Ralph K. Winter and Reena Raggi, I offer a sidebar
comment in the nature of a point of personal privilege. Judge Lohier’s opinion regarding
rehearing—a concurrence which is functionally a dissent—is oddly focused on scolding several
of his colleagues, comparing their votes in this case to those on prior en banc polls. These
criticisms, unfounded on the merits, are addressed in the measured concurring opinion of Judge
Sullivan, which I join in full. See post, Sullivan, J., concurring in denial of rehearing en banc, at 1-
4.

5       Of particular interest is Judge Pooler’s silence on the panel opinion’s note that Section
1373—the statute requiring cooperation between federal, state, and local law enforcement—
need not be found constitutional in all applications in order to be upheld here in the narrow
context of federal funding. See New York v. DOJ, 951 F.3d at 111-12. As recently reiterated by the
Supreme Court, we are to afford a strong presumption “that an unconstitutional provision in a
law is severable from the remainder of the law or statute.” Barr v. Am. Ass'n of Political
Consultants, Inc., --- S. Ct. ----, 2020 WL 3633780, at *8 (2020) (citing Free Enterprise Fund v. Public
Co. Accounting Oversight Bd., 561 U.S. 477 (2010)); see also Seila Law LLC v. Consumer Financial
Protection Bureau, --- S. Ct. ----, 2020 WL 3492641 at *20 (2020) (noting that “in the absence of a
severability clause, the traditional rule is that the unconstitutional provision must be severed
unless the statute created in its absence is legislation that Congress would not have enacted”
(internal quotation marks omitted)).


                                                   2
arguments of the various opinions of the First, Third, Seventh, and Ninth Circuits

upholding injunctions that preclude enforcement of the conditions. 6 All of these

opinions, save that of the First Circuit, were available to the panel prior to its issuing its

decision. The panel opinion thoroughly addressed all of the reasons relied on by our

sister circuits in their decisions rejecting the Department of Justice’s position, and

explained why, with due respect, it found each of those reasons unpersuasive with

respect to the Certification, Notice, and Access Conditions, as well as the claim of

unconstitutional commandeering under the Tenth Amendment to the Constitution. 7

       In concurring in the denial of rehearing, I need not restate the host of reasons

already explained by Judge Raggi in her comprehensive and careful opinion (in which

Judge Winter and I joined in full) as to why, in our view, our sister circuits were in

error. 8 It does happen from time to time that our perspective differs from that of other



6       See generally City of Providence v. Barr, 954 F.3d 23 (1st Cir. 2020); City of Philadelphia v.
Attorney Gen., 916 F.3d 276 (3d Cir. 2019); City of Los Angeles v. Barr, 941 F.3d 931 (9th Cir. 2019);
City of Chicago v. Sessions, 888 F.3d 272 (7th Cir. 2018).

7       See, e.g., New York v. DOJ, 951 F.3d at 103 (“We cannot adopt the Seventh or Ninth
Circuit’s conclusions because we do not think the Attorney General’s authority to impose the
three challenged conditions here derives from the words ‘special conditions’ or ‘priority
purposes.’”); id. (“The Third Circuit, however, viewed the Attorney General’s statutory
authority respecting Byrne Program grants as ‘exceptionally limited.’ … We do not.”).

8        Chief Judge Katzmann, in his opinion dissenting from denial of rehearing en banc,
appears to fault the panel for relying on the phrase “form acceptable to the Attorney General”
in Section 10153(a)(5)(D) to conclude that the Attorney General could require compliance
certification to be in a form that identifies specific statutes, such as Section 1373. See post,
Katzmann, C.J., dissenting from denial of rehearing en banc, at 4-6. This is perplexing. If the
Government invokes a statute as the source of authority for a challenged action, the Court is
                                                  3
Circuits. (The opinion of the First Circuit that was issued after our own and offered

disparaging assessments of our panel’s efforts deserves a personal “sidebar” comment,

which I offer at the margin in note 9). 9


obliged to construe that statute, regardless of whether the Government’s urged construction
persuades. See United States v. Figueroa, 165 F.3d 111, 114 (2d Cir. 1998) (Sotomayor, J.) (“We
review issues of statutory construction de novo, and the language of a statute is our starting
point in such inquiries.” (internal citation omitted)). He also faults the panel for referring to the
Attorney General’s rulemaking authority, observing that DOJ did not rely on that authority in
its brief to this Court, and specifically disavowed such reliance at oral argument in a related
case before the Ninth Circuit. See post, Katzmann, C.J., dissenting from denial of rehearing en
banc, at 6-8. As a member of the panel, I offer two responses. First, Judge Raggi’s opinion refers
to the Attorney General’s rulemaking authority in order to reinforce conclusions already
reached on other grounds. Does disagreement about such a reference warrant en banc review?
Second, and in any event, the statutory rulemaking authority applies generally to provisions of
the Byrne grant. See 34 U.S.C. § 10155. These provisions authorize certain action by the Attorney
General with respect to statutory requirements for compliance certification, notice, and access.
With respect, I am at a loss to understand how a court can fairly assess the scope of that
authority without taking into account that it is informed by a general rulemaking authority.

9        The opinion of the First Circuit that Judge Pooler praises for its “apt[] observ[ations]”
arguably deserves no direct response, being more notable for its tone than for its persuasive
reasoning. A few citations will suffice as a mini-baedeker for the curious. Our construction of
the statutory phrase “all other applicable Federal laws,” 34 U.S.C. § 10153(a)(5)(D), is derided as
“simplistic,” City of Providence, 954 F.3d at 36; “strain[ing] credulity,” id. at 37; “extravagant,” id.;
“blind[ly] allegian[t] to the dictionary,” id.; and, relying on the author’s favorite source for
authority, “flout[ing] th[e] principle” that “[c]ourts generally ought not to interpret statutes in a
way that renders words or phrases either meaningless or superfluous,” id. at 37 (citing United
States v. Walker, 665 F.3d 212, 225 (1st Cir. 2011)). Res ipsa loquitur. Meanwhile, the First Circuit
makes no mention of the fact that the very definition of “applicable” on which our opinion
relies has been employed by the Supreme Court. See New York v. DOJ, 951 F.3d at 106 n.21
(citing Ransom v. FIA Card Servs., N.A., 562 U.S. 61, 69-70 (2011) (construing provision of
Bankruptcy Code)). Much less does it acknowledge that Congress’s use of the word “all” in the
phrase “all other applicable Federal laws” is a powerful signal of its intent to imbue the phrase
with its broadest possible meaning. Id. at 106 (citing Norfolk & W Ry. Co. v. Am. Train Dispatchers
Ass’n, 499 U.S. 117, 128-29 (1991) (explaining that phrase “all other law” is “clear, broad, and
unqualified”)). It accuses our opinion of “reading the term ‘applicable’ out of the statute,” City
of Providence, 954 F.3d at 37, while failing even to acknowledge the opinion’s argument that “the
word ‘applicable’ does serve a limiting function in the statutory text,” New York v. DOJ, 951 F.3d
at 106. I am, frankly, astounded (as it were), that Judge Pooler applauds as an “apt[]
                                                   4
       In the final analysis, the resolution of this dispute will be determined not by

arithmetic, but rather, by the strength and persuasiveness of the several decisions. There

can be little doubt that, in the fullness of time, the conflict among the Circuits will be

resolved by our highest tribunal.




observ[ation]” the First Circuit’s charge that, in construing 34 U.S.C. § 10153(a)(5)(D), this Court
is simply “assuming” a legislative intent having no basis in statutory text or “sound principles
of statutory construction.” City of Providence, 954 F.3d at 36-37.
                                                 5
 1   LOHIER, Circuit Judge, joined by HALL, Circuit Judge, concurring:

 2         Until today, every single circuit judge to have considered the questions

 3   presented by this appeal has resolved them the same way. That’s twelve

 4   judges—including one former Supreme Court Justice—appointed by six different

 5   presidents, sitting in four separate circuits, representing a remarkable array of

 6   views and backgrounds, responsible for roughly forty percent of the United

 7   States population, who, when asked whether the Attorney General may impose

 8   the challenged conditions, have all said the same thing: No.

 9         Undeterred, the panel breaks course in an opinion as novel as it is

10   misguided. As my colleagues explain in their dissent from the denial of

11   rehearing in banc, and as Justice Souter and Judges Selya, Barron, Rendell,

12   Ambro, Scirica, Rovner, Bauer, Manion, Wardlaw, Ikuta, and Bybee have

13   collectively demonstrated, the panel opinion misreads statutory text,

14   misconstrues constitutional doctrine, and mistakes the conclusion that it prefers

15   for the one that the law requires. 1 The task of remedying these very serious

16   errors will now fall to the Supreme Court. I vote against rehearing in banc so

17   that it may do so sooner rather than later. Indeed, if there is a single panel


     1Chief Judge Katzmann aptly describes the opinions of other sister Circuits. See
     Katzmann, C.J., Dissenting Op. at 2 n.1.
                                                1
 1   decision that the Supreme Court ought to review from this Circuit next Term, it

 2   is this one. 2

 3          Just last year, a number of my colleagues who vote now to deny rehearing

 4   in banc reminded us all that “[t]he legitimacy of Congress’ power to legislate [via

 5   a federal grant program] . . . rests on whether the State voluntarily and

 6   knowingly accepts the terms of [that grant program].” N.Y. State Citizens’ Coal.

 7   for Children v. Poole, 935 F.3d 56, 59 (2d Cir. 2019) (Livingston, J., dissenting

 8   from the denial of rehearing in banc) (quotation marks omitted). This limit on

 9   the Spending Clause power that they so enthusiastically embraced comes from

10   Pennhurst State School & Hospital v. Halderman, 451 U.S. 1 (1981), in which the

11   Supreme Court required Congress to “speak unambiguously in imposing

12   conditions on federal grant money.” New York v. U.S. Dep’t of Justice, 951 F.3d

13   84, 109 (2d Cir. 2020) (emphasis added) (citing Pennhurst). After Pennhurst, the

14   requirement for clarity from Congress in this context is basic and fundamental.

15   And so here the Department urged, the panel concluded, and the principal

16   concurrence in the denial of rehearing in banc now insists that 34 U.S.C.

17   § 10153(a)(5)(D) unambiguously informs States that they must abide by the


     2See Cabranes, J., Concurring Op. at 5 (“There can be little doubt that . . . the conflict
     among the Circuits will be resolved by our highest tribunal.”).
                                                   2
 1   certification condition. See Brief for Defendants-Appellants at 26–30; New York,

 2   951 F.3d at 110–11; Cabranes, J., Concurring Op. at 1–2.

 3         The problem with this “thrice-asserted view,” however, is that it “is

 4   wrong, wrong, and wrong again.” Genesis Healthcare Corp. v. Symczyk, 569

 5   U.S. 66, 80 (2013) (Kagan, J., dissenting). To start, the panel itself acknowledges

 6   that Section 10153(a)(5)(D) “fails to specify precisely [by] which laws” States

 7   must abide. New York, 951 F.3d at 110. No surprise, then, that States, cities, and

 8   municipalities across the country—the very entities whose knowing acceptance

 9   is paramount—have agreed with the First Circuit that the panel’s interpretation

10   of Section 10153(a)(5)(D) is “extravagant.” Brief for Chicago et al. as Amici

11   Curiae Supporting Plaintiffs-Appellees at 14 (quoting City of Providence v. Barr,

12   954 F.3d 23, 37 (1st Cir. 2020)). Sheriffs, police chiefs, and district attorneys have

13   likewise criticized the panel’s interpretation as “striking.” Brief for Local Law

14   Enforcement Leaders as Amici Curiae Supporting Plaintiffs-Appellees at 3. And

15   again, every judge to have considered the certification condition has determined

16   that Section 10153(a)(5)(D) does not permit it. But these federal judges, States,

17   cities, municipalities, sheriffs, police chiefs, and district attorneys are not just




                                                 3
 1   wrong, says the panel, they are unambiguously wrong: there is no room for

 2   debate about what Section 10153(a)(5)(D) means.

 3         How does the panel reach such a self-assured conclusion? It first claims

 4   that Section 10153(a)(5)(D) is unambiguous by observing that while it “fails to

 5   specify precisely which laws are applicable, that uncertainty can pertain as much

 6   for laws applicable to requested grants as for those applicable to grant

 7   applicants.” New York, 951 F.3d at 110 (quotation marks omitted). In other

 8   words, multiple ambiguities translate into clarity, two “maybes” mean yes. But

 9   as several of my colleagues in this case and a chorus of others have explained,

10   there is one good reason after another to think that “applicable” in fact means

11   laws applicable to the grant itself, not to grant recipients broadly speaking. See

12   Pooler, J., Dissenting Op. at 5–6; see also City of Chicago v. Barr, 961 F.3d 882,

13   898–909 (7th Cir. 2020); City of Providence, 954 F.3d at 36–39; City of

14   Philadelphia v. Attorney Gen., 916 F.3d 276, 288–91 (3d Cir. 2019).

15         The panel’s second interpretive twist is more striking still. Here, the panel

16   admits that Section 10153(a)(5)(D) may be ambiguous but contends that the

17   Attorney General’s identification of 8 U.S.C. § 1373 as an “applicable Federal

18   law” under Section 10153(a)(5)(D) is a permissible “clarifying interpretation[]” of



                                               4
 1   it. New York, 951 F.3d at 110. To support that argument, the panel leans heavily

 2   on Bennett v. Kentucky Department of Education, 470 U.S. 656 (1985). But

 3   Bennett held that “ambiguities in the requirements [of a federal grant program]

 4   should [not] invariably be resolved against the Federal Government as the

 5   drafter of the grant agreement.” Id. at 669. Thus while Bennett remarked that

 6   Congress often “[can]not prospectively resolve every possible ambiguity” in a

 7   federal grant program, see id., Bennett did not answer the relevant question

 8   before us: whether this ambiguity in Section 10153(a)(5)(D) should give us pause

 9   before embracing the Department’s position.

10         Until the challenged conditions were announced in 2016, the Edward

11   Byrne Memorial Justice Assistance Grant Program (the Byrne JAG Program), 34

12   U.S.C. §§ 10151–10158, had never in its existence conditioned the availability of

13   its funds on the fidelity that localities displayed to federal immigration policies.

14   Nor did localities appear to use the Byrne JAG Program funds for immigration

15   purposes. See New York, 951 F.3d at 93. This is as it should be. After all, the

16   Byrne JAG Program, spurred by the murder of NYPD Officer Edward Byrne,

17   was designed to aid States and cities in fighting crime, not immigration. See, e.g.,

18   34 U.S.C. § 10152(a) (listing the criminal justice purposes toward which Byrne



                                               5
 1   JAG Program funds may be directed); Nathan James, Cong. Research Serv.,

 2   RS22416, Edward Byrne Memorial Justice Assistance Grant Program: Legislative

 3   and Funding History 1–2 (2008) (explaining that the Byrne JAG Program

 4   reflected increased support for state and local law enforcement to respond to

 5   rising crime rates); see also Pooler, J., Dissenting Op. at 2 (“Immigration

 6   enforcement is not identified as an area for which grant funds may be used. The

 7   statute requires the DOJ to issue Byrne grants pursuant to a formula that

 8   distributes funds based on state and local populations and crime rates.”).

 9         The panel opinion, in less than two pages of text, ignores virtually all of

10   this. Instead, it concludes that “[k]nowing acceptance is no concern here.” New

11   York, 951 F.3d at 110 (quotation marks omitted). 3 Again, several of my

12   colleagues who vote here to deny rehearing in banc took a different position last

13   year in Poole. 4 935 F.3d at 59 (Livingston, J., dissenting from the denial of



     3For substantially the reasons provided by my colleagues dissenting from the decision
     to deny rehearing in banc, I also agree that the panel decision incorrectly resolved the
     other statutory interpretation issues before it. See Pooler, J., Dissenting Op. at 3–11.

     4Judge Sullivan misunderstands my point about Poole. In referring to the inconsistency
     of their opinions, I have not accused him or any of my colleagues of “bad faith or
     hypocrisy.” Sullivan, J., Concurring Op. at 1. And the differences Judge Sullivan lists
     between Poole and this case relate only to policy and result. None deflects from the
     Supreme Court’s central holding in Pennhurst that Congress must speak
     unambiguously as to the terms on which it provides funds to States and municipalities.
                                                 6
 1   rehearing in banc) (emphasizing the importance of “whether the State

 2   voluntarily and knowingly accepts the terms of” a federal grant program);

 3   compare also New York, 951 F.3d at 109 (recognizing “Congress’s duty to speak

 4   unambiguously in imposing conditions on federal grant money”) with Cabranes,

 5   J., Concurring Op. at 2 (“[R]easonable judicial minds can differ as to whether the

 6   relevant statutory text permits the Department of Justice to impose the

 7   challenged conditions on grants of money to state and municipal law

 8   enforcement.”).

 9         Why has this decision careened so far off the textualist track? How can it

10   be that the language of the statute is both unambiguous and at the same time that

11   reasonable minds could differ about the meaning of the statutory text? Setting

12   aside the policy result of cutting funds to local police forces that refuse to toe the

13   Department line on immigration and that want to focus instead on combatting

14   local crime, what the panel has done here is not an approach that is true to

15   Congress’s words or to ordinary principles of statutory construction.




                                               7
 1           This error creates an important circuit split that needs to be repaired

 2   definitively and now. 5 Unfortunately, the split arises at the end of our Term.

 3   Our already cumbersome process for proceeding in banc, slowed by a pandemic,

 4   is not likely to correct anything anytime soon. And even if we rectified the

 5   panel’s error, the Department, encouraged by the panel’s decision, would

 6   continue to peddle its false and contorted theory to the remaining circuits that

 7   have yet to debunk it. Under these circumstances, the better course, in my view,

 8   is for the Supreme Court to grant certiorari and reverse. It can do so faster than

 9   we can, and it alone can forestall the spread of this grievous error.

10           For that reason, and that reason only, I concur in the denial of rehearing in

11   banc.




     5I agree with my colleagues who dissent from the denial of rehearing in banc that this
     case is of exceptional importance. See Pooler, J., Dissenting Op. at 3; Katzmann, C.J.,
     Dissenting Op. at 9. The panel’s decision, should it stand, has serious consequences
     that we should carefully consider. For example, nothing in the decision stops the
     Department from conditioning Byrne grants on a State’s allegiance to federal
     environmental laws.
                                                 8
RICHARD J. SULLIVAN, Circuit Judge, joined by JOSÉ A. CABRANES, DEBRA ANN
LIVINGSTON, and JOSEPH F. BIANCO, Circuit Judges, concurring in the order denying
rehearing en banc:

      I concur with the denial of en banc review for the reasons set forth in the

panel’s opinion and in Judge Cabranes’s concurrence. I write separately only to

address an erroneous and, to my mind, gratuitous point raised in Judge Lohier’s

concurrence.

      The concurrence attacks the panel’s opinion (and those who voted to deny

rehearing en banc) for grafting onto the Byrne Memorial Justice Assistance Grant

Program a condition that was not voluntarily and knowingly accepted by the

States. In so arguing, the concurrence chides several judges – myself included –

for singing a different tune last year when seeking rehearing en banc in New York

State Citizens’ Coalition for Children v. Poole, 935 F.3d 56, 59 (2d Cir. 2019)

(Livingston, J., dissenting from the denial of rehearing en banc). See ante at 6–7

(Lohier, J., concurring in the denial of rehearing en banc). It suggests that the two

cases are somehow indistinguishable, and that a vote to deny en banc rehearing

here reflects bad faith or hypocrisy on the part of those who sought such rehearing

in Poole. But as there is very little harmony between this case and Poole, a different

tune is to be expected.
      For starters, the grant condition imposed in Poole resulted in a seemingly

nonsensical bargain for the States. Poole concerned whether, in exchange for

partial reimbursement of certain foster care maintenance payments under the

Adoption Assistance and Child Welfare Act of 1980, States had agreed to

mandatory minimum foster care spending obligations. Poole, 935 F.3d at 58–59.

Deciding that it had, the majority endorsed a perplexing interpretation of the grant

program that New York had knowingly “relinquished to federal courts its

longstanding control over discretionary judgments about payment rates for foster

care providers in exchange for partial reimbursement of some expenses incurred in

the care of a declining percentage of foster care children.” N.Y. State Citizens’ Coal.

for Children v. Poole, 922 F.3d 69, 91 (2d Cir. 2019) (Livingston, J., dissenting). And

if that were not enough, the majority concluded that Congress intended for this

strange deal to be enforceable through private litigation. Id. at 92; see also Poole,

935 F.3d at 59 (Livingston, J., dissenting from the denial of rehearing en banc).

      Here, by contrast, the panel’s interpretation of the Byrne Grant condition

does not result in such a lopsided bargain. In simple terms, States may receive

federal funding under the program so long as they do not actively interfere with

federal immigration policy, among other things. See New York v. Dep’t of Justice,



                                          2
951 F.3d 84, 94–96 (2d Cir. 2020). While a State may determine that this is too great

a concession – that the juice is not worth the squeeze – that is a decision that States

are free to make ex ante based on their assessment of the costs and benefits of the

grant program. And, unlike Poole, the panel here did not foist an implied cause of

action on unwitting grant recipients. Put bluntly, this case is a far cry from Poole.

      But that’s not all; the posture in which the cases arrived before us could not

have been more different. In Poole, the majority’s interpretation imposed “post

acceptance or ‘retroactive’ conditions” on New York, Pennhurst State Sch. & Hosp.

v. Halderman, 451 U.S. 1, 25 (1981), requiring it to make mandatory payments and

assume liability that it could not escape, having already accepted federal funds.

By contrast, the plaintiffs here challenge a condition of which they received

“advance notice” before they applied for federal funding. New York, 951 F.3d

at 110 (“[P]laintiffs were given advance notice that their 2017 Byrne grant

applications had to certify a willingness to comply with § 1373. Indeed, they were

given such notice twice, first in 2016, and again in 2017.”). In other words, Poole

required us to determine whether New York knew the rules of the game when it

agreed to play; here, the plaintiffs are well aware of the rules – they simply want

us to change them before they step onto the court.



                                          3
      So, because the panel has not repeated the error permitted in Poole, and

because the panel’s opinion otherwise persuades me that its interpretation of the

statute is the correct one, I concur in the denial of rehearing en banc.




                                          4
ROSEMARY S. POOLER, Circuit Judge, joined by DENNY CHIN and SUSAN L. CARNEY,
Circuit Judges, dissenting from the denial of rehearing en banc:

       The panel opinion in this case allows the Executive to impose funding conditions on

congressionally allocated federal funds in a manner plainly not contemplated by Congress.

Astonishingly, given that four other circuits came out the other way, this Court refused to hear

this case en banc. I respectfully dissent from the denial of rehearing en banc.

       Appellees are states and a city that sought funding from the federal government through

the Byrne Memorial Justice Assistance Grants program (“Byrne Grant Program”). The Byrne

Grant Program evolved from a 1968 block grant program for law enforcement and criminal

justice developed by Congress because “crime is essentially a local problem that must be dealt

with by State and local governments.” Omnibus Crime Control and Safe Streets Act of 1968

(“1968 Act”), Pub. L. No. 90-351, 82 Stat. 197, 197. In enacting the 1968 Act, Congress

intended to “guard against any tendency towards federalization of local police and law

enforcement agencies.” Ely v. Verde, 451 F.2d 1130, 1136 (4th Cir. 1971) (discussing the

legislative history of the 1968 Act). It did so by barring federal agencies and Executive Branch

employees from using grants administered by the Department of Justice (“DOJ”) to “exercise

any direction, supervision, or control over any police force or any other law enforcement agency

of any State or any political subdivision thereof.” § 518(a), 82 Stat. at 208. Despite numerous

modifications and amendments to the 1968 Act over the years, that provision remains in effect.

See 34 U.S.C. § 10228(a).

        In 2006, Congress reworked the 1968 Act to create and codify the Byrne Grant Program

at issue here, with an eye toward providing state and local governments with “more flexibility to

spend money for programs that work for them rather than to impose a ‘one size fits all’ solution.”

H.R. Rep. No. 109-233, at 89 (2005); see also 34 U.S.C. §§ 10151-58. The statute allows grant

                                                 1
recipients discretion to use funds to support activities in any of eight broad criminal justice-

related programs. 34 U.S.C. § 10152(a)(1). Immigration enforcement is not identified as an area

for which grant funds may be used. The statute requires the DOJ to issue Byrne grants pursuant

to a formula that distributes funds based on state and local populations and crime rates. See 34

U.S.C. § 10156; see also City of Los Angeles v. McLaughlin, 865 F.2d 1084, 1088 (9th Cir.

1989) (noting that “‘formula’ grants . . . are not awarded at the discretion of a state or federal

agency, but are awarded pursuant to a statutory formula”). So long as they use their funds to

satisfy the statute’s goals and meet the statute’s certification and attestation requirements, state

and local governments are entitled to their share of the formula allocation. See 34 U.S.C. §§

10152(a)(1), 10153(A).

       In 2017, the DOJ adopted a policy requiring Byrne Grant Program applicants to:

       1. Submit a Certification of Compliance with 8 U.S.C. § 1373, a federal law that bars
          cities or states from restricting communications by their employees with the
          Department of Homeland Security (“DHS”) about the immigration or citizenship
          status of individuals (the “Certification Condition”);

       2. Implement a law, policy, or practice that provides DHS officials access to any
          detention facility to determine the immigration status of those held within (the
          “Access Condition”); and

       3. Implement a law, policy, or practice that ensures correctional facilities will honor any
          formal written request from the DHS and authorized by the Immigration and
          Nationality Act seeking advanced notice of the scheduled date and time for a
          particular alien (the “Notice Condition”).

       Appellees challenged these conditions by bringing suit in the Southern District of New

York. The lower court granted Appellees partial summary judgment, enjoining the DOJ from

enforcing the conditions and ordering the release of the 2017 Byrne Grant Program funds. See

New York v. U.S. Dep’t of Justice, 343 F. Supp. 3d 213 (S.D.N.Y. 2018). Our Court reversed this

grant of summary judgment, vacated the order to release the funds, and remanded the case. New

York v. U.S. Dep’t of Justice, 951 F.3d 84, 124 (2d Cir. 2020).

                                                  2
         At the time of the district court’s decision, the Seventh Circuit had upheld an injunction

precluding enforcement of the Notice and Access Conditions, City of Chicago v. Sessions, 888

F.3d 272 (7th Cir. 2018), reh’g en banc granted in part on other grounds, vacated in part on

other grounds, No. 17-2991, 2018 WL 4268817 (7th Cir. June 4, 2018), reh’g en banc vacated,

Nos. 17-2991, 18-2649, 2018 WL 4268814 (7th Cir. Aug. 10, 2018). Since then, three more of

our sister circuits have also upheld injunctions barring enforcement of all or some of the

conditions. See City of Providence v. Barr, 954 F.3d 23 (1st Cir. 2020); City of Los Angeles v.

Barr, 941 F.3d 931 (9th Cir. 2019); City of Philadelphia v. Attorney Gen., 916 F.3d 276 (3d Cir.

2019).

         The circuit split—which generated a host of persuasive opinions from our sister

circuits—calls into serious question the correctness of our Court’s rationale and conclusions. The

opinion in New York v. U.S. Department of Justice ignores the words of the statute, the relevant

legislative history, and the conclusions of our sister circuits. I am, frankly, astounded that my

colleagues did not find this a case of exceptional importance warranting en banc review. See Fed.

R. App. P. 35(a)(2).

         I.     The DOJ’s Statutory Authority to Impose the Challenged Conditions

         A. The Certification Condition

         The Certification Condition requires applicants submit a Certification of Compliance

with 8 U.S.C. § 1373, which bars state and local governments from prohibiting or restricting

their employees from providing federal officials with information about individuals’ citizenship

or immigration status. The panel in New York concluded that the DOJ was statutorily authorized

to impose the Certification Condition based on a statutory provision requiring that a Byrne Grant

Program applicant include in its application “[a] certification, made in a form acceptable to the

                                                  3
Attorney General,” that “the applicant will comply with all provisions of this part and all other

applicable Federal laws.” 34 U.S.C.§ 10153(a)(5)(D) (emphasis added). Based on the dictionary

definition of the word “applicable,” the panel determined that an “applicable Federal law” is

“one pertaining either to the State or locality seeking a Byrne grant or to the grant being sought.”

New York, 951 F.3d at 106.

       That conclusion is in error for a number of reasons. First, the panel’s reading of the term

“applicable Federal laws” fails to comply with the well-settled principle that statutes should be

read so as “to give effect, if possible, to every clause and word of a statute.” Duncan v. Walker,

533 U.S. 167, 174 (2001) (internal quotation marks and citation omitted); see also United States

v. Nordic Vill., Inc., 503 U.S. 30, 36 (1992) (noting the “settled rule that a statute must, if

possible, be construed in such fashion that every word has some operative effect”); United States

v. Anderson, 15 F.3d 278, 283 (2d Cir. 1994) (“[C]ourts will avoid statutory interpretations that

render provisions superfluous.” ). As the Third Circuit explained, an interpretation as expansive

as the panel’s creates a redundancy issue because if “applicable” is construed to mean laws

pertaining to both grants and applicants, “all other applicable Federal laws” in effect means “all

other Federal laws.” See City of Philadelphia, 916 F.3d at 289 (internal quotation marks

omitted).

       The panel argues that its interpretation does not run afoul of the canon against surplusage

because “applicable” in fact serves a limiting function; the panel’s logic seems to be that the

provision is limited because “an applicant must certify its willingness to comply with those

laws—beyond those expressly stated in Chapter 34—that can reasonably be deemed

‘applicable.’” New York, 951 F.3d at 104, 106-07. This is incorrect. As the First Circuit—which

issued its opinion after ours—aptly observed:


                                                   4
               The Second Circuit’s interpretation of the phrase “applicable
               Federal laws”—which encompasses all federal laws that apply to
               state and local governments in any capacity—flouts [the] principle
               [against surplusage] by effectively reading the term “applicable” out
               of the statute. For instance, a local government can hardly certify
               that it will comply with a law that does not apply to local
               governments in the first place. Congress obviously could have
               written this provision to require Byrne [Grant Program] applicants
               to certify compliance with “all other Federal laws,” but it did not. In
               our view, the fact that Congress included the word “applicable”
               strongly implies that the provision must refer to a subset of all
               federal laws that apply to state and local governments.

City of Providence, 954 F.3d at 37.

       In addition, while the text of Section 10153(A)(5)(D) does not define “applicable,” the

statutory context makes clear that “applicable” means applicable to the grant, not the applicant

more broadly. See, e.g., City of New York v. Beretta U.S.A. Corp., 524 F.3d 384, 401 (2d Cir.

2008) (“[T]he term ‘applicable’ must be examined in context.”). The other conditions in Section

10153(A) apply to the grant, not to those who receive the grant. See, e.g., 34 U.S.C. §

10153(A)(1) (stating that funds cannot be used to replace state or local funds); id. § 10153(A)(2),

(3) (mandating that grant projects must be submitted for appropriate review); id. § 10153(A)(4)

(setting forth a reporting requirement on how the grant is administered); id. § 10153(A)(6)

(requiring a plan for how grant funds will be used). To read Section 10153(A)(5)(D) as the only

condition that applies to states and localities’ conduct beyond that which is undertaken in their

capacities as grant recipients makes little sense. See Kucana v. Holder, 558 U.S. 233, 246 (2010)

(holding that statutory provisions must be read in context and relying on the other statutory

provisions that a particular provision is “sandwiched” between to delineate its scope). There is

no reason why Congress would insert a condition unrelated to grant funds into a list that

otherwise includes conditions that are closely linked to grant administration. See Whitman v. Am.

Trucking Ass’ns, 531 U.S. 457, 468 (2001) (“Congress, we have held, does not alter the


                                                 5
fundamental details of a regulatory scheme in vague terms or ancillary provisions—it does not,

one might say, hide elephants in mouseholes.”); see also City of Providence, 954 F.3d at 37-38

(“It strains credulity to think that Congress would bury among those certifications and assurances

an authorization for the DOJ to condition grants on certification of compliance with federal laws

that . . . lack any nexus to the Byrne [Grant] program.”).

        The panel’s broad reading of “all other applicable Federal laws” allows the Attorney

General to condition the receipt of funds on any number of statutes, such as Section 1373, which

have nothing to do with federal grants, and in so doing require applicants to comply with any

federal directive, regardless of that directive’s relationship with the grant at issue. But as the First

Circuit observed, there is ample reason to “doubt that Congress intended to give the DOJ so

universal a trump card.” City of Providence, 954 F.3d at 38. For instance, as the First Circuit

notes, the “formulaic nature” of the Byrne Grant Program undermines the notion that

“applicable” should be read so expansively. Id.

        Additionally, Congress reinforced its desire to avoid generally using grant funds to

advance policy goals by “stating expressly in other statutes that noncompliance with those

statutes’ requirements could trigger the withholding of a set percentage of a Byrne [Grant

Program] grant.” Id. at 39. For example, Congress provided that no more than 10 percent of

funds may be withheld for failure to meet “death-in-custody” reporting requirements. 34 U.S.C.

§ 60105(c)(2); see also id. § 40914(b)(1) (providing for a withholding of 4 percent of funds for

failure to meet background check requirements); id. § 20927(a) (providing for a 10 percent

reduction for failure to meet sex offender registration requirements); id. § 30307(e)(2)(A)

(providing for a 5 percent reduction for failure to comply with measures to eliminate prison

rape). No more than 5 percent of Byrne Grant Program funds were allowed to be used for


                                                   6
discretionary grants, which could be granted only under limited circumstances. Id. § 10157(b).

These provisions further demonstrate that Congress did not intend to condition funds on

compliance with every law applicable to applicants. “If Congress had already given the Attorney

General [the] sweeping authority to withhold all funds for any reason, it would have no need to

delineate numerous, specific circumstances under which the Attorney General may withhold

limited amounts of funds.” City of Philadelphia, 916 F.3d at 286. And if Congress were so

concerned about state and local authorities flouting federal immigration law, it well knew how to

codify that concern and utterly failed to do so here.

       Congress in fact considered, on multiple occasions, making compliance with Section

1373 a condition of receiving federal funds—but has never actually done so. See City of

Chicago, 888 F.3d at 277-78 (collecting bills). The panel’s decision notes that enactment of

Section 1373 “was informed by Congress’s concern that States and localities receiving federal

grants were hampering the enforcement of federal immigration laws,” New York, 951 F.3d at

108, but it hardly follows from this observation that Congress intended to express that policy by

conditioning the receipt of Byrne grants on compliance with Section 1373. If that were the case,

Congress could have followed through with any one of its attempts to accomplish that goal. This

is not the Executive Branch clarifying an ambiguity in a manner that gives effect to

congressional intent—this is the Executive Branch sidestepping Congress’s refusal to condition

grant funds on compliance with Section 1373.

       Finally, such a move violates the rule that conditions imposed on the recipients of federal

grants are to be “unambiguously” set out by Congress. Pennhurst State Sch. & Hosp. v.

Halderman, 451 U.S. 1, 17 (1981). Congress is, of course, free to “attach conditions on the

receipt of federal funds,” and may use that power “to further broad policy objectives by


                                                 7
conditioning receipt of federal moneys upon compliance by the recipient with federal statutory

and administrative directives.” South Dakota v. Dole, 483 U.S. 203, 206 (1987) (internal

quotation marks and citation omitted). But “if Congress desires to condition the States’ receipt of

federal funds, it must do so unambiguously . . ., enabling the States to exercise their choice

knowingly, cognizant of the consequences of their participation.” Id. at 207 (internal quotation

marks, brackets, and citation omitted).

       The panel in New York v. U.S. Department of Justice asserts that there is no “knowing

acceptance” concern here because the DOJ provided advance notice that the 2017 Byrne Grant

Program applications had to certify a willingness to comply with Section 1373. New York, 951

F.3d at 110 (internal quotation marks omitted). But the fact that the DOJ “unambiguously” sets

out the grant requirements is of no moment, because the conditions are to be set by Congress.

Absent Congress writing Section 10153(a)(5)(D) to specify that compliance with every statute

and regulation applicable to states and localities acts as a grant condition, Section 10153(a)(5)(D)

cannot be read so expansively. To do so would allow the DOJ to exert a tremendous amount of

leverage over state and local police authorities and to interfere in an area reserved to the states by

imposing new interpretations of federal immigration statutes. See U.S. Dep’t of Justice, Edward

Byrne Memorial Justice Assistance Grant (JAG) Program FY 2018 Local Solicitation 36-37, 44-

45 (2018) (interpreting 8 U.S.C. §§ 1226(a), 1226(c), 1231(a)(4), 1324(a), 1357(a), 1366(1),

1366(3), 1373).

       It is true, as the panel points out, that the Supreme Court has recognized that in

establishing federal grant programs, Congress cannot always “prospectively resolve every

possible ambiguity concerning particular applications of [a program’s] requirements.” Bennett v.

Ky. Dep’t of Educ., 470 U.S. 656, 669 (1985). But reading Section 10153(a)(5)(D) so broadly


                                                  8
does not resolve an ambiguity in the statute—it instead reads into the statute a meaning that

simply is not there. That is contrary to Congress’s intent to create a formula-based program that

distributes awards through a “carefully defined calculation” that takes into account just

population and crime statistics. City of Chicago, 888 F.3d at 285; see also 34 U.S.C. §

10156(a)(1) (“[T]he Attorney General shall . . . allocate” funds based on the statutory formula).

Allowing the Attorney General to set policy-related conditions “destabilize[s] the formula nature

of the grant.” City of Philadelphia, 916 F.3d at 290; see also City of Providence, 954 F.3d at 34

(stating that “it is nose-on-the-face plain that Congress intended [Byrne Grant Program] to

operate as a formula grant program”).

       In sum, there are numerous reasons why the panel erred in holding that “applicable

Federal laws” means all laws applicable to states or localities applying for Byrne grants,

including Section 1373. Rather, as our sister circuits have concluded, it is apparent that

“applicable Federal laws” “are federal laws that apply to state and local governments in their

capacities as Byrne [Grant Program] grant recipients.” City of Providence, 954 F.3d at 38-39. As

such, there is no statutory provision authorizing the DOJ’s imposition of the Certification

Condition.

       B. The Notice and Access Conditions

       The panel’s rationale for upholding the Notice and Access Conditions is also

problematic. The panel determined that these conditions are authorized by the coordination

requirement contained in Section 10153(A)(5)(C), which requires grant recipients to certify “in a

form acceptable to the Attorney General” that “there has been appropriate coordination with

affected [federal] agencies,” and the reporting requirement contained in Section 10153(a)(4),

which requires the maintenance and reporting of “such data, records, and information

                                                 9
(programmatic and financial) as the Attorney General may reasonably require.” See New York,

951 F.3d at 117-18, 121. The panel explained that the coordination requirement provided

statutory authorization because “when a State seeks Byrne funding for programs that relate to the

prosecution, incarceration, or release of persons, some of whom will be removable aliens, there

must be coordination with the affected federal agency, the Department of Homeland Security [],

before a formal application is filed . . . .” Id. at 119. Similarly, the panel concluded that the

reporting requirement provided statutory authorization for the Notice Condition because the

release of information pursuant to this condition is programmatic “at least for Byrne-funded

programs that relate in any way to the criminal prosecution, incarceration, or release of persons.”

Id. at 117.

        Again, this overly expansive reading of the statute cannot stand. As the Third Circuit

thoroughly explained:

                The data-reporting requirement is expressly limited to
                “programmatic and financial” information—i.e., information
                regarding the handling of federal funds and the programs to which
                those funds are directed. It does not cover Department priorities
                unrelated to the grant program. Furthermore, the coordination
                requirement asks for a certification that there “has been” appropriate
                coordination. . . . [W]e interpret [that] to require certification that
                there was appropriate coordination in connection with the grantee’s
                application. This does not serve as a basis to impose an ongoing
                requirement to coordinate on matters unrelated to the use of grant
                funds.

City of Philadelphia, 916 F.3d at 285. It is thus clear from the statutory text that Congress

provided authority for the DOJ to mandate only that grant recipients “maintain and report

information about its grant and the programs that the grant funds.” City of Providence, 954 F.3d

at 35; see also City of Los Angeles, 941 F.3d at 944-45; City of Philadelphia, 916 F.3d at 285. In

addition, the DOJ is authorized “only to require a certification that the applicant has coordinated


                                                  10
in the preparation of its application with agencies affected by the programs for which the

applicant seeks funding.” City of Providence, 954 F.3d at 35; see also City of Los Angeles, 941

F.3d at 945; City of Philadelphia, 916 F.3d at 285. Yet what the DOJ seeks to require under the

Notice and Access Conditions extends far beyond what the reporting and coordination provisions

envision.

       Rather than properly cabining the DOJ’s authority, however, the panel concluded that the

DOJ could impose the Access and Notice Conditions for nearly all law enforcement purposes,

regardless of whether those purposes relate in any way to the grant. But as discussed above,

Congress set out eight programs for which Byrne Grant Program funds may be used, and none is

enforcement of federal immigration law. See 34 U.S.C. § 10152(a)(1). The statute simply does

not support the weight the panel places on it. By permitting the DOJ to stretch its authority

beyond its statutory bounds, the New York panel invites the Executive Branch to compel states

and localities to provide information to, and coordinate with the federal government on, all

aspects of law enforcement activity.

       For these reasons, the panel’s interpretation of the various statutory provisions contained

in the Byrne Grant Program statute, as well as its ultimate conclusion that these provisions grant

the DOJ authority to impose the Certification, Access, and Notice Conditions, is deeply flawed,

and a worthy subject for en banc review.

       II.     Whether Section 1373 Violates the Anti-commandeering Doctrine

       The panel’s treatment of the Tenth Amendment challenge in this case also calls for en

banc consideration. The Tenth Amendment provides that “[t]he powers not delegated to the

United States by the Constitution, nor prohibited by it to the States, are reserved to the States

respectively, or to the people.” U.S. Const. amend. X. Congress thus has only “the power to


                                                 11
regulate individuals, not States.” New York v. United States, 505 U.S. 144, 166 (1992). This

mandate is enforced via the anticommandeering doctrine, which provides that “[t]he Federal

Government may neither issue directives requiring the States to address particular problems, nor

command the States’ officers, or those of their political subdivisions, to administer or enforce a

federal regulatory program.” Printz v. United States, 521 U.S. 898, 935 (1997).

       As the panel noted, this Court previously upheld Section 1373 as constitutional in City of

New York v. United States, 179 F.3d 29 (2d Cir. 1999). There, we concluded that “federal

measures that seek to impress state and local governments into the administration of federal

programs” violate the Tenth Amendment, but “federal measures that prohibit states from

compelling passive resistance to particular federal programs” do not. Id. at 35. But the Supreme

Court’s recent decision in Murphy v. National Collegiate Athletic Association, 138 S. Ct. 1461

(2018), calls the viability of City of New York into serious question.

       In Murphy, the Supreme Court invalidated a provision of the federal Professional and

Amateur Sports Protection Act (“PASPA”), which prohibited states from allowing sports betting.

138 S. Ct. 1461. In defending the federal law, the DOJ argued that the anti-commandeering

doctrine only prohibited the federal government from “affirmatively command[ing]” what the

states must do, rather than prohibiting states from enacting certain types of laws. Id. at 1478

(internal quotation marks omitted). Thus, the DOJ argued PASPA did not run afoul of the anti-

commandeering doctrine because it did not prevent the complete legalization of sports gambling,

just those state laws that authorized gambling with restrictions, such as limiting the location

where such bets could be made. The Supreme Court rejected this argument:

                       The PASPA provision at issue here—prohibiting state
               authorization of sports gambling—violates the anti-commandeering
               rule. That provision unequivocally dictates what a state legislature
               may and may not do. . . . It is as if federal officers were installed in

                                                 12
               state legislative chambers and were armed with the authority to stop
               legislators from voting on any offending proposals. A more direct
               affront to state sovereignty is not easy to imagine.
                       Neither [the sports leagues] nor the United States contends
               that Congress can compel a State to enact legislation, but they say
               that prohibiting a State from enacting new laws is another
               matter. . . .
                       This distinction is empty. It was a matter of happenstance
               that the laws challenged in New York and Printz commanded
               “affirmative” action as opposed to imposing a prohibition. The basic
               principle—that Congress cannot issue direct orders to state
               legislatures—applies in either event.

Id. at 1478.
       Section 1373 provides in relevant part that:
                      (a) In general
                       Notwithstanding any other provision of Federal, State, or
               local law, a Federal, State, or local government entity or official may
               not prohibit, or in any way restrict, any government entity or official
               from sending to, or receiving from, the Immigration and
               Naturalization Service information regarding the citizenship or
               immigration status, lawful or unlawful, of any individual.
                      (b) Additional authority of government entities
                        Notwithstanding any other provision of Federal, State, or
               local law, no person or agency may prohibit, or in any way restrict,
               a Federal, State, or local government entity from doing any of the
               following with respect to information regarding the immigration
               status, lawful or unlawful, of any individual:
                      (1) Sending such information to, or requesting or receiving
               such information from, the Immigration and Naturalization Service.
                      (2) Maintaining such information.
                       (3) Exchanging such information with any other Federal,
               State, or local government entity.
8 U.S.C. § 1373.
       Just as PASPA did, Section 1373 seeks to skirt the anti-commandeering doctrine’s

prohibition against coercing states into enforcing federal law. While PASPA sought to

accomplish this goal by providing that states could not “sponsor, operate, advertise, promote,

license, or authorize by law or compact” sports betting, 28 U.S.C. § 3702(1), Section 1373


                                                 13
attempts to do so by stripping from state governments the right to control state officials’

communication of information collected for state purposes and at state expense. Just as PASPA

barred states from taking certain action (that is, authorizing sports betting), Section 1373 bars

states from taking certain action—that is, prohibiting certain communications to federal officials.

Thus, our Circuit’s previous reliance on the distinction between “measures that seek to impress

state and local governments into the administration of federal programs” and “federal measures

that prohibit states from compelling passive resistance to particular federal programs” in striking

down a Tenth Amendment challenge to Section 1373, City of New York, 179 F.3d at 35, is no

longer valid in light of Murphy. Even the New York panel does not seem to challenge this

conclusion. 951 F.3d at 113 (noting that “Murphy may well have clarified that prohibitions as

well as mandates can manifest impermissible commandeering”).

       Nonetheless, the panel held that the district court erred in concluding that Section 1373

violated the Tenth Amendment because the district court failed to identify a “reserved power

States have to enact laws or policies seemingly foreclosed by 8 U.S.C. § 1373.” Id. at 114. The

panel relied heavily on the broad power of the federal government in the immigration context,

suggesting that states accordingly lacked power in this arena. Id. at 113. But the relevant power

reserved to the states in this situation is not the power to enact immigration-related legislation.

Rather, the reserved power at issue is the authority of the states to refuse the aid of state officials

in enforcing federal law. In failing to engage with this power, the panel erred in its analysis of

whether Section 1373 would be facially unconstitutional. See Printz, 521 U.S. at 932 n.17, 935

(holding that a statute, which “requires [state employees] to provide information that belongs to

the State and is available to them only in their official capacity,” violates the Tenth Amendment);




                                                  14
see also id. at 928 (explaining that the purpose of anti-commandeering doctrine is the

“[p]reservation of the States as independent and autonomous political entities”).

       The panel then went on to conclude that “§ 1373 does not violate the Tenth Amendment

as applied here to a federal funding requirement.” 951 F.3d at 114. It seems the panel concluded

that the as-applied challenge fails because Congress has the ability to fix conditions, such as

compliance with “applicable Federal laws” as was the case here, on receipt of federal funds. Id.

at 114-15. But this conclusion makes little sense, in my view. If Section 1373 is a facial violation

of the Tenth Amendment, and therefore unconstitutional, then it cannot fall within the scope of

“applicable Federal laws,” even if the Certification Condition stands. Thus, by relying on the

validity of the condition here to suggest that Section 1373 is constitutional as applied, the panel

engages in circular reasoning and evades the ultimate issue.

       Every other court to have considered the issue post-Murphy reached the correct

conclusion: Section 1373 violates the Tenth Amendment and is unconstitutional, even as applied

to the situation at hand. See City of Philadelphia v. Sessions, 309 F. Supp. 3d 289, 331 (E.D. Pa.

2018); City of Chicago v. Sessions, 321 F. Supp. 3d 855, 872 (N.D. Ill. 2018); City & County of

San Francisco v. Sessions, 349 F. Supp. 3d 924, 953 (N.D. Cal. 2018); cf. United States v.

California, 314 F. Supp. 3d 1077, 1101 (E.D. Cal. 2018).

       For the reasons given above and found in the opinions of our sister circuits, I respectfully

dissent from the denial of rehearing en banc. Perhaps the Appellees will find the relief they seek

at the Supreme Court.




                                                 15
KATZMANN, Chief Judge, dissenting from the denial of rehearing en banc:

      I am usually reluctant to vote in favor of rehearing en banc, informed by

the institutional experience of our Circuit and the explicit policy of the Federal

Rules that en banc rehearing is ordinarily “not favored.” Fed. R. App. P. 35(a).

That institutional experience is one of general deference to panel adjudication—a

deference which holds whether or not the judges of the Court agree with the

panel’s disposition of the matter before it. Thus, although I disagree with the

panel’s decision for the reasons stated by Judge Pooler and Judge Lohier, in the

vast majority of cases I would have joined those of my colleagues who have

voted against rehearing despite such disagreements with the panel’s opinion.

      Nevertheless, this is a rare case in which I respectfully believe we should

have granted rehearing en banc. Judge Pooler and Judge Lohier have described

in compelling detail why the panel’s statutory analysis was mistaken. I write

separately to highlight additionally that the panel did not adhere to the normal

rules of appellate litigation to reach this result. In short, the panel reversed the

district court’s grant of partial summary judgment in favor of Plaintiffs based on

legal arguments that Defendants either had not made, had abandoned, or had

even expressly disavowed. Few principles are better established in our Circuit
than the rule that “arguments not made in an appellant’s opening brief are

waived even if the appellant pursued those arguments in the district court.” JP

Morgan Chase Bank v. Altos Hornos de Mexico, S.A. de C.V., 412 F.3d 418, 428 (2d

Cir. 2005); see Knipe v. Skinner, 999 F.2d 708, 711 (2d Cir. 1993). The panel opinion

does not explain why a departure from this principle was warranted in this case,

and I cannot see why it was.

       As Judge Pooler and Judge Lohier each note, most of the substantive

statutory issues here have been discussed at length by our sister Circuits, all of

which persuasively differ from the panel’s interpretations. 1 Those discussions



1        With respect to the Notice Condition, Judge Ikuta’s opinion for the Ninth Circuit,
joined by Judge Bybee, demonstrates the deficiency in the panel’s conclusion that the
provision referring to “programmatic” information authorizes a condition requiring
real-time reporting of information unrelated to a program funded by a Byrne JAG
grant. City of Los Angeles v. Barr, 941 F.3d 931, 944–45 (9th Cir. 2019). So does Judge
Selya’s opinion for the First Circuit, joined by Justice Souter and Judge Barron, City of
Providence v. Barr, 954 F.3d 23, 35–36 (1st Cir. 2020), and Judge Rendell’s opinion for the
Third Circuit, joined by Judges Ambro and Scirica, City of Philadelphia v. Attorney General
of U.S., 916 F.3d 276, 285 (3d Cir. 2019).
         The panel’s conclusion that the Access Condition is authorized by the statutory
language requiring a certification “that there has been appropriate coordination with
affected agencies” has been rejected in persuasive discussions by the First, Third, and
Ninth Circuits. See City of Providence, 954 F.3d at 33 (“The text of the provision itself
belies this jerry-built justification.”); City of Los Angeles, 941 F.3d at 945 (the statutory
language neither “support[s] DOJ’s interpretation that a recipient must coordinate with
DHS agents who are not part of a funded program” nor authorizes the imposition of
“an ongoing obligation on the applicant to coordinate with DHS agents throughout the
life of the grant”); City of Philadelphia, 916 F.3d at 285 (given Congress’s choice of verb



                                             2
illustrate well why the panel was mistaken to conclude that the Byrne JAG

statute itself required the challenged conditions. But the panel also concluded

that the Byrne JAG statute confers “considerable” discretion upon the Attorney

General to set the substantive conditions for a successful grant application

beyond those specifically required by the statute. New York v. Dep’t of Justice, 951

F.3d 84, 103 (2d Cir. 2020); see id. at 103 n.18. 2 To reach this conclusion, the panel

adopted two novel arguments that set its reasoning further apart from that of the

other Circuits: first, that the Attorney General has discretion to impose




tense, language requiring certification that there “has been” appropriate coordination
“does not serve as a basis to impose an ongoing requirement to coordinate on matters
unrelated to the use of grant funds”).
        Our sister Circuits also cogently disagree with the panel’s interpretation of the
language “all other applicable federal laws” as authorizing the Certification Condition,
City of Providence, 954 F.3d at 36–39; City of Philadelphia, 916 F.3d at 288–91. Judge
Rovner’s opinion for the Seventh Circuit, joined by Judge Bauer, further explains why
the panel’s interpretation of “all other applicable laws” creates serious constitutional
problems. City of Chicago v. Barr, 961 F.3d 882, 906–08 (7th Cir. 2020) (“Congress, under
its spending power, can attach only conditions that “bear some relationship to the
purpose of the federal spending,” and the universe of all federal laws as promoted by
the Attorney General would necessarily include many laws that fail to meet that
standard[,] . . . rendering the conditions ambiguous.”); see id. at 933 (Manion, J.,
concurring in the judgment) (agreeing with and emphasizing this point).

2      This aspect of the panel’s decision is concerning for the additional reason,
helpfully explained by a group of former grant administrators as amici curiae, that it
transforms the mandatory formula grant program Congress enacted into a
discretionary one. See Br. of Former Grant Administrators as Amici Curiae Supporting
Plaintiffs-Appellees and Supporting Rehearing En Banc at 2–12.

                                            3
substantive conditions on grant recipients under various provisions of the Byrne

JAG statute conferring authority over the “form” of an application, and second,

that the Attorney General has such discretion under 34 U.S.C. § 10155, the

provision conferring general rulemaking authority to carry out the Byrne JAG

program. See New York, 951 F.3d at 104–05, 116–17, 121–22. Neither argument

was properly raised on appeal.

      First, the panel holds that several provisions of the Byrne JAG statute, each

authorizing the Attorney General to determine the “form” of an applicant’s

required certifications or assurances, delegates to the Attorney General the

authority to fashion conditions on the receipt of Byrne JAG funds not already

specified in the Byrne JAG statute. According to the panel, the Attorney

General’s authority is “evident in the requirement that Byrne grant applicants

provide certification in a ‘form acceptable to the Attorney General.’” New York,

951 F.3d at 105 (quoting 34 U.S.C. § 10513(a)(5)). 3




3      In my view, the better interpretation of the statutory text is that Congress
delegated authority only over the “form” of the certifications and assurances necessary
for a Byrne JAG application, not their content. Without the benefit of adversarial
briefing, the panel reached the opposite conclusion on the basis of a single dictionary
definition. Relying on that dictionary definition, the panel concludes that the word
“form” in this context refers to the document on which an applicant must provide any



                                           4
       The panel thought this question worthy of “only brief discussion,”

characterizing it as “not seriously disputed.” 951 F.3d at 104. If that is an accurate

description, it is only because Defendants had abandoned the argument the

panel adopted. Defendants had argued the point in the district court, see Defs.’

Mem. of Law at 19, New York v. Dep’t of Justice, No. 1:18-CV-6474 (ER) (S.D.N.Y.

Sept. 14, 2018), ECF No. 51. But the district court reached precisely the opposite

conclusion in its well-reasoned opinion. See New York v. Dep’t of Justice, 343 F.

Supp. 3d 213, 230 (S.D.N.Y. 2018). And the State Appellees defended that

conclusion in clear terms on appeal. Br. of Appellees State of New York, et al., at

34 (“As the district court explained, the Byrne JAG statute’s grant of authority to




requested information, and thereby concludes that Congress’s choice of the word
“form” was in fact meant to confer authority over an application’s substance.
       Dictionary definitions can be useful in interpreting statutory language, especially
when trying to ascertain the meaning of a specialized term, or a term of art, or a word’s
usage at the time of the law’s enactment. But because interpretive challenges often arise
from the way a particular word is used in the context of the provision or statute as a
whole, dictionaries are often less helpful in addressing them than we might hope. And
in some cases “dictionaries must be used as sources of statutory meaning only with
great caution.” United States v. Costello, 666 F.3d 1040, 1043 (7th Cir. 2012) (Posner, J.).
That is not only because “[d]ictionary definitions are acontextual,” unlike statutory
language, id. at 1044, but also because dictionary definitions—particularly dictionary
definitions of common words—can supply a judge with many possible meanings and
no reasoned basis to choose among them. We have referred to Judge Posner’s
discussion as “helpful cautionary advice,” United States v. Bove, 888 F.3d 606, 608 n.5 (2d
Cir. 2018) (Cabranes, J.), and I think that advice would have been well followed here
with respect to the panel’s interpretation of the word “form.”

                                             5
the Attorney General to prescribe the form of Byrne JAG applications and

certifications, see 34 U.S.C. § 10153(a), cannot reasonably be construed as

authorization to dictate substantive eligibility requirements beyond those set forth

by Congress.”). On appeal, Defendants argue that the statute itself makes

certification of compliance with Section 1373 a condition of any Byrne JAG

application, on the theory that Section 1373 is an “applicable Federal law,” but do

not argue that the Attorney General has the authority to “identify” Section 1373

as an “applicable” law by virtue of his authority over the “form” of an

application, or otherwise has discretion to impose conditions in addition to those

imposed by the statute. See Br. of Appellants at 26–27. The panel’s brief

discussion does not mention this history, or explain why it should not lead to the

conclusion that Defendants had abandoned this particular argument.

      Second, the panel also concluded that the Attorney General possessed

additional authority to impose the Notice and Access Conditions pursuant to his

authority, codified at 34 U.S.C. § 10155, to “issue rules to carry out” the Byrne

JAG program. See New York, 951 F.3d at 116–17, 121–22. Whether or not the

challenged conditions could be valid exercises of that authority, Defendants did

not assert the Attorney General’s Section 10155 rulemaking authority as a basis




                                         6
for the challenged conditions either in the district court or on appeal. See Defs.’

Mem. of Law, ECF No. 51; Br. for Appellants. I do not think the panel should

have adopted it under the well-settled principles I have discussed above. See JP

Morgan Chase Bank, 412 F.3d at 428; Knipe, 999 F.2d at 711. Having reached out to

consider this argument, however, the panel should have stopped short again,

because Defendants had already expressly stated to one of our sister Circuits that

the challenged conditions were not promulgated as an exercise of the Attorney

General’s Section 10155 rulemaking authority. See Oral Arg. at 5:17–5:31, City &

Cty. of San Francisco v. Barr, No. 18-17308 (9th Cir. Dec. 2, 2019), available at

https://www.ca9.uscourts.gov/media/view_video.php?pk_vid=0000016625.

                                          ***

      For the panel to rely on two legal bases for the challenged conditions that

Defendants have not offered—and in one case, have disavowed—is especially

troubling in the context of this case. As the Seventh Circuit has documented, “the

Attorney General has presented the courts with one statutory ‘authorization’

after another for the decision to withhold all Byrne JAG funding from sanctuary




                                            7
cities.” City of Chicago, 961 F.3d at 920. In my view, there was no reason for the

panel to add to that mix two arguments that were never presented to this Court. 4

       Considering only the arguments presented by the parties in this case, I

would interpret the Byrne JAG statute as Judge Pooler lays out. If the Attorney

General was without discretion (or did not exercise what discretion he has) to

impose the challenged conditions, then, as Judge Pooler explains, the challenged

conditions can survive a Spending Clause challenge only if the statute imposes

them unambiguously. For the reasons explained by Judge Pooler and Judge

Lohier, it does not. To be sure, I believe Judge Pooler’s reading of the statute is

the better one on its own terms, but those who find the statutory language



4       Judge Cabranes downplays the panel’s reliance on these two unpreserved
arguments as unremarkable or unworthy of en banc review. Ante at 3–4 n.8 (Cabranes,
J., concurring in the denial of rehearing en banc). With utmost respect, I disagree. In
both cases, the panel read the statute to confer discretion on the Attorney General that
the Attorney General either had not claimed, had not exercised, or both. That
conclusion was of special significance to this litigation, because if the statute itself was
the only basis for the challenged conditions—rather than the Attorney General’s
exercise of discretion conferred by the statute—then the statute’s language must
independently live up to the Spending Clause’s requirement that conditions on federal
funds be “unambiguous[].” Pennhurst State Sch. & Hosp. v. Halderman, 451 U.S. 1, 17
(1981). Thus, as Judge Pooler explains, “the fact that the DOJ ‘unambiguously’ sets out
the grant requirements is of no moment, because the conditions are to be set by
Congress.” Ante at 8 (Pooler, J., dissenting from the denial of rehearing en banc); see Br.
of Former Grant Administrators as Amici Curiae at 2 (“The defining characteristic of a
mandatory grant is that Congress, not the agency, determines who receives grant funds
and in what amount.”). In my view, the statutory analysis set forth by Judge Pooler and
the considerations noted in this dissent should have led us to rehear this case en banc.

                                             8
ambiguous should conclude that the challenged conditions cannot be imposed

on Plaintiffs consistent with the Constitution.

      As Judge Cabranes has rightly observed, and as Judge Lohier’s opinion

makes manifest, “the decision not to convene the en banc court does not

necessarily mean that a case either lacks significance or was correctly decided.

Indeed, the contrary may be true.” United States v. Taylor, 752 F.3d 254, 256 (2d

Cir. 2014) (Cabranes, J., dissenting from the denial of rehearing en banc). For the

reasons stated by Judge Pooler and Judge Lohier, I believe the contrary is true

here. Indeed, I share my colleagues’ view that this case is of exceptional

importance, see ante at 8 n.5 (Lohier, J., concurring in the denial of rehearing en

banc); ante at 3 (Pooler, J., dissenting from the denial of rehearing en banc), a

view that Judge Cabranes all but endorses in his concurring opinion, see ante at 1

(Cabranes, J., concurring in the denial of rehearing en banc).

      All of my participating colleagues also seem to agree that Supreme Court

review is now inevitable. See ante at 5 (Cabranes, J., concurring in the denial of

rehearing en banc); ante at 8 (Lohier, J., concurring in the denial of rehearing en

banc); ante at 15 (Pooler, J., dissenting from the denial of rehearing en banc). Of




                                          9
course, that will be for the Supreme Court to decide. Now that our Court has

declined to rehear this case, I hope my colleagues are right.

      For these reasons, I respectfully dissent from today’s order denying

rehearing en banc.




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