                             UNITED STATES DISTRICT COURT
                             FOR THE DISTRICT OF COLUMBIA


CAPITAL AREA IMMIGRANTS’ RIGHTS
COALITION et al.,

               Plaintiffs,
                                                        Civil Action No. 19-2117 (TJK)
        v.

DONALD J. TRUMP et al.,

               Defendants.


I.A. et al.,

               Plaintiffs,

        v.                                              Civil Action No. 19-2530 (TJK)

WILLIAM P. BARR et al.,

               Defendants.


                                   MEMORANDUM OPINION

        Plaintiffs in these related cases are immigrant-services organizations and individual

asylum applicants. They challenge an interim final rule that significantly changes the United

States’ asylum procedures. The rule categorically disqualifies aliens arriving at the southern

border from receiving asylum unless they have already unsuccessfully sought similar protection

in another country on their way here. Plaintiffs allege that the rule is unlawful for several

reasons, including that it is contrary to the Immigration and Nationality Act and the Trafficking

Victims Protection Reauthorization Act, is arbitrary and capricious, and was issued without

notice-and-comment procedures required under the Administrative Procedure Act (APA).

Plaintiffs in the first-filed case, CAIR, also allege that the rule violates asylum applicants’ Fifth
Amendment due process rights. Defendants argue that this case is largely not justiciable, in part

because the organizations lack standing, which deprives the Court of subject-matter jurisdiction

over their claims.

       Plaintiffs in CAIR moved for a temporary restraining order when they filed their

complaint. At that time, Plaintiffs in that case included only nonprofit immigrant-services

organizations. The Court denied their motion because they had not shown that, absent

preliminary relief, they would suffer irreparable harm just because the rule would make it harder

to serve asylum seekers. Those organizations then amended their complaint to add individual

asylum applicants as plaintiffs and moved for a preliminary injunction. At about the same time,

Plaintiffs in I.A.—a similar immigrant-services organization and individual asylum applicants as

well—filed their suit and also moved for a preliminary injunction. After the Court consolidated

the cases, all the parties jointly asked the Court to convert the motions for preliminary relief and

the related briefing into cross-motions for summary judgment.

       The Court holds that it has subject-matter jurisdiction over the claims brought by at least

one organizational Plaintiff in each case. It also holds that Defendants unlawfully promulgated

the rule without complying with the APA’s notice-and-comment requirements, because neither

the “good cause” nor the “foreign affairs function” exceptions are satisfied on the record here.

The Court thus need not reach Plaintiffs’ other claims concerning the validity of the rule. The

Court will grant Plaintiffs’ motions for summary judgment, deny Defendants’ cross-motions, and

vacate the rule.




                                                  2
       Background

       A.      The Immigration and Nationality Act

       The Immigration and Nationality Act (INA), 8 U.S.C. § 1101 et seq., governs much of

the United States’ immigration system. Two portions of it are relevant to this case: the standards

applied to asylum applications, and the procedures for expedited removal.

               1.      Asylum

       “Asylum is a form of discretionary relief that allows an otherwise removable alien who

qualifies as a refugee to remain in the United States.” O.A. v. Trump, 404 F. Supp. 3d 109, 118

(D.D.C. 2019). Asylum provides individuals who qualify several distinct benefits: a path to

citizenship, eligibility for certain government benefits, and the chance for family members to

receive asylum as well. Asylum Eligibility and Procedural Modifications, 84 Fed. Reg. 33,829,

33,832 (July 16, 2019). There are other forms of relief granting removable aliens the right to

stay in this country on humanitarian grounds, but none confer those same advantages. Id.

       Under the INA, any person physically in the United States may apply for asylum.

8 U.S.C. § 1158(a)(1). A person may file that application while she is in removal proceedings or

independently. See id. §§ 8 U.S.C. 1225(b)(1)(A)(i), 1229a(c)(4). The former is sometimes

called a defensive application and the latter an affirmative application. O.A., 404 F. Supp. 3d at

121. Some persons are categorically ineligible for asylum, and several such categories are

defined by statute in the INA. See 8 U.S.C. § 1158(b)(2)(A). For example, an alien is ineligible

if she committed certain crimes, is a danger to the community, or was firmly resettled in another

country before arrival in the United States.1 Id. Assuming an applicant is not ineligible for some



1
 Additionally, as discussed below, the INA allows the Attorney General to create additional
categories of ineligibility. 8 U.S.C. § 1158(b)(2)(C).



                                                 3
reason, under the INA, asylum may be granted only to an applicant physically present in the

United States who is a “refugee,” i.e., someone with “a well-founded fear of persecution on

account of race, religion, nationality, membership in a particular social group, or political

opinion.” Id. § 1158(a)(1), (b)(1)(A); id. § 1101(a)(42)(A).

       After a person applies for asylum, she receives an interview with an asylum officer. Id.

§ 1225(b)(1)(A)(ii), (B). That officer determines whether the person is eligible for asylum—that

is, first, whether she is categorically ineligible and, if not, second, whether she may be a refugee.

Id. § 1158(b)(1)(A), (B)(i). The latter determination involves deciding whether the applicant has

a “credible fear of persecution,” which exists when “there is a significant possibility” that a

person is a refugee. Id. § 1225(b)(1)(B)(v).2 If after interviewing the applicant the officer

determines that she has a credible fear of persecution, the applicant may be granted asylum in a

subsequent proceeding if an immigration judge finds that she is a “refugee” under the statute. Id.

§ 1158(b)(1); 8 C.F.R. § 208.30(f). On the other hand, if the applicant is either ineligible or does

not show a credible fear, the asylum officer enters a “negative credible fear determination.” See

8 C.F.R. § 208.30(g)(1). The applicant may appeal that determination to an immigration judge.

Id. § 208.30(g)(2); see also 84 Fed. Reg. at 33,837–38. But as described below, if the

immigration judge agrees with the asylum officer, the applicant is issued a final order of

removal. 8 C.F.R. § 1208.30(g)(2)(iv)(A).




2
  The Supreme Court has explained that an individual can qualify for asylum if she demonstrates
a ten percent likelihood that she will be persecuted on the basis of race, religion, nationality,
social group, or political opinion. INS v. Cardoza-Fonseca, 480 U.S. 421, 430–32, 439–40
(1987); see also O.A. v. Trump, 404 F. Supp. 3d 109, 120 n.3 (D.D.C. 2019). Thus, at the initial
interview stage, an asylum applicant “need only show a ‘significant possibility’ of a one in ten
chance of persecution, i.e., a fraction of ten percent.” Grace v. Whitaker, 344 F. Supp. 3d 96,
127 (D.D.C. 2018) (citation omitted).



                                                  4
       An applicant found ineligible for asylum may pursue other, more difficult avenues to

avoid removal from the United States. First, she may seek withholding of removal under Section

241(b)(3) of the INA. See 8 U.S.C. § 1231(b)(3); 84 Fed. Reg. at 33,834. Doing so, however,

requires her to prove to an immigration judge that “it is more likely than not” that she would be

persecuted on a protected ground. 8 C.F.R. § 1208.16(b)(2). Second, she may seek protection

under the regulations implementing Article 3 the Convention Against Torture and Other Cruel,

Inhuman or Degrading Treatment or Punishment (CAT). See Foreign Affairs Reform and

Restructuring Act of 1998, Pub. L. No. 105–277, § 2242(b), 112 Stat. 2681; 84 Fed. Reg. at

33,834. But doing so requires her to show that “it is more likely than not that he or she would be

tortured if removed to the proposed country of removal.” 8 C.F.R. § 1208.16(c)(2).

       As a result, these alternative paths ultimately require “a more substantial showing” than

the standard in asylum cases. O.A., 404 F. Supp. 3d at 120. And on either path, an immigration

officer performing an initial screening interview must use a more demanding standard than in

asylum cases—whether the alien has “a reasonable fear of persecution or torture,” 8 C.F.R.

§ 208.30(e)(5)—which is satisfied only “if the alien establishes a reasonable possibility that he or

she would be persecuted” because of a protected ground, id. § 208.31(c). See also 84 Fed. Reg.

at 33,837 (explaining that the reasonable-fear screening standard is more demanding than the

credible-fear standard applicable in asylum cases). Moreover, relief under either of these paths

“does not preclude the government from removing the alien to a third country where the alien

would not face persecution, does not establish a pathway to lawful permanent resident status and

citizenship, and does not afford derivative protection for the alien’s family members.” O.A., 404

F. Supp. 3d at 120.




                                                 5
               2.      Expedited Removal

       The INA sets up two types of removal proceedings: regular, under 8 U.S.C. § 1229a, and

expedited, under 8 U.S.C. § 1225. See Illegal Immigration Reform and Immigrant

Responsibility Act of 1996 (IIRIRA), Pub. L. No. 104-208, Div. C, 110 Stat. 3009-546. The

latter applies only to certain classes of individuals, including those who are screened out of the

process by asylum officers. Expedited removal proceeds very quickly. As noted above, if an

asylum officer enters a “negative credible fear determination” after interviewing an asylum

applicant, the applicant may appeal that determination to an immigration judge. 8 C.F.R.

§ 208.30(g); id. § 1208.30(g). But if the immigration judge agrees with the asylum officer, the

applicant is given a final order of removal. Id. § 1208.30(g)(2)(iv)(A). The entire process, by

statute, takes no more than seven days. 8 U.S.C. § 1225(b)(1)(B)(iii)(III).

       Another feature of expedited removal is the limited availability of judicial review.

Congress in the IIRIRA significantly curtailed federal courts’ jurisdiction to review challenges to

an individual’s order of removal from expedited removal proceedings. See generally 8 U.S.C.

§ 1252. And the IIRIRA includes several “channeling rules” which consolidate before the courts

of appeals challenges that either seek review of a removal order or that involve questions arising

from a removal action or proceeding. Id. § 1252(a)(5), (b)(9); see also O.A., 404 F. Supp. 3d at

126–38.

       B.      The Rule

       Last year, the Departments of Justice and Homeland Security (“Departments”) jointly

published an interim final rule entitled “Asylum Eligibility and Procedural Modifications,” 84

Fed. Reg. 33,829 (July 16, 2019) (“Rule”). As discussed above, the INA authorizes the Attorney

General to “by regulation establish additional limitations and conditions, consistent with this

section, under which an alien shall be ineligible for asylum.” 8 U.S.C. § 1158(b)(2)(C). Relying


                                                 6
on this provision, the Rule renders aliens seeking to enter the United States at its southern border

categorically ineligible for asylum unless they first applied for similar protection in a third

country they transited through (other than the country they fled) and were rejected there. 84 Fed.

Reg. at 33,835.3 The Rule does not limit an alien’s ability to seek withholding of removal under

either Section 241(b)(3) of the INA or the CAT. 84 Fed. Reg. at 33,834. But its categorical bar

on asylum eligibility applies to adults and unaccompanied minors alike. See 84 Fed. Reg. at

33,839 n.7.

       When issuing the Rule, the Departments explained that it is intended to curb the strain on

the United States’ immigration system “by more efficiently identifying aliens who are misusing

the asylum system to enter and remain in the United States rather than legitimately seeking

urgent protection from persecution or torture.” Id. at 33,831. It also “aims to further the

humanitarian purposes of asylum.” Id. According to the Departments, the Rule will deter aliens

whose claims lack merit and will instead prioritize those who have no other options or have

experienced more extreme forms of human trafficking. Id. The Rule also seeks to combat

human smuggling by diminishing “the incentive for aliens without an urgent or genuine need for

asylum to cross the border.” Id. And the Departments add that the Rule “will better position the

United States as it engages in ongoing diplomatic negotiations with Mexico and the Northern

Triangle countries.” Id.




3
 The Rule excludes: (1) an alien who, while in transit to the United States, applied for and was
denied protection for individuals fleeing persecution or torture; (2) an alien who is a “victim of a
severe form of human trafficking,” 8 C.F.R. § 214.11; or (3) an alien who transited only through
“a country or countries that were not parties to the 1951 Convention relating to the Status of
Refugees, the 1967 Protocol, or the CAT.” Asylum Eligibility and Procedural Modifications, 84
Fed. Reg. 33,829, 33,835 (July 16, 2019).



                                                  7
       The Rule took effect the day it was published. Id. at 33,830. The Departments invoked

two exceptions to the APA’s usual requirements that regulations be published at least 30 days

before they take effect and that the public be offered the opportunity to comment, 5 U.S.C. § 553

(b)–(d). According to the Departments, dispensing with the notice-and-comment period was

“essential to avoid a surge of aliens who would have strong incentives to seek to cross the border

during pre-promulgation notice and comment or during the 30-day delay in the effective date.”

84 Fed. Reg. at 33,841. Separately, they claimed that the Rule “involves a ‘foreign affairs

function of the United States,’” id. (citation omitted), and therefore was exempt from notice-and-

comment procedures, 5 U.S.C. § 553(a)(1). All the same, the Departments invited interested

persons to submit comments that they represented would “be considered and addressed in the

process of drafting the final rule.” 84 Fed. Reg. at 33,830. To date, the Departments have not

promulgated a final rule.

       C.      Procedural History

       Capital Area Immigrants’ Rights Coalition (CAIR) and the Refugee and Immigrant

Center for Education and Legal Services filed the first of these two actions, challenging the Rule

on the same day it took effect. Capital Area Immigrants’ Rights Coal. (CAIR) v. Trump, No. 19-

cv-2117, ECF No. 1 (D.D.C. July 16, 2019). They immediately moved for a temporary

restraining order. CAIR ECF No. 3. About a week later, the Court denied their motion. See

CAIR, 2019 WL 3436501, at *4 (D.D.C. July 24, 2019). As the Court explained, Plaintiffs at

that time, both of which were organizations, had failed to show that the Rule would irreparably

harm them. Id. at *1–3. The Court also emphasized that Plaintiffs were not individual asylum

seekers facing immediate removal. Id. at *2–3.

       Later, Plaintiffs in CAIR filed an amended complaint adding as new plaintiffs nine

individuals and one additional organization. See CAIR ECF No. 37 (“CAIR Compl.”). The


                                                 8
individual Plaintiffs, proceeding under pseudonyms, see CAIR ECF No. 36, are women and

children who fled persecution and violence in Central America, Cuba, and Angola and transited

through Mexico without applying for asylum there before crossing the United States’ southern

border after the Rule took effect. CAIR Compl. ¶¶ 13–63. The organizational Plaintiffs remain

immigrant-services nonprofits that assist asylum seekers in the United States. Id. ¶¶ 64–66.

These Plaintiffs name as Defendants President Donald J. Trump, Attorney General William P.

Barr, Acting Secretary of Homeland Security Chad F. Wolf,4 and related government agencies

and leaders. Id. ¶¶ 67–79. About a month after the Rule was promulgated, the Tahirih Justice

Center (“Tahirih”), another immigrant-services organization, and another group of individual

asylum seekers brought a similar challenge to the Rule against most of the same defendants. I.A.

v. Barr, No. 19-cv-2530, ECF No. 1 (D.D.C. Aug. 21, 2019). The I.A. Plaintiffs later filed an

amended complaint adding more asylum seekers. See I.A. ECF No. 23 (“I.A. Compl.”).5

       Plaintiffs in these cases bring mostly the same claims. They contend that the Rule

violates the APA because it contradicts the INA and the Trafficking Victims Protection

Reauthorization Act (TVPRA); is arbitrary and capricious for several reasons; and that the

Departments issued it without the required notice-and-comment procedures. CAIR Compl.

¶¶ 224–47, 256–63; I.A. Compl. ¶¶ 126–40. Plaintiffs in the CAIR suit also allege that the Rule

violates asylum seekers’ Fifth Amendment due process rights. CAIR Compl. ¶¶ 248–55.




4
 Upon assuming office in November 2019, Chad Wolf was automatically substituted for Kevin
McAleenan under Federal Rule of Civil Procedure 25(d).
5
  The individual Plaintiffs in both cases, in accompanying declarations filed under seal, represent
that they are fleeing threats of political persecution, severe violence, or death, and they state that
they would fear for their own safety and that of their families if their names were disclosed as a
result of their participation in this lawsuit. See CAIR ECF No. 36; I.A. ECF No. 26.



                                                  9
       Plaintiffs in both cases moved for a preliminary injunction on the same day. CAIR ECF

No. 41; I.A. ECF No. 6. But after the Supreme Court stayed a nationwide injunction entered in

the Northern District of California, see Barr v. East Bay Sanctuary Covenant, 140 S. Ct. 3

(2019), the parties jointly requested that the Court convert their motions and the responsive

briefing into cross-motions for summary judgment. See CAIR ECF No. 50; see also Minute

Orders of Sept. 18, 2019.

       D.      East Bay Sanctuary Covenant Litigation

       The same day the Rule was issued, another group of immigrant-services organizations

challenged the Rule in the Northern District of California. See Complaint, East Bay Sanctuary

Covenant v. Barr, No. 19-cv-4073-JST (N.D. Cal. July 16, 2019). 6 The plaintiffs in that case

moved the next day for a temporary restraining order, which the district court converted to a

motion for a preliminary injunction. East Bay Sanctuary Covenant v. Barr, 385 F. Supp. 3d 922,

935–36 (N.D. Cal. 2019). A week later, the district court in that case entered a nationwide

injunction barring the defendants from implementing the Rule. Id. at 960. The defendants

moved for a stay pending appeal, which the Ninth Circuit granted in part. East Bay Sanctuary

Covenant v. Barr, 934 F.3d 1026, 1028 (9th Cir. 2019). Specifically, the Ninth Circuit narrowed

the injunction’s scope to apply only within that circuit. Id. It also held that while it considered

the appeal, the district court retained jurisdiction “to further develop the record in support of a

preliminary injunction extending beyond the Ninth Circuit.” Id. at 1030–31. A few weeks later,

the district court restored the nationwide scope of the injunction. East Bay Sanctuary Covenant


6
  The East Bay Sanctuary Covenant litigation challenging the Rule is separate from other
similarly named litigation challenging a different asylum-related rulemaking. See East Bay
Sanctuary Covenant v. Trump, 354 F. Supp. 3d 1094 (N.D. Cal. 2018) (challenging a regulation
issued by the Departments that, together with a presidential proclamation, effectively barred
asylum for any alien who did not enter the United States at a designated port of entry).



                                                  10
v. Barr, 391 F. Supp. 3d 974, 985 (N.D. Cal. 2019). The defendants then applied to the Supreme

Court for a stay of the district court’s injunction. See Barr v. East Bay Sanctuary Covenant, 140

S. Ct. 3 (2019). The Supreme Court granted the application and stayed the district court’s

injunction pending appeal. Id. The Ninth Circuit has since affirmed the district court’s

nationwide preliminary injunction. East Bay Sanctuary Covenant v. Trump, 950 F.3d 1242 (9th

Cir. 2020).

       Legal Standard

       Summary judgment is usually appropriate “if the pleadings, the discovery and disclosure

materials on file, and any affidavits [or declarations] show that there is no genuine issue as to any

material fact and that the movant is entitled to a judgment as matter of law.” Air Transp. Ass’n.

of Am. v. Nat’l Mediation Bd., 719 F. Supp. 2d 26, 31–32 (D.D.C. 2010) (alteration in original)

(citation omitted), aff’d, 663 F.3d 476 (D.C. Cir. 2011). In “a case involving review of a final

agency action under the Administrative Procedure Act, 5 U.S.C. § 706, however, the Court’s role

is limited to reviewing the administrative record, so the standard set forth in Rule 56[] does not

apply.” Id. at 32. In such cases, summary judgment “serves as the mechanism for deciding, as a

matter of law, whether the agency action is supported by the administrative record and otherwise

consistent with the APA standard of review.” Cottage Health Sys. v. Sebelius, 631 F. Supp. 2d

80, 90 (D.D.C. 2009).7




7
  Plaintiffs argue—and Defendants contest—that the Court may consider evidence outside the
administrative record. See CAIR ECF No. 59 at 1–2; I.A. ECF No. 50 at 10; CAIR ECF No. 58;
I.A. ECF No. 48 (“Defs.’ Supp. Br.”). The Court need not decide this question because it finds
the Rule procedurally deficient based only on the information in the administrative record.



                                                 11
        Analysis

       As described above, Plaintiffs allege that the Rule is unlawful for several reasons, and

Defendants argue, as a threshold matter, that the Court lacks subject-matter jurisdiction over the

organizational Plaintiffs’ claims. First, as it must, the Court considers Defendants’ justiciability

arguments and concludes that at least one organizational Plaintiff in each case has standing, and

that their claims fall within the INA’s zone of interests. Second, the Court turns to Plaintiffs’

claims and holds that because Defendants unlawfully failed to comply with the APA’s notice-

and-comment requirements, the Rule must be vacated. For that reason, it need not consider

Plaintiffs’ other challenges to the Rule. See Nat’l Family Planning & Reprod. Health Ass’n v.

Sullivan, 979 F.2d 227, 241 (D.C. Cir. 1992).

       A.      Justiciability

       Defendants advance several challenges to the Court’s power to hear this case. With

respect to the organizational Plaintiffs in both cases, Defendants argue that: (1) they lack

standing to sue, and (2) their claims fall outside the relevant zone of interests. The Court

addresses each in turn. Because the Court finds that at least one organization in each case has

standing, it need not consider whether the individual Plaintiffs also have standing. Town of

Chester v. Laroe Estates, Inc., 137 S. Ct. 1645, 1651 (2017). For the same reason, the Court also

need not consider whether the INA’s complex jurisdiction stripping and channeling provisions—

which largely apply to individual aliens’ challenges that either seek review of a removal order or

involve questions arising from a removal action or proceeding, see O.A., 404 F. Supp. 3d at 126–

38—divest the Court of jurisdiction. Indeed, the Defendants do not even appear to argue that

these jurisdictional provisions apply to the organizational Plaintiffs, which are seeking to

vindicate their own rights under the APA.




                                                 12
               1.      Standing

       An organization may assert standing “on its own behalf, on behalf of its members or

both.” Equal Rights Ctr. v. Post Props., Inc., 633 F.3d 1136, 1138 (D.C. Cir. 2011). Here, the

organizational Plaintiffs in both CAIR and I.A. argue they have standing based on their own

interests. See CAIR ECF No. 22 at 3–5; I.A. ECF No. 6 at 10–11. The Court must therefore

determine whether they have shown an “actual or threatened injury in fact that is fairly traceable

to the alleged illegal action and likely to be redressed by a favorable court decision.” Equal

Rights Ctr., 633 F.3d at 1138 (quoting Spann v. Colonial Vill., Inc., 899 F.2d 24, 27 (D.C. Cir.

1990)). The Court’s standing inquiry is slightly different when a plaintiff seeks to vindicate a

procedural right, such as having been unlawfully denied the opportunity to comment on a

proposed rule. See Mendoza v. Perez, 754 F.3d 1002, 1010 (D.C. Cir. 2014). Specifically, “a

plaintiff asserting a procedural violation must show ‘a causal connection between the

government action that supposedly required the disregarded procedure and some reasonably

increased risk of injury to its particularized interest.’” Iyengar v. Barnhart, 233 F. Supp. 2d 5,

12–13 (D.D.C. 2002) (quoting Fla. Audubon Soc’y. v. Bentsen, 94 F.3d 658, 664 (D.C. Cir.

1996)). A plaintiff asserting such a violation need not, however, show that the agency would

have acted any differently. Mendoza, 754 F.3d at 1010. Yet even in the context of a procedural

injury, “the injury in fact requirement is a hard floor of Article III jurisdiction that cannot be

altered by statute.” Ctr. for Biological Diversity v. EPA, 861 F.3d 174, 183 (D.C. Cir. 2017).

Once a plaintiff clears that hurdle, though, “the normal standards for immediacy and

redressability are relaxed.” Mendoza, 754 F.3d at 1010.

       The organizational Plaintiffs “bear[] the burden of establishing these elements,” which

they must support “with the manner and degree of evidence required at the successive stages of

the litigation.” Lujan v. Defs. of Wildlife, 504 U.S. 555, 561 (1992). At summary judgment, a


                                                  13
plaintiff “must ‘set forth’ by affidavit or other evidence ‘specific facts,’ . . . which for purposes

of the summary judgment motion will be taken to be true.” Id. But when evaluating standing,

the Court must assume that the organizational Plaintiffs would prevail on the merits of their

claims. Conference Grp., LLC v. FCC, 720 F.3d 957, 962 (D.C. Cir. 2013). Additionally, “[a]t

least one plaintiff must have standing to seek each form of relief requested in the complaint.”

Town of Chester, 137 S. Ct. at 1651.

       Defendants argue that the organizational Plaintiffs in both cases lack standing because

they have not suffered a legally cognizable injury. To satisfy the injury-in-fact requirement, an

organization must allege that it suffered a “concrete and demonstratable injury to [its]

activities—with the consequent drain on [its] resources—[that] constitutes far more than simply

a setback to the organization’s abstract social interests.” Havens Realty Corp. v. Coleman, 455

U.S. 363, 379 (1982). The D.C. Circuit has articulated a two-prong test for determining whether

an organization meets this standard. First, an organization must show that the challenged

conduct “perceptibly impair[s] the organization’s ability to provide services.” Food & Water

Watch, Inc. v. Vilsack, 808 F.3d 905, 919 (D.C. Cir. 2015). This initial showing must also

demonstrate a “direct conflict between the defendant’s conduct and the organization’s mission.”

Nat’l Treasury Emps. Union v. United States, 101 F.3d 1423, 1430 (D.C. Cir. 1996) (emphasis

omitted) (holding that such a conflict “is necessary—though not alone sufficient—to establish

standing”). Second, an organization must show that it “used its resources to counteract [the

alleged] harm.” Food & Water Watch, 808 F.3d at 919 (citation omitted); see also Spann, 899

F.2d at 27 (“Havens makes clear . . . that an organization establishes Article III injury if it alleges

that purportedly illegal action increases the resources the group must devote to programs

independent of its suit challenging the action.”).




                                                  14
       At least one organizational Plaintiff in each case has met this burden. Specifically, both

CAIR and Tahirih have shown how the Rule will frustrate their ability to provide legal services

directly to asylum applicants, a core component of their respective missions. CAIR ECF No. 41-

2 (“Cubas PI Decl.”) ¶¶ 3–7, 19–22; I.A. ECF No. 6-1 (“Cutlip-Mason Decl.”) ¶¶ 6, 12–13, 19–

24. As discussed above, the Rule is intended to bar many individuals from qualifying for

asylum. 84 Fed. Reg. at 33,835. As a result, individuals covered by the Rule may avoid removal

only by meeting the heightened “reasonable fear” screening standard that applies in non-asylum

withholding cases. See id. at 33,837. Both CAIR and Tahirih explain that preparing individuals

for interviews in which that standard is applied is far more resource intensive; the Rule will

therefore severely limit the number of individuals they may serve. Cubas PI Decl. ¶¶ 19, 22;

Cutlip-Mason Decl. ¶¶ 20, 23. For example, CAIR “estimates that it will be able to serve 50%

fewer asylum seekers under the Rule, based on its years of experience perfecting and timing its

service delivery models, its client base statistics, and the human and fiscal resource shifting that

it already is undertaking and will continue to undertake in an effort to respond to the Rule.”

Cubas PI Decl. ¶ 19. Additionally, both organizations explain how the Rule requires them to

now prepare children for their own proceedings. CAIR ECF No. 3-3 (“Cubas TRO Decl.”)

¶¶ 31–35; Cutlip-Mason Decl. ¶ 21. Tahirih also explains that the Rule will force more asylum

claims to be filed defensively once an alien is in removal proceedings, requiring it to spend much

more staff time on individual cases. Cutlip-Mason Decl. ¶ 19. As a result, like CAIR, Tahirih

“will be forced to reduce the number of clients [it] can serve with [its] funding.” Id. ¶¶ 23–24.

And both organizations also explain how the Rule requires them to divert resources to adapt to

the Rule. Id. ¶ 24; Cubas TRO Decl. ¶¶ 16–19.




                                                 15
       These declarations—the substance of which Defendants do not contest—show that the

Rule both conflicts with these organizations’ missions and inhibits their daily activities. See Ctr.

for Responsible Sci. v. Gottlieb, 346 F. Supp. 3d 29, 38 (D.D.C. 2018). They also show that

these organizations have and will continue to be required to expend resources to counteract the

Rule. See O.A., 404 F. Supp. 3d at 143; see also Sierra Club v. Jewell, 764 F.3d 1, 7 (D.C. Cir.

2014) (explaining that an injury is sufficiently imminent when a plaintiff can show a “substantial

probability of injury”) (citation omitted); Spann, 899 F.2d at 27. “No more is required to

establish standing under Havens.” O.A., 404 F. Supp. 3d at 143.

       Defendants make several arguments to the contrary, but ultimately none carries the day.

First, they argue that organizations like CAIR and Tahirih have no cognizable interest under the

INA; thus, they say, Havens is inapplicable. See CAIR ECF No. 43, I.A. ECF No. 17 (“Defs.’

Cross Mtn”) at 12. They appear to argue that the INA’s channeling provisions, 8 U.S.C.

§ 1252(a)(5) and (b)(9), together with the lack of a private statutory right of action, mean that

these organizations cannot challenge the Rule even to the extent that it affects them. See id. The

Court is unpersuaded. To begin with, Defendants have cited no case in which a court precluded

an organization from challenging an immigration-related rule under the APA as a matter of law

in this way. Indeed, the case law stands in stark contrast. 8 More fundamentally, the text of

Section 1252 provides no support for the proposition that organizations may not facially



8
  See, e.g., O.A., 404 F. Supp. 3d at 126–38; Citizens for Responsibility & Ethics in Washington
v. U.S. Dep’t of Homeland Sec., 387 F. Supp. 3d 33, 45 (D.D.C. 2019); Auyda, Inc. v. Attorney
Gen., 661 F. Supp. 33, 34 (D.D.C. 1987), aff’d sub nom. Ayuda, Inc. v. Attorney Gen., 848 F.2d
1297 (D.C. Cir. 1988); see also Daingerfield Island Protective Soc. v. Lujan, 797 F. Supp. 25, 29
(D.D.C. 1992) (noting that “the Supreme Court has held that under the APA, it is not necessary
to find a private right of action under a particular statute in order to enforce a federal agency’s
compliance with that statute”), aff’d sub nom. Daingerfield Island Protective Soc. v. Babbitt, 40
F.3d 442 (D.C. Cir. 1994).



                                                 16
challenge under the APA immigration-related regulations that harm their own interests. And the

specific channeling provisions cited by Defendants apply to challenges that either seek review of

a removal order or involve questions arising from a removal action or proceeding. O.A., 404

F. Supp. 3d at 126–38; see Dep’t of Homeland Sec. v. Regents of the Univ. of California, No. 18-

587, 2020 WL 3271746, at *8 (U.S. June 18, 2020) (noting that § 1252(b)(9) “is certainly not a

bar where, as here, the parties are not challenging any removal proceedings”).

       Second, Defendants argue that CAIR and Tahirih lack third-party standing to challenge

the Rule on behalf of aliens who might be removed. Defs.’ Cross Mtn at 12–13. 9 But these

organizations are not claiming standing on behalf of their clients, or any other individual asylum

applicants. They are not challenging an immigration enforcement decision. Nor are they

arguing they have standing because more of their clients may ultimately be denied asylum.

Rather, the organizational Plaintiffs argue that the Rule will directly injure them by making it

harder for them to conduct their own basic activities. Indeed, Defendants’ position would seem

to preclude an organization from bringing an APA challenge to any rule that even tangentially

relates to immigration.




9
  Relatedly, Defendants also argue in passing that these organizational Plaintiffs lack standing to
challenge policies related to an agency’s discretionary enforcement decisions as they relate to a
third party. Defs.’ Cross Mtn at 12–13 (citing Linda R.S. v. Richard D., 410 U.S. 614 (1973) and
related cases). Again, the organizational Plaintiffs are not relying on any third party, nor are they
challenging the substance of any discretionary decision. Rather, they are challenging whether
the agency adhered to the procedural requirements of the APA. And Defendants have identified
no language in the statute suggesting that the INA precludes that sort of review. Defendants also
point out that at least one judge on the D.C. Circuit has questioned the scope of cognizable
organizational injuries under Havens, see People for the Ethical Treatment of Animals (PETA) v.
U.S. Dep’t of Agric., 797 F.3d 1087, 1099, 1101–03 (D.C. Cir. 2015) (Millett, J., dubitante), but
this Court lacks the power to sidestep binding Circuit precedent, United States v. Torres, 115
F.3d 1033, 1036 (D.C. Cir. 1997).



                                                 17
       Third, Defendants argue that while “the legal landscape may have partially changed”

because of the Rule, “the organizations can still provide legal services.” Id. at 14. In

Defendants’ view, then, they have not suffered a cognizable injury. But under the law of this

Circuit, the injury requirement is not so demanding. O.A., 404 F. Supp. 3d at 143 (“Courts have

never required an organization to prove that is it entirely hamstrung by challenged actions.”); see

also Citizens for Responsibility & Ethics in Washington v. U.S. Dep’t of Homeland Sec., 387

F. Supp. 3d 33, 45 (D.D.C. 2019). Organizations satisfy the first prong of the injury inquiry if

they show “that their activities have been impeded” in some way. Abigail All. for Better Access

to Developmental Drugs v. Eschenbach, 469 F.3d 129, 133 (D.C. Cir. 2006) (emphasis added);

see also League of Women Voters of United States v. Newby, 838 F.3d 1, 9 (D.C. Cir. 2016)

(finding a cognizable injury where “new obstacles unquestionably [made] it more difficult for

[organizations] to accomplish their primary mission”); Turlock Irrigation Dist. v. FERC, 786

F.3d 18, 24 (D.C. Cir. 2015) (noting that “an organization must allege that the defendant’s

conduct ‘perceptibly impaired’ the organization’s ability to provide services in order to establish

injury in fact”) (citation omitted); People for the Ethical Treatment of Animals v. U.S. Dep’t of

Agric. (PETA), 797 F.3d 1087, 1093 (D.C. Cir. 2015) (noting that “the key issue is whether the

organization has suffered a concrete and demonstrable injury to its activities” (cleaned up)).

       Fourth, Defendants argue that the injuries the organizational plaintiffs say the Rule will

cause “are speculative and self-inflicted.” Defs.’ Cross Mtn at 14. While it is true that an

organization may not base standing on “a ‘self-inflicted’ budgetary choice,” PETA, 797 F.3d at

1093 (citation omitted), that is not the case here. For example, these organizational Plaintiffs do

not rely on harm flowing from expenses related to these lawsuits or budgetary decisions related

to their advocacy. See id. Rather, as discussed above, they explain how the Rule will make it




                                                 18
harder for them to provide their core representational services. See also Equal Rights Ctr., 633

F.3d at 1140 (noting that whether an injury is self-inflicted does not “depend on the voluntariness

or involuntariness of the plaintiffs’ expenditures,” but whether “they undertook the expenditures

in response to, and to counteract, the effects of the defendants’ alleged discrimination”).

Additionally, while the Court “may reject as overly speculative those links which are predictions

of future events,” Arpaio v. Obama, 797 F.3d 11, 21 (D.C. Cir. 2015) (citation omitted), CAIR

and Tahirih do not rely on an attenuated chain of improbable causes and effects. Rather, their

declarations persuasively “demonstrate a realistic danger of sustaining a direct injury,” and no

more is required. Id.

       Fifth, Defendants argue that the organizational Plaintiffs have not suffered a cognizable

injury just because they “must adapt to the new requirements by spending more time on their

clients’ cases, adjusting staffing, . . . analyzing the new policy[,] and revising training and

orientation materials.” Defs.’ Cross Mtn at 15. If that were all a plaintiff had to show, say

Defendants, “then any legal services or advocacy organization could sue in federal court

whenever there is a change in the law.” Id. This argument has some intuitive appeal, but it is

unsupported by D.C. Circuit precedent.

       Indeed, the two cases that Defendants cite in support of this argument are inapposite.

The passage they quote from the first case, Food & Water Watch, instructs only that an agency

may not manufacture an injury by suing. 808 F.3d at 381–82; see also Spann, 899 F.2d at 27.

They cite the second case, National Taxpayers Union, Inc. v. United States, 68 F.3d 1428, 1434

(D.C. Cir. 1995), for the proposition that “[t]he mere fact that an organization redirects some of

its resources to litigation and legal counseling in response to actions or inactions of another party

is insufficient to impart standing upon the organization.” Defs.’ Cross Mtn at 15–16. But that




                                                  19
case is distinguishable from the situation here. There, an advocacy organization tried to assert an

injury in part because it educated its members and the public about the consequences of new tax

legislation, something that it would ordinarily do. Nat’l Taxpayers Union, 68 F.3d at 1434. The

court in that case explained that plaintiffs “cannot convert [their] ordinary program costs into an

injury in fact.” Id. But the court was careful to distinguish that case from others, such as Spann,

where an organization had to expend greater resources on education in order to counteract the

harm it had suffered. Id.; Spann, 899 F.2d at 28–29 (noting that “increased education and

counseling could plausibly be required” to counteract defendants’ conduct). Indeed, the year

before National Taxpayers Union, the Circuit held that an organization cleared the standing

hurdle when the defendant’s conduct allegedly forced it to spend additional resources on

community counseling and reduced the effectiveness of its outreach efforts. Fair Employment

Council of Greater Washington, Inc. v. BMC Mktg. Corp., 28 F.3d 1268, 1276 (D.C. Cir. 1994).

Defendants’ interpretation of National Taxpayers Union would seem to all but preclude a legal

services organization from ever proving standing. That cannot be so. Cf. Ukrainian-Am. Bar

Ass’n v. Baker, 893 F.2d 1374, 1378–80 (D.C. Cir. 1990).

       Finally, Defendants argue that the organizational Plaintiffs may not rely on harm related

to lack of notice and comment because they have not alleged a non-procedural injury. Defs.’

Cross Mtn at 16.10 Therefore, Defendants argue, they are impermissibly seeking to vindicate “a

procedural right in vacuo.” Id. (citing Summers v. Earth Island Inst., 555 U.S. 488, 496 (2009)).



10
  Defendants argue in passing that the Departments requested comments when promulgating the
Rule, thereby “curing the very purported injuries Plaintiffs allege.” Defs.’ Cross Mtn at 16. This
argument is unpersuasive. “Permitting the submission of views after the effective date is no
substitute for the right of interested persons to make their views known to the agency in time to
influence the rule making process in a meaningful way.” New Jersey v. EPA, 626 F.2d 1038,
1049 (D.C. Cir. 1980) (citation omitted)).



                                                 20
But as discussed above, CAIR and Tahirih have shown cognizable concrete injuries caused by

the Rule. Moreover, both have explained that they regularly submit comments to proposed rules

before they go into effect and they would have done so here if they had been given the

opportunity. Cubas TRO Decl. ¶ 40; Cutlip-Mason Decl. ¶ 25. Tahirih would have “explain[ed]

why the Rule is contrary to domestic law, contrary to international law, and factually

unsupported.” Cutlip-Mason Decl. ¶ 25. And CAIR would have “inform[ed] the Government of

the substantial and irreparable harms—both to the organization and its clients—that the policy

would create.” Cubas TRO Decl. ¶ 40. “The procedural right at stake here—the ability to

comment on [a rule which categorically bars a large number of people from qualifying for

asylum]—is quite obviously linked to their concrete interest, [providing assistance with asylum

applications].” Iyengar, 233 F. Supp. 2d at 13. Thus, CAIR and Tahirih do not seek to vindicate

merely a “procedural right without some concrete interest that is affected by the deprivation.”

Summers, 555 U.S. at 496.11 And it does not matter that some organizational Plaintiffs have in

fact commented, because that does not cure the Departments’ earlier failure. New Jersey v. EPA,

626 F.2d 1038, 1049 (D.C. Cir. 1980).

       For these reasons, the Court finds that at least one organizational Plaintiff in each case

has standing, and thus, the Court has subject-matter jurisdiction to hear their claims.

               2.      Zone of Interests

       Though not jurisdictional, the zone-of-interests test is a “tool for determining who may

invoke the cause of action” in a statute. Lexmark Int’l, Inc. v. Static Control Components, Inc.,


11
   See also Sugar Cane Growers Co-op. of Fla. v. Veneman, 289 F.3d 89, 94–95 (D.C. Cir. 2002)
(“All that is necessary is to show that the procedural step was connected to the substantive
result.”); Fla. Audubon Soc. v. Bentsen, 94 F.3d 658, 664 (D.C. Cir. 1996) (“[T]he plaintiff must
show that the government act performed without the procedure in question will cause a distinct
risk to a particularized interest of the plaintiff.”).



                                                 21
572 U.S. 118, 130 (2014). The test simply asks “whether a legislatively conferred cause of

action encompasses a particular plaintiff’s claim.” Id. at 127. For claims brought under the

APA, “the test is not ‘especially demanding.’” Id. at 130 (quoting Match-E-Be-Nash-She-Wish

Band of Pottawatomi Indians v. Patchak, 567 U.S. 209, 225 (2012) (“We apply the test in

keeping with Congress’s ‘evident intent’ when enacting the APA ‘to make agency action

presumptively reviewable.’” (citation omitted))). This is so because the APA “permits suit for

violations of numerous statutes of varying character that do not themselves include causes of

action for judicial review.” Id. To satisfy the test, the Court must “look to whether [a plaintiff]

fall[s] within the zone of interests sought to be protected by the substantive statute pursuant to

which the [Departments] acted: the INA.” Mendoza, 754 F.3d at 1016. That said, no “indication

of congressional purpose to benefit the would-be plaintiff” is required. Patchak, 567 U.S. at 225.

Rather, the critical question “is whether the challenger’s interests are such that they ‘in practice

can be expected to police the interests that the statute protects.’” Amgen, Inc. v. Smith, 357 F.3d

103, 109 (D.C. Cir. 2004) (citation omitted). The test bars suit “only when a plaintiff's ‘interests

are so marginally related to or inconsistent with the purposes implicit in the statute that it cannot

reasonably be assumed that’ Congress authorized that plaintiff to sue.” Lexmark Int’l, 572 U.S.

at 130 (citation omitted).

       CAIR and Tahirih have no trouble clearing this low hurdle. First, their interests are

neither inconsistent with nor marginally related to the INA. The INA includes a “statutory

procedure for granting asylum to refugees,” INS v. Cardoza-Fonseca, 480 U.S. 421, 427 (1987),

and these organizations help individuals navigate that procedure. See O.A., 404 F. Supp. 3d at

144. Moreover, the statute itself “includes provisions designed to ensure that pro bono legal

services of the type that the organizational Plaintiffs provide are available to asylum seekers.”




                                                 22
Id. (cleaned up). For example, the INA explicitly requires the Attorney General to advise an

alien applying for asylum “of the privilege of being represented by counsel,” and further requires

that the alien be provided a regularly updated list of persons “who have indicated their

availability to represent aliens in asylum proceedings on a pro bono basis.” 8 U.S.C.

§ 1158(d)(4). Similar statutory requirements exist throughout the INA to ensure that aliens in

both expedited and regular removal proceedings can be represented by counsel. See id.

§ 1228(a)(2), (b)(4)(B); id. § 1362. The Court has little trouble concluding that the

organizational Plaintiffs’ interests fall within the zone of interests protected by the INA.

       All the same, Defendants cite two cases they assert instruct otherwise. First, they point to

a chambers opinion in which Justice O’Connor, sitting as a Circuit Justice, expressed her view

that a legal assistance organization that assisted undocumented aliens fell outside the zone of

interests of the Immigration Reform and Control Act of 1986 (IRCA), Pub. L. 99–603, 100 Stat.

3359. INS v. Legalization Assistance Project of Los Angeles Cty. Fed’n of Labor (LAP), 510

U.S. 1301, 1305 (1993) (O’Connor, J., in chambers) (noting that the “IRCA was clearly meant to

protect the interests of undocumented aliens, not the interests of organizations such as

respondents”). To begin with, LAP represents the opinion of only a single Justice on an

application for interim relief that arose under a statute other than the INA. See O.A., 404

F. Supp. 3d at 145; see also East Bay Sanctuary Covenant v. Trump, 932 F.3d 742, 769 n.10 (9th

Cir. 2018); Kimble v. Swackhamer, 439 U.S. 1385, 1385 (1978) (Rehnquist, J., in chambers).

But more importantly, recently the Supreme Court has consistently adopted a broader view of the

test than the one Justice O’Connor espoused in LAP. See, e.g., Lexmark Int’l, 572 U.S. at 130;

Patchak, 567 U.S. at 225. Indeed, in National Credit Union Administration v. First National

Bank & Trust Co., the Supreme Court held—in an opinion authored by Justice Thomas over




                                                 23
Justice O’Connor’s dissent—that the test is satisfied so long as “the interest sought to be

protected by the complainant is arguably within the zone of interests to be protected or regulated

by the statute in question.” 522 U.S. 479, 492 (1998) (cleaned up). As discussed above, the

organizational Plaintiffs here easily clear this hurdle.

       Defendants also rely on Federation for American Immigration Reform, Inc. v. Reno

(FAIR), 93 F.3d 897 (D.C. Cir. 1996). But that case does not help them either. In FAIR, an

organization “dedicated to ‘ensuring that levels of legal immigration are consistent with the

absorptive capacity of the local areas where immigrants are likely to settle’” challenged the

government’s decision to parole Cuban immigrants. Id. at 899 (citation omitted). The Circuit

held that the organization was outside the INA’s zone of interests because it could point to

nothing in the INA that suggested Congress was concerned about the regional impact of

immigration. Id. at 901–04. Here, by contrast, the organizational Plaintiffs have pointed to those

portions of the INA that directly reference the asylum services they provide.

       For these reasons, the Court finds that the zone-of-interests test does not bar the Court

from considering the organizational Plaintiffs’ claims.

       B.      The APA’s Notice-and-Comment Requirements

       The APA generally requires substantive rules to be promulgated through notice-and-

comment rulemaking.12 See 5 U.S.C. § 553. These procedures are not a mere formality. They

“are designed (1) to ensure that agency regulations are tested via exposure to diverse public



12
  The Rule itself does not suggest, and Defendants do not claim, that it is covered by the APA’s
exception for non-legislative rules. See generally 84 Fed. Reg. 33,829; see also Clarian Health
W., LLC v. Hargan, 878 F.3d 346, 356 (D.C. Cir. 2017) (“The APA mandates that substantive,
legislative rules be promulgated only after public notice and comment, but it does not extend that
requirement to ‘interpretive rules, general statements of policy, or rules of agency organization,
procedure, or practice.’” (quoting 5 U.S.C. § 553(b)(3)(A))).



                                                  24
comment, (2) to ensure fairness to affected parties, and (3) to give affected parties an opportunity

to develop evidence in the record to support their objections to the rule and thereby enhance the

quality of judicial review.” Int’l Union, United Mine Workers v. Mine Safety & Health Admin.,

407 F.3d 1250, 1259 (D.C. Cir. 2005). And they “attempt[] to provide a ‘surrogate political

process’ that takes some of the sting out of the inherently undemocratic and unaccountable

rulemaking process.” Regents of the Univ. of California, No. 18-587, 2020 WL 3271746, at *27

n.13 (Thomas, J., dissenting) (citation omitted)).

       Because the Rule was promulgated without these procedures, the question for the Court is

whether one of the APA’s exceptions to the usual requirements applies. 13 Defendants assert that

two do. First, under the “good cause” exception, an agency need not provide notice and an

opportunity to comment “when the agency for good cause finds (and incorporates the finding and

a brief statement of reasons therefor in the rules issued) that notice and public procedure thereon

are impracticable, unnecessary, or contrary to the public interest.” 5 U.S.C. § 553(b)(B).

Second, under the “foreign affairs function” exception, the normal notice-and-comment




13
   Defendants briefly suggest that the Rule does not constitute final agency action or is otherwise
not ripe for review. Defs.’ Cross Mtn at 24–25. This argument appears only to apply to those
Plaintiffs who are individual aliens, but in any event, as applied to the organizational Plaintiffs, it
surely fails. Agency action is final if it (1) “mark[s] the consummation of the agency’s
decisionmaking process,” so that it is not “of a merely tentative or interlocutory nature,” and (2)
it is “one by which rights or obligations have been determined, or from which legal
consequences will flow.” U.S. Army Corps of Eng’rs v. Hawkes Co., 136 S. Ct. 1807, 1813
(2016). Here, for reasons already discussed, the Rule satisfies both criteria. Indeed, by its own
terms, the Rule was effective immediately, and the organizational Plaintiffs had no opportunity
to comment before it went into effect. 84 Fed. Reg. at 33,830. Additionally, the Rule is ripe for
review because the issues it presents are “purely legal,” there is no reason to believe they “would
benefit from a more concrete setting,” and—for the reasons just discussed—“the agency’s action
is sufficiently final.” Teva Pharm. USA, Inc. v. Sebelius, 595 F.3d 1303, 1308 (D.C. Cir. 2010)
(citation omitted).



                                                  25
requirements do not apply “to the extent that there is involved . . . a military or foreign affairs

function of the United States.” Id. § 553(a)(1).

       Despite their potentially broad sweep, the D.C. Circuit has instructed that these

exceptions must be “narrowly construed” and “reluctantly countenanced.” New Jersey, 626 F.2d

at 1045. The Circuit has also emphasized that the broader a rule’s reach, “the greater the

necessity for public comment.” American Fed’n of Gov’t Emps. v. Block, 655 F.2d 1153, 1156

(D.C. Cir. 1981). With these baseline principles in mind, the Court considers whether either the

good cause or foreign affairs function exception applies here. Neither does.

               1.      The Good Cause Exception

       The APA permits an agency to dispense with notice-and-comment procedures when it

finds that doing so would be “impracticable, unnecessary, or contrary to the public interest,” an

exception said to require “good cause.” 5 U.S.C. § 553(b)(B). Here, Defendants assert that

providing notice and comment would have been both impracticable and contrary to the public

interest. 84 Fed. Reg. at 33,841.

        Even on top of the principles described above, the D.C. Circuit has set a high bar for

satisfying good cause. As it recently explained, review of an “agency’s legal conclusion of good

cause is de novo.” Sorenson Commc’ns Inc. v. FCC, 755 F.3d 702, 706 (D.C. Cir. 2014). In

other words, a court may not simply defer to an agency’s judgment about whether good cause

exists. Rather, the Circuit instructs, a court must “examine closely” an agency’s stated rationale

and the circumstances surrounding the agency’s decision. Council of S. Mountains, Inc. v.

Donovan, 653 F.2d 573, 580 (D.C. Cir. 1981). The good cause inquiry is both “meticulous” and

“demanding.” Sorenson, 755 F.3d at 706 (citation omitted).

       The Circuit has found notice-and-comment procedures sufficiently impracticable only in

unusual cases, such as when “air travel security agencies would be unable to address threats


                                                   26
posing ‘a possible imminent hazard to aircraft, persons, and property within the United States,’”

or when “a rule was of ‘life-saving importance’ to mine workers in the event of a mine

explosion.” Mack Trucks, Inc. v. EPA, 682 F.3d 87, 93 (D.C. Cir. 2012) (citation omitted). And

it has instructed that the public interest ground “is met only in the rare circumstance when

ordinary procedures—generally presumed to serve the public interest—would in fact harm that

interest.” Id. at 95. The good cause exception is therefore “appropriately invoked when the

timing and disclosure requirements of the usual procedures would defeat the purpose of the

proposal—if, for example, ‘announcement of a proposed rule would enable the sort of financial

manipulation the rule sought to prevent.’” Id. (citation omitted).

       Defendants argue that notice-and-comment rulemaking would have been impracticable

and contrary to the public interest because that process would have led to a surge of asylum

seekers at the southern border of the United States. 84 Fed. Reg. at 33,841. The Departments

asserted upon the Rule’s promulgation that if it were published for notice and comment before

becoming effective, smugglers might communicate its impending effects to potential asylum

seekers, thus creating a “risk of a surge in migrants hoping to enter the country” beforehand. Id.

They also asserted that pre-promulgation “notice and comment, or a delay in the effective date,

would be destabilizing and would jeopardize the lives and welfare of aliens who could surge to

the border to enter the United States before the rule took effect.” Id. According to the

Departments, their “experience has been that when public announcements are made regarding

changes in our immigration laws and procedures, there are dramatic increases in the numbers of

aliens who enter or attempt to enter the United States along the southern border.” Id.

       Common sense dictates that the announcement of a proposed rule may, at least to some

extent and in some circumstances, encourage those affected by it to act before it is finalized. But




                                                27
this rationale cannot satisfy the D.C. Circuit’s standard in this case unless it is adequately

supported by evidence in the administrative record suggesting that this dynamic might have led

to the consequences predicted by the Departments—consequences so dire as to warrant

dispensing with notice and comment procedures. See Sorenson, 755 F.3d at 707. After carefully

examining the record, the Court finds that it does not contain sufficient evidence to justify

invocation of the good cause exception.

       The evidence that Defendants rely on begins—and for the most part ends—with a single

newspaper article in the Washington Post from October 2018; indeed, it is the only specific

evidence the Departments cited when promulgating the Rule. See 84 Fed. Reg. 33,841. That

article includes several passages suggesting that: (1) after the United States abruptly stopped

separating families who applied for asylum together in the spring of 2018, smugglers encouraged

asylum seekers to bring their children and to speed up their efforts to reach the border; (2) those

same smugglers may coach asylum seekers about what to tell interviewing officers so they can

meet the credible fear standard; and (3) many months after the United States stopped separating

families, a greater proportion of asylum applicants had brought children or other family members

with them to the border. ECF No. 21-1 to 21-9 (“AR”) at 438–49.

       Under Circuit precedent, this newspaper article alone does not provide good cause to

bypass notice-and-comment rulemaking procedures for the reasons cited by Defendants. Even

assuming that the Rule was likely to have had a similar effect as the regulatory change described

in the article, the article contains no evidence that that change caused a surge of asylum seekers

at the border—let alone one on a scale and at a speed that would have jeopardized their lives or

otherwise have defeated the purpose of the Rule if notice-and-comment rulemaking had




                                                  28
proceeded.14 In fact, the article lacks any data suggesting that the number of asylum seekers

increased at all during this time—only that more asylum seekers brought children with them.

Clearly, the article suggests that smugglers are not oblivious to major changes in United States’

immigration policy, and that they pass on the information they learn to some who may use it to

game the asylum process. None of that is surprising. But at bottom, the article does little if

anything to support Defendants’ prediction that undertaking notice-and-comment rulemaking

would have led to a dramatic, immediate surge of asylum applicants at the border that would

have had the impact they suggest. And other articles from the administrative record that

Defendants cite either do not support, or even undermine, their prediction of such a surge.15

       Defendants offer no other data or information that persuasively supports their prediction

of a surge. They point the Court to several charts that they argue support their invocation of

good cause. See Defs.’ Cross Mtn at 39–40. One shows the number of enforcement actions

undertaken by Customs and Border Protection at the southwest border from October 2016




14
  The process of travelling through Mexico to the southern border of the United States to seek
asylum, as described in the article, is risky for a host of reasons that have nothing to do with the
Rule. Those risks are not at issue here. The question is whether there is an adequate basis for
the Departments’ prediction that, if notice-and-comment rulemaking had proceeded, a surge of
asylum seekers would have jeopardized life and defeated the purpose of the Rule, such that
Defendants’ invocation of the good cause exception was justified.
15
   For example, according to one article, about a month before the Rule was promulgated, the
President tweeted twice that Guatemala was preparing to sign an agreement that would force
migrants crossing through it to apply for asylum there and block them from seeking asylum
elsewhere, including in the United States. AR at 635. But nothing in the record suggests that
those tweets caused a surge at the southern border. Another article noted that “migrants
themselves don’t necessarily know what asylum is or why they might or might not qualify for
it,” and that some migrants incorrectly believe asylum outcomes turn on whether they have
relatives in the United States. AR at 681. A third reported that while migrants are aware of “the
basics”—for example, they “know to request asylum” and that families are less likely to be
detained—they “generally lack understanding of United States immigration law.” AR at 768.



                                                 29
through May 2019, broken down by the alien’s country of origin. See AR at 119. But the Court

can glean little from that chart, other than that these enforcement actions decreased somewhat

during the first six months of that period, increased gradually over the next few years, and then

increased more sharply early in 2019. Defendants also point to a chart that depicts “Southwest

Border Encounters of non-Mexican Aliens” each month from October 2012 to March 2019 and

also contains some agency observations of that data. See AR at 208–20. But again, all this chart

shows is that as of March 2019, more and more non-Mexican aliens were encountered at the

southern border and that the agency projected the number to continue to rise for unspecified

reasons. Interestingly, though, the agency’s observations reflect that even the relatively high

number of encounters reported in March 2019 was not unprecedented; a higher number had been

reported a decade earlier. AR at 210.

       As far as providing a basis for predicting a surge of asylum seekers prompted by the

publishing of the Rule for notice and comment, these numbers would be meaningful if

Defendants explained that peaks or troughs in the data corresponded with regulatory or policy

changes in the United States. But Defendants have not done so, and the Court cannot find any

such analysis in the record.16 See Achagzai v. Broad. Bd. of Governors, 170 F. Supp. 3d 164,

178 (D.D.C. 2016) (noting that “it is not the Court’s role to mine the record in an effort to

identify potentially helpful evidence not identified by the parties”). At bottom, as Plaintiffs point




16
  The record does suggest—and the Court does not doubt—that the United States’ immigration
system at the southern border was significantly strained when the Rule was issued. For example,
documents in the record show that more people were entering the United States without
documents than had over the previous decade, AR at 676, and more of them were comprised of
families or children, AR at 223, 682. But the Departments’ prediction of a surge to the border
brought about by notice-and-comment procedures, on which they base their invocation of good
cause, is a separate matter for which the record does not contain adequate support.



                                                 30
out, Defendants—“despite studying migration patterns closely”—have “failed to document any

immediate surge that has ever occurred during a temporary pause in an announced policy.” I.A.

ECF No. 21 at 18. That failure is striking.

       The Circuit’s decision in Tennessee Gas Pipeline v. Federal Energy Regulatory

Commission, 969 F.2d 1141 (D.C. Cir. 1992), is instructive when it comes to evaluating an

agency’s invocation of good cause based on its prediction. That case involved a rule that

required natural gas pipeline companies to provide the Federal Energy Regulatory Commission

(FERC) certain environmental information on their pipeline construction plans. 969 F.2d at

1143. FERC invoked the good cause exception to dispense with notice and comment, arguing

that those procedures could contribute to environmental harm because the companies “may

respond to the proposed changes in the regulations by commencing construction” to avoid

regulatory uncertainty. Id. Judge Buckley, joined by Judges Ginsburg and Williams, rejected

the agency’s argument because it had “provided little factual basis for its belief that pipelines

[would] seek to avoid [the] future rule by rushing new construction and replacements with

attendant damage to the environment.” Id. at 1145. Indeed, the court noted that FERC had

provided only a single example where covered construction had led to environmental harm. Id.

(observing that “evidence of a single violation . . . while not insubstantial, is a thin reed on which

to base a waiver of the APA’s important notice and comment requirements”). The court also

rejected the agency’s vague and conclusory invocation of its subject-matter expertise, observing

that it “does not excuse the [agency’s] failure to cite such examples in support of its claim.” Id.;

see also id. at 1146 (noting that “if the agency has . . . a wealth of practical experience on which

to draw in order to justify its action, then it was not forced to rely on the ‘self-evident’ need for




                                                  31
the interim rule”).17 To be sure, the court did not suggest that impending environmental harm or

regulatory evasion could never constitute good cause. Rather, the court held, the agency had not

provided a record sufficient to warrant invocation of the exception. See id. at 1145.

       So too here. In Tennessee Gas Pipeline, the agency predicted a surge in potential

pipeline construction; here, the Departments predicted a surge in potential asylum seekers.

There, the agency thought that companies would act immediately to avoid more stringent

regulatory requirements; here, the Departments say that so many asylum seekers would have

acted so quickly to avoid more stringent requirements that a surge would have jeopardized their

lives and the very purpose of the Rule. There, the agency fell back on its “ample practical

experience,” id.; here, the Departments also rely on their “experience.” See 84 Fed. Reg. 33,841.

And in both cases, the agencies failed to provide meaningful factual support for their predictions.

The evidence offered by Defendants in this case—a newspaper article—is similarly too “thin [a]

reed on which to base a waiver of the APA’s important notice and comment requirements.” 969

F.2d at 1145.

       Still, Defendants argue that this Court should defer to the Departments’ invocation of

good cause. See Defs.’ Supp. Br. at 4. Although the Circuit was clear in Sorenson that an

agency’s legal conclusion of good cause is subject to de novo review, Defendants point out that

in a footnote in that case, the Circuit acknowledged that courts should “defer to an agency’s



17
   In Tennessee Gas Pipeline, 969 F.2d 1141, the Circuit also distinguished Mobil Oil Corp. v.
Dept of Energy, 728 F.2d 1477 (Temp. Emer. Ct. App. 1983), a case relied on by Defendants.
Mobil Oil, in the court’s view, presented unique circumstances. 969 F.2d at 1146. The agency
in Mobil Oil issued a regulation “to equalize prices charged to different classes of customers by
oil refiners during the energy crisis of the early 1970’s.” Id. But as the Circuit observed, “[i]t is
well recognized that prices can be changed rapidly to accommodate shifts in regulatory policy.”
Id. Defendants here offered no evidence from which the Court can reasonably conclude that
migratory patterns change with anything approaching the speed of commodity prices. See id.



                                                 32
factual findings and expert judgments therefrom, unless such findings and judgments are

arbitrary and capricious.” 755 F.3d at 706 n.3.

       The Sorenson footnote does not save Defendants’ good cause argument. To begin with,

the record contains no information suggesting that the agency sought to confirm the accuracy of

the article and so it is unclear whether the Court should afford it any deference. Cf. City of New

Orleans v. SEC, 969 F.2d 1163, 1167 (D.C. Cir. 1992) (“We have held that an agency’s reliance

on a report or study without ascertaining the accuracy of the data contained in the study or the

methodology used to collect the data is arbitrary agency action, and the findings based on [such

a] study are unsupported by substantial evidence.”) (alteration in original) (quotation omitted).

The press, of course, is not infallible. Even so, the Court assumes for argument’s sake that the

article contains findings of fact entitled to such deference. And the Court defers to them, so far

as they go. For example, as discussed above, the Court does not doubt that smugglers adjust

their sales pitches to some degree in response to changes in United States’ immigration policy.

Similarly, the Court credits the Departments’ prediction that the number of non-Mexican aliens

seeking asylum at the border would continue to increase as depicted, for whatever reason.

       The question, though, is whether Defendants’ conclusory prediction of a surge in asylum

seekers so great and so rapid as to threaten life or defeat the very purpose of the Rule if notice-

and-comment procedures were followed is entitled to deference on this record. And Circuit

precedent commands that it is not. As explained above, in Tennessee Gas Pipeline, the court

found that there was “little factual basis” for the agency’s prediction, and thus did not defer to it,

even though it was “hesitant to discount such forecasts” because they “necessarily involve

deductions based on expert knowledge of the Agency.” 969 F.2d at 1145 (citation omitted). The

same is true here.




                                                  33
       Sorenson itself provides another example of the Circuit declining to defer to an agency’s

predictive judgment without an adequate record or explanation. In that case, Judge Rogers

Brown, joined by Judges Griffith and Millett, rejected the agency’s invocation of good cause

because, after closely examining the record, they concluded that “there were no factual findings

supporting the reality of the threat”—a potential shortfall in a fund administered by the Federal

Communications Commission (FCC). 755 F.3d at 706. That court emphasized that the

administrative record did not reflect when the shortfall would occur or whether the FCC had

considered reasonable alternatives—other than dispensing with notice and comment—to forestall

it. See id. at 707. The record in this case suffers from similar shortcomings. For example, even

assuming some increase in asylum applications were to occur if the Rule had been subject to

notice-and-comment rulemaking, Defendants simply offer no factual basis or explanation for

when or why that increase would ripen into a crisis so severe that it would justify bypassing

those procedures. As in Sorenson, this Court in no way “exclude[s] the possibility” that the

circumstances here “could conceivably justify bypassing the notice-and-comment requirement.”

Id. at 707. But “this case does not provide evidence of such an exigency.” Id. And of course,

the Court is limited to considering the evidence in the administrative record on which Defendants

relied. See AFL-CIO v. Chao, 496 F. Supp. 2d 76, 82 (D.D.C. 2007).

       Defendants also point to East Bay Sanctuary Covenant v. Trump, 354 F. Supp. 3d 1094

(N.D. Cal. 2018). Defs.’ Cross Mtn at 40. In that case, several organizations challenged a

regulation issued by the Departments that, together with a presidential proclamation, effectively

barred asylum for any alien who did not enter the United States at a designated port of entry. See

East Bay, 354 F. Supp. 3d at 1102. The regulation in that case was also issued without notice

and comment, see id., and the Departments invoked the same two exceptions under § 553, see 83




                                                34
Fed. Reg. 55,934, 55,950–51 (Nov. 9, 2018). In granting a motion for a preliminary injunction,

the district court nonetheless held in East Bay “that the Government is likely to prevail on its

claim regarding the good cause exception” based on the same newspaper article referred to

above. 354 F. Supp. 3d at 1115.

       That decision is unpersuasive for several reasons. First, Ninth Circuit precedent does not

require courts there to review an agency’s invocation of good cause de novo, as D.C. Circuit

precedent requires this Court to do. East Bay Sanctuary Covenant v. Trump, 950 F.3d 1242,

1278 (9th Cir. 2020). Second, even under its more deferential standard, the Ninth Circuit has

since rejected the district court’s conclusion that the newspaper article likely provided a basis to

invoke the good cause exception. Id. And that conclusion echoed the earlier opinion of a

different panel that denied a motion to stay the district court’s order granting a temporary

restraining order pending appeal, in which the panel also held that the Departments’

“speculative” reasoning did not support invocation of the good cause exception. East Bay

Sanctuary Covenant v. Trump, 932 F.3d 742, 777–78 (9th Cir. 2018).18

       Finally, Defendants also cite the Supreme Court’s decision in Holder v. Humanitarian

Law Project, 561 U.S. 1, 34–35 (2010), to support their argument that “courts are ill-equipped to

second-guess the Executive Branch’s prospective judgment.” Defs.’ Cross Mtn at 40–41. In

Holder, the Court denied a constitutional challenge to a criminal statute prohibiting the provision

of material support to a foreign terrorist organization. See Holder, 561 U.S. at 7–8 (citing 18

U.S.C. § 2339B). In so doing, Defendants point out, the Court noted that the “Government,



18
  The newspaper article was apparently not part of the record when the first panel considered the
matter. See East Bay, 950 F.3d at 1286 (“I agree with the majority that merely adding the
twenty-five-word sentence from a Washington Post article was insufficient to justify changing
the motions panel result.”) (Fernandez, J., concurring).



                                                 35
when seeking to prevent imminent harms in the context of international affairs and national

security, is not required to conclusively link all the pieces in the puzzle before we grant weight to

its empirical conclusions.” Id. at 35.

       There are many circumstances in which the law appropriately commands, as in Holder,

that courts defer to the Executive Branch’s national security judgments. But even putting aside

the many other differences between that case and this one, the record in that case consisted of far

more than a newspaper article. There, the basis for the judgments of both Congress and the

Executive about the material support statute—the latter’s set forth in an affidavit of a State

Department official—were thoroughly explained to the Court. Those judgments were informed

by extensive experience with how terrorist groups fund their activities, and the specific

designated terrorist organizations at issue, which the Executive asserted had killed thousands. Id.

at 29–30. Here, by contrast, the Departments rely on a single newspaper article that does not

even directly address the key predictive judgment in question: the likelihood of a surge in asylum

seekers so great and so rapid as to threaten human life or defeat the purpose of the Rule if notice-

and-comment procedures were followed.

       It bears emphasizing that in holding that the good cause exception does not apply, the

Court does not suggest in any way that the Executive’s broader security concerns that prompted

promulgation of the Rule were unfounded. The question for the Court is simply whether, on the

record before it, the prediction of a surge offered by the Departments provided good cause to

dispense with notice-and-comment procedures before the Rule took effect. For the reasons

explained above, the Court holds that it did not.19



19
  The Departments cite several other past rulemakings in which they say they invoked § 553’s
good cause exception to avoid a similar surge. See 84 Fed. Reg. at 33,841. But to the Court’s



                                                 36
               2.      The Foreign Affairs Function Exception

       The second exception Defendants invoke is the foreign affairs function exception. As

noted above, notice-and-comment requirements do not apply “to the extent there is involved . . .

a military or foreign affairs function of the United States.” 5 U.S.C. § 553(a)(1). Unlike the

good cause exception, there is little case law in this Circuit, or elsewhere, to guide the Court’s

application of this exception. Perhaps as a result, it presents a closer call. Still, the Court finds

that Defendants’ arguments in favor of the exception come up short.

       Plaintiffs urge a narrow reading of the foreign affairs function exception. They note that

several circuits have held that an agency may not invoke this exception just because a rule

“implicates foreign affairs.” I.A. ECF No. 6 at 24 (internal quotation and citation omitted); CAIR

ECF No. 41-1 at 18 (internal quotation marks omitted) (citing Yassini v. Crosland, 618 F.2d

1356, 1360 n.4 (9th Cir. 1980)); see also Zhang v. Slattery, 55 F.3d 732, 744 (2d Cir. 1995),

superseded by statute on other grounds, by 8 U.S.C. § 1101(a)(42); Jean v. Nelson, 711 F.2d

1455, 1478 (11th Cir. 1983). Plaintiffs in CAIR argue that the Court should limit its

interpretation of the exception to cover only those paradigmatic cases in which the rule at issue

implements treaties or regulates foreign diplomats. CAIR ECF No. 41-1 at 18 (citing City of New

York v. Permanent Mission of India to United Nations, 618 F.3d 172, 202 (2d Cir. 2010)

(applying the exception when an agency action concerned “the treatment of foreign missions”)).

And in the alternative, Plaintiffs in both cases reference a test that some courts of appeals have


knowledge, none of those rulemakings were challenged for any reason, let alone for failure to
proceed by notice-and-comment procedures. The task before the Court is to determine whether
this rulemaking complied with the APA. The Court cannot conclude that an agency’s present
conduct is lawful merely because the agency did something similar in the past. See Analysas
Corp. v. Bowles, 827 F. Supp. 20, 25 (D.D.C. 1993) (“The court need not address whether
[previous rulemakings] were proper; they are not before the court. What is before the court is the
propriety of the present interim rule; the court determines that it, indeed, is contrary to law.”).



                                                  37
adopted that extends this exception to circumstances where notice-and-comment procedures

would create “definitely undesirable international consequences.” I.A. ECF No. 6 at 23 (internal

quotation and citation omitted); CAIR ECF No. 41-1 at 19 (internal quotation marks omitted);

see Yassini, 618 F.2d at 1360 n.4; see also Rajah v. Mukasey, 544 F.3d 427, 437 (2d Cir. 2008);

Am. Ass’n of Exps. & Imps.-Textile & Apparel Grp. v. United States, 751 F.2d 1239, 1249 (Fed.

Cir. 1985); Jean, 711 F.2d at 1477. In Plaintiffs’ view, Defendants have failed to meet even that

test. I.A. ECF No. 6 at 24–25; CAIR ECF No. 41-1 at 19–20. In contrast, Defendants offer up

various reasons why, in their estimation, the Rule does in fact involve a foreign affairs function

of the United States, including its relationship with ongoing international negotiations. See

Defs.’ Cross Mtn at 41–42. And while Defendants reject the “definitely undesirable

international consequences” test because “the statute requires no such showing,” they also argue,

for many of these same reasons, that the Rule satisfies it in any event. Id. at 43–44.

       The Court starts, as it must, with the text of the statute: notice-and-comment procedures

are unnecessary “to the extent there is involved . . . a military or foreign affairs function of the

United States.” 5 U.S.C. § 553(a)(1). The first part of that phrase, “to the extent there is

involved,” applies to several other categories of rulemakings as well, including those involving

public benefits, 5 U.S.C. § 553(a)(2), and the D.C. Circuit has interpreted the phrase in that

context. Specifically, in Humana of South Carolina, Inc. v. Califano, the Circuit instructed—

consistent with the duty to “narrowly construe” and “reluctantly countenance” such exceptions,

New Jersey, 626 F.2d at 1045—that “to the extent that any one of the enumerated categories is

clearly and directly involved in the regulatory effort at issue, the Act’s procedural compulsions

are suspended.” 590 F.2d 1070, 1082 (D.C. Cir. 1978) (citations and quotations omitted)




                                                  38
(emphasis added). As a result, a rule falls within the foreign affairs function exception only if it

“clearly and directly” involves “a foreign affairs function of the United States.”

       The APA does not define the key terms in the second part of that phrase—“foreign

affairs” or “function”—and so the Court turns to dictionaries in use at the time of the APA’s

enactment.20 The definition of “foreign affairs” is reasonably straightforward: it refers to the

conduct of international relations between sovereign states. See Webster’s New International

Dictionary 988 (2d ed. 1945) (defining foreign affairs to include “matters having to do with

international relations and with the interests of the home country in foreign countries”). The

meaning of “function,” on the other hand, is less so. The 1945 version of Webster’s New

International Dictionary defines it as “[t]he natural and proper action of anything; special

activity,” “[t]he natural or characteristic action of any power or faculty,” or “[t]he course of

action which peculiarly pertains to any public officer in church or state; the activity appropriate

to any business or profession; official duty.” Id. at 1019. “Function” thus appears to narrow the

exception further; to be covered, a rule must involve activities or actions that are especially

characteristic of foreign affairs. Applying these definitions, then, a “foreign affairs function”

encompasses activities or actions characteristic to the conduct of international relations. And to

sum up, to be covered by the foreign affairs function exception, a rule must clearly and directly

involve activities or actions characteristic to the conduct of international relations.




20
   See PHH Corp. v. Consumer Fin. Prot. Bureau, 881 F.3d 75, 130 (D.C. Cir. 2018) (en banc)
(Griffith, J., concurring in the judgment) (noting that undefined terms are to be given “their
ordinary meaning,” and that courts “generally begin[] with dictionaries”); MCI Telecomm. Corp.
v. Am. Tel. & Tel. Co., 512 U.S. 218, 228–29 (1994) (observing that the time of enactment is
“the most relevant time for determining a statutory term’s meaning”).



                                                  39
       As noted above, some circuits have adopted a test that would also permit the exception to

be invoked when notice-and-comment procedures “would provoke definitely undesirable

international consequences.” Am. Ass’n of Exps., 751 F.2d at 1249 (quotation omitted); see also

Rajah, 544 F.3d at 437; Jean, 711 F.2d at 1478; Yassini, 618 F.2d at 1360 n.4. The D.C. Circuit

has not adopted this test. And the Court declines to do so for three reasons.

       First, this test is unmoored from the legislative text; it is lifted from the House Report

relating to the APA.21 But as the Supreme Court has repeatedly instructed, “the authoritative

statement is the statutory text, not the legislative history or any other extrinsic material,” Exxon

Mobil Corp. v. Allapattah Servs., Inc., 545 U.S. 546, 568 (2005). Thus, the Court declines to

“rest[] its interpretation on legislative history,” which “is not the law.” Epic Sys. Corp. v. Lewis,

138 S. Ct. 1612, 1631 (2018). Second, requiring negative consequences “would render the

‘military or foreign affairs function’ superfluous since the ‘good cause’ exception . . . would

apply.” Mast Indus., Inc. v. Regan, 596 F. Supp. 1567, 1581 (Ct. Int’l Trade 1984) (citation

omitted). Indeed, several courts have relied on this test to find both the foreign affairs function

exception and the good cause exception satisfied on largely the same facts. See Nademi v. INS,

679 F.2d 811, 814 (10th Cir. 1982); Malek-Marzban v. INS, 653 F.2d 113, 116 (4th Cir. 1981);

Yassini, 618 F.2d at 1360–61. Third, the Second Circuit recently clarified that it applies this test

exclusively to areas of the law “that only indirectly implicate international relations” rather than

“quintessential foreign affairs functions such as diplomatic relations and the regulation of foreign



21
  In full, the relevant sentence from the House Report reads: “The phrase ‘foreign affairs
functions,’ used here and in some other provisions of the bill, is not to be loosely interpreted to
mean any agency operation merely because it is exercised in whole or part beyond the borders of
the United States but only those ‘affairs’ which so affect the relations of the United States with
other governments that, for example, public rule-making provisions would provoke definitely
undesirable international consequences.” H. Rep. No. 79-1980 at 257 (1946).



                                                 40
missions,” which it characterized as “different.” City of New York, 618 F.3d at 202 (emphasis

added). “Such actions clearly and directly involve a foreign affairs function, and so fall within

the exception without a case-by-case iteration of specific undesirable consequences.” Id.

(citations and quotations omitted) (emphasis added). But this approach conflicts with the D.C.

Circuit’s admonition that a rule must “clearly and directly” involve the basis for the asserted

exception—here, the foreign affairs function—full stop, without exception.22 Califano, 590 F.2d

at 1082.

       Thus, the foreign affairs function exception plainly covers heartland cases in which a rule

itself directly involves the conduct of foreign affairs. For example, the exception covers

scenarios in which a rule implements an international agreement between the United States and

another sovereign state. Indeed, that is the only circumstance to which the D.C. Circuit has

applied it. Specifically, in International Brotherhood of Teamsters v. Pena, 17 F.3d 1478 (D.C.




22
   Even if the Court were to adopt this test, the Rule would not satisfy it. The Departments assert
that ongoing “negotiations [with Mexico and the Northern Triangle countries] would be
disrupted if notice-and-comment procedures preceded the effective date of this rule.” 84 Fed.
Reg. at 33,842. That disruption, in turn, would allegedly “provoke a disturbance in domestic
politics in those countries, and would erode the sovereign authority of the United States to pursue
the negotiating strategy it deems to be most appropriate as it engages its foreign partners.” Id.
(cleaned up). But Defendants never explain—in their briefing or in a sworn declaration from an
involved official—why any of those things would happen merely by allowing the public to
comment on the Rule. The closest they get to bridging this gap is by arguing that “public
participation and comments may impact and potentially harm the goodwill between the United
States and [those countries],” id. But the Departments’ request for public comment (albeit after
the Rule was in effect) severely undercuts this argument. 84 Fed. Reg. at 33,830. And in any
event, a sizable gulf remains between potential harm to the goodwill between the United States
and those countries and the kind of “definitely undesirable international consequences” that
would satisfy the test. See, e.g., Rajah, 544 F.3d at 437 (noting that “sensitive foreign
intelligence might be revealed in the course of explaining why some of a particular nation’s
citizens are regarded as a threat” and that “relations with other countries might be impaired if the
government were to conduct and resolve a public debate over why some citizens of particular
countries were a potential danger to our security”).



                                                41
Cir. 1994), the Circuit held that the foreign affairs function exception applied to a Federal

Highway Administration rule implementing a Memorandum of Understanding (MOU) between

the United States and Mexico about the countries’ reciprocal recognition of each other’s

commercial drivers’ licenses. The court noted that “the rule does no more” than carry out the

United States’ “obligations to a foreign nation.” Id. at 1486. The rule in that case merely “added

a sentence to [a] footnote” in a regulation specifying that the Administrator had determined that

Mexican commercial drivers’ licenses met the United States’ standards. Id. at 1481; see also

Commercial Driver’s License Reciprocity With Mexico, 57 Fed. Reg. 31,454 (July 16, 1992)

(discussing the negotiations between the United States and Mexico and including the text of the

MOU itself). The exception also certainly covers rules that regulate foreign diplomats in the

United States. For example, in City of New York v. Permanent Mission of India to United

Nations, the Second Circuit held that the exception covered an action by the State Department

“exempt[ing] from real property taxes” any “property owned by foreign governments and used to

house the staff of permanent missions to the United Nations or the Organization of American

States or of consular posts.” 618 F.3d at 175. As the court observed, “the action taken by the

State Department to regulate the treatment of foreign missions implicates matters of diplomacy

directly.” Id. at 202 (emphasis added).

       That Congress would categorically exclude rules like these from notice-and-comment

procedures is unsurprising. These procedures enhance the rulemaking process by exposing

proposed regulations to feedback from a broad set of interested parties. See Int’l Union, 407

F.3d at 1259. But comments are unlikely to impact a rule to which the United States has already

effectively committed itself through international agreement. See Pena, 17 F.3d at 1486 (“After

all . . . the agreement called for the United States to recognize Mexican [commercial divers’




                                                 42
licenses] even if comments revealed widespread objections.”). Similarly, in the diplomatic

context, agency action may be grounded in international reciprocity. See City of New York, 618

F.3d at 178 (noting that the State Department explained that its action “conforms to the general

practice abroad of exempting government-owned property used for bilateral or multilateral

diplomatic and consular mission housing”).

       Here, however, the foreign affairs function exception does not excuse the Departments

from failing to engage in notice-and-comment rulemaking before promulgating the Rule. The

Rule overhauls the procedure through which the United States decides whether aliens who arrive

at our southern border are eligible for asylum here, no matter the country from which they

originally fled. These changes to our asylum criteria do not “clearly and directly” involve

activities or actions characteristic of the conduct of international relations. They do not, for

example, themselves involve the mechanisms through which the United States conducts relations

with foreign states. Nor were they the product of any agreement between the United States and

another country, regardless of any ongoing negotiations. To be sure, Defendants say they

intended that the Rule would have downstream effects in other countries, and perhaps on those

negotiations. Obviously, they expected that the Rule would cause more aliens to apply for

protection in other countries before arriving in the United States and seeking asylum here. But

these indirect effects do not clear the high bar necessary to dispense with notice-and-comment

rulemaking under the foreign affairs function exception.

       It may seem a quibble that the exception distinguishes between rules that “clearly and

directly” involve activities characteristic of the conduct of international relations and those that

have indirect international effects. And of course, the Court is bound to apply both Circuit

precedent and the statutory text as it is, “even if it thinks some other approach might accord with




                                                  43
good policy.” Loving v. IRS, 742 F.3d 1013, 1022 (D.C. Cir. 2014) (cleaned up). But it is worth

pointing out that the Circuit’s holding in Califano and Congress’s use of the word “function”—

instead of, say, “effects” or “implications”—prevent the foreign affairs function exception from

swallowing the proverbial rule. There are many rulemakings that an agency might plausibly

argue have downstream effects in other countries or on international negotiations in which the

United States is perpetually engaged. Courts have, for example, warned that in the immigration

context, the “dangers of an expansive reading of the foreign affairs exception . . . are manifest.”

City of New York, 618 F.3d at 202. But this is true in other areas of the law as well. One agency

might reach for a too-sweeping interpretation of the foreign affairs function exception to argue

that a rule involving climate change that affects other countries is subject to the exception.

Another might contend that a rule regarding domestic production of some good or commodity

that impacts ongoing trade negotiations is covered. Thus, as Plaintiffs point out, courts of

appeals have generally rejected the idea that the exception applies merely because a rule

“implicate[s] foreign affairs,” City of New York, 618 F.3d at 202; see also Zhang, 55 F.3d at 744;

Yassini, 618 F.2d at 1360 n.4, or “touche[s] on national sovereignty,” Jean, 711 F.2d at 1478. In

the end, the narrowness of this exception does not mean that these agencies cannot take these

hypothetical actions; it simply means that they are not excused from engaging in notice-and-

comment rulemaking when they do.

       Defendants argue that the Rule falls within the exception for two broad reasons, but

neither passes muster. First, they say that the Rule implicates foreign affairs or the President’s

foreign policy agenda. For example, they note that “the flow of aliens across the southern border

directly implicates the foreign policy and national security of the United States.” Defs.’ Cross

Mtn at 41 (cleaned up). They explain that the Rule is “linked intimately with the Government’s




                                                 44
overall political agenda concerning relations with another country.” Id. at 43 (quoting Am. Ass’n

of Exps., 751 F.2d at 1249).23 And they add that the changes embodied in the Rule “involve the

relationship between the United States and its alien visitors that implicate our relations with

foreign powers, and implement the President’s foreign policy.” 24 Id. (cleaned up). But for the

reasons already explained, although the Rule implicates foreign affairs at least indirectly, that

alone is not enough to satisfy the foreign affairs function exception.

       Second, Defendants contend that notice-and-comment procedures would in some way

affect ongoing negotiations with other countries. For example, they assert that the Rule will

“facilitate ongoing diplomatic negotiations with foreign countries” about migration issues. Id. at

41 (quoting 84 Fed. Reg. at 33,842). They also argue that delaying the effective date of the Rule

would disturb the domestic political situation in other countries and hinder the United States’



23
   Defendants go so far as to argue that this language should be the test for whether the foreign
affairs function exception applies. Defs.’ Cross Mtn at 41. But for largely the same reasons the
Court declines to adopt the “definitely undesirable international consequences” test, it declines to
adopt this purported one as well. Nowhere does the statutory text suggest that being “linked
intimately with the Government’s overall political agenda concerning relations with another
country” meets the exception. And, as explained above, Congress could have—but did not—
exempt rulemakings that merely affect or implicate foreign affairs. In addition, even the case
from which Defendants pluck this language does not hold it out as a test for the exception; it is
dicta. In fact, in that case the Federal Circuit held that the exception applied because notice and
comment “would provoke definitely undesirable international consequences,” specifically, trade
dumping. See Am. Ass’n of Exps., 751 F.2d at 1249 (quotation omitted). Finally, in that case the
court appears to have weighed that the rule at issue involved authority Congress delegated to the
President (that he then delegated to the agency) to negotiate export agreements with foreign
countries and issue relevant regulations. See id. at 1241 (citing 7 U.S.C. § 1854 (1982)). Neither
party here argues that the Rule involves power delegated to the President, or for that matter, that
engaging in notice and comment rulemaking would unconstitutionally hinder any inherent
constitutional power of the President. Contra Trump v. Hawaii, 138 S. Ct. 2392, 2408 (2018)
(observing that 8 U.S.C. § 1182(f) “exudes deference to the President in every clause”).
24
  Defendants do not argue that this case involves a challenge to the President’s own actions,
which are “not reviewable . . . under the APA.” Franklin v. Massachusetts, 505 U.S. 788, 801
(1992).



                                                 45
negotiating strategy. Id. at 42. And relatedly, they argue that the faster the Rule went into effect,

the faster it would address the circumstances at our southern border, “thereby facilitating the

likelihood of success in the United States’ ongoing negotiations with Mexico regarding regional

and bilateral approaches to asylum, and supporting the President’s foreign-policy aims.” Id.

(cleaned up). This argument gets Defendants no further. As explained above, downstream

effects on foreign affairs or negotiations with other countries—either positive or negative—do

not bring the Rule under this exception. And while negative international effects could well

satisfy the good cause exception, Defendants do not make that argument, or back it up with an

appropriate factual record, such as sworn declarations from appropriate officials.

       Defendants also argue that the Court should defer to the Departments’ conclusion that the

foreign affairs function exception applies. Defs.’ Supp. Br. at 4 (arguing that “principles of

deference are heightened in the context of Defendants’ invocation of the ‘foreign affairs’

exception”). But they do not point to any case law suggesting that agencies are entitled to

deference in interpreting the scope of the exception. That is hardly surprising. As this Circuit

has explained, “an agency has no interpretive authority over the APA.” Sorenson, 755 F.3d at

706; see also Envirocare of Utah, Inc. v. Nuclear Regulatory Comm’n, 194 F.3d 72, 79 n.7 (D.C.

Cir. 1999) (noting that “when it comes to statutes administered by several different agencies—

statutes, that is, like the APA . . . —courts do not defer to any one agency’s particular

interpretation”). And Defendants again point to cases like Holder, 561 U.S. at 35, see Defs.’

Supp. Br. at 5. The Court reiterates that there are many circumstances in which courts

appropriately defer to the national security judgments of the Executive. But determining the

scope of an APA exception is not one of them. As noted above, if engaging in notice-and-

comment rulemaking before implementing the rule would have harmed ongoing international




                                                 46
negotiations, Defendants could have argued that these effects gave them good cause to forgo

these procedures. And they could have provided an adequate factual record to support those

predictive judgments to which the Court could defer. 25 But they did not do so.

                                       *          *          *

         For all the above reasons, the Court finds that the Rule is not exempt from the APA’s

notice-and-comment procedures. Because the Departments unlawfully dispensed with those

requirements, they issued the Rule “without observance of procedure required by law,” 5 U.S.C.

§ 706.

         C.     Remedy

         The APA commands that courts “hold unlawful and set aside agency action[s]” taken

“without observance of procedure required by law.” 5 U.S.C. § 706(2)(D). And the D.C. Circuit

has held that “[f]ailure to provide the required notice and to invite public comment . . . is a

fundamental flaw that ‘normally’ requires vacatur of the rule.” Heartland Reg’l Med. Ctr. v.

Sebelius, 566 F.3d 193, 199 (D.C. Cir. 2009) (citing Sugar Cane Growers Coop. of Fla. v.

Veneman, 289 F.3d 89, 97–98 (D.C. Cir. 2002)); see also Mack Trucks, 682 F.3d at 95 (“Because

EPA lacked good cause to dispense with required notice and comment procedures, we conclude




25
   The portions of the administrative record that Defendants cite do not support a predictive
judgment meriting deference that international negotiations would be harmed by notice-and-
comment rulemaking. Some of those documents discuss an agreement between the United States
and Mexico requiring aliens to remain in Mexico while their asylum cases in the United States
are pending. See Defs.’ Cross Mtn at 42 (citing AR at 231–32, 537–57). Others include asylum-
related statistics. See id. (citing AR at 208–20, 222–30, 558–59). Still others include newspaper
articles indicating that the United States is pressuring other countries to do more to help reduce
the number of individuals who apply for asylum here. See id. (citing AR at 635–37, 698). But
there is, for example, no sworn declaration from a relevant official that explains the nature of the
ongoing negotiations and why notice-and-comment procedures would in fact harm them.



                                                 47
the IFR must be vacated without reaching Petitioners’ alternative arguments.”). Having found

that the Rule was enacted unlawfully, the Court sees no reason why it should not be vacated.

       Defendants suggest several alternative remedies, but they offer no compelling reason why

they make sense here. For example, they propose remand without vacatur. See ECF No. 62

83:21–84:17. And indeed, the D.C. Circuit has held—despite the text of the APA—that in some

cases, a court may remand a defective rule without vacating it. See Allied–Signal, Inc. v. NRC,

988 F.2d 146, 150–51 (D.C. Cir. 1993) (outlining the factors a court should consider when

determining whether to remand without vacatur). That approach is not without some

controversy. See Comcast Corp. v. FCC, 579 F.3d 1, 10 (D.C. Cir. 2009) (Randolph, J.,

concurring) (arguing that remand without vacatur is unlawful). But assuming it is ever

appropriate, it is not warranted here.

       Under Allied-Signal, to decide whether remand without vacatur is appropriate, courts

look to two factors: “the seriousness of the order’s deficiencies (and thus the extent of doubt

whether the agency chose correctly) and the disruptive consequences of an interim change that

may itself be changed.” 988 F.2d at 150–51 (citation omitted). When the two factors are in

equipoise, the resolution generally “turns on the Court’s assessment of the overall equities and

practicality of the alternatives.” Shands Jacksonville Med. Ctr. v. Burwell, 139 F. Supp. 3d 240,

270 (D.D.C. 2015).

       As to the first factor, deficient notice “almost always require[s] vacatur,” Allina Health

Servs. v. Sebelius, 746 F.3d 1102, 1110 (D.C. Cir. 2014); see also Shands Jacksonville Med. Ctr.,

139 F. Supp. 3d at 268 (“The Court is unable to evaluate whether the Secretary’s decision was

reasonable because her omission prevented the public from offering meaningful comments.”).

And as discussed above, the protections that notice-and-comment procedures afford are




                                                48
especially important when the proposed regulation has an “expansive” reach, see Block, 655 F.2d

at 1156, as the Rule does here. Moreover, offering the public the opportunity to comment after

the fact is not a substitute. New Jersey, 626 F.2d at 1049–50. In addition, because Plaintiffs

advance other colorable claims that the Rule is unlawful that the Court does not reach, “leaving

the regulations in place during remand would ignore petitioners’ potentially meritorious

challenges,” Natural Res. Def. Council v. EPA, 489 F.3d 1250, 1262 (D.C. Cir. 2007) (citation

omitted).26 As to the second factor, Defendants have presented no evidence suggesting that

“[t]he egg has been scrambled” so that “there is no apparent way to restore the status quo ante,”

Sugar Cane Growers, 289 F.3d at 97. Indeed, that recent pandemic-related administrative action

appears to have effectively closed the southern border indefinitely to aliens seeking asylum only

underscores that vacatur of the Rule will not result in prohibitively disruptive consequences. 27

Thus, both Allied-Signal factors weigh against remand without vacatur.

       To be sure, courts in this Circuit have sometimes applied Allied-Signal, in one way or

another, to stay vacatur when vacating a rule immediately would create confusion, see Chamber

of Commerce v. SEC, 443 F.3d 890, 909 (D.C. Cir. 2006), when the parties both support a stay,



26
  See also AFL-CIO v. Chao, 496 F. Supp. 2d 76, 93 (D.D.C. 2007) (“Vacatur thus has the
virtue of eliminating the significant risk that unions will be forced in early 2008 to comply with a
rule that this Court has found to be procedurally defective and whose substantive validity has not
yet been confirmed.”).
27
  See Notice of Order Under Sections 362 and 365 of the Public Health Service Act Suspending
Introduction of Certain Persons From Countries Where a Communicable Disease Exists, 85 Fed.
Reg. 17,060 (Mar. 26, 2020); Amendment and Extension of Order Under Sections 362 and 365
of the Public Health Service Act, Order Suspending Introduction of Certain Persons From
Countries Where a Communicable Disease Exists, 85 Fed. Reg. 31,503 (May 26, 2020); see also
Notification of Temporary Travel Restrictions Applicable to Land Ports of Entry and Ferries
Service Between the United States and Mexico, 85 Fed. Reg. 16,547 (Mar. 24, 2020);
Notification of Temporary Travel Restrictions Applicable to Land Ports of Entry and Ferries
Service Between the United States and Mexico, 85 Fed. Reg. 37,745 (June 24, 2020).



                                                 49
see Anacostia Riverkeeper, Inc. v. Jackson, 713 F. Supp. 2d 50, 52–55 (D.D.C. 2010), or “where

a prolonged agency remand threatens to deprive one or more parties of significant rights,” Bauer

v. DeVos, 332 F. Supp. 3d 181, 185 (D.D.C. 2018). But this case presents none of those

situations.

        Defendants also urge the Court to “limit any relief to the actual parties before the Court,”

Defs.’ Supp. Br. at 5, pointing to Justice Thomas’s concurrence in Trump v. Hawaii, 138 S. Ct.

2392 (2018), id. at 7. But there, Justice Thomas addressed the propriety of nationwide

injunctions, Trump, 138 S. Ct. at 2424–29, which is not the issue here. As the D.C. Circuit has

explained—and as Defendants concede, see Defs.’ Supp. Br. at 9 n.1—“[w]hen a reviewing

court determines that agency regulations are unlawful, the ordinary result is that the rules are

vacated—not that their application to the individual petitioners is proscribed.” Nat’l Min. Ass’n

v. U.S. Army Corps of Eng’rs, 145 F.3d 1399, 1409 (D.C. Cir. 1998) (alteration in original)

(quoting Harmon v. Thornburgh, 878 F.2d 484, 495 n.21 (D.C. Cir. 1989)); see also O.A., 404

F. Supp. 3d at 153.28

        Defendants also contend that vacatur is prohibited by several provisions of the INA, but

again, the Court is not persuaded. They first argue that Section 1252(e)(1)’s prohibition on

“declaratory, injunctive, or other equitable relief in any action pertaining to an order to exclude

an alien in accordance with [expedited removal]” prohibits vacatur. Defs.’ Supp. Br. at 9–10.




28
   Defendants’ reliance on the Fourth Circuit’s opinion in Virginia Soc’y for Human Life, Inc. v.
FEC, 263 F.3d 379 (4th Cir. 2001), overruled by The Real Truth About Abortion, Inc. v. FEC,
681 F.3d 544 (4th Cir. 2012), is misplaced for the same reason. Defs.’ Supp. Br. at 6. The court
in that case merely observed in dicta that the APA does not mandate nationwide injunctive relief.
Virginia Soc’y for Human Life, 263 F.3d at 393–94. But even setting aside the practical
challenges inherent in vacating the Rule only as to Plaintiffs in this case, see O.A., 404
F. Supp. 3d at 153, precedent in this Circuit instructs otherwise.



                                                 50
But the organizational Plaintiffs, like CAIR and Tahirih, are not challenging any specific order to

exclude an individual alien; they bring a facial challenge to the Rule. For that reason, Section

1252(e)(1) does not apply. Second, Defendants point to Section 1252(f)’s dictate that “no court

(other than the Supreme Court) shall have jurisdiction or authority to enjoin or restrain the

operation of the provisions of [8 U.S.C. §§ 1221–32] other than with respect to the application of

such provisions to an individual alien against whom proceedings under such part have been

initiated.” Id. at 10–11. But again, that section does not apply here. The Rule was issued under

12 U.S.C. § 1158(b)(2)(c), see 84 Fed. Reg. at 33,835, not one of the provisions covered by

Section 1252(f). See O.A., 404 F. Supp. 3d at 158. Moreover, by vacating the Rule, the Court is

not enjoining or restraining the INA’s operation. 29

       Finally, Defendants argue that “in light of the Supreme Court’s order in Barr v. East Bay

Sanctuary Covenant,” 140 S. Ct. 3 (2019), the Court should “stay the effect of any decision

concerning relief pending resolution of East Bay.” Defs.’ Supp. Br. at 12–13. The Court sees no

reason to do so. The parties in East Bay are still litigating the propriety and scope of preliminary

relief, and the Supreme Court’s order simply stayed the nationwide scope of the preliminary

injunction entered by the district court. At bottom, the Court can glean little from the Supreme



29
   The Court sees no reason why the relief available to the organizational Plaintiffs would be
governed by Section 1252. See Defs.’ Supp. Br. at 9–12. But even assuming it is, Defendants’
arguments also run headlong into Section 1252(e)(3), which authorizes courts in this District to
make “determinations” about whether relevant regulations issued by the Attorney General are in
violation of law. According to Defendants, the INA allows the Court only to issue these
“determinations” from which no legal consequences flow. See id. at 10. But it would be very
strange if Congress—in a section entitled “Challenges on validity of the system”—empowered
this Court to determine that a regulation was unconstitutional but left it powerless to remedy it.
Indeed, such a result could be inconsistent with Article III. See Preiser v. Newkirk, 422 U.S.
395, 401 (1975) (noting that “a federal court has neither the power to render advisory opinions
nor ‘to decide questions that cannot affect the rights of litigants in the case before them.’”
(citation omitted)).



                                                 51
Court’s one-paragraph order other than that a majority of Justices believed the factors meriting a

stay were satisfied. See 140 S. Ct. at 3; see also Maryland v. King, 567 U.S. 1301, 1301 (2012)

(Roberts, C.J., in chambers) (listing the factors the Supreme Court considers when deciding

whether to grant a stay).

       For these reasons, the Court holds that vacatur is the appropriate remedy and that neither

remand without vacatur nor a stay of vacatur is warranted.

       Conclusion

       For all these reasons, the Court will grant Plaintiffs’ Motions for Summary Judgment,

CAIR ECF No. 41, I.A. ECF No. 6; deny Defendants’ Cross-Motions, CAIR ECF No. 43, I.A.

ECF No. 17; and vacate the Rule. A separate order will issue.


                                                             /s/ Timothy J. Kelly
                                                             TIMOTHY J. KELLY
                                                             United States District Judge

Date: June 30, 2020




                                                52
