Principles of Administrative Law
Principles of Administrative Law
Principles of Administrative Law
JESSE H. CHOPER
Professor of Law and Dean Emeritus,
University of California, Berkeley JOSHUA DRESSLER
Professor of Law, Michael E. Moritz College of Law,
The Ohio State University YALE KAMISAR
Professor of Law Emeritus, University of San Diego
Professor of Law Emeritus, University of Michigan MARY
KAY KANE
Professor of Law, Chancellor and Dean Emeritus,
University of California,
Hastings College of the Law LARRY D. KRAMER
President, William and Flora Hewlett Foundation
JONATHAN R. MACEY
Professor of Law, Yale Law School ARTHUR R. MILLER
University Professor, New York University
Formerly Bruce Bromley Professor of Law, Harvard
University GRANT S. NELSON
Professor of Law, Pepperdine University
Professor of Law Emeritus, University of California, Los
Angeles A. BENJAMIN SPENCER
Professor of Law, University of Virginia School of Law
JAMES J. WHITE
Professor of Law, University of Michigan
i
by
Keith Werhan
Ashton Phelps Chair in Constitutional Law
Tulane University School of Law
Mat #41353327
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to the actions of all agencies, and not to the idiosyncratic
procedures that particular agencies follow. For example,
the Environmental Protection Agency, as an administrative
agency, is shaped and controlled by the general
requirements of administrative law. The EPA, though, like
almost every agency, has adopted special procedures that
are uniquely suited to its regulatory responsibilities. While
those procedures are important components of
environmental law, they are meaningful in the study of
administrative law only to the extent they relate to the
decision-making procedures of agencies in general.
This book, like most texts on administrative law, has
imposed one final limitation on its subject matter: it is
confined to federal administrative law. Each state has its
own complement of administrative agencies, and with
them, its own body of administrative law. A comparative
study of the administrative law of the various states,
together with that of the federal government (not to
mention other nations), has much to offer, but so too does a
limited focus on the federal administrative system. Because
federal administrative law has influenced the development
of administrative law in the states, and because the
jurisprudence at both levels of government shares much in
common, one who understands the federal system knows a
great deal about state systems as well.2
Despite these limitations, the scope of administrative law
remains quite broad. Administrative law is implicated
whenever the activities of government agencies or officials
affect individual rights. Moreover, it speaks not only to the
power of agencies themselves, but also to the respective
roles of the principal constitutional actors—Congress, the
president, and the courts—regarding the exercise of agency
authority. Administrative agencies, however, are the
primary subjects of administrative law.
§ 1.2 What Are Administrative Agencies?
From the foregoing discussion, it makes sense to think of
an agency, at least for the purposes of administrative law,
as any governmental entity with the authority to take
actions that alter the legal rights and obligations of
individuals. And indeed, that is pretty much the definition
of “agency” provided by the Administrative Procedure Act,
with one important modification. The APA excludes the
principal institutions of the federal
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***
Reflecting on the regulatory history of the United States,
Thomas McCraw commented, “The single constant in the
American experience with regulation has been
controversy.”83 The same might be said of the history of
American administrative law. The reasons for this
controversy are fairly clear. Government administration
raises fundamental issues on which Americans have always
been divided. But there would be controversy even without
such divisions. The tasks of government regulation and of
administrative law are extremely difficult. Congress has
typically turned to administrative regulation only after
other institutions have failed to resolve public problems. As
for administrative law, the challenge of devising a legal
framework that both legitimates and controls the authority
of administrative agencies is not to be underestimated. But
if the tasks of administrative agencies and of administrative
law are difficult, they also are crucial. Americans have
relied on agencies to run their government, to see them
through economic depression and world wars, and to
protect their health, wealth, and safety during quieter
times. Americans have relied on administrative law to
ensure that agencies perform these functions with due
regard for the rule of law, a proper respect for individual
rights, and a sense of fidelity to our deepest constitutional
commitments.
Finally, and perhaps most importantly, a review of the
history of the American administrative state and of
American administrative law shows that our understanding
of each has changed over time. If controversy has been a
constant of government administration, so has change. And
there is no reason to believe that controversy and change
will ever cease being part of the American administrative
experience. Every generation’s understanding of the role of
government administration, and therefore of the role of
administrative law, is but a snapshot of a moving target. It
is to the development of that picture that we now turn.
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1 5 U.S.C. §§ 551–559, 701–706. The APA is discussed
briefly in § 1.5(d) and is introduced in detail in Chapter 4.
The provisions of the APA are examined throughout this
book.
2 See Arthur Earl Bonfield, The Federal APA and State
Administrative Law, 72 VA. L. REV. 297, 303–34 (1986). The
leading law-school casebook integrating federal and state
administrative law is MICHAEL ASIMOW & RONALD M. LEVIN,
STATE AND FEDERAL ADMINISTRATIVE LAW (3d ed. 2009).
3 Although the APA does not explicitly exclude the
president, the Supreme Court has held, primarily on
separation of powers grounds, that the APA’s definition of
agency does not extend to the president. Franklin v.
Massachusetts, 505 U.S. 788, 800–01 (1992); see also
Citizens for Responsibility and Ethics in Washington v.
Office of Administration, 566 F.3d 219 (D.C.Cir. 2009)
(holding that the White House Office of Administration is
not an “agency” within the meaning of the APA). By the
same token, the D.C. Circuit has interpreted the APA’s
explicit exclusion of “Congress” broadly to include “the
entire legislative branch.” Washington Legal Foundation v.
United States Sentencing Comm’n, 17 F.3d 1446, 1449
(D.C.Cir. 1994); see also Ethnic Employees of Library of
Congress v. Boorstin, 751 F.2d 1405, 1416, n. 15 (D.C.Cir.
1985) (holding that the Library of Congress is not an
“agency” under the Act).
4 See Pickus v. United States Board of Parole, 507 F.2d
1107, 1111 (D.C.Cir. 1974) (APA definition of agency should
be given “broad, inclusive reading”). The APA definition
makes several exceptions in addition to those for Congress
and the courts. The excluded entities all are of a special
nature, such as territorial governments and certain military
authorities (see APA § 551(1)(C)–(H)).
5 Senate Comparative Print (1946), quoted in Attorney
General’s Manual on the Administrative Procedure Act 9
n.1 (1947), reprinted in WILLIAM F. FUNK, et al., FEDERAL
ADMINISTRATIVE PROCEDURE SOURCEBOOK 39–176 (4th ed.
2008) (emphasis added).
6 The distinction between executive and independent
agencies is discussed in § 2.4(b).
7 The distinction between rulemaking and adjudication is
discussed in §§ 3.1, 4.2.
8 THE FEDERALIST NO. 45, at 299 (James Madison) (Modern
Library ed., 1941).
9 For varying expositions of the public interest theory, see
Robert B. Reich, Public Administration and Public
Deliberation: An Interpretive Essay, 94 YALE L.J. 1617
(1985); Mark Seidenfeld, A Civic Republican Justification
for the Bureaucratic State, 105 HARV. L. REV. 1511 (1992);
Cass R. Sunstein, Interest Groups in American Public Law,
38 STAN. L. REV. 29 (1985).
10 The leading exploration and critique of the interest
group theory is Richard B. Stewart, The Reformation of
American Administrative Law, 88 HARV. L. REV. 1667
(1975).
11 The public choice literature is vast. For a good
introduction to public choice theory with a critical bite, see
DANIEL A. FARBER & PHILIP P. FRICKEY, LAW AND PUBLIC CHOICE:
A CRITICAL INTRODUCTION (1991). For early, leading
expositions of the theory, see JAMES M. BUCHANAN & GORDON
TULLOCK, THE CALCULUS OF CONSENT: LOGICAL FOUNDATIONS OF
CONSTITUTIONAL DEMOCRACY (1962); Richard A. Posner,
Taxation by Regulation, 2 BELL J. ECON. & MGT. SCIENCE 22
(1971); George J. Stigler, The Theory of Economic
Regulation, 2 BELL J. ECON. & MGT. SCIENCE 3 (1971). For
recent efforts to use public choice theory to reform
regulatory law rather than to abolish regulation, see JERRY
L. MASHAW, GREED, CHAOS, & GOVERNMENT: USING PUBLIC
CHOICE TO IMPROVE PUBLIC LAW (1997); David B. Spence &
Frank Cross, A Public Choice Case for the Administrative
State, 89 GEO. L.J. 97 (2000).
12 THE FEDERALIST NO. 10, supra note 8, at 59 (James
Madison).
13 For an excellent analysis of the leading theories of
agency behavior, coupled with an argument that none of
the theories adequately describes actual agency decision-
making, see Steven P. Croley, Theories of Regulation:
Incorporating the Administrative Process, 91 COLUM. L.
REV. 1 (1998).
14 This history relies heavily on Robert L. Rabin’s leading
article, Federal Regulation in Historical Perspective, 38
STAN. L. REV. 1189 (1986).
15 BERNARD BAILYN, THE IDEOLOGICAL ORIGINS OF THE
AMERICAN REVOLUTION 95, 130 (1967); see id. at 94–143;
GORDON S. WOOD, THE CREATION OF THE AMERICAN REPUBLIC,
1776–1787, 18–43 (1969).
16 THE FEDERALIST NO. 72, at 469 (Alexander Hamilton)
(Modern Library ed., 1941).
17 The Twenty-second Amendment added the current two-
term limit on the presidency in 1951.
18 THE FEDERALIST NO. 70, supra note 16, at 454
(Alexander Hamilton).
19 The Constitutional Convention considered, but
rejected, a proposal that would have created several named
departments, with the secretaries of those departments
constituting a “Council of State” in order “to assist the
President in conducting the Public affairs.” II MAX FARRAND,
ED., THE RECORDS OF THE FEDERAL CONVENTION OF 1787, at
335–37 (1911).
20 For a recounting of the structural work of the First
Congress, see David P. Currie, The Constitution in
Congress: The First Congress and the Structure of
Government, 1789–1791, 2 U. CHI. L. SCH. ROUNDTABLE 161
(1995).
21 For an examination of the variety of approaches to
government administration reflected in the early
congressional organic acts, see Jerry L. Mashaw,
Recovering American Administrative Law: Federalist
Foundations, 1787–1801, 115 YALE L.J. 1256 (2006).
22 See Wabash, St. Louis & Pacific Railway v. Illinois, 118
U.S. 557 (1886).
23 Act of Feb. 4, 1887, 49th Cong., 2nd Sess., ch. 104, 24
Stat. 379.
24 Rabin, Federal Regulation in Historical Perspective,
supra note 14, at 1189.
25 Act of July 2, 1890, 51st Cong., 1st Sess., ch. 647, 26
Stat. 209.
26 Congress gave the ICC rate-setting authority in the
Hepburn Act of 1906. Act of June 29, 1906, 59th Cong, 1st
Sess., ch. 3591, 34 Stat. 584.
27 Act of Feb. 4, 1887, supra note 23, § 11, 24 Stat. at
383.
28 Id., § 18, 24 Stat. at 386.04.
29 WILLIAM E. NELSON, THE ROOTS OF AMERICAN
BUREAUCRACY, 1830–1900, 2–3 (1982).
30 Id. at 160.
31THE FEDERALIST NO. 9, supra note 16, at 48 (Alexander
Hamilton).
32 NELSON, ROOTS OF AMERICAN BUREAUCRACY, supra note
29, at 82 (quoting E. L. Godkin).
33 NELSON, ROOTS OF AMERICAN BUREAUCRACY, supra note
29, at 82, 84–85, 100.
34 G. EDWARD WHITE, THE CONSTITUTION AND THE NEW DEAL
100 (2000).
35 See JOHN A. ROHR, TO RUN A CONSTITUTION: THE
LEGITIMACY OF THE ADMINISTRATIVE STATE 66 (1986).
36 Act of Feb. 4, 1887, supra note 23, § 15, 24 Stat. at
384.
37 Id., § 16, 24 Stat. at 384–85.
38 THOMAS K. MCCRAW, PROPHETS OF REGULATION 62 (1984).
39Federal Trade Commission Act, Public Law 203, 63rd
Cong., 2nd Sess., ch. 311, § 5, 38 Stat. 717 (1914).
40 Act of July 2, 1890, supra note 25, § 4, 26 Stat. 209–10.
41MCCRAW, PROPHETS OF REGULATION, supra note 38, at 116
(emphasis in original).
42 WHITE, CONSTITUTION AND THE NEW DEAL, supra note 34,
at 103.
43 Act of June 16, 1933, 73rd Cong., 1st Sess, ch. 90, 48
Stat. 195.
44 295 U.S. 495 (1935); see also Panama Refining Co. v.
Ryan, 293 U.S. 388 (1935).
45 Schechter, 295 U.S. at 541.
46 Id. at 537–38.
47 Schechter is discussed in detail in § 2.3(a).
48 Act of July 5, 1935, 74th Cong., 1st Sess., ch. 372, 49
Stat. 449.
49 Act of Aug. 14, 1935, 74th Cong., 1st Sess., ch. 531, 49
Stat. 620.
50 Act of Feb. 16, 1938, 75th Cong., 3rd Sess., ch. 30, 52
Stat. 31.
51 For an examination of deferential judicial review
during the New Deal era, see Reuel E. Schiller, The Era of
Deference: Courts, Expertise, and the Emergence of New
Deal Administrative Law, 106 MICH. L. REV. 399 (2007).
52See, e.g., SEC v. Chenery Corp., 332 U.S. 194 (1947);
NLRB v. Hearst Publications, 322 U.S. 111 (1944).
53 Rabin, Federal Regulation in Historical Perspective,
supra note 14, at 1262.
54 American Bar Association Special Committee on
Administrative Law (1938), quoted in WHITE, CONSTITUTION
AND THE NEW DEAL, supra note 32, at 117.
55 The Federal Register Act of 1935, 44 U.S.C. §§ 1501–
1511.
56 5 U.S.C. §§ 551, 553–559, 701–706.
57 Rabin, Federal Regulation in Historical Perspective,
supra note 14, at 1265.
58 Wong Yang Sung v. McGrath, 339 U.S. 33, 40 (1950).
59 Rabin, Federal Regulation in Historical Perspective,
supra note 14, at 1266.
60 Wong Yang Sung, 339 U.S. at 36.
61 For an assessment of the role of capture theory during
the public interest era, see Thomas W. Merrill, Capture
Theory and the Courts: 1967–1983, 72 CHI.–KENT L. REV
1039 (1997).
62 42 U.S.C. § 4332 (2)(c).
63 CASS R. SUNSTEIN, AFTER THE RIGHTS REVOLUTION:
RECONCEIVING THE REGULATORY STATE 29–30 (1990).
64 Calvert Cliffs’ Coordinating Committee, Inc. v. United
States Atomic Energy Commission, 449 F.2d 1109, 1111
(D.C.Cir. 1971).
65 For an examination of the movement from judicial
deference to judicial activism in the public interest era, see
Reuel E. Schiller, Enlarging the Administrative Polity:
Administrative Law and the Changing Definition of
Pluralism, 1845–1970, 53 VAND. L. REV. 1389 (2000).
66 Abbott Laboratories v. Gardner, 387 U.S. 136, 140
(1967).
67 See, e.g., Association of Data Processing Serv. Org. v.
Camp, 397 U.S. 150 (1970) (standing); Abbott Laboratories
v. Gardner, 387 U.S. 136 (1967) (ripeness).
68 See Greater Boston Television Corp. v. FCC, 444 F.2d
841, 851, 852 (D.C. Cir 1970), cert. denied, 403 U.S. 923
(1971).
69 Airline Deregulation Act, Pub. L. No. 95–504, 95th
Cong., 2d Sess., 92 Stat. 1705.
70 ICC Termination Act of 1995, Pub. L. 104–88, 104th
Cong., 1st Sess., 109 Stat. 803.
71 Executive Order No. 12,291, § 2(b), 46 Fed. Reg.
13,193 (1981).
72 42 U.S.C. §§ 7651j–7661d.
73 See Paul L. Joskow & Richard Schmalensee, The
Political Economy of Market-Based Environmental Policy:
The U.S. Acid Rain Program, 41 J.L. & ECON. 37 (1998).
74 5 U.S.C. §§ 801–808.
75 435 U.S. 519 (1978).
76 Id. at 558 (emphasis in original) (citation omitted).
77 467 U.S. 837 (1984).
78 Id. at 865–66.
79See United States v. Mead Corp., 533 U.S. 218 (2001).
Chevron and its progeny are discussed in § 8.6(b)–(d).
80 My account of the financial crisis of 2008 is drawn
largely from William A. Lovett, Transnational Finance
Regulation and the Global Economy, 20 TUL. J. INT’L &
COMP. L. 43, 53–59 (2011).
81 President Barack Obama, Remarks on the National
Economy, 1 PUB. PAPERS 480, 482 (Apr. 14, 2009).
82 RICHARD A. POSNER, A FAILURE OF CAPITALISM xii (2009).
83 MCCRAW, PROPHETS OF REGULATION, supra note 38, at
301.
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Chapter 2
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throughout the Constitution. For example, Congress’s
lawmaking authority is subject to the president’s veto
power (art. I, § 7, cls. 2, 3). The president, as chief
executive, has the power to appoint the senior officials of
his or her administration, but only with the “Advice and
Consent of the Senate” (art. II, § 2, cl. 2). In addition, those
officials, as well as the president and vice president, are
subject to impeachment and removal from office by
Congress (art. I, § 2, cl. 5; id., § 3, cl. 6; art. II, § 4). Even
the tenure of federal judges, the most independent of
government actors, depends on decisions by the other
branches of government. Judges are appointed by the
president with Senate approval (art. II, § 2, cl. 2) and are
subject to impeachment and removal by Congress (art. II, §
4). The judiciary, for its part, holds the trump card of
judicial review, empowering federal judges to set aside the
actions of the other branches for infidelity to the
Constitution or other governing laws.12 These and other
combinations of power-separation and power-sharing
arrangements in the day-to-day operations of the federal
government create an intricate web of institutional
relationships that, the framers hoped, would prevent any of
the three branches from emerging as a tyrant.
The disagreement within the founding generation
between those who insisted on a pure separation of powers
and those who believed it necessary to dilute institutional
separation in the interest of enhancing checks and
balances remains vigorous today. It takes the form of the
equally intense debate among judges and legal scholars
over the relative merits of formal and functional
approaches to separation of powers issues. The typical
formal approach deduces from the three vesting clauses a
constitutional acceptance of a pure version of separated
powers theory. While separation formalists concede that
the Constitution did not “hermetic[ally]” seal the three
branches of the federal government from each other,13 they
resist deviations from the model of pure separation that are
not explicitly authorized by the text.14 Formalist judges
favor a categorical analysis that inquires whether a
branch’s actions are within the scope of authority vested in
it by the Constitution.15
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(satisfying the presentment requirement). If the president
vetoes the joint resolution, the usual constitutional
requirement of a two-thirds vote in each House of Congress
applies in order to override the veto (U.S. CONST. art. I, § 7,
cl. 3). If Congress enacts a joint resolution of disapproval,
the agency rule does not take effect (or continue in effect, if
it has already become effective), and the agency is
precluded from re-issuing “substantially the same” rule in
the future, unless it is “specifically authorized” by a later
federal statute.139
Congress waited five years before invalidating an agency
rule pursuant to the report-and-wait procedure of the Small
Business Act.140 Did Congress’s “veto” of the rule offend
Chadha? The Supreme Court has not considered the
constitutionality of report-and-wait procedures since
Chadha, but in a pre-Chadha decision, Sibbach v. Wilson &
Co., the justices noted with apparent approval the report-
and-wait feature of the act of Congress enabling the Court
to approve rules of civil procedure for the federal
judiciary.141 In Sibbach, the justices recognized the “value”
of report-and-wait provisions: they provide Congress an
opportunity to ensure that agency action pursuant to a
statutory delegation is consistent with the legislative
purpose.142 It seems clear, moreover, that the Small
Business Act cured the procedural defect of the legislative
veto because a joint resolution of disapproval satisfies the
bicameralism and presentment requirements of Article I.
The Court in Chadha suggested as much when it noted that
its excision of the legislative veto provision in the INS’s
enabling act left in place a “report and wait” provision
along the lines “approved by the Court in Sibbach.”143 At
bottom, the legal effect of the Small Business Act is to
extend for major rules the general 30-day waiting period
for rules established by the Administrative Procedure Act
(see § 553(d)). Such an effect should not pose a
constitutional problem.
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The courts expect agencies “to balance Congressional
pressure with the pressures emanating from all other
sources.”156 Reviewing courts have not allowed legislative
attempts to influence the outcome of agency adjudications,
however. Such legislative pressure has been held to violate
the procedural due process rights of the parties to those
proceedings.157 In addition, the Administrative Procedure
Act broadly prohibits ex parte communications between
legislative officials and agency decision-makers in formal
administrative proceedings (see § 5.6).
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simply believed that it made functional sense for the
president to be able to remove executive officers.
The final group of House members argued that the
power of removal from executive office should parallel the
constitutional power to create the office. Because
Congress, under its necessary and proper power, decided
whether to create an office, this interpretation held, the
legislators could also decide the tenure of the incumbent of
that office. Every House member who held this view,
however, believed it best, as a matter of policy, for
Congress to authorize the president alone to remove the
heads of the new departments.
In the end, the proponents of the third and fourth
interpretations prevailed in the House, which approved
provisions authorizing the president alone to remove the
Secretaries of Foreign Affairs, Treasury, and War from
office. But because the members of the winning coalition
advanced different opinions on the constitutional location
of the removal power, it is unclear whether the removal
provisions reflected a judgment by House members that the
Constitution mandated an exclusive presidential power of
removal, or simply that presidential removal represented
the best policy option. The senators, who did not record
their debate, split evenly on whether to provide the
president an unencumbered power to remove the first
executive department heads. The Senate adopted the
House provision only on the tie-breaking vote of Vice
President John Adams. Thus, the best interpretation of the
so-called “Decision of 1789” might well be that the First
Congress was unable to settle the vexing separation of
powers questions surrounding the constitutional placement
of the power to remove the heads of executive departments
other than by impeachment.
The Supreme Court’s Jurisprudence. Although
Congress took up the question of the Constitution’s
allocation of the power to remove executive officers as one
of its first orders of business, the Supreme Court did not
immediately weigh in on the question. Indeed, the Court’s
first extensive consideration of the removal power did not
come until the twentieth century, when the Court decided
Myers v. United States.194 Myers involved an order by
President Woodrow Wilson to his Postmaster General to fire
a postmaster. The firing violated a statute providing that
the president could remove postmasters only “with the
advice and consent of the Senate.” A divided Court, led by
Chief Justice (and former President) William Howard Taft,
upheld the postmaster’s removal, holding that the
Constitution vests the president with the “exclusive” and
“unrestricted” power to remove “executive officers of
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presidency to be “suitably energetic but safely
republican,”221 and the specific power grants of Article II
often are double-edged swords. Thus, although the
president has the power (and obligation) to see that the
laws are faithfully executed, the text stops short of giving
the president power to personally execute those laws.
Similarly, the Opinions Clause, by its terms, simply allows
the president to demand reports from the executive
department heads with respect to the execution of their
duties, and not to take over those duties and make them
her or his own.222 And of course, the Constitution’s vesting
in Congress of the power “[t]o make all Laws which shall
be necessary and proper for carrying into Execution … all
other Powers vested by [the] Constitution in the
Government of the United States, or in any Department or
Officer thereof” (art. I, § 8, cl. 18), suggests that the
legislators have at least some say in the administration of
the federal government.223 After all, the president’s
authority to “take Care that the Laws be faithfully
executed” obligates him or her to deploy the executive
power in accordance with all valid acts of Congress, and
not simply with her or his preferences.224
Given these constitutional crosscurrents, it is hardly
surprising that the Court has found it difficult to define the
proper constitutional role of the president concerning the
execution of statutes that Congress has placed in the hands
of other government administrators. We know from our
earlier discussion that the Constitution provides the
president a means of controlling administration by vesting
in him or her the power to appoint agency heads, albeit
subject to Senate confirmation. Congress can limit the
president’s appointment discretion somewhat by specifying
the qualifications of the offices that it creates. We also have
seen that the president has the power to fire agency heads,
although Congress may require that the president
demonstrate “good cause” for most removals. The ultimate,
as well as the most difficult, question triggered by the
unitary presidency created by Article II concerns the extent
of the president’s constitutional authority to direct the
decision-making of officials who perform executive
functions.
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on the president’s removal authority. It would seem to
follow from these decisions that the president also lacks
authority to undermine the statutory independence of such
officials more directly by requiring them to exercise their
statutory discretion in accordance with his or her wishes.
But what of administrative officials who exercise statutory
authority without the protective cloak of a good-cause
limitation on their removal? Because Myers allows the
president to fire such officials at will, it is clear that he or
she may do so if they refuse to obey policy directions. Does
it also follow that the president may require these
executive officials to adopt his or her policy directives in
exercising their statutory discretion?
The Supreme Court has yet to resolve this question, but
the decision by the influential D.C. Circuit court of appeals
in Sierra Club v. Costle232 suggests a likely answer, at least
with respect to informal administrative rulemaking.233
Sierra Club involved a challenge by environmental groups
to an important set of emission standards issued by the
Environmental Protection Agency, which is an executive
rather than an independent agency. The groups alleged,
among other things, that the agency’s rulemaking was
tainted by a series of closed meetings between EPA officials
and the president, along with White House staff and other
senior executive officials. The court of appeals upheld the
legality of the meetings. At least with respect to executive
agencies like the EPA, the court of appeals “recognize[d]
the basic need of the President and his White House staff to
monitor the consistency of executive agency regulations
with Administration policy. He and his White House
advisers surely must be briefed fully and frequently about
rules in the making, and their contributions to
policymaking considered.”234
The italicized language suggests that the D.C. Circuit’s
decision in Sierra Club limits as well as supports the
involvement of the president and White House staff in
rulemaking decisions by executive agencies. In the Sierra
Club framework, Article II enables the president, together
with members of the White House staff, to review and to
express their views regarding administrative regulatory
decisions. But while executive agencies are obligated to
consider those views, they need not follow them. The
distinction between presidential cajoling and binding
direction observes the fine line the framers walked in the
Take Care and the Opinions Clauses. It also is true to
Kendall. For the president to direct, and thus to take over,
the decision-making of an agency pursuant to its
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private rights, provided it preserves “the essential
attributes of the judicial power.”301 Schor involved an
enabling act that gave the Community Futures Trading
Commission broad authority to adjudicate claims for
reparations brought by disgruntled customers against
commodity brokers for alleged violations of either the act
or the Commission’s regulations. Upon the filing of a
reparations claim, the Commission’s regulations permitted
(but did not require) the broker to file a counterclaim
against the customer for any claim “aris[ing] out of the
transaction or occurrence or series of transactions or
occurrences set forth in the complaint.”302 Schor held that
Article III did not bar the Commission from hearing such a
counterclaim based on state common law.
The justices acknowledged that state common law claims
reside at the “core” of the private rights “normally reserved
to Article III courts.” But that acknowledgement launched
rather than concluded the Court’s inquiry. In upholding the
Commission’s jurisdiction over state-law counterclaims in
reparations proceedings, the justices took a decidedly
functional approach, “weigh[ing] a number of factors, …
with an eye to the practical effect that the congressional
action will have on the constitutionally assigned role of the
federal judiciary.” Several features of the administrative
scheme convinced the Court that “the magnitude of any
intrusion on the Judicial Branch” by the Commission’s
jurisdiction over state-law counterclaims could “only be
termed de minimis.” It was important in Schor that the
counterclaims were permissive rather than mandatory, and
thus that the brokers were free to file their claims against a
customer in court rather than in a CFTC reparations
proceeding. The justices also emphasized that the enabling
act did not reflect an effort by Congress to broadly displace
judicial authority over state-law claims. Rather, the act
simply provided adjudicatory authority over “a narrow class
of common law claims as an incident to the CFTC’s primary,
and unchallenged, adjudicative [authority over reparations
claims]” solely “to ensure the effectiveness” of the
reparations process. And perhaps most importantly, the
enabling act gave Article III courts an important role in
reviewing and enforcing the Commission’s orders. Article
III courts determined whether the weight of the evidence
supported the Commission’s factual findings and reviewed
the legal determinations of the Commission de novo.
Moreover, the Commission lacked power to enforce its
orders: only an Article III court could do so. For this
combination of reasons, the Court held, the administrative
adjudicatory process at issue in Schor preserved
114
115
116
118
119
120
121
122
123
124
125
126
127
128
129
130
131
right-privilege distinction. In essence, the justices added
the deprivation of rights created by statute to the
deprivation of rights recognized at common law to define
the category of government deprivations triggering
procedural due process protections. This expansion would
have reflected the justices’ recognition that “[m]uch of the
existing wealth in this country takes the form of rights that
do not fall within traditional common-law concepts of
property.” In this entitlement interpretation of Goldberg,
the Court protected “welfare entitlements” because they
constituted part of the “new property” created by the
government since the heyday of the common law.43
The Goldberg opinion contains language that extends
beyond the entitlement interpretation, suggesting that the
justices may have abandoned the idea that only the denial
of rights, whatever their source, could constitute the
deprivation of property or liberty necessary to trigger
procedural due process protections. In the section of the
opinion analyzing whether the denial of welfare benefits
triggered procedural due process protection (and indeed,
almost immediately following the observation that New
York’s welfare benefits were statutory entitlements), the
justices introduced a functional balancing test. They wrote,
“The extent to which procedural due process must be
afforded the recipient is influenced by the extent to which
he may be condemned to suffer grievous loss, and depends
upon whether the recipient’s interest in avoiding that loss
outweighs the governmental interest in summary
adjudication.”44 The Court in Goldberg concluded that the
beneficiaries were entitled to due process before the initial
termination of their welfare payments only after engaging
in that balancing analysis. The justices did not engage in
any comparable entitlement analysis. The “grievous loss”
interpretation thus might well provide a better account of
Goldberg’s due process trigger than the “entitlement”
interpretation.
It was the balancing of the private and public interests at
stake in the termination of welfare benefits that appeared
to convince the justices that “only a pre-termination
evidentiary hearing provides the recipient with procedural
due process.” The justices in Goldberg considered the
beneficiaries’ interest in the uninterrupted flow of welfare
benefits to be uniquely compelling. The Court wrote, “[T]he
crucial factor in this context—a factor not present in the
case of … virtually anyone else whose governmental
entitlements are ended—
132
133
134
135
136
137
138
139
But unlike Roth, who was let go after his first year,
Sinderman had been renewed routinely for ten years in the
state-college system before his termination. Based on those
ten contract renewals, Sinderman alleged that he had
become tenured through his college’s “de facto tenure
program.” Under that program, Sinderman alleged further,
a faculty member who, like he, had been employed in the
state-college system for seven years or more, possessed
tenure. According to Sinderman, his tenured status
guaranteed his retention “unless adequate cause for
dismissal is demonstrated in a fair hearing, following
established procedures of due process.”71
If Sindermann could prove these allegations, the Court
held, he would have “a legitimate claim of entitlement to
job tenure,” and thus the right to a due process hearing to
challenge whether college administrators had sufficient
cause to terminate his employment. The justices explained,
“A person’s interest in a benefit is a ‘property’ interest for
due process purposes if there are such rules or mutually
explicit understandings that support his claim of
entitlement to the benefit and that he may invoke at a
hearing.” An “unwritten ‘common law’ in a particular
university that certain employees shall have the equivalent
of tenure,” the Court concluded, was sufficient to establish
such a rule or understanding creating a legitimate claim of
entitlement for procedural due process purposes.72 As Roth
made clear, however, proving the existence of such a
common law is not easy. Merely showing that the college
had rehired “most teachers” employed on an annual basis
was insufficient to establish an unwritten tenure
program.73
An Additional Monetary Value Requirement? In Roth
and later decisions, the justices have focused their
entitlement analysis on the source of the putative property
right at issue, rather than the content of that right. This
focus squares with Roth, where the justices served notice
that henceforth they would look at the “nature” rather than
the “weight” of the threatened individual interest when
determining whether to apply the due process clauses.74
Recently, however, the Court suggested that an entitlement
by itself may not be sufficient to establish a property
interest. In Town of Castle Rock v. Gonzales,75 the Court
noted that it was at least relevant to consider whether an
entitlement “resemble[d] any traditional conception of
property” before deciding whether a property interest was
at stake. The Court in Castle Rock
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142
143
144
145
146
147
148
149
Constitutional Rights. The many provisions of the Bill
of Rights that the Court has “incorporated” into the due
process clause of the Fourteenth Amendment122 may seem
the most obvious source of the constitutional content of
liberty. But ironically, these fundamental rights protections
have had little impact on procedural due process
jurisprudence.
The major stumbling block for the usefulness of the Bill
of Rights has been the Court’s holding in Roth and
Sindermann that merely alleging that government officials
have violated one of those rights is insufficient to trigger
procedural due process protections.123 Yet an individual
who succeeds in proving a violation of one of the Bill of
Rights no longer needs procedural due process protections.
Provisions such as the free speech clause of the First
Amendment and the takings clause of the Fifth Amendment
prohibit the government from taking particular actions
(abridging freedom of speech, confiscating private property
without compensation) regardless of the procedures
officials used when acting.
Roth and Sindermann illustrate the inapplicability of the
incorporated provisions of the Bill of Rights to procedural
due process claims. The faculty members in those cases
claimed that their nonrenewal violated their freedom of
speech because it had been in retaliation for their public
criticism of university administrators. As its incorporation
into the Fourteenth Amendment demonstrates, an
abridgment of freedom of speech constitutes a deprivation
of liberty within the meaning of the due process clause. But
the allegation of such an abridgment did not prove the
deprivation.124 Had the faculty members been able to
convince a court that their nonrenewal violated their
freedom of speech, the nonrenewal would have been
unconstitutional without regard to whether their respective
colleges had held a due process hearing before they
acted.125
The lesson of Roth and Sindermann is that, as a practical
matter, the constitutional liberty protected by procedural
due process includes only individual interests that do not
receive special substantive protection under the
Constitution. Put another way, procedural due process
comes into play only when the government
150
151
152
As a result of Paul’s “stigma-plus” requirement, claims of
harm to reputation sufficient to constitute a deprivation of
liberty largely have been limited to cases involving
termination of, and possibly demotion in, public
employment.134 The strictness of Paul’s stigma-plus
requirement even in this limited context was evident when
the justices decided Siegert v. Gilley.135 Siegert, a clinical
psychologist, had resigned his position at a federal mental
hospital after being notified that the hospital intended to
fire him for misconduct. Siegert then took a position at an
Army hospital. The Army hospital asked Siegert’s
supervisor at the former hospital to provide information on
Siegert’s job performance there. Siegert’s former
supervisor wrote the Army hospital that he regarded
Siegert as “both inept and unethical, perhaps the least
trustworthy individual I have supervised.” The Army
hospital fired Siegert upon receipt of the former
supervisor’s letter. Siegert sued his former supervisor,
claiming that by sending the letter to the Army hospital
without first giving him an opportunity to respond, the
former supervisor had deprived Siegert of liberty without
due process of law. The Court held that the alleged
defamation in the former supervisor’s letter did not satisfy
the stigma-plus requirement of Paul because it had been
communicated after, rather than “incident to,” the former
hospital’s termination of Siegert.136 It did not matter that
the letter had caused the Army to fire Siegert.
The justices have restricted claims of harm to reputation
beyond Paul’s stigma-plus requirement. For example, the
Court has ruled that a government official’s defamatory
statement must be made publicly in order for an individual
to suffer stigmatic harm to reputation. A private, oral
communication by a government official to a public
employee alleging misconduct as a reason for termination
does not deprive the employee of a liberty interest in his or
her reputation.137 Moreover, a due process claimant must
allege that a government official’s damaging statements
are
153
154
155
156
The Court in County of Sacramento suggested that in
order to sustain a claim of substantive due process against
administrative action “when only midlevel fault has been
shown,” a claimant must prove that government officials
manifested “deliberate indifference” to individual welfare
in a setting where the officials enjoyed “the luxury … of
having time to make unhurried judgments, upon the chance
for repeated reflection, largely uncomplicated by the pulls
of competing obligations.” It is only “[w]hen such extended
opportunities to do better are teamed with protracted
failure even to care, indifference is truly shocking,” and
thus, a violation of substantive due process.151
It is unclear whether the Court would apply the
substantive due process approach delineated in County of
Sacramento to procedural due process claims involving
“midlevel fault” by government officials.
(d) The Process That Is Due
“Once it is determined that due process applies,” the
Supreme Court has written in frequently quoted language,
“the question remains what process is due.”152 It is easy to
forget that the due process clauses do not prohibit
government deprivations of individual interests in life,
liberty, and property per se. Indeed, the Constitution
explicitly permits such deprivations so long as the
individual is afforded “due process.” The essential elements
of procedural due process are clearly established: due
process obligates government officials to provide (1) notice
and (2) opportunity for a hearing before finally depriving an
individual of a protected interest.153 In Goldberg v. Kelly,
the Court strongly signaled that due process hearings must
contain the core components of a judicial trial (see § 3.3).
But just as Roth contained the explosive potential of
Goldberg by substituting entitlement analysis for the
grievous loss approach in triggering due process, Mathews
v. Eldridge154 reversed the Goldberg presumption that
trial-type hearings were the due process norm.
Mathews v. Eldridge. In Mathews, the Court performed
a due process audit of federal administrative procedures
for terminating disability benefits. The enabling act entitled
disabled individuals to receive benefits for the duration of
their disability. Eldridge had
157
158
159
to the decision-maker, [was] substantially less in [Mathews]
than in Goldberg.”161
In justifying that distinction, the Court in Mathews relied
on the differing “nature of the relevant inquiry” in the two
contexts. The relevant inquiry concerning the disability
benefits of Mathews was whether some physical or mental
condition prevented an individual from holding a job. That
inquiry, the Court found, usually turned on routine and
unbiased medical reports by examining physicians. Such an
inquiry lent itself to a paper hearing, the Court held,
because it was “sharply focused and easily documented,”
and because medical professionals could communicate
effectively in writing. By contrast, an individual’s
entitlement to the welfare benefits of Goldberg had
depended on financial need. Such an inquiry required the
assessment of “a wide variety of information.” The justices
in Mathews also reminded that “issues of witness
credibility and veracity often [were] critical” in welfare
determinations. The Court in Goldberg had emphasized the
necessity of a trial-type hearing to resolve credibility
disputes.162
The Government’s Interest. The concluding
consideration of the Mathews test is “the public interest,”
which includes “the administrative burden and other
societal costs” of satisfying the claimant’s demand for
additional hearing requirements.163 Whereas the justices
could point to distinctions between welfare and disability
programs in distinguishing between Goldberg and Mathews
on the first two factors, the principal difference on the third
factor arose from a profound shift in judicial outlook
between the two decisions.
For the Goldberg Court, the public interest implicated by
the termination of public assistance moved in opposing
directions. The justices recognized the cost savings of
summary decision-making processes. But they also
understood that the wrongful termination of eligible
beneficiaries compromised the public’s interest, as
determined by the legislature, in making public assistance
available. Indeed, the Court in Goldberg ultimately
determined that the public interest in avoiding wrongful
terminations of welfare recipients outweighed the
government’s economic interest in summary termination
processes.164
The Court in Mathews, in stark contrast to Goldberg,
concentrated almost exclusively on the economic efficiency
side of
160
161
162
government officials to be a constitutionally acceptable due
process hearing.174 Indeed, the justices accepted informal
consultations before deciding Mathews. In Goss v.
Lopez,175 the Court held that public school students were
entitled to a due process hearing before being suspended
from school on charges of misconduct. But the Court held
that due process was satisfied, at least for a brief
suspension, by “informal give-and-take between student
and disciplinarian.” More specifically, Goss required that
school disciplinarians give a student suspected of
wrongdoing “oral or written notice of the charges against
him and, if he denies them, an explanation of the evidence
the authorities have and an opportunity to present his side
of the story.” Both notice and hearing could follow
immediately after the alleged misconduct.176
The informal, oral “consultation hearings” approved in
Goss (sometimes called “Goss hearings”) provide a starting
point for analyzing whether the government in any
particular instance has satisfied the baseline due process
requirement of affording individuals a meaningful
opportunity to present their case. But in cases where the
Court has held a consultation hearing to satisfy procedural
due process, special circumstances encouraged the justices
to accept this minimal form of oral hearing. It was
important in Goss, for example, that the students had
served only a “short,” 10-day suspension.177 And in
Cleveland Board of Education v. Loudermill,178 the Court
upheld a Goss hearing before the initial termination of a
tenured public employee, relying “in part” on the
employee’s opportunity for a trial-type administrative
hearing after the job termination. The Court in Loudermill
essentially equated the pretermination process with a
reasonable cause hearing.179
In situations where the individual’s interest weighs more
heavily than in Goss and Loudermill, or where the need for
accuracy is greater, courts should require more than oral
consultation to satisfy due process hearing requirements.
But although expanded hearing processes likely will be
required in some instances, all signs in contemporary
procedural due process
163
164
165
166
167
168
169
responsibility for its employees’ deprivation of the mental
patient’s liberty because it had “disregarded [its] duty to
ensure that the proper procedures were followed.”211
***
The ancient guarantee that government officials may
deprive individuals of their liberty or property only through
due process of law occupies an important doctrinal position
in administrative law. But as this chapter has shown, the
procedural rights that the due process clauses provide to
individuals are importantly limited as well. Procedural due
process applies only to administrative adjudications, and
then, only when an individual’s property interests or liberty
interests are at risk of deprivation. And even when
procedural due process applies, it often requires only
informal administrative decision-making processes. In some
instances, judicial remedies made available to individuals
after an initial deprivation of a protected interest satisfy
the procedural due process requirement.
The role of procedural due process in administrative law
is not limited to the constitutional rights that it affords to
individuals, however. The time-honored values served by
due process—such as, the fairness of government action
and the rule of law—pervade administrative law. As the
remainder of this book manifests, due process values have
deeply influenced Congress and the courts in their
development and enforcement of the maze of sub-
constitutional rules that govern the administrative process.
____________________________
1 See, e.g., Lingle v. Chevron, U.S.A., 544 U.S. 528, 542
(2005); County of Sacramento v. Lewis, 523 U.S. 833, 846
(1998); Williamson v. Lee Optical Co., 348 U.S. 483, 487–88
(1955). The courts impose a higher burden on the
government to justify deprivations of fundamental liberty
interests. See, e.g., Washington v. Glucksberg, 521 U.S.
702, 719–20 (1997). Governmental deprivations of life—
that is, the death penalty—are not within the province of
administrative law.
2 See County of Sacramento, 523 U.S. at 846 (“cases
dealing with abusive executive action have repeatedly
emphasized that only the most egregious official conduct
can be said to be ‘arbitrary in the constitutional sense’ ”
(quoting Collins v. City of Harker Heights, 503 U.S. 115,
129 (1992))).
3 28 Ed. III, ch.3 (1354).
4 Article XXXIX of Magna Carta provided, “No freeman
shall be taken and imprisoned or disseized or exiled or in
any way destroyed, nor will we go upon him nor send upon
him, except by the lawful judgment of his peers and by the
law of the land.”
5 Murray’s Lessee v. Hoboken Land & Improvement Co.,
59 U.S. 272, 276 (1855).
6 County of Sacramento, 523 U.S. at 845–46.
7 Logan v. Zimmerman Brush Co., 455 U.S. 422, 433
(1982); see United States v. James Daniel Good Real
Property, 510 U.S. 43, 48 (1993); Mathews v. Eldridge, 424
U.S. 319, 333 (1976); Board of Regents of State Colleges v.
Roth, 408 U.S. 564, 569–70 (1972). The procedural due
process protections of the Fifth and Fourteenth
Amendments are identical in application. See Paul v. Davis,
424 U.S. 693, 702 n.3 (1976).
8 See County of Sacramento, 523 U.S. at 845; Daniels v.
Williams, 474 U.S. 327, 331 (1986); Hurtado v. California,
110 U.S. 516, 527 (1884).
9 County of Sacramento, 523 U.S. at 846.
10 Fuentes v. Shevin, 407 U.S. 67, 81 (1972); see Daniels,
474 U.S. at 331.
11 JOHN V. ORTH, DUE PROCESS OF LAW: A BRIEF HISTORY 88
(2003).
12 210 U.S. 373 (1908).
13 239 U.S. 441 (1915).
14 Londoner, 210 U.S. at 385–86.
15 Bi-Metallic, 239 U.S. at 445–46.
16 Londoner, 210 U.S. at 385.
17 Bi-Metallic, 239 U.S. at 443.
18 Id. at 445.
19 Id. at 446.
20 Id. at 445–46; see also Minnesota State Bd. For
Community Colleges v. Minnesota Community College
Faculty Ass’n, 465 U.S. 271, 284 (1984) (“To recognize a
constitutional right to participate directly in government
policymaking would work a revolution in existing
government practices.”).
21 KENNETH CULP DAVIS, 1 ADMINISTRATIVE LAW TREATISE §
7.02, at 413–12 (1958).
22 Id.
23 Bi-Metallic, 239 U.S. at 444–46 (“it is obvious that
injustice may be suffered if some property in the county
already has been valued at its full worth”).
24 276 F.2d 892 (2nd Cir. 1960), cert. denied, 366 U.S.
962 (1961).
25 Id. at 896–97; see also Interport Pilots Agency, Inc. v.
Sammis, 14 F.3d 133, 142–44 (2nd Cir. 1994) (agency
decision denying all ship pilots licensed in Connecticut the
right to pilot vessels in a New York harbor “was essentially
legislative rather adjudicative”; procedural due process
requirements therefore did not apply); McMurtray v.
Holladay, 11 F.3d 499 (5th Cir. 1993) (state law that
eliminated the jobs of a category of state employees did not
trigger procedural due process rights of those employees).
26 Bi-Metallic, 239 U.S. at 445–46.
27 Minnesota Bd. for Community Colleges, 465 U.S. at
285; see also Bi-Metallic, 239 U.S. at 445 (“There must be a
limit to individual argument in such matters if government
is to go on.”).
28 Bi-Metallic, 239 U.S. at 445; see also Minnesota Bd. for
Community Colleges, 465 U.S. at 285 (“It is inherent in a
republican form of government that direct public
participation in government policymaking is limited.…
Disagreement with public policy and disapproval of
officials’ responsiveness … is to be registered principally at
the polls.”).
29 O’Bannon v. Town Court Nursing Center, 447 U.S. 773,
800 (1980) (Blackmun, J., concurring in the judgment) (“as
the sweep of governmental action broadens, so too does
the power of the affected group to protect its interests
outside rigid constitutionally imposed procedures”).
30 482 F.2d 1301 (10th Cir. 1973).
31 Id. at 1306.
32 See also Pro-Eco, Inc. v. Board of Commissioners of Jay
County, 57 F.3d 505, 513 (7th Cir. 1995) (“We do not
believe that generally applicable prophylactic legislation
provoked by the fear of one particular actor converts an
elected body’s legislative act into a quasi-judicial or
administrative act that would [trigger procedural due
process].”); Interport Pilots Agency, Inc. v. Sammis, 14 F.3d
133, 144 (2nd Cir. 1994) (the fact that an “agency rule …
announc[ing] the scope of what it considers to be its
jurisdiction … had a predictable impact on identifiable
individuals … did not convert its legislative action into an
adjudication”); McMurtray v. Hollady, 11 F.3d 499, 504 (5th
Cir. 1993) (29 state employees who were equally affected
by a rule “qualif[y] as a general class of people”); Quivira
Mining Co. v. NRC, 866 F.2d 1246, 1261–62 (10th Cir. 1989)
(“[c]ourts uniformly have rejected” the assertion that a rule
that “potentially will apply only to one site” is adjudication
rather than rulemaking); Hercules, Inc. v. EPA, 598 F.2d 91,
118 (D.C.Cir. 1978) (“fact that [an entity] is the sole
domestic manufacturer … affected by the [agency action] …
does not, ipso facto,” mean the action is adjudication and
not rulemaking). Some judges have expressed suspicion
that an administrative rule which applies only to a few
persons might reflect adjudication on the sly and thus have
encouraged courts to review such actions carefully to
ensure that the agency’s decision truly was general rather
than individualized in nature. See, e.g., O’Bannon, 447 U.S.
at 800–01 (Blackmun, J., concurring in the judgment);
Richardson v. Town of Eastover, 922 F.2d 1152, 1158 (4th
Cir. 1991).
33 For arguments that courts should devise some form of
procedural due process for legislative-type decision-making
in order to foster lawmaking that is both deliberative and
democratically accountable, see Peter M. Shane, Back to
the Future of the American State: Overruling Buckley v.
Valeo and Other Madisonian Steps, 57 U. PITT. L. REV. 443,
455–58 (1996); Hans A. Linde, Due Process of Lawmaking,
55 NEB. L. REV. 197, 235–55 (1976).
34 See Collins v. Harker Heights, 503 U.S. 115, 125 (1992)
(substantive due process “protects individual liberty
against ‘certain government actions regardless of the
fairness of the procedures used to implement them’ ”
(quoting Daniels v. Williams, 474 U.S. 327, 331 (1986))).
35 59 U.S. 272 (1855).
36See Ohio Bell Telephone Co. v. Public Utilities
Commission of Ohio, 301 U.S. 292, 300 (1937).
37 155 Mass. 216, 29 N.E. 517 (1892).
38 Abrams v. United States, 250 U.S. 616, 630–31 (1919)
(Holmes, J., dissenting).
39 McAuliffe, 29 N.E. at 517.
40 William W. Van Alstyne, The Demise of the Right–
Privilege Distinction in Constitutional Law, 81 HARV. L. REV.
1439, 1442 (1968). Professor Van Alstyne’s leading study of
the right-privilege distinction documented “[n]early a half
dozen means” that courts used “to circumvent,” without
repudiating, “the harsh consequences” of the doctrine. Id.
at 1445.
41 397 U.S. 254 (1970). For an account of the “fair
hearings campaign” by low income women that led to the
Goldberg litigation, see Felicia Kornbluh, Redistribution,
Recognition, and Good China: Administrative Justice for
Women Welfare Recipients Before Goldberg v. Kelly, 20
YALE J.L. & FEMINISM 165 (2008).
42 Id. at 262
43 Id. at 262 & n.8 (emphasis added).
44 Id. at 262–63 (emphasis added) (citations omitted).
This balancing test followed an earlier deviation from the
right-privilege distinction. See Cafeteria and Restaurant
Workers Union, Local 473 v. McElroy, 367 U.S. 886, 894–95
(1961).
45 Goldberg, 397 U.S. at 264–66.
46 Id. at 266–71.
47 400 U.S. 433 (1971).
48 Id. at 435 n.2, 436–37.
49 See Bell v. Burson, 402 U.S. 535, 539 (1971).
50 Henry J. Friendly, Some Kind of Hearing, 123 U. PA. L.
REV. 1267, 1273 (1975).
51 408 U.S. 564 (1972).
52 408 U.S. 593 (1972).
53 424 U.S. 319 (1976).
54 Roth, 408 U.S. at 569, 571–72, 577.
55 Id. at 577 (emphasis added). According to the Court in
Roth, due process had been triggered in Goldberg because
the beneficiaries “had a claim of entitlement to welfare
payments that was grounded in the statute defining
eligibility for them.” Id.
56 Id. Where a claimed entitlement is created by state law,
federal courts should defer to authoritative interpretations
of that law by the state courts. See Bishop v. Wood, 426
U.S. 341, 345 (1976).
57 Roth, 408 U.S. at 576, 577.
58 See, e.g., Sidney A. Shapiro & Richard E. Levy,
Government Benefits and the Rule of Law: Toward a
Standards-Based Theory of Due Process, 57 ADMIN. L. REV.
107, 108, 113–18 (2005); Rodney A. Smolla, The
Reemergence of the Right–Privilege Distinction in
Constitutional Law: The Price of Protesting Too Much, 35
STAN. L. REV. 69, 75 (1982).
59 See Cynthia R. Farina, Conceiving Due Process, 3 YALE
J.L. & FEMINISM 189, 200 (1991).
60 Stephen F. Williams, Liberty and Property: The
Problem of Government Benefits, 12 J. LEGAL STUD. 3, 13–14
(1983).
61 See, e.g., Smolla, Reemergence of the Right–Privilege
Distinction, supra note 58, at 69.
62 Williams, Liberty and Property, supra note 60, at 13.
63 William Van Alstyne, Cracks in “The New Property”:
Adjudicative Due Process in the Administrative State, 62
CORNELL L. REV. 445, 484 (1977).
64 See Sandin v. Conner, 515 U.S. 472, 480–82 (1995);
Thomas W. Merrill, The Landscape of Constitutional
Property, 86 VA. L. REV. 885, 931–34 (2000) (arguing that
the Court has addressed the problem of over-inclusion by
lessening or eliminating the procedural requirements of
due process rather than by redefining property).
65 See Henry P. Monaghan, Of “Liberty” and “Property,”
62 CORN. L. REV. 405, 409 (1977); Shapiro & Levy,
Government Benefits, supra note 58, at 108.
66 Roth, 408 U.S. at 570, 572.
67 Susan N. Herman, The New Liberty: The Procedural
Due Process Rights of Prisoners and Others under the
Burger Court, 59 N.Y.U. L. Rev. 482, 527 (1984); Merrill,
Constitutional Landscape of Property, supra note 64, at
920–21.
68 Merrill, Constitutional Landscape of Property, supra
note 64, at 918.
69 Roth, 408 U.S. at 571.
70 Id. at 578.
71 Sindermann, 408 U.S. at 599–600 & n.6.
72 Id. at 602–03.
73 Roth, 408 U.S. at 578 n.16.
74 Id. at 571.
75 545 U.S. 748 (2005).
76 Id. at 766; see also Merrill, Landscape of Constitutional
Property, supra note 64, at 893, 960–68 (defining
“property” for procedural due process purposes as a legal
entitlement “having a monetary value that can be
terminated only upon a finding that a specific condition has
been satisfied”). Professor Merrill observed that including a
monetary value requirement would distinguish
government-created property interests from government-
created liberty interests (see § 3.4(b)), which “typically do
not have a readily ascertainable monetary value.” Merrill,
Landscape of Constitutional Property, supra note 64, at
964–65.
77 At least one federal court of appeals has suggested that
deprivations of property do not trigger procedural due
process protections “unless they are atypical and
significant in relation to the inevitable ‘deprivations’ that
people suffer as a result of contractual disputes and the
other ordinary frictions of life.” Baerwald v. City of
Milwaukee, 131 F.3d 681, 683 (7th Cir. 1997) (fire
department’s application of a rule that firefighter may not
be reinstated after injury leave or sick leave without a
release from treating physician did not deprive firefighter
of property right protected by procedural due process).
78 397 U.S. 254 (1970).
79 Id. at 261–71.
80 Roth, 408 U.S. at 570–71.
81 416 U.S. 134 (1974).
82 Id. at 151.
83 Id. at 151–54.
84 Id. at 152–53.
85 See id. at 210 (Marshall, J., dissenting).
86 See id. at 177–78 (White, J., concurring in part and
dissenting in part).
87 For criticism of the “bitter-with-the-sweet” principle,
see Cynthia R. Farina, On Misusing “Revolution” and
“Reform”: Procedural Due Process and the New Welfare
Act, 50 ADMIN. L. REV. 591, 617 (1998); Martin H. Redish &
Lawrence C. Marshall, Adjudicatory Independence and the
Value of Procedural Due Process, 95 YALE L.J. 455, 468
(1986). For a defense of the “bitter-with-the-sweet”
principle, see Frank Easterbrook, Substance and Due
Process, 1982 SUP. CT. REV. 85, 112–14; Williams, Liberty
and Property, supra note 60, at 6–7.
88 Arnett, 416 U.S. at 166–67 (Powell, J., concurring in
part and concurring in the result in part). Justice Powell
ultimately decided that the pre-termination process
afforded Arnett satisfied the requirements of procedural
due process. Id. at 167–71 (Powell, J., concurring in part
and concurring in the result in part).
89 See Logan v. Zimmerman Brush Co., 455 U.S. 422,
431–32 (1982); Vitek v. Jones, 445 U.S. 480, 491 & n.6
(1980).
90 470 U.S. 532 (1985).
91 Id. at 541. The distinction between substance and
procedure in procedural due process analysis cuts both
ways. Just as the absence of procedural protections in an
enactment of positive law cannot eliminate a due process
right to such protections, the inclusion of procedural
protections cannot create a legitimate claim of entitlement
to a government benefit. See Bishop v. Wood, 426 U.S. 341,
345–47 (1976).
92 Logan, 455 U.S. at 430.
93 Leis v. Flynt, 439 U.S. 438, 442 (1979).
94 Roth, 408 U.S. at 577 (emphasis added).
95 Memphis Light, Gas and Water Div. v. Craft, 436 U.S. 1,
11 (1978); Fuentes v. Shevin, 407 U.S. 67, 86 (1972).
96 Roth, 408 U.S. at 577.
97 Kentucky Department of Corrections v. Thompson, 490
U.S. 454, 462 (1989) (emphasis added); see Hewitt v.
Helms, 459 U.S. 460, 472 (1983).
98 Board of Pardons v. Allen, 482 U.S. 369, 375, 380
(1987); see Kentucky Department of Corrections, 490 U.S.
at 463.
99 470 U.S. 532, 538–39 (1985).
100 Roth, 408 U.S. at 566–67 (emphasis added); see also
Connecticut Bd. of Pardons v. Dumschat, 452 U.S. 458, 460–
67 (1981) (prison inmate lacked entitlement to
commutation of sentence because the decision was within
the “unfettered discretion” of agency); Leis, 439 U.S. at
442–43 (out-of-state lawyer lacked entitlement to appear as
counsel because court rules gave the trial judge complete
discretion to disallow such appearances).
101 Hewitt, 459 U.S. at 472; see Town of Castle Rock v.
Gonzales, 545 U.S. 748, 760 (2005); Kentucky Department
of Corrections, 490 U.S. at 463.
102Kentucky Department of Corrections, 490 U.S. at 463
(emphasis added).
103 See Town of Castle Rock, 545 U.S. at 756, (“[A] benefit
is not a protected entitlement if government officials may
grant or deny it in their discretion.”).
104 107 F.3d 32 (D.C. Cir. 1997).
105 Id. at 36–38; see also United of Omaha Life Ins. Co. v.
Solomon, 960 F.2d 31 (6th Cir. 1992) (unsuccessful, lowest
bidder on a public contract lacked a legitimate claim of
entitlement to the contract because the contracting agency
had discretionary authority to deny any bid); Eidson v.
Pierce, 745 F.2d 453 (7th Cir. 1984) (eligible applicants for
federally subsidized rental housing did not have a
legitimate claim of entitlement to such housing because
landlords had discretion to reject them as tenants).
106 Sindermann, 408 U.S. at 602.
107 Roth, 408 U.S. at 578 n.16.
108 See Jago v. Van Curen, 454 U.S. 14, 20 (1981).
109 156 F.3d 384 (2d Cir. 1998).
110 Id. at 394–95.
111 Town of Castle Rock, 545 U.S. at 766.
112 Roth, 408 U.S. at 576.
113 See, e.g., Cushman v. Shinsecki, 576 F.3d 1290, 1296–
1298 (Fed.Cir. 2009) (applicants for veterans’ disability
benefits satisfy the entitlement requirement because the
benefits are “nondiscretionary” and “statutorily
mandated”); Kapps v. Wing, 404 F.3d 105, 115 (2d Cir.
2005) (“Every circuit to address the question … has
concluded that applicants for benefits, no less than current
benefits recipients, may possess a property interest in the
receipt of public welfare entitlements.”); Mallette v.
Arlington County Employees’ Supplemental Retirement
System, 91 F.3d 630, 637–40 (4th Cir. 1996) (“As far as we
can tell, every lower federal court that has considered the
issue has rejected the ‘application/revocation’
distinction.”); Midnight Sessions, Ltd. v. City of
Philadelphia, 945 F.2d 667, 679 (3rd Cir. 1991); Daniels v.
Woodbury County, 742 F.2d 1128, 1132 (8th Cir. 1984)
(“The proper inquiry” is not the application/revocation
distinction; it is whether the claimant has “a legitimate
claim of entitlement to relief assistance”).
114 Peer v. Griffeth, 445 U.S. 970, 970–71 (1980)
(Rehnquist, J., dissenting).
115 Gregory v. Town of Pittsfield, 470 U.S. 1018, 1021
(1985) (O’Connor, J., dissenting).
116 See Lyng v. Payne, 476 U.S. 926, 942 (1986) (stating
that the Court has “never held that applicants for benefits,
as distinct from those already receiving them, have a
legitimate claim of entitlement protected by the Due
Process Clause of the Fifth or Fourteenth Amendment,” but
leaving question unresolved); cf. Walters v. National Ass’n
of Radiation Survivors, 473 U.S. 305 (1985) (applying due
process requirements to applications for veterans’ death
and disability benefits, but without discussing the trigger
issue).
117 526 U.S. 40 (1999).
118 Id. at 60–61 & n.13.
119 Id. at 62 (Ginsburg, J., concurring in part and
concurring in the judgment).
120 Wilkinson v. Austin, 545 U.S. 209, 221 (2005); see
Kentucky Dep’t of Corrections v. Thompson, 490 U.S. 454,
460 (1989); Hewitt v. Helms, 459 U.S. 460, 466 (1983).
121 See Roth, 408 U.S. at 572.
122 Zinermon v. Burch, 494 U.S. 113, 125 (1990); see
Duncan v. Louisiana, 391 U.S. 145 (1968).
123 Sindermann, 408 U.S. at 599 n.5; Roth, 408 U.S. at
574–75.
124 Sindermann, 408 U.S. at 599 n.5; Roth, 408 U.S. at
574–75.
125 See Ingraham v. Wright, 430 U.S. 651, 671 (1977);
Paul v. Davis, 424 U.S. 693, 712–13 (1976).
126 Ingraham, 430 U.S. at 673–74; see Rochin v.
California, 342 U.S. 165 (1952); Meyer v. Nebraska, 262
U.S. 390, 399 (1923).
127 See Wieman v. Updegraff, 344 U.S. 183, 190–91
(1952).
128 400 U.S. 433, 437 (1971).
129 Roth, 408 U.S. at 573–74 & nn.12–13; see
Sindermann, 408 U.S. at 599.
130 419 U.S. 565 (1975).
131 Id. at 574–75.
132 424 U.S. 693 (1976).
133 Id. at 694–97, 701–02.
134 See Mosrie v. Barry, 718 F.2d 1151, 1161–62 (D.C.Cir
1983) (demotion, but not lateral transfer, sufficient to
trigger due process); cf. Gilbert v. Homar, 520 U.S. 924,
929 (1997) (reserving question of whether a job action
short of termination is sufficient to trigger procedural due
process).
135 500 U.S. 226 (1991).
136 Id. at 227–29, 233–34; see also O’Donnell v. Barry, 148
F.3d 1126, 1140 (D.C.Cir. 1998) (defamatory statements
and job demotion must occur together to trigger procedural
due process).
137 Bishop v. Wood, 426 U.S. 341, 348–50 (1976). In Goss
v. Lopez, 419 U.S. 565, 574–75 & n.7 (1975), which the
Court decided before Paul, the Court held it sufficient that
the school recorded the suspensions of students for
misconduct in the schools’ files, because such files may be
made available to colleges and prospective employers. It is
not clear whether such a recording would be a sufficient
public communication after Bishop.
138 Codd v. Velger, 429 U.S. 624, 627.
139 This precedent originated in Wolff v. McDonnell, 418
U.S. 539, 557–58 (1974). For a critique of the Court’s
transplanting of Roth’s entitlement analysis into liberty, see
Herman, The New Liberty, supra note 67.
140 515 U.S. 472 (1995).
141 Id. at 483–84; see Wilkinson v. Austin, 545 U.S. 209,
221–24 (2005) (applying Sandin to hold that an inmate has
a liberty interest in not being transferred to a super-
maximum prison because of the “harsh conditions” of such
confinement).
142 Baerwald v. City of Milwaukee, 131 F.3d 681, 683 (7th
Cir. 1997) (fire department’s application of a rule that
firefighter may not be reinstated after injury leave or sick
leave without a release from treating physician did not
deprive firefighter of property right protected by
procedural due process).
143 Government inaction generally does not trigger the
due process clauses. See DeShaney v. Winnebago County
Dep’t of Social Services, 489 U.S. 189 (1989). For a
discussion, see David A. Strauss, Due Process, Government
Inaction, and Private Wrongs, 1989 SUP. CT. REV. 53.
144 447 U.S. 773 (1980).
145 Id. at 787–89; see also Town of Castle Rock v.
Gonzales, 545 U.S. 748, 766–67 (2005) (an individual’s
incidental interest in having government actors arrest a
person for a criminal offense does not trigger procedural
due process protections).
146 474 U.S. 327, 328 (1986); see also Davidson v.
Cannon, 474 U.S. 344, 347–48 (1986) (companion case).
147 Davidson, 474 U.S. at 347–48; see Daniels, 474 U.S. at
332.
148 Daniels, 474 U.S. at 331, 334 n.3.
149 523 U.S. 833 (1998).
150 Id. at 848–49 (quoting Daniels, 474 U.S. at 334 n.3).
151 Id. at 853.
152 Morrissey v. Brewer, 408 U.S. 471, 481 (1972).
153 Logan v. Zimmerman Brush Co., 455 U.S. 422, 433
(1982); see Mathews v. Eldridge, 424 U.S. 319, 333 (1976);
Board of Regents of State Colleges v. Roth, 408 U.S. 564,
569–70 (1972).
154 424 U.S. 319 (1976).
155 Id. at 333–35, 348.
156 See id. at 343 (establishing the “ordinary principle …
that something less than an evidentiary hearing is sufficient
prior to adverse administrative action”).
157 Id. at 334–35; Goldberg, 397 U.S. at 266.
158 Mathews, 424 U.S. at 340–43; Goldberg, 397 U.S. at
264.
159 Mathews, 424 U.S. at 343.
160 Goldberg, 397 U.S. at 269.
161 Mathews, 424 U.S. at 344–45.
162 See id. at 343–45; Goldberg, 397 U.S. at 269.
163 Mathews, 424 U.S. at 347.
164 Goldberg, 397 U.S. at 266.
165 Mathews, 424 U.S. at 348; see Goldberg, 397 U.S. at
266.
166 Mathews, 424 U.S. at 348; Goldberg, 397 U.S. at 278–
79 (Black, J., dissenting).
167 Mathews, 424 U.S. at 347–48.
168 Id. at 348–49.
169 473 U.S. 305 (1985).
170 Goldberg, 397 U.S. at 270–71.
171 Walters, 473 U.S. at 323–26.
172 Mathews does not apply to the notice requirement of
procedural due process. See Dusenbery v. United States,
534 U.S. 161, 167–68 (2002). The Court instead applies the
test formulated in Mullane v. Central Hanover Bank &
Trust Co., 339 U.S. 306, 319 (1950), which requires that
notice be “reasonably calculated, under all the
circumstances, to apprise interested parties of the
pendency of the action” against them. See Dusenbery, 534
U.S. at 168. For a detailed analysis of the notice
requirement of procedural due process, see RHONDA
WASSERMAN, PROCEDURAL DUE PROCESS: A REFERENCE GUIDE TO
THE UNITED STATES CONSTITUTION 129–61 (2004).
173 See Goss v. Lopez, 419 U.S. 565, 579 (1975);
Mathews, 424 U.S. at 348–49; Mullane, 339 U.S. at 313.
174 See, e.g., Memphis Light, Gas and Water Division v.
Craft, 436 U.S. 1, 16 n.17 (1978).
175 419 U.S. 565 (1975).
176 Id. at 581–82, 584. See also Board of Curators v.
Horowitz, 435 U.S. 78, 86 (1978) (due process
requirements “far less stringent” for academic dismissal
than for disciplinary suspension).
177 Goss, 419 U.S. at 581 (consultation hearing approved
for “suspension of 10 days or less”).
178 470 U.S. 532 (1985).
179 Id. at 545–46 (before the initial termination, a tenured
public employee was “entitled to oral or written notice of
the charges against him, an explanation of the employer’s
evidence, and an opportunity to present his side of the
story”).
180 Mathews, 424 U.S. at 343.
181 Id. at 343–45.
182 716 F.2d 23 (D.C.Cir. 1983).
183 Id. at 36–38.
184 See Connecticut Dep’t of Public Safety v. Doe, 538
U.S. 1, 4, 7–8 (2003); Gilbert v. Homar, 520 U.S. 924, 933–
34 (1997).
185 See Mathews, 424 U.S. at 333.
186 United States v. James Daniel Good Real Property, 510
U.S. 43, 53 (1993) (emphasis added).
187 Fuentes v. Shevin, 407 U.S. 67, 81 (1972); see James
Daniel Good Real Property, 510 U.S. at 53.
188 424 U.S. 319, 334–35 (1976); see James Daniel Good
Real Property, 510 U.S. at 53; Zinermon v. Burch, 494 U.S.
113, 128–30 (1990).
189 See James Daniel Good Real Property, 510 U.S. at 46.
190 Gilbert v. Homar, 520 U.S. 924, 930 (1997).
191 Id. at 924, 930 (1997); Barry v. Barchi, 443 U.S. 55
(1979) (requirement of prompt post-deprivation hearing);
see also James Daniel Good Real Property, 510 U.S. at 59–
60 (“pressing need for prompt action” by government).
192 Boddie v. Connecticut, 401 U.S. 371, 379 (1971)
(“extraordinary situations”); see also James Daniel Good
Real Property, 510 U.S. at 59–60 (“executive urgency”).
193 211 U.S. 306 (1908).
194 Id. at 308–09, 314–16, 319–20.
195 486 U.S. 230 (1988).
196 Id. at 231–32, 240–41. For other examples of the
Court’s application of the exception for exigent
circumstances, see Hodel v. Virginia Surface Mining &
Reclamation Ass’n, 452 U.S. 264, 298–303 (1981) (cessation
of surface-mining operations); Barry v. Barchi, 443 U.S. 55
(1979) (suspension of horse trainer’s license); Makey v.
Montrym, 443 U.S. 1 (1979) (suspension of driver’s license
for refusing to take a breath-analysis test); Dixon v. Love,
431 U.S. 105, 112–15 (1977) (suspension of driver’s license
for repeated traffic violations); Ewing v. Mytinger &
Casselberry, 339 U.S. 594 (1950) (seizure of misbranded
food supplements); Phillips v. Commissioner, 283 U.S. 589
(1931) (collection of federal taxes).
197 Memphis Light, Gas and Water Div. v. Craft, 436 U.S.
1, 19 (1978).
198 430 U.S. 651 (1977).
199 Id. at 672, 676–78.
200 532 U.S. 189 (2001).
201 Id. at 195–96.
202 Memphis Light, 436 U.S. at 20–22.
203 Id. at 20 see, e.g., North Georgia Finishing, Inc. v. Di-
Chem, Inc., 419 U.S. 601 (1975); Goss v. Lopez, 419 U.S.
565, 581 (1975); Fuentes v. Shevin, 407 U.S. 67 (1972); Bell
v. Burson, 402 U.S. 535, 536 (1971); Boddie v. Connecticut,
401 U.S. 371 (1971); Sniadach v. Family Finance Corp., 395
U.S. 337 (1969). For a discussion of the requirement of an
adequate alternative remedy, see Richard H. Fallon, Some
Confusion about Due Process, Judicial Review, and
Constitutional Remedies, 93 COLUM. L. REV. 309, 356–66
(1993).
204 Parratt v. Taylor, 451 U.S. 527, 539 (1981), overruled
in part on other grounds, Daniels v. Williams, 474 U.S. 327,
330–31 (1986).
205 451 U.S. 527 (1981), overruled in part on other
grounds, Daniels v. Williams, 474 U.S. 327, 330–31 (1986).
206 468 U.S. 517 (1984).
207 See id. at 533.
208 Parratt, 451 U.S. at 541, 543; see Hudson, 468 U.S. at
534. Even though the state had not authorized the
employees’ actions, the actions qualified as state action.
Parratt, 451 U.S. at 541, 543.
209 494 U.S. 113 (1990).
210 Id. at 136–39.
211 Id. at 132–39.
171
Chapter 4
172
173
174
between proceeding by rulemaking or adjudication is
considered in § 4.4.
I draw on the Attorney General’s Manual on the
Administrative Procedure Act (“Attorney General’s
Manual”) as an interpretive guide to the APA throughout
the remainder of this book.6 The United States Department
of Justice prepared the Attorney General’s Manual in 1947,
just one year after Congress passed the APA, in order to
advise federal agencies on the meaning of that landmark
statute. As a source of statutory interpretation, the
Attorney General’s Manual has the strengths and
weaknesses that one would expect from an analysis of a
statute of great importance to federal agencies by the law
firm for the federal government. The Supreme Court,
however, has embraced the authoritativeness of the
Attorney General’s Manual from time to time,7 and it has
remained a leading source of insight for administrative
lawyers.
175
176
177
178
179
180
181
182
183
184
185
186
187
188
189
190
191
192
193
194
195
196
197
The Supreme Court made the focus on remedy explicit
several decades later in National Labor Relations Board v.
Bell Aerospace Co.65 Unlike the management-trading issue
in Chenery II, Bell Aerospace did not present the NLRB
with a case of first impression. In a long line of decisions,
the Board had held that buyers in a variety of industries did
not enjoy collective bargaining rights under the National
Labor Relations Act because they were managerial
employees. The Board abruptly switched positions in Bell
Aerospace, ruling that managerial employees (like buyers)
were eligible for collective bargaining unless they were
involved in labor relations. The Supreme Court invalidated
the Board’s order on substantive grounds, ruling that the
act excluded all managers from collective bargaining, and
not just those involved in labor relations. The justices
remanded the case to the NLRB to determine whether
Bell’s buyers were managerial employees and thus
ineligible for collective bargaining.66
The justices did not rest with a simple remand order,
however. The court of appeals had ruled that the NLRB’s
precedent holding buyers to be managers without
collective bargaining rights obligated the Board to use
rulemaking to change its position. The Supreme Court
disagreed, reaffirming the Chenery II principles that
agencies may “announc[e] new principles” in adjudication
and that “the choice between rulemaking and adjudication
lies in the first instance within the [agency]’s discretion.”
The Court added that the remand proceeding in Bell was
“especially appropriate” for adjudication. The justices
explained, “[The] duties of buyers vary widely depending
on the company or industry. It is doubtful whether any
generalized standard could be framed which would have
more than marginal utility. The Board thus has reason to
proceed with caution, developing its standards in a case-by-
case manner with attention to the specific character of the
buyers’ authority and duties in each company. The Board’s
judgment that adjudication best serves this purpose is
entitled to great weight.” In other words, the NLRB’s
decision to choose adjudication over rulemaking for
determining whether Bell’s buyers were managers, and
thus ineligible for collective bargaining, was the type of
individualized action that Londoner had earmarked for
case-by-case decision-making. The Board’s power to
“announc[e] new principles” was simply a byproduct of its
legitimate exercise of adjudicatory authority in this case.67
198
199
200
201
202
the national market did not violate the Social Security Act’s
requirement that the Department base its disability
determinations on evidence presented at an adjudicatory
hearing. Because such a determination was “not unique to
each claimant,” the justices concluded, HHS could resolve
it “as fairly through rulemaking as by introducing the
testimony of vocational experts at each disability hearing.”
Indeed, the justices believed that the medical-vocational
guidelines would enhance HHS’s performance by
improving both the “uniformity and efficiency” of disability
determinations.81
Yet the Court in Campbell, as in Storer, took care to
ensure that the medical-vocational guidelines did not
subvert the individualized administrative assessment that
lay at the heart of the adjudicatory hearing Congress had
provided for disability determinations. The justices noted,
for example, that the guidelines did not relieve HHS of its
statutory obligation to determine each claimant’s
impairment and job qualifications “on the basis of evidence
adduced at a hearing.” In addition, the medical-vocational
guidelines in Campbell, like the multiple ownership rules in
Storer, contained a waiver provision permitting claimants
to use the disability hearing to show that the guidelines
should not be applied to their individual claims. The
medical-vocational guidelines also cautioned that they only
described “major functional and vocational patterns,” and
that HHS would apply them only when the guidelines
accurately described a particular claimant’s qualifications
and limitations.82
Are Waiver Provisions Necessary? The Court’s
emphasis on the opportunity for waiver has provided
consistent counterpoint to the justices’ acceptance of
administrative efforts to settle recurring issues in
adjudication through rulemaking. The Court has made clear
that providing such a safety valve allowing an individual’s
particular circumstances to trump the general
requirements of agency rules is a desirable feature in this
context. But is it necessary for all rules that settle issues
subject to an adjudicatory hearing requirement to provide
for waivers or exceptions in individual cases?
The Court’s decision in Federal Communications
Commission v. WNCN Listeners Guild83 answered, “No.”
The Federal
203
____________________________
1 5 U.S.C. §§ 551, 553–559, 701–706.
2 Two significant substantive amendments to the APA
supplemented, rather than changed, the original act. See
the Freedom of Information Act (1966), 5 U.S.C. § 552, and
the Privacy Act (1974), 5 U.S.C. § 552a. Two additional
amendments tweaked the provisions of the original APA.
See the Government in the Sunshine Act (1976), 5 U.S.C. §
557(d) (adding prohibition against ex parte
communications in formal proceedings); Pub. L. No. 94–
574, 90 Stat. 2721 (1976) (amending 5 U.S.C. §§ 702–703 to
eliminate defense of sovereign immunity in suits against
the federal government for relief other than monetary
damages). In 1978, Congress amended the APA to change
the title of agency “hearing examiners” to “administrative
law judges.” See Pub. L. No. 95–251, 92 Stat. 183 (1978).
3 Dickinson v. Zurko, 527 U.S. 150, 155 (1999); see Wong
Yang Sung v. McGrath, 339 U.S. 33, 41 (1950).
4 See Dickinson, 527 U.S. at 155; see also Director, Office
of Workers’ Compensation Programs v. Greenwich
Collieries, 512 U.S. 267, 271 (1994) (the Court “do[es] not
lightly presume exemptions to the APA”).
5 A similar chart appears in an Appendix to The Federal
Administrative Procedure Act: Codification or Reform?, 56
YALE L.J. 670, 705 (1947).
6 The Attorney General’s Manual is reprinted in WILLIAM F.
FUNK, et al., FEDERAL ADMINISTRATIVE PROCEDURE SOURCEBOOK
39–176 (4th ed. 2008).
7 See, e.g., Steadman v. SEC, 450 U.S. 91, 103 n.22
(1981); Chrysler Corp. v. Brown, 441 U.S. 281, 302 n.31
(1979); Vermont Yankee Nuclear Power Corp. v. Natural
Resources Defense Council, Inc., 435 U.S. 519, 546 (1978).
8 210 U.S. 373 (1908).
9 239 U.S. 441 (1915).
10 See Bi-Metallic, 239 U.S. at 445–46.
11 Pacific Gas & Electric Co. v. Federal Power
Commission, 506 F.2d 33, 38 (D.C.Cir. 1974); see also
Attorney General’s Manual on the Administrative
Procedure Act 50 (1947), reprinted in WILLIAM F. FUNK, et
al., FEDERAL ADMINISTRATIVE PROCEDURE SOURCEBOOK 39–176
(4th ed. 2008) (APA “is based upon a broad and logical
dichotomy between rule making and adjudication”).
12 See Attorney General’s Manual, supra note 11, 14–15;
Antonin Scalia, Vermont Yankee: The APA, the D.C. Circuit,
and the Supreme Court, 1978 SUP. CT. REV. 345, 383
(“Since every statement is of either general or particular
applicability, and since everything an agency does is
‘designed to implement, interpret, or prescribe law or
policy, etc.,’ the only limiting (that is to say, defining) part
of the definition [of a rule] is ‘agency statement of … future
effect.’ ”).
13 211 U.S. 210 (1908).
14 Id. at 226.
15 See U.S. CONST. art. I., § 9, cl. 3 (prohibiting enactment
of ex post facto laws by Congress), § 10, cl. 1 (prohibiting
enactment of ex post facto laws by state legislatures);
Landgraf v. USI Film Products, 511 U.S. 244, 265 (1994)
(“[T]he presumption against retroactive legislation is
deeply rooted in our jurisprudence.”).
16 Prentis, 211 U.S. at 226.
17 See Abbott Laboratories v. Gardner, 387 U.S. 136, 148
(1967). For a discussion of the ripeness doctrine in the
administrative context, see § 7.3(b).
18 See, e.g., Immigration and Naturalization Service v. St.
Cyr, 533 U.S. 289, 316 (2001).
19 Bowen v. Georgetown University Hosp., 488 U.S. 204,
208–09 (1988).
20 See, e.g., City of Arlington, Texas v. FCC, 668 F.3d 229,
242 (5th Cir. 2012) (“Adjudications typically ‘resolve
disputes among specific individuals in specific cases,
whereas rulemaking affects the rights of broad classes of
unspecified individuals.’ ”) (quoting Yesler Terrace
Community Council v. Cisneros, 37 F.3d 442, 448 (9th Cir.
1994); see SECTION OF ADMINISTRATIVE LAW AND REGULATORY
PRACTICE OF AMERICAN BAR ASSOCIATION, A BLACKLETTER
STATEMENT OF FEDERAL ADMINISTRATIVE LAW 21 (2004); see
also Scalia, Vermont Yankee, supra note 12, at 383 (“[I]t is
generally acknowledged that the only responsible judicial
attitude toward [the APA’s definition of a rule] is one of
benign disregard.”).
21 See United States v. Florida East Coast Railway Co.,
410 U.S. 224, 244 (1973).
22 Attorney General’s Manual, supra note 11, at 40. For a
helpful discussion of the APA’s distinction between
rulemaking and adjudication, and a proposal for change,
see Ronald M. Levin, The Case for (Finally) Fixing the APA’s
Definition of “Rule,” 56 ADMIN. L. REV. 1077, 1083–88
(2004).
23 See Attorney General’s Manual on the Administrative
Procedure Act 41–43 (1947), reprinted in WILLIAM F. FUNK,
et al., FEDERAL ADMINISTRATIVE PROCEDURE SOURCEBOOK 39–
176 (4th ed. 2008).
24 See id. at 15.
25 Robert W. Hamilton, Procedures for the Adoption of
Rules of General Applicability: The Need for Procedural
Innovation in Administrative Rulemaking, 60 CALIF. L. REV.
1276, 1311–13 (1972).
26 Attorney General’s Manual, supra note 23, 32–33.
27 410 U.S. 224 (1973).
28 Attorney General’s Manual, supra note 23, 33–34.
29 Florida East Coast, 410 U.S. at 234–38.
30 Id. at 238–39.
31 Id. at 239–42, 245.
32 See Attorney General’s Manual, supra note 23, at 34–
35. For a biting criticism of Florida East Coast, see
Nathaniel L. Nathanson, Probing the Mind of the
Administrator: Hearing Variations and Standards of Judicial
Review under the Administrative Procedure Act and Other
Federal Statutes, 75 COLUM. L. REV. 721, 725–33 (1975).
33 Mobil Oil Corp. v. FPC, 483 F.2d 1238, 1250 (D.C.Cir.
1973); see, e.g., Farmers Union Central Exchange, Inc. v.
FERC, 734 F.2d 1486, 1498–99 (D.C.Cir. 1984); Bell
Telephone Co. of Pennsylvania v. FCC, 503 F.2d 1250, 1265,
1267, 1268 (3d Cir. 1974), cert. denied, 422 U.S. 1026
(1975).
34 See RCA Global Communications, Inc. v. FCC, 559 F.2d
881, 885–87 (2d Cir. 1977).
35 See American Telephone & Telegraph Co. v. FCC, 572
F.2d 17, 21–23 (2d Cir. 1978).
36 410 U.S. 224 (1973).
37 Id. at 239.
38 Attorney General’s Manual, supra note 23, at 41,
quoting Senate Comparative Print of June 1945, at 7 (Sen.
Doc., at 22).
39 See Paul R. Verkuil, A Study of Informal Adjudication
Procedures, 43 U. CHI. L. REV. 739, 741 (1976).
40 572 F.2d 872, 877 (1st Cir.), cert. denied, 439 U.S. 824
(1978).
41 Id. at 876.
42 Id. at 876–78 & n.5.
43 See Attorney General’s Manual, supra note 23, at 42–
43.
44 Federal courts of appeals decisions aligning with
Seacoast include Lane v. USDA, 120 F.3d 106 (8th Cir.
1997); Marathon Oil Co. v. EPA, 564 F.2d 1253, 1260–64
(9th Cir. 1977).
45 See Steadman v. SEC, 450 U.S. 91, 96 n.13 (1981)
(holding that the absence of the language “on the record”
in a statutory hearing requirement for agency adjudication
does not necessarily remove the proceeding from the APA
procedures governing formal adjudication, citing Florida
East Coast and Seacoast).
46 701 F.2d 632 (7th Cir. 1983).
47 Id. at 641, 638.
48 873 F.2d 1477 (D.C.Cir. 1989).
49 Id. at 1479.
50 Id. at 1480–82. The court of appeals approached the
trigger issue through the lens of the Supreme Court’s then-
recent decision in Chevron U.S.A. v. Natural Resources
Defense Council, 467 U.S. 837 (1984), which required
judicial deference toward agency interpretations of
ambiguous provisions in their enabling acts. But because
Chevron deference applies only to “an agency’s
construction of the statute which it administers,” id. at 842,
and because determining whether a hearing requirement in
an agency’s enabling act triggers the formal procedures of
the Administrative Procedure Act requires interpretation of
both statutes, it is questionable whether Chevron applied in
Chemical Waste. See Metropolitan Stevedore Co. v. Rambo,
521 U.S. 121, 137 n.9 (1997) (“The APA is not a statute that
the [agency] is charged with administering.”); William S.
Jordan, III, Chevron and Hearing Rights: An Unintended
Combination, 61 ADMIN. L. REV. 249, 282–320 (2009); §
8.6(c). Indeed, the Supreme Court’s pre-Chevron decision
in Florida East Coast declined to grant any deference to the
ICC’s interpretation of its enabling act and the APA on
precisely this ground. United States v. Florida East Coast
Rwy, 410 U.S. 224, 236 n.6 (1973). The Chemical Waste
approach to section 554(a) nevertheless may be defensible
without resort to Chevron. See Vermont Yankee Nuclear
Power Corp. v. Natural Resources Defense Council, Inc.,
435 U.S. 519 (1978) (discussed in § 6.2); Securities and
Exchange Comm’n v. Chenery Corp., 332 U.S. 194 (1947)
(Chenery II) (discussed in § 4.4(a)).
51 Chemical Waste, 873 F.2d at 1481.
52 Id. at 1482–83.
53See Dominion Energy Brayton Point, LLC v. Johnson,
443 F.3d 12 (1st Cir. 2006).
54Pacific Gas & Electric Co. v. Federal Power
Commission, 506 F.2d 33, 38 (D.C.Cir. 1974).
55 See SEC v. Chenery, 332 U.S. 194, 203 (1947) (Chenery
II).
56 332 U.S. 194 (1947).
57 See APA § 551(4) (“rule” defined as “agency statement
of general or particular applicability and future effect”);
Bowen v. Georgetown Univ. Hosp., 488 U.S. 204, 208 (1988)
(“[A] statutory grant of legislative rulemaking authority will
not, as a general matter, be understood to encompass the
power to promulgate retroactive rules unless that power is
conveyed by Congress in express terms.”).
58 Chenery II, 332 U.S. at 199–200.
59 Id. at 201–02.
60 Id. at 202–03.
61 Id. at 204–09, 212, 216 (Jackson, J., dissenting).
62 Id. at 203.
63 Id. at 203–04.
64 See FCC v. Fox Television Stations, Inc., 556 U.S. 502,
518 (2009) (“[T]he agency’s decision not to impose any
forfeiture or other sanction precludes any argument that it
is arbitrarily punishing parties without notice of the
potential consequences of their action.”).
65 416 U.S. 267 (1974).
66 Id. at 274–90.
67 Id. at 294.
68 Id. at 272, 295.
69 268 F.3d 1095 (D.C.Cir. 2001).
70 NLRB v. J. Weingarten, Inc., 420 U.S. 251 (1975).
71 See Epilepsy Foundation, 268 F.3d at 1097–1103.
72 See Bell Aerospace, 416 U.S. at 295; Epilepsy
Foundation, 268 F.3d at 1102–03.
73 Chenery II, 332 U.S. at 203; see Bell Aerospace, 416
U.S. at 295. The Court has read Chenery II to allow
agencies to announce “specific applications” of its own
rules through adjudication rather than by issuing “further,
more precise rules.” Shalala v. Guernsey Mem. Hosp., 514
U.S. 87, 96 (1995).
74 See Cities of Anaheim v. FERC, 723 F.2d 656, 659 (9th
Cir. 1984) (agencies may not opt for adjudication if doing so
would “impose undue hardship by suddenly changing
direction” or “circumvent the Administrative Procedure
Act’s rulemaking procedures”). For a discussion of the
Ninth Circuit jurisprudence, see William D. Araiza, Limits
on Agency Discretion to Choose Between Rulemaking and
Adjudication: Reconsidering Patel v. INS and Ford Motor
Co. v. FTC, 58 ADMIN. L. REV. 899 (2006).
75 The Court’s enigmatic decision in Morton v. Ruiz, 415
U.S. 199 (1974), suggested a sharp cutback in
administrative discretion to opt for adjudication over
rulemaking when policymaking, but the justices decisively
withdrew that suggestion just two months later when Bell
Aerospace reaffirmed Chenery II. Ralph F. Fuchs,
Development and Diversification in Administrative Rule
Making, 72 NW. U. L. REV. 83, 102 (1977).
76 351 U.S. 192 (1956).
77 Id. at 202–03; see FPC v. Texaco, Inc., 377 U.S. 33, 44
(1964).
78 See Storer, 351 U.S. at 204; see also Texaco, 377 U.S.
at 40 (“[T]he statutory requirement for a hearing … does
not preclude the Commission from particularizing statutory
standards through the rulemaking process and barring at
the threshold those who neither measure up to them nor
show reasons why in the public interest the rule should be
waived.”).
79 See Storer, 351 U.S. at 201–02; see also Texaco, 377
U.S. at 39 (“In the present case, as in Storer, there is a
procedure provided in the regulations whereby an
applicant can ask for a waiver of the rule complained of.”).
80 461 U.S. 458 (1983).
81 Id. at 461, 465–68. The Court in Campbell found the
Department’s “need for efficiency [to be] self-evident,”
citing an annual disability caseload of 2.3 million claims,
with over a quarter of a million of these claims receiving a
hearing before an administrative law judge. Id. at 461 n.2.
82 Id. at 462 n.5, 467, 468 n.11. The Court followed
Storer and Campbell in American Hospital Ass’n v. NLRB,
499 U.S. 606, 612 (1991) (upholding NLRB regulations
defining appropriate bargaining units).
83 450 U.S. 582 (1981).
84 Id. at 600.
85 Id. at 608–12 (Marshall, J., dissenting).
86 Id. at 601 n.44.
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court in Nash also accepted the agency’s establishment of
monthly “production goals” that set a minimum number of
decisions for each ALJ, holding that “reasonable efforts to
increase the production levels of ALJs are not an
infringement of decisional independence.”50
The Nash court, however, found “cause for concern” in
the agency’s “quality assurance system.”51 This program
attempted to limit the number of ALJ decisions reversing
the denial of benefits by state agencies.52 In the end,
though, the agency satisfied the court of appeals that the
program related only to the possibility that reversal rates
reflect “errors in the decisionmaking of ALJs.” The agency
submitted statistics showing a correlation between “actual
errors of law or policy in ALJ decisions and extremes in
their reversal rates.” It was important to the court of
appeals as well that the agency only used reversal rates “as
a benchmark in deciding whether there might be problems
in the adjudicatory methods of particularly high (or low)
reversal rate ALJs.” Had the court found the agency’s
quality assurance system to have been an effort “to coerce
ALJs into … deciding more cases against claimants,” it
would have invalidated the program as “a clear
infringement of decisional independence.”53
(b) Right to Counsel
Section 555(b) of the APA provides a general right to
counsel to all “part[ies] … in [any] agency proceeding.”
Section 555(b)’s right to counsel also extends to “person[s]
compelled to appear in person before an agency or
representative thereof.” Witnesses who are required to
testify during an agency hearing are thus entitled to legal
representation as well.
Unlike the constitutional right to counsel in certain
criminal proceedings, section 555(b) does not entitle
persons to government-appointed, publicly funded legal
representation. Persons must arrange for legal
representation in administrative proceedings on their own.
219
220
221
222
223
224
225
226
tradition of judicial proceedings.” For the justices, this
meant that a statutory mandate of formal adjudication
incorporated the judicial “safeguard” that “the one who
decides shall be bound in good conscience to consider the
evidence, to be guided by that alone, and to reach his
conclusion uninfluenced by extraneous considerations
which in other fields might have play in determining purely
executive action.” The Court in Morgan I stressed that
decision-making in formal adjudication was a personal
obligation of the decision-maker, “akin to that of a judge.”
According to the judicial ethos that informs formal
administrative adjudications, “The one who decides must
hear.”90
The justices in Morgan I were quick to note, however,
that the “necessary rule” of personal decision-making in
formal adjudication “does not preclude practicable
administrative procedure in obtaining the aid of assistants
in the [agency].” Indeed, the APA itself prescribes one such
form of assistance: agency heads may assign ALJs to
preside over the hearing (APA § 556(b)). In addition, the
Court noted, agency decision-makers may have staff
members organize and analyze the evidence in the hearing
record, much as judges ask of their law clerks. But in the
end, Morgan I insisted that “the officer who makes the
determinations must consider and appraise the evidence
which justifies them.”91
The Court decided Morgan I a decade before passage of
the APA, and the justices’ premise that agency heads are
the equivalent of appellate judges when they decide a
formal adjudication has not stood the test of time. Although
formal administrative proceedings resemble judicial cases
in many respects, the two modes of decision-making are
not equivalent. Unlike judges, deciding cases is not
necessarily the focal point of an agency head’s
responsibilities. And unlike courts, agencies house
considerable nonjudicial expertise that Congress expects to
inform the resolution of administrative cases. As a result of
these distinctions, it is inevitable, and desirable, for agency
decisions in formal adjudication to take on more of an
institutional character than would be appropriate in judicial
decisions.
Morgan I’s requirement of personal decision-making in
formal adjudication, however, has not been abandoned. It
has been softened to allow more room for institutional
participation in the agency head’s final decision. A recent
restatement of administrative law summarized the
contemporary understanding of the personal decision-
making requirement as demanding no more than that the
agency decision-maker “become personally familiar with
the issues
227
228
229
administrative law judge, or other employee who is or may
reasonably be expected to be involved in the decisional
process of the proceeding.” Section 557(d)(1)(B) is a mirror
image of section 557(d)(1)(A). It prohibits “any member of
the body comprising the agency, administrative law judge,
or other employee who is or may reasonably be expected to
be involved in the decisional process of the proceeding”
from “knowingly” making, or causing to be made, “an ex
parte communication relevant to the merits of the
proceeding” to “any interested person outside the agency.”
Interested Persons. Section 557(d)(1) restricts ex parte
communications between agency decision-makers and
persons who are not employed by the agency but who
nevertheless are “interested” in the outcome of a formal
administrative proceeding. The legislative history of the
Government in the Sunshine Act suggests that Congress
intended that the term “interested person” in section of
557(d)(1) be interpreted broadly to include any “person
with an interest in the agency proceeding that is greater
than the general interest the public as a whole may have.”
Under this definition, a person need not be a party to a
proceeding in order to be “interested” in the outcome. Nor
must a person have a financial stake in the outcome of a
proceeding.103 Indeed, the Ninth Circuit has held that the
president and members of the White House staff generally
are “interested” in formal administrative proceedings and
thus are covered by section of 557(d)(1)’s ban on ex parte
communications.104 Members of Congress and their
staff,105 as well as officials from other agencies,106 may be
regarded as “interested person[s]” within the meaning of
section of 557(d)(1) as well.
Relevant to the Merits of the Proceeding. The phrase
“relevant to the merits of the proceeding” in section 557(d)
(1) communicates both the breadth and the limits of the
APA’s ban on ex parte communications with outsiders.
Section 557(d)(1), unlike section 554(d)(1)’s restriction on
off-the-record consultations involving administrative law
judges, includes not only communications concerning the
facts at issues in a proceeding, but also communications
regarding relevant questions of law and the exercise of
administrative discretion.107 At the same time, courts
230
231
§ 5.7 Bias
The Administrative Procedure Act requires that
administrative law judges and other agency decision-
makers fulfill their responsibilities in formal proceedings
“in an impartial manner” (APA § 556(b)). These decision-
makers may disqualify themselves “at any time” (APA §
556(b)). And the parties may seek their disqualification by
“filing in good faith … a timely and sufficient affidavit of
personal bias or other disqualification” (APA § 556(b)). The
agency must rule on any such affidavit, and its decision
becomes “part of the record and decision in the case” (APA
§ 556(b)). The APA leaves undefined “the personal bias or
other disqualification” that justifies removal of ALJs and
other administrative decision-makers in formal
proceedings.
(a) Structural Bias
The combination of law-enforcement and law-
adjudication functions in administrative agencies raises
legitimate concerns about the inherent fairness of agency
adjudication. The “basic requirement of due process” that
individuals be afforded a “fair trial in a fair tribunal”
applies to administrative adjudication as well as to judicial
trials.114 Yet in the typical administrative enforcement
proceeding, the same agency investigates whether some
person has
232
233
The Commissioners’ previously expressed opinions about
the cement industry’s pricing system, the Court held, “did
not necessarily mean that the minds of its members were
irrevocably closed” on the legality of that system. The
investigation, the Court noted, was ex parte: members of
the cement industry had not participated. The adjudication,
by contrast, was adversarial: the cement industry was
“legally authorized” to fight back. In the enforcement
proceeding, industry representatives presented evidence
supporting their pricing system, cross-examined adverse
witnesses, and fully argued their legal position before the
Commission. In short, the legality of the cement industry’s
pricing system after the hearing might have looked
different to the Commissioners than it had appeared after
the investigation. It had been entirely possible for the
Commissioners to conclude that while the pricing system
had appeared to be illegal after their investigation, they
had become convinced of its legality after the cement
industry made its case.119
(b) Bias in Particular Cases
Judicial resistance to claims of structural bias does not
preclude reviewing courts from concluding that “the
special facts and circumstances” of a particular case
present a “risk of unfairness” that is “intolerably high.”120
But although procedural due process recognizes “the
danger of unfairness through prejudgment,”121 the burden
of demonstrating a disqualifying prejudgment by an agency
decision-maker is considerable.122 A party must prove
more than prior adverse rulings or a preexisting opinion on
law or policy to disqualify an administrative decision-
maker.123
234
A reviewing court must find that “a disinterested observer
may conclude that [the agency decision-maker] has in some
measure adjudged the facts as well as the law of a
particular case in advance of hearing it.”124
In National Labor Relations Board v. Donnelly Garment
Co.,125 for example, the justices refused to disqualify a
hearing officer from presiding over the re-hearing of a case
after the officer’s refusal in the first hearing to admit
certain evidence had resulted in reversal. Disqualification
on such grounds would have been overkill. Trial judges who
are reversed on appeal are not barred from presiding over
the re-trial.126 And more generally, judges who have
“expressed an opinion as to whether certain types of
conduct were prohibited by law” are not disqualified from
deciding cases involving such conduct.127
A recent restatement of the case law identified the
following types of bias as sufficiently problematic to
warrant removal of an agency decision-maker: (1) “the
decisionmaker has a pecuniary or other interest in the
case”; (2) the agency decision-maker “has prejudged the
facts against a party”; and (3) the agency decision-maker,
before the hearing begins, has “developed personal
animosity against a party, witness, or counsel or a group to
which they belong.”128
____________________________
1 Wong Yang Sung v. McGrath, 339 U.S. 33, 36–37 (1950).
2 Id. at 37.
3 See Paul R. Verkuil, A Study of Informal Adjudication
Procedures, 43 U. CHI. L. REV. 739, 741 (1976).
4 Wong Yang Sung, 339 U.S. at 41.
5 421 U.S. 35 (1975); see also Richardson v. Perales, 402
U.S. 389 (1971) (approving combination of functions in
Social Security disability adjudications).
6 Withrow, 421 U.S. at 51.
7 Attorney General’s Manual on the Administrative
Procedure Act 50 (1947) (emphasis added), reprinted in
WILLIAM F. FUNK, et al., FEDERAL ADMINISTRATIVE PROCEDURE
SOURCEBOOK 39–176 (4th ed. 2008); see Grolier, Inc. v. FTC,
615 F.2d 1215, 1218 (9th Cir. 1980).
8 See Wong Yang Sung, 339 U.S. at 46.
9 The separation-of-functions provisions of 554(d) do not
apply in certain types of proceedings concerning licensing
and public utilities and carriers (APA § 554(d)(A)–(B)). The
separation-of-functions provisions of section 554(d) also
may be limited to formal adjudications that are
prosecutorial in nature. The APA does not state such a
limitation, but it may be implicit in the statute’s description
of agency personnel “engaged in the performance of
investigative or prosecuting functions.” See SECTION OF
ADMINISTRATIVE LAW AND REGULATORY PRACTICE OF AMERICAN
BAR ASSOCIATION, A GUIDE TO FEDERAL AGENCY ADJUDICATION
148–49 & n. 97 (Jeffrey B. Litwak ed., 2d ed. 2012).
10 See Attorney General’s Manual, supra note 23, at 54.
Section 554(d)(1) is supplemented by section 557(d)(1)’s
prohibition against ex parte communications involving
agency decision-makers in formal proceedings (see § 5.6).
11 See Butz v. Economou, 438 U.S. 478, 513–14 (1978).
12 Attorney General’s Manual, supra note 23, at 55.
13 Grolier, Inc. v. FTC, 615 F.2d 1215, 1220 (9th Cir. 1980)
(applying section 554(d) to the attorney-advisor of an
agency head).
14 Attorney General’s Manual, supra note 23, at 54 n.6.
15 Attorney General’s Manual on the Administrative
Procedure Act 46 (1947), reprinted in WILLIAM F. FUNK, et
al., FEDERAL ADMINISTRATIVE PROCEDURE SOURCEBOOK 39–176
(4th ed. 2008).
16 SECTION OF ADMINISTRATIVE LAW AND REGULATORY PRACTICE
OF AMERICAN BAR ASSOCIATION, A GUIDE TO FEDERAL AGENCY
ADJUDICATION 55 (Jeffrey B. Litwak ed., 2d ed. 2012).
17 North Alabama Express, Inc. v. United States, 585 F.2d
783, 787 (5th Cir. 1978); see also Rapp v. Office of Thrift
Supervision, 52 F.3d 1510, 1520 (10th Cir. 1995) (“Notice
[under section 554(b)(3)] is sufficient as long as the party
to an administrative proceeding is reasonably apprised of
the issues in controversy and is not misled.”).
18 ABA GUIDE TO ADJUDICATION, supra note 16, at 52.
19 I use “person” here in the APA sense, thus including
not only an “individual,” but also a “partnership,
corporation, association, or public or private organization
other than an agency” (APA § 551(2)).
20 See Attorney General’s Manual, supra note 15, at 63
(describing section 555(b) as providing interested persons
an “opportunity for informal appearance,” rather than for
full-fledged intervention, in administrative proceedings).
21 359 F.2d 994 (D.C.Cir. 1966).
22 Id. at 997–1005.
23 See Nichols v. Board of Trustees of the Asbestos
Workers Local 24 Pension Plan, 835 F.2d 881, 896 n.108
(D.C.Cir. 1987).
24 See Envirocare of Utah, Inc. v. NRC, 194 F.3d 72
(D.C.Cir. 1999).
25 See, e.g., Frilette v. Kimberlin, 508 F.2d 205, 208 (3rd
Cir. 1974), cert. denied, 421 U.S. 980 (1975); Moore v.
Administrator, Veterans Administration, 475 F.2d 1283,
1286 (D.C.Cir. 1973). Although section 556(c)(4) authorizes
ALJs to arrange for depositions “when the ends of justice
would be served,” this authority contemplates the taking of
depositions to preserve testimony for the hearing, and not
to conduct discovery. ABA GUIDE TO ADJUDICATION, supra note
15, at 60.
26 See Trailways Lines v. ICC, 766 F.2d 1537, 1546
(D.C.Cir. 1985). When procedural due process applies, an
agency must allow the discovery that is necessary for
parties to adequately prepare for a hearing. ABA GUIDE TO
ADJUDICATION, supra note 15, at 59.
27 Attorney General’s Manual, supra note 14, at 67. For
discussion of agency subpoena power, see ABA GUIDE TO
ADJUDICATION, supra note 15, at 60–72.
28 For discussion of the use of the Freedom of Information
Act as a means of administrative discovery, see Edward A.
Tomlinson, Use of the Freedom of Information Act for
Discovery Purposes, 43 MD. L. REV. 119 (1984).
29 NLRB v. Robbins Tire & Rubber Co., 437 U.S. 214, 242
& n.23 (1978).
30 The Administrative Dispute Resolution Act of 1990, 5
U.S.C. §§ 571–584, requires agencies to consider alternative
methods of dispute resolution (“ADR”), but leaves the
nature and extent of this consideration largely to the
discretion of the agency and subject to the consent of the
parties, see 5 U.S.C. § 572.
31 Attorney General’s Manual, supra note 14, at 48–50.
The Attorney General’s Manual thought it “clear” that
section 554(c)(1) did not require agencies “to defer formal
proceedings indefinitely while parties submit a series of
proposals for the purpose of delay.” Id. at 49.
32 Because agencies typically fine tune the APA hearing
requirements in their procedural rules, there is
considerable variation in the manner by which each agency
with formal adjudicatory authority conducts its hearings.
See Citizens Awareness Network, Inc. v. United States, 391
F.3d 338, 349 (1st Cir. 2004) (“The APA lays out only the
most skeletal framework for conducting [formal] agency
adjudications, leaving broad discretion to the affected
agencies in formulating detailed procedural rules.”). For a
discussion emphasizing the flexibility of the formal
adjudicatory provisions of the APA, see William S. Jordan,
III, Chevron and Hearing Rights: An Unintended
Combination, 61 ADMIN. L. REV. 249, 273–82 (2009).
33 See Butz v. Economou, 438 U.S. 478, 512–13 (1978).
34 Id. at 513.
35 Free Enterprise Fund v. Public Company Accounting
Oversight Board, ___ U.S. ___, 130 S.Ct. 3138, 3180–81
(2010) (Breyer, J., dissenting). There is a larger, distinct
group of “Administrative Judges” (“AJs”) who preside over
administrative hearings that are not subject to the APA’s
requirements for formal adjudication. AJs enjoy
considerably less independence in their decision-making
than do ALJs. For a study of the work of AJs, see John H.
Frye III, Survey of Non-ALJ Hearing Programs in the
Federal Government, 44 ADMIN. L. REV. 261 (1992).
36 Ramspeck v. Federal Trial Examiners Conference, 345
U.S. 128, 132 (1953) (quoting from the legislative history of
the APA). The original APA used the term “hearing
examiner” to describe the hearing officers in formal
proceedings. Congress changed the name in 1978 to raise
the status of hearing officers. See Pub. L. No. 95–251, 92
Stat. 183 (1978).
37 For an historical development of administrative
hearing officers, see Daniel J. Gifford, Federal
Administrative Law Judges: The Relevance of Past Choices
to Future Directions, 49 ADMIN. L. REV. 1 (1997).
38 See Butz, 438 U.S. at 513.
39See Association of Administrative Law Judges, Inc. v.
Heckler, 594 F.Supp. 1132, 1141 (D.D.C. 1984).
40 Attorney General’s Manual on the Administrative
Procedure Act 74–75 (1947), reprinted in WILLIAM F. FUNK,
et al., FEDERAL ADMINISTRATIVE PROCEDURE SOURCEBOOK 39–
176 (4th ed. 2008).
41 Id. at 73.
42 5 U.S.C. § 3105.
43 For descriptions of the appointments process for ALJs,
see Kent Barnett, Resolving the ALJ Quandary, 66 VAND. L.
REV. 797, 804–06 (2013); Jeffrey S. Lubbers, Federal
Administrative Law Judges: A Focus on our Invisible
Judiciary, 33 ADMIN. L. REV. 109, 112–20 (1981).
44 See Association of Administrative Law Judges, 594
F.Supp. at 1140.
45 See 5 U.S.C. § 5372.
46 5 U.S.C. § 7521(a). Section 7521(b) lists the types of
agency personnel actions that do and do not qualify as
“adverse” pursuant to section 7521(a).
47 5 U.S.C. § 3105. For an argument that the statutory
protections of ALJ decisional independence are importantly
limited, see Barnett, Resolving the ALJ Quandary, supra
note 43, at 806–08.
48 See Nash v. Bowen, 869 F.2d 675, 680–81 (2d Cir.
1989), cert. denied, 493 U.S. 812 (1989).
49 869 F.2d 675 (2d Cir. 1989), cert. denied, 493 U.S. 812
(1989).
50 Id. at 680.
51 Id. at 681.
52 State agencies made the initial determination whether
claimants qualified for disability benefits. A claimant who
was denied benefits by a state agency could request a de
novo hearing before an ALJ of the federal Social Security
Administration. See Association of Administrative Law
Judges, 594 F.Supp. at 1133.
53 Nash, 869 F.2d at 681; see also Association of
Administrative Law Judges, 594 F.Supp. at 1133 (earlier
performance review program of the Social Security
Administration with an “unremitting focus” on the rate at
which ALJs allow claims for disability benefits “created an
untenable atmosphere of tension and unfairness which
violated the spirit of the APA, if no specific provision
thereof”).
54 Attorney General’s Manual, supra note 40, at 83. For
certain types of adjudications—that is, those “determining
claims for money or benefits or applications for initial
licenses”—agencies may allow only the submission of
written evidence, provided no party is “prejudiced” by the
absence of an oral hearing (see APA § 556(d)).
55 Costle v. Pacific Legal Foundation, 445 U.S. 198, 214
(1980); Weinberger v. Hynson, Westcott & Dunning, Inc.,
412 U.S. 609, 620–22 (1973).
56 Central Freight Lines, Inc. v. United States, 669 F.2d
1063, 1068 (5th Cir. 1982); Seacoast Anti-Pollution League
v. Costle, 572 F.2d 872, 880 (1st Cir. 1978), overruled on
other grounds, Dominion Energy Brayton Point, LLC v.
Johnson, 443 F.3d 12 (1st Cir. 2006).
57 Solis v. Schweiker, 719 F.2d 301, 302 (9th Cir. 1983);
see Attorney General’s Manual, supra note 40, at 77, 78.
58 The justices “do not lightly presume” that another
statute “reject[s] the APA’s burden of proof provision.”
Director, Office of Workers’ Compensation Programs v.
Greenwich Collieries, 512 U.S. 267, 271 (1994).
59 See Attorney General’s Manual, supra note 40, at 75.
60 See NLRB v. Transportation Management Corp., 462
U.S. 393, 404 n.7 (1983).
61 512 U.S. 267 (1994).
62 Id. at 275–76.
63 450 U.S. 91, 102 (1981).
64 SECTION OF ADMINISTRATIVE LAW AND REGULATORY PRACTICE
OF AMERICAN BAR ASSOCIATION, A GUIDE TO FEDERAL AGENCY
ADJUDICATION 89 (Jeffrey B. Litwak ed., 2d ed. 2012).
65 Richardson v. Perales, 402 U.S. 389, 400, 407–08
(1971); FTC v. Cement Institute, 333 U.S. 683, 705–06
(1948); see Attorney General’s Manual, supra note 40, at
76 (“the technical rules of evidence [are] not … applicable
to administrative hearings”). Certain privileges, such as the
attorney-client privilege, generally are available in agency
adjudications. See SECTION OF ADMINISTRATIVE LAW AND
REGULATORY PRACTICE OF AMERICAN BAR ASSOCIATION, A
BLACKLETTER STATEMENT OF FEDERAL ADMINISTRATIVE LAW 8
(2004); Ernest Gellhorn, Rules of Evidence and Official
Notice in Formal Administrative Hearings, 1971 DUKE L.J.
1, 28–35.
66 Richardson, 402 U.S. at 402, 407–08, 410.
67 McDaniel v. Celebrezze, 331 F.2d 426, 429 (4th Cir.
1964); Attorney General’s Manual, supra note 40, at 79–80.
For an argument favoring broad application of the Federal
Rules of Evidence to formal adjudicatory proceedings, see
Michael H. Graham, Application of the Rules of Evidence in
Administrative Agency Formal Adversarial Adjudications,
1991 U. ILL. L. REV. 353.
68 For a survey of evidentiary rules adopted by federal
agencies, see Richard J. Pierce, Jr., Use of the Federal Rules
of Evidence in Federal Agency Adjudications, 39 ADMIN. L.
REV. 1, 5–6 (1987).
69 Castillo–Villagra v. INS, 972 F.2d 1017, 1026–27 (9th
Cir. 1992); see Attorney General’s Manual, supra note 40,
at 79–80.
70 Attorney General’s Manual, supra note 40, at 79–80.
The facts that administrative hearing officers typically
notice either were generated by the agency’s staff or were
established in the agency’s prior proceedings. See
Gellhorn, Rules of Evidence and Official Notice, supra note
65, at 42.
71 See Gellhorn, Rules of Evidence and Official Notice,
supra note 65, at 43.
72 Fed.R.Evid. 201(g) & Adv. Comm. Note.
73 Gellhorn, Rules of Evidence and Official Notice, supra
note 65, at 43–45.
74 Banks v. Schweiker, 654 F.2d 637, 642 (9th Cir. 1981).
75 Ohio Bell Telephone Co. v. Public Utilities Comm’n of
Ohio, 301 U.S. 292, 300–02 (1937).
76 An agency may provide, “either in specific cases or by
general rule,” that “the entire record” be certified to the
head(s) of the agency “for decision” (APA § 557(b)). In such
a case, the ALJ issues only a “recommended decision.” Id.
On those rare occasions when the agency head(s) preside
over the hearing (see APA § 556(b)(1)), the agency may
announce its final decision without a prior, initial decision
(APA § 557(b)).
77 SECTION OF ADMINISTRATIVE LAW AND REGULATORY PRACTICE
OF AMERICAN BAR ASSOCIATION, A GUIDE TO FEDERAL AGENCY
ADJUDICATION 110 (Jeffrey B. Litwak ed., 2d ed. 2012).
78 Even if there is no appeal, an agency may review an
ALJ’s initial decision on its own. By the same token,
agencies can limit the issues they consider on appeal,
either generally by rule or ad hoc by notifying the parties in
a case (see APA § 557(b)).
79 ABA GUIDE TO ADJUDICATION, supra note 77, at 110–11.
For a review and assessment of the internal review
processes of several federal agencies, see Russell L.
Weaver, Appellate Review in Executive Departments and
Agencies, 48 ADMIN. L. REV. 251 (1996).
80 Attorney General’s Manual on the Administrative
Procedure Act 85 (1947), reprinted in WILLIAM F. FUNK, et
al., FEDERAL ADMINISTRATIVE PROCEDURE SOURCEBOOK 39–176
(4th ed. 2008).
81 See FCC v. Allentown Broadcasting Corp., 349 U.S.
358, 364–65 (1955); Universal Camera Corp. v. NLRB, 340
U.S. 474, 492 (1951).
82 See Attorney General’s Manual, supra note 80, at 83.
83 340 U.S. 474 (1951).
84 Id. at 496; see Attorney General’s Manual, supra note
80, at 84; see, e.g., Penasquitos Village, Inc. v. NLRB, 565
F.2d 1074, 1078–80 (9th Cir. 1977).
85 ITT Continental Baking Co. v. FTC, 532 F.2d 207, 219
(2d Cir. 1976); see Patricia M. Wald, Some Thoughts on
Beginnings and Ends: Court of Appeals Review of
Administrative Law Judges’ Findings and Opinions, 67
WASH. U.L.Q. 661, 666 (1989).
86 Attorney General’s Manual, supra note 80, at 86; see
Colorado Interstate Gas Co. v. Federal Power Commission,
324 U.S. 581, 595 (1945) (the “path” of the agency’s
decision must be “discerned” by reviewing court);
Armstrong v. CFTC, 12 F.3d 401, 404 (3rd Cir. 1993) (“No
particular form of adoption is required if the agency’s
action permits meaningful appellate review.”).
87 Cf. Armstrong, 12 F.3d at 403–04 (agency’s summary
affirmance of an ALJ’s initial decision as “substantially
correct” was “insufficient” because it left unclear which of
the ALJ’s “specific findings or conclusions” the agency had
regarded as incorrect).
88 298 U.S. 468 (1936).
89 Id. at 478–82.
90 Id. at 480–81.
91 Id. at 481–82.
92 SECTION OF ADMINISTRATIVE LAW AND REGULATORY PRACTICE
OF AMERICAN BAR ASSOCIATION, A BLACKLETTER STATEMENT OF
FEDERAL ADMINISTRATIVE LAW 9 (2004).
93 572 F.2d 872 (1st Cir. 1978), overruled on other
grounds, Dominion Energy Brayton Point, LLC v. Johnson,
443 F.3d 12 (1st Cir. 2006).
94 Id. at 881.
95 Louisiana Ass’n of Indep. Producers and Royalty
Owners v. FERC, 958 F.2d 1101, 1111 (D.C.Cir. 1992).
96 ABA BLACKLETTER STATEMENT, supra note 92, at 9–10.
97 United States v. Morgan, 313 U.S. 409 (1941).
98 Id. at 422, quoting Morgan v. United States, 304 U.S. 1,
18 (1938) (Morgan II).
99 Pub.L. 94–409, § 4, 90 Stat. 1241, 1246–47 (1976).
100 Raz Inland Navigation Co. v. ICC, 625 F.2d 258, 260
(9th Cir. 1980) (quoting House Committee Report).
101 Because section 557 of the APA applies whenever an
agency conducts a formal hearing (APA § 557(a)), the
restriction on ex parte communications applies to formal
rulemaking as well as to formal adjudication (APA § 557(d)
(1)).
102 Similarly, the APA definition of ex parte
communications explicitly excludes “requests for status
reports” (APA § 551(14)).
103 Professional Air Traffic Controllers Organization v.
FLRA, 685 F.2d 547, 562 (D.C.Cir. 1982) (PATCO II)
(quoting H.R.Rep. No. 880, Pt. I, 94th Cong., 2d Sess. 19–
20 (1976)).
104Portland Audubon Society v. Endangered Species
Comm., 984 F.2d 1534, 1544–45 (9th Cir. 1993).
105 SECTION OF ADMINISTRATIVE LAW AND REGULATORY PRACTICE
OF AMERICAN BAR ASSOCIATION, A BLACKLETTER STATEMENT OF
FEDERAL ADMINISTRATIVE LAW 54 (2004).
106 PATCO II, 685 F.2d at 568.
107 Id. at 563.
108 Louisiana Association of Independent Producers and
Royalty Owners v. FERC, 958 F.2d 1101, 1112 (D.C.Cir.
1992); Massman Constr. Co. v. TVA, 769 F.2d 1114, 1127
(6th Cir. 1985); PATCO II, 685 F.2d at 563. In addition, the
APA’s definition of “ex parte communication” (APA §
551(14)) makes clear that “requests for status reports” are
permitted by section 557(d)(1). However, a request for a
status report or a procedural inquiry that “amount[s] to an
indirect or subtle effort to influence the substantive
outcome of the proceedings” may be considered “relevant
to the merits of the proceeding,” and thus prohibited by
section 557(d)(1). PATCO II, 685 F.2d at 563, 568 (D.C.Cir.
1982) (quoting Senate report).
109 If the prohibited ex parte communication is in writing,
the agency decision-maker simply adds it to the record. If
the communication is oral, the decision-maker must place
on the record a memorandum “stating the substance” of
the communication (APA § 557(d)(1)(C) (i)–(ii)). The
decision-maker also must disclose “all written responses,
and memoranda stating the substance of all oral
responses,” to the prohibited ex parte communication (APA
§ 557(d)(1)(C) (iii)).
110 PATCO II, 685 F.2d at 563–64 & n.32.
111 Id. at 564.
112 685 F.2d 547 (D.C.Cir. 1982).
113 Id. at 564–65.
114 Withrow v. Larkin, 421 U.S. 35, 46 (1975).
115 Id. at 47 (1975) (emphasis added); see also
Richardson v. Perales, 402 U.S. 389, 410 (1971) (rejecting a
procedural due process challenge to a system authorizing a
Social Security examiner both to develop the facts and to
make decisions regarding disability claims).
116 Withrow, 421 U.S. at 47, 54–55 (1975).
117 333 U.S. 683 (1948).
118 Id. at 700.
119 Id. at 701; see also Withrow, 421 U.S. at 57–58 (“[J]ust
as there is no logical inconsistency between a finding of
probable cause and an acquittal in a criminal proceeding,
there is no incompatibility between the agency filing a
complaint based on probable cause and a subsequent
decision, when all the evidence is in, that there has been no
violation of the statute.”).
120 Withrow, 421 U.S. at 58; see also Caperton v. A.T.
Massey Coal Co., 556 U.S. 868, 883–84 (2009) (“[T]he
Court has asked whether, ‘under a realistic appraisal of
psychological tendencies and human weakness,’ the
interest ‘poses such a risk of actual bias or prejudgment
that the practice must be forbidden if the guarantee of due
process is to be adequately implemented.’ ”(quoting
Withrow, 421 U.S. at 47)).
121 Cinderella Career & Finishing Schools, Inc. v. FTC,
425 F.2d 583, 590 (D.C.Cir. 1970).
122 See Caperton, 556 U.S. at 876 (“most matters relating
to judicial disqualification [do] not rise to a constitutional
level” (quoting Cement Institute, 333 U.S. at 702) (internal
quotation marks omitted)). In Caperton, the Court found a
due process violation on an “extreme” set of facts involving
“a person with a personal stake in a particular case [who]
had a significant and disproportionate influence in placing
the judge on the case by raising funds or directing the
judge’s election campaign when the case was pending or
imminent.” Caperton, 556 U.S. at 881–87.
123 SECTION OF ADMINISTRATIVE LAW AND REGULATORY PRACTICE
OF AMERICAN BAR ASSOCIATION, A BLACKLETTER STATEMENT OF
FEDERAL ADMINISTRATIVE LAW 9 (2004).
124 Cinderella, 425 F.2d at 591, cert. denied, 361 U.S. 896
(1959) (quoting Gilligan, Will & Co. v. SEC, 267 F.2d 461,
469 (2d Cir.)) (internal quotation marks omitted).
125 330 U.S. 219, 236 (1947).
126 Id. at 236–37; see also Cement Institute, 333 U.S. at
703 (“judges frequently try the same case more than once
and decide identical issues each time”).
127 Cement Institute, 333 U.S. at 702–03.
128 ABA BLACKLETTER STATEMENT, supra note 123, at 9.
235
Chapter 6
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238
policy, Congress enacted a series of enabling acts
dramatically increasing the rulemaking power of agencies
to address a variety of environmental, health, safety, and
social concerns (see § 1.5(e)). The simultaneous increase of
administrative power and decrease in procedural formality
sparked a reaction by reviewing courts, led by the D.C.
Circuit, that intensified both procedural and substantive
judicial review of agency rulemaking.5
Federal courts of appeals became convinced that section
553(c)’s opportunity to submit written comments failed to
provide adequate public participation in administrative
rulemaking proceedings when important and controversial
issues of public health and safety were at stake.6 They
advocated a “flexible interpretation of the APA” which
ensured in each case that the agency’s rulemaking
procedure had fulfilled its “primary objective” of
developing the information necessary for administrators to
implement their enabling acts “effectively.”7 This “flexible
interpretation” untethered reviewing courts from “strict
adherence to the explicit dictates of the APA,”8 thereby
freeing them to draw on “basic considerations of fairness
[to] dictate procedural requirements not specified by
Congress.”9
These courts were fundamentally dissatisfied with the
two procedural choices that the APA offered for
administrative rulemaking. They saw the options of formal
and informal rulemaking as presenting a false choice.
Formal rulemaking, which required a full trial, was too
formal. Yet the notice-and-comment process seemed too
informal, at least for the kind of major regulatory initiatives
that increasingly characterized administrative rulemaking
of the era. These courts registered their dissatisfaction
with the APA’s limited procedural menu by prodding
agencies to adopt “hybrid” procedures lying between
formal and informal rulemaking, sharing elements of each.
In their most aggressive form, hybrid rulemaking
proceedings forced agencies to augment the notice-and-
comment process by conducting an oral hearing, including
a right to cross-examination if necessary to resolve “critical
issues.”10
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244
245
246
247
248
249
250
251
Now assume that the agency, in response to one of the
public comments submitted in the rulemaking proceeding
on the proposed safety standards, adopted a final rule
creating a new mileage standard for automobiles. In this
case, a reviewing court would invalidate the mileage
standard because it was not a “logical outgrowth” of the
NPRM proposing new safety standards. Automobile
manufacturers had no reason to anticipate that the agency
would issue new mileage standards.65 The fact that the
mileage rule was in response to a comment did not relieve
the agency of its obligation to notify the public of the
proposed mileage rule.66 In this illustration, if the agency
wishes to adopt a mileage standard, it would have to issue
a new notice of proposed rulemaking raising that issue.67
The two hypotheticals pose straightforward applications
of the logical outgrowth rule. Many contested cases require
a more difficult determination of whether an agency’s
modifications to a proposed rule necessitate a new round of
public comment. In approaching these closer cases,
reviewing courts engage in a fact-specific analysis
evaluating not only the textual differences between the
proposed and final rules, but also the totality of the
agency’s public communications concerning the scope of its
rulemaking. For example, in South Terminal Corp. v.
Environmental Protection Agency,68 the First Circuit
upheld rules that, the court acknowledged, marked a
“substantial” change from the agency’s original proposal.
EPA had proposed to reduce pollution from motor vehicles
in the Boston area by adopting several specific motor-
vehicle pollution-control measures, including parking
surcharges
252
and travel restrictions on a highway ringing the city. The
agency eliminated those measures from the final rule after
commenters had assailed them. EPA, however, substituted
other motor-vehicle pollution-control measures in the final
rule that it had not previously proposed, such as reducing
parking availability and requiring more frequent
automobile inspections.
The court of appeals upheld the new measures as a
logical outgrowth of the rulemaking proposal because they
were “in character with the original scheme.” It was
important to the court as well that EPA had stated in the
notice of proposed rulemaking that officials would be
influenced by public opposition to its proposals and that
they would “consider all reasonable alternatives” for
reducing automobile pollution in the Boston area. In
addition, as part of the rulemaking proceeding, the agency
had held a hearing at which a number of alternative motor-
vehicle pollution-control strategies were vetted. For all of
these reasons, the court concluded, interested members of
the public should have anticipated that EPA would consider
adopting alternative pollution-control measures for the
proposed controls that had drawn strong public
opposition.69
In Chocolate Manufacturers Association v. Block,70 the
Fourth Circuit concluded that a regulatory shift by the
Department of Agriculture similar to that of EPA in South
Terminal failed the logical outgrowth test. The regulations
of the Agriculture Department permitted the substitution of
flavored milk for fluid whole milk in a federal food program.
After Congress amended the enabling act instructing USDA
to ensure that the substituted foods it allowed in the
program had nutritional value, the Department initiated a
rulemaking proceeding. The rulemaking proposal
maintained the USDA’s long-standing position allowing
flavored milk as a substitute for whole milk. But the NPRM,
like EPA’s rulemaking notice in South Terminal, invited the
public “to make recommendations for alternatives not
considered in the proposed regulations.” Of the 1,000 or so
comments USDA received, 78 recommended that the
agency delete flavored milk from the list of approved foods.
The agency’s final rule adopted that position,
253
prohibiting for the first time the use of flavored milk in the
food program.
Although the court of appeals acknowledged that
generally an agency’s “approval of a practice in a proposed
rule may properly alert interested parties that the practice
may be disapproved in the final rule in the event of adverse
comments,” it nevertheless ruled, at least in “the specific
circumstances of this case,” that the provision prohibiting
flavored milk as a substitute for whole milk was not a
logical outgrowth of the agency’s proposal. The Fourth
Circuit in Chocolate Manufacturers, like the First Circuit in
South Terminal, scoured the rulemaking record in reaching
this conclusion. It was important to the court of appeals in
Chocolate Manufacturers that USDA had permitted the use
of flavored milk in the program since its inception. And
although USDA had compiled extensive research on the
nutritional value of substituted foods before issuing its
proposal, the Department never suggested deleting
flavored milk from its list of approved foods. Moreover, the
NPRM explicitly endorsed flavored milk as an appropriate
substitute for whole milk. “The total effect of the history of
the use of flavored milk, the preamble discussion, and the
proposed rule,” the court found, “could have led interested
persons only to conclude that a change in flavored milk
would not be considered.” Because USDA had provided no
public notice that it might delete flavored milk from its list
of approved foods, it could not take that action without
providing interested members of the public an opportunity
to comment.71
Although the outcomes in South Terminal and in
Chocolate Manufacturers differ, the analyses of the courts
of appeals in the two decisions are consistent. Both courts
engaged in a highly contextual, fact-intensive investigation
of whether the agency had adequately notified interested
members of the public that the final provisions of the rule
were in play during the rulemaking proceeding.72
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257
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260
261
262
263
264
265
266
267
268
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270
271
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274
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276
277
public of administrative policies and legal interpretations
before the agency acts on them.185
Reviewing courts have experienced extraordinary
difficulty at times when deciding whether an administrative
statement or rule is legislative, and thus subject to the
notice-and-comment provisions of section 553, or
nonlegislative, and thus free from all public participation
requirements. Because of the differing natures of agency
policy statements and interpretive rules, courts have used a
distinct analysis for distinguishing each type of guidance
document from the legislative rules that trigger the
procedural requirements of section 553. The APA’s
exemptions for policy statements and for interpretive rules
are discussed in turn.
Policy Statements. Reviewing courts have tended to
follow the Attorney General’s Manual’s definition of policy
statements, which describes these instruments as
“statements issued by an agency to advise the public
prospectively of the manner in which the agency proposes
to exercise a discretionary function.”186 Administrative
policy statements assume a variety of forms and proceed
under many titles, such as “guidances,” “memoranda,”
“manuals,” “policy letters,” “press releases,” “staff
instructions,” “bulletins” and the like.
In distinguishing between legislative rules and policy
statements, reviewing courts determine whether the
document at issue binds the agency in subsequent
administrative adjudications.187 As the D.C. Circuit
explained, “[A]n agency announcement has ‘present-day
binding effect’ if the agency is ‘simply unready to hear new
argument’ in proceedings governed by the
announcement.” 188 In administrative adjudications
involving a legislative rule, the agency simply interprets the
rule and applies it to the facts.189 The agency cannot alter
the rule without satisfying
278
279
280
281
282
283
284
285
286
287
288
289
290
291
292
thus within the good cause exemption.260 Yet even in a
complex rulemaking, the good cause exemption should not
be available if the deadline leaves the agency adequate
time to comply with the procedural requirements of section
553.261 Nor should reviewing courts allow agencies to
“abuse” this good case exemption by procrastinating until
just before a deadline and then claiming insufficient time to
proceed with notice and comment.262
Public Interest. According to the Attorney General’s
Manual, notice and comment is “contrary to the public
interest” when “advance notice” of new rules “tend[s] to
defeat their purpose.”263 The classic example here is
administrative rulemaking establishing price controls. An
agency might reasonably fear that providing advance
notice of a price freeze would stimulate a stampede by
firms to raise prices and to complete transactions before
the controls take effect.264 When invoking the “public
interest” exemption in such situations, however, agency
officials must be prepared to demonstrate to a reviewing
court’s satisfaction the substantiality of their fear that
regulated entities will take actions that undermine the
contemplated regulation while the rulemaking proceeding
is pending.265
293
294
295
the wisdom of those decisions appears doubtful in the light
of changing policies.”276 But in Utilities Solid Waste
Activity Group v. Environmental Protection Agency,277 the
D.C. Circuit denied the good cause exemption to EPA’s
attempt to correct a ministerial mistake in its rules
governing PCBs. The court of appeals found that “members
of the public were greatly interested” in the agency’s
amendment because the change had “greatly expanded the
regulated community and increased the regulatory
burden.”278
Direct Final Rulemaking. The Environmental
Protection Agency pioneered a legislative rulemaking
innovation that has gained traction in recent years. This
innovation, called “direct final rulemaking,” is reserved for
instances when agency officials believe that following the
notice-and-comment process is unnecessary because the
rules will not stir controversy. Section 553(b)(B) of the APA
provides a good cause exemption from notice and comment
in such circumstances, but an agency invoking the
exemption risks invalidation of its rule if a reviewing court
disagrees with the agency’s prediction of the public’s lack
of interest in its rulemaking. Direct final rulemaking allows
agencies to hedge against that risk by testing their belief
that notice-and-comment procedures are unnecessary. In
this process, the agency publishes a final rule, together
with a statement of basis and purpose, without having gone
through the notice-and-comment process. The publication
states that the rule will become effective at a later date if
the agency receives no significant adverse comment.
Should the agency receive such comment, it withdraws the
rule and proceeds through the notice-and-comment
process.279
The Administrative Procedure Act does not explicitly
authorize direct final rulemaking, and courts have yet to
settle its legality. The direct final rulemaking process is
permissible, of course, if public participation is
“unnecessary” within the meaning of the good cause
exemption of section 553(b)(B). Indeed, in such a case,
direct final rulemaking provides more procedure than is
statutorily
296
____________________________
1 For a discussion of the procedural values served by the
informal rulemaking process, see Cooley R. Howarth, Jr.,
Informal Agency Rulemaking and the Courts: A Theory for
Procedural Review, 61 WASH. U. L.Q. 891, 896–906 (1984).
2 See Connecticut Light and Power Co. v. NRC, 673 F.2d
525, 528 (D.C.Cir 1982); Greater Boston Television Corp. v.
FCC, 444 F.2d 841, 851 (D.C.Cir. 1970), cert. denied, 403
U.S. 923 (1971).
3 AMA v. Reno, 57 F.3d 1129, 1132–33 (D.C.Cir. 1995).
4 See Attorney General’s Manual on the Administrative
Procedure Act 31 (1947), reprinted in WILLIAM F. FUNK, et
al., FEDERAL ADMINISTRATIVE PROCEDURE SOURCEBOOK 39–176
(4th ed. 2008); James V. DeLong, Informal Rulemaking and
the Integration of Law and Policy, 65 VA. L. REV. 257 (1979)
(describing the “original APA model” of informal
rulemaking).
5 The intensified substantive judicial review, known as
“hard look” review, is discussed in § 8.7(b).
6 See, e.g., O’Donnell v. Shaffer, 491 F.2d 59, 62 (D.C.Cir.
1974).
7 Mobil Oil Corp. v. FPC, 483 F.2d 1238, 1252 (D.C.Cir.
1973); see O’Donnell, 491 F.2d at 62.
8 Mobil Oil Corp., 483 F.2d at 1252.
9 O’Donnell, 491 F.2d at 62.
10 Id. at 62; see, e.g., Appalachian Power Co. v. EPA, 477
F.2d 495, 503 (4th Cir. 1973); Walter Holm & Co. v. Hardin,
449 F.2d 1009, 1016 (D.C.Cir. 1971).
11 See Stephen F. Williams, “Hybrid Rulemaking” under
the Administrative Procedure Act: A Legal and Empirical
Analysis, 42 U. CHI. L. REV. 401, 411–12 (1975).
12 541 F.2d 1, 66 (D.C.Cir.), cert. denied, 426 U.S. 941
(1976) (upholding EPA regulations requiring the reduction
of lead in gasoline).
13 Id. at 66 (Bazelon, C.J., concurring).
14 Id. at 66–67 (Bazelon, C.J., concurring).
15 Id. at 66–67 (Bazelon, C.J., concurring). For discussions
of the judicial hybrid rulemaking precedent with varying
emphases, see DeLong, Informal Rulemaking, supra note 4,
at 262–76; Antonin Scalia, Vermont Yankee: The APA, the
D.C. Circuit, and the Supreme Court, 1978 SUP. CT. REV.
345, 348–52; Paul R. Verkuil, Judicial Review of Informal
Rulemaking, 60 VA. L. REV. 185, 234–42 (1974). For an
assessment of the impact of hybrid rulemaking decisions on
particular agency proceedings, see Williams, Hybrid
Rulemaking, supra note 11, at 425–36.
16 435 U.S. 519 (1978).
17 Id. at 530.
18 Natural Resources Defense Council, Inc. v. NRC, 547
F.2d 633, 643–54 (D.C. Cir. 1976).
19 Vermont Yankee, 435 U.S. at 524–25. Vermont Yankee’s
disapproval of judicially created procedural requirements
for agency decision-making applies to informal adjudication
as well as to informal rulemaking. See Pension Benefit
Guarantee Corp. v. LTV Corp., 496 U.S. 633 (1990).
20 Vermont Yankee, 435 U.S. at 524, 542.
21 Id. at 524–25.
22 Id. at 546–47.
23 Vermont Yankee does not prevent Congress from
requiring hybrid rulemaking, and a number of enabling
acts provide for such procedures. See, e.g., Federal Trade
Commission Improvement Act of 1980, 15 U.S.C. § 57b–3;
Clean Water Act of 1977, 33 U.S.C. § 1317; Clean Air Act
Amendments of 1977, 42 U.S.C. § 7607(d); Toxic
Substances Control Act of 1976, 15 U.S.C. § 2605(c);
Consumer Product Safety Act of 1972, 15 U.S.C. § 2058;
Occupational Safety and Health Act of 1970, 29 U.S.C. §
655.
24 Natural Resources Defense Council, 547 F.2d at 654;
see Vermont Yankee, 435 U.S. at 549.
25 Stephen F. Williams, “Hybrid Rulemaking” under the
Administrative Procedure Act: A Legal and Empirical
Analysis, 42 U. CHI. L. REV. 401, 454–55 (1975).
26 Vermont Yankee, 435 U.S. at 549. The leading
commentary on Vermont Yankee is Antonin Scalia, Vermont
Yankee: The APA, the D.C. Circuit, and the Supreme Court,
1978 SUP. CT. REV. 345. For an excellent exchange on the
merits of Vermont Yankee written on the heels of the
Supreme Court’s decision, see Richard B. Stewart, Vermont
Yankee and the Evolution of Administrative Procedure, 91
HARV. L. REV. 1805 (1978) (criticizing Vermont Yankee);
Clark Byse, Vermont Yankee and the Evolution of
Administrative Procedure: A Somewhat Different View, 91
HARV. L. REV. 1823 (1978) (supporting Vermont Yankee).
For analysis of Vermont Yankee through the lens of the
difficulties agencies and reviewing courts face in
factfinding regarding scientific issues, see Thomas O.
McGarity, Substantive and Procedural Discretion in
Administrative Resolution of Science Policy Questions:
Regulating Carcinogens in EPA. and OSHA, 67 GEO. L.J. 729
(1979).
27 Vermont Yankee Nuclear Power Corp. v. National
Resources Defense Council, 435 U.S. 519, 544 (1978).
28 See, e.g., Wisconsin Gas Co. v. FERC, 770 F.2d 1144,
1167 (D.C. Cir. 1985) (“[T]o the extent that [hybrid
rulemaking precedent] imposes procedural requirements
not required by [an agency’s enabling act] or the
Administrative Procedure Act, it cannot survive Vermont
Yankee.”).
29 See Small Refiner Lead Phase-Down Task Force v. EPA,
705 F.2d 506, 547, 549 (D.C.Cir. 1983).
30 See, e.g., Prometheus Radio Project v. FCC, 652 F.3d
431, 449 (3d Cir. 2011) (“To assess whether the public was
fairly apprised of a new rule, a reviewing court asks
‘whether the purposes of notice and comment have been
adequately served.’ ”) (quoting Am. Water Works Ass’n v.
EPA, 40 F.3d 1266, 1274 (D.C.Cir. 1994)).
31 See, e.g., International Union, United Mine Workers of
America v. Mine Safety & Health Administration, 407 F.3d
1250, 1259 (D.C.Cir. 2005); see also Prometheus Radio
Project, 652 F.3d at 449 (quoting International Union).
32 Weyerhaeuser Co. v. Costle, 590 F.2d 1011, 1031
(D.C.Cir. 1978); see Chocolate Manufacturers Ass’n v.
Block, 755 F.2d 1098, 1103 (4th Cir. 1985).
33 See, e.g., Prometheus Radio Project, 652 F.3d at 449;
International Union, 407 F.3d 1250.
34 See, e.g., Prometheus Radio Project, 652 F.3d at 449;
International Union, 407 F.3d 1250; Marathon Oil Co. v.
EPA, 564 F.2d 1253, 1271 n.54 (9th Cir. 1977).
35 Section 553(b) also requires that the agency’s notice of
proposed rulemaking include (1) “a statement of the time,
place, and nature of public rule making proceedings” and
(2) “reference to the legal authority under which the rule is
proposed” (APA § 553(b)(1),(2)). The reference to legal
authority in the NPRM “must be sufficiently precise to
apprise interested persons of the agency’s legal authority
to issue the proposed rule.” Attorney General’s Manual on
the Administrative Procedure Act 29 (1947), reprinted in
WILLIAM F. FUNK, et al., FEDERAL ADMINISTRATIVE PROCEDURE
SOURCEBOOK 39–176 (4th ed. 2008).
36 Attorney General’s Manual, supra note 35, at 30.
37 See, e.g., Florida Power & Light Co. v. United States,
846 F.2d 765, 771 (D.C.Cir. 1988) (quoting Forester v.
Consumer Product Safety Commission, 559 F.2d 774, 787
(D.C.Cir. 1977)) (NPRM must afford interested persons “a
reasonable opportunity to participate in the rulemaking
process”).
38 See, e.g., Nuvio Corp. v. FCC, 473 F.3d 302, 310
(D.C.Cir 2006); American Medical Ass’n v. United States,
887 F.2d 760, 767 (7th Cir. 1989); United Steelworkers of
America v. Schuykill Metal Corp., 828 F.2d 314, 317 (5th
Cir. 1987).
39 See S. Rep. No. 752, 77th Cong., 1st Sess. 14 (1945)
(Report of the Senate Judiciary Committee on the APA)
(“Agency notice must be sufficient to fairly apprise
interested parties of the issues involved, so that they may
present responsive data or argument relating thereto.”).
40 Natural Resources Defense Council, Inc. v. EPA, 279
F.3d 1180, 1186 (9th Cir. 2002) (emphasis added); see
Prometheus Radio Project v. FCC, 373 F.3d 372, 411 (3d
Cir. 2004); Steelworkers, 828 F.2d at 317.
41Florida Power & Light, 846 F.2d at 771; see American
Medical Ass’n, 887 F.2d at 767.
42 McLouth Steel Products Corp. v. Thomas, 838 F.2d
1317, 1323 (D.C.Cir. 1988).
43 MCI Telecommunications Corp. v. FCC, 57 F.3d 1136,
1142 (D.C.Cir. 1995).
44 57 F.3d 1136 (D.C. Cir. 1995).
45 Id. at 1141–43; see also McLouth, 838 F.2d at 1322–23
(holding a rulemaking notice inadequate where the agency
raised the relevant issue only in the “Supplementary
Information” section of the NPRM and thus failed to “alert[
] a reader to the stakes”).
46 705 F.2d 506 (D.C.Cir. 1983).
47 Id. at 549; see also Prometheus Radio Project, 652 F.3d
at 450–54 (holding inadequate an NPRM that did not
contain the text of a proposed rule but instead included
“two general questions” about a possible rules change); cf.
Nuvio Corp. v. FCC, 473 F.3d 302, 309–10 (D.C.Cir 2006)
(upholding an NPRM that did not include the text of a
proposed rule, because it “notified the parties of the
purpose, … the extent, … the form, … and the time frame …
of any potential regulation”).
48 See, e.g., Shell Oil Co. v. EPA, 950 F.2d 741, 757
(D.C.Cir. 1991); Steelworkers, 828 F.2d at 318. By the same
token, the failure of any commenter to anticipate the option
ultimately chosen by an agency supports a conclusion that
the final rule was not a logical outgrowth of the NPRM.
See, e.g., CSX Transportation, Inc. v. Surface
Transportation Board, 584 F.3d 1076, 1080 (D.C.Cir. 2009).
49 See, e.g., Horsehead Resource Development v.
Browner, 16 F.3d 1246, 1268 (D.C.Cir. 1994); Shell, 950
F.2d at 751.
50 See, e.g., Shell Oil Co., 950 F.2d at 751; Small Refiners,
705 F.2d at 547, 549–50; AFL–CIO v. Donovan, 757 F.2d
330, 340 (D.C.Cir. 1985).
51 See, e.g., Small Refiners, 705 F.2d at 547, 549–50;
AFL–CIO v. Donovan, 757 F.2d at 340.
52 See, e.g., Kooritzky v. Reich, 17 F.3d 1509, 1513
(D.C.Cir.1994) (“Agencies should be free to adjust or
abandon their proposals in light of public comments or
internal agency reconsideration without having to start
another round of rulemaking.”).
53See, e.g., Natural Resources Defense Council, Inc. v.
Thomas, 838 F.2d 1224, 1242 (D.C.Cir. 1988).
54 See American Medical Ass’n, 887 F.2d at 766–69; AFL–
CIO, 757 F.2d at 338; South Terminal Corp. v. EPA, 504 F.2d
646, 658 (1st Cir. 1974).
55 See Kooritzky, 17 F.3d at 1513 (“It is an elementary
principle of rulemaking that a final rule … must not [match
the proposed rule] if the record demands a change.”).
56 See, e.g., Natural Resources Defense Council, Inc. v.
EPA, 863 F.2d 1420, 1429 (9th Cir. 1988); Small Refiners,
705 F.2d at 547; Connecticut Light & Power Co. v. NRC,
673 F.2d 525, 533 (D.C.Cir. 1982).
57 Long Island Care v. Coke, 551 U.S. 158, 174 (2007).
The First Circuit formulated the “logical outgrowth” test in
South Terminal, 504 F.2d at 658–59. Other circuits have
followed suit. See, e.g., Natural Resources Defense Council,
279 F.3d at 1186; Chocolate Mfrs., 755 F.2d at 1105; Taylor
Diving & Salvage Co. v. Dept. of Labor, 599 F.2d 622, 626
(5th Cir. 1979); Weyerhaeuser, 590 F.2d at 1031.
58 Florida Power & Light, 846 F.2d at 771 (quoting
Forester, 559 F.2d at 787).
59 Natural Resources Defense Council, 279 F.3d at 1186;
see also Long Island Care, 551 U.S. at 174 (grounding the
logical outgrowth doctrine in section 553(b)).
60 Long Island Care, 551 U.S. at 175; see also CSX
Transportation, Inc. v. Surface Transportation Board, 584
F.3d 1076, 1081 (D.C.Cir. 2009) (“[A] final rule qualifies as
a logical outgrowth of the proposed rule if interested
parties should have anticipated’ that the change was
possible.”) (internal quotation marks omitted); Natural
Resources Defense Council v. EPA, 279 F.3d 1180, 1186
(9th Cir. 2002) (quoting Natural Resources Defense Council
v. EPA, 863 F.2d 1420, 1429 (9th Cir. 1988)) (New
provisions of a final rule are a logical outgrowth of an
agency’s proposal if interested members of the public
“reasonably could have anticipated” the change.).
61 South Terminal, 504 F.2d at 658; see also American
Medical Ass’n, 887 F.2d at 767 (“generally consistent with
the tenor of [the] original proposals”).
62Chocolate Mfrs., 755 F.2d at 1105; see American Water
Works Ass’n v. EPA, 40 F.3d 1266, 1274 (D.C.Cir. 1994).
63 See, e.g., Connecticut Light & Power, 673 F.2d at 533
(upholding “final rules [that] were simply more stringent
versions of the proposed rules”); United Steelworkers of
America v. Marshall, 647 F.2d 1189, 1222 (D.C.Cir. 1980),
cert. denied, 453 U.S. 913 (1981).
64 See Long Island Care, 551 U.S. at 175 (“Since the
proposed rule was simply a proposal, its presence meant
that the Department was considering the matter; after that
consideration the Department might choose to adopt the
proposal or to withdraw it.”); International Union, United
Mine Workers of America v. Mine Safety & Health
Administration, 407 F.3d 1250, 1259 (D.C.Cir. 2005) (If it is
reasonable for interested parties to have anticipated that a
change in a rule proposal, it is reasonable to expect that
they would have filed their comments on the proposal.);
American Medical Ass’n, 887 F.2d at 769 (“[I]f interested
parties favor a particular regulatory proposal, they should
[submit comments] to support the approach an agency has
tentatively advanced.”).
65 See, e.g., International Union, United Mine Workers of
America v. MSHA, 407 F.3d 1250, 1259 (D.C.Cir. 2005)
(holding that a proposed rule providing for minimum air
velocity was inadequate notice for a final rule regulating
maximum air velocity); Kooritzky v. Reich, 17 F.3d 1509,
1512–14 (D.C.Cir.1994) (invalidating the provisions of a
final rule on a subject that the agency did not mention in
the proposed rule); MCI, 57 F.3d at 1140–43 (An NPRM
proposing to impose specified requirements on only one
type of carrier was inadequate to support a final rule
imposing those requirements on a different type of
carrier.).
66United Mine Workers, 407 F.3d at 1261; Shell Oil Co. v.
EPA, 950 F.2d 741, 751 (D.C.Cir.1991).
67 See, e.g., AFL–CIO v. Donovan, 757 F.2d 330 (D.C.Cir.
1985). In AFL–CIO, the D.C. Circuit held that an agency
violated the notice requirement of section 553(b) when it
amended an extensive set of existing regulations. The
NPRM included the complete text of the regulations,
flagging the changes the agency proposed in the
“preamble.” In response to some of the comments, the
agency changed a provision of the regulations that it had
not identified as under consideration for change. The court
of appeals held that the change was not a “logical
outgrowth” of the NPRM. “[T]he clear impression from the
notices of proposed rulemaking,” the D.C. Circuit ruled,
“was that only the regulations specifically identified for
possible modification would be changed and that the
remainder of [the printed regulations] would be left
untouched.” Id. at 339.
68 504 F.2d 646 (1st Cir. 1974).
69 Id. at 656–60; see also International Union, United
Mine Workers of America v. Mine Safety & Health
Administration, 626 F.3d 84, 94–98 (D.C.Cir. 2010) (holding
that a final rule providing for miner-refuge chambers
according to a sliding scale based on the height of the mine
was a logical outgrowth of a NPRM that provided for a
refuge chamber of 60 cubic feet for each miner, and that
“identified the problem of low height mines and specifically
solicited detailed comments on it”); National Mining Ass’n
v. Mine Safety & Health Administration, 512 F.3d 696
(D.C.Cir. 2008) (holding that a final rule providing for a
hardened room cache between the primary and the
alternative escapeways was a logical outgrowth of a
proposed rule requiring that rescue devices be provided for
miners in both escapeways).
70 755 F.2d 1098 (4th Cir. 1985).
71 Id. at 1100–07; see also Environmental Integrity
Project v. EPA, 425 F.3d 992 (D.C.Cir. 2005) (holding that a
final rule providing that a group of regulations are not
separate regulatory standards was not a logical outgrowth
of a proposed rule providing that the regulations in the
group operate independently of one another); International
Union, United Mine Workers of America v. Mine Safety &
Health Administration, 407 F.3d 1250 (D.C.Cir. 2005)
(holding that a final rule setting a maximum mine belt air
velocity of 500 feet per minute was not a logical outgrowth
of a proposed rule providing for a minimum air velocity of
300 feet per minute).
72 See, e.g., CSX Transportation, Inc. v. Surface
Transportation Board, 584 F.3d 1076, 1081 (D.C.Cir. 2009)
(“[O]ur cases finding that a rule was not a logical
outgrowth have often involved situations where the
proposed rule gave no indication that the agency was
considering a different approach, and the final rule
revealed that the agency had completely changed its
position.”); Kooritzky v. Reich, 17 F.3d 1509, 1513 (D.C.Cir.
1994) (“The necessary predicate … [for finding a final rule
to be a logical outgrowth of a proposed rule] is that the
agency has alerted interested parties to the possibility of
the agency’s adopting a rule different than the one
proposed.”) 73 United States v. Nova Scotia Food Products
Corp., 568 F.2d 240, 251–52 (2d Cir. 1977); see, e.g.,
Chamber of Commerce v. SEC, 443 F.3d 890, 899 (D.C.Cir.
2006) (“Among the information that must be revealed for
public evaluation are the ‘technical studies and data’ upon
which the agency relies [in its rulemaking].”). Agencies
typically describe some of the information underlying a
rulemaking proposal in the NPRM, and include the
remainder in the public docket of the rulemaking
proceeding. CORNELIUS M. KERWIN, RULEMAKING: HOW
GOVERNMENT AGENCIES WRITE LAW AND MAKE POLICY 64 (1994).
74 Natural Resources Defense Council, 279 F.3d at 1186
(quoting Natural Resources Defense Council, 863 F.2d at
1429); see Nova Scotia Food Products, 568 F.2d at 252.
75 Connecticut Light & Power, 673 F.2d at 530.
76 Nova Scotia Food Products, 568 F.2d at 252.
77 Portland Cement Ass’n v. Ruckelshaus, 486 F.2d 375,
393 (D.C.Cir. 1973), cert. denied, 417 U.S. 921 (1974).
78Engine Mfrs. Ass’n v. EPA, 20 F.3d 1177, 1181 (D.C.Cir.
1994).
79 20 F.3d 1177 (D.C.Cir. 1994).
80 Id. at 1181; see also American Radio Relay League,
Inc. v. FCC, 524 F.3d 227, 247 (D.C.Cir. 2008) (holding that
an agency’s disclosure of redacted staff scientific studies
did not discharge the obligation to disclose information
underlying the rulemaking proposal).
81 Judge Kavanaugh of the D.C. Circuit wrote separately
in American Radio Relay League to register his belief that
the requirement on agencies to disclose information
underlying their rulemaking proposals is “[not] consistent
with the text of the APA or Vermont Yankee.” See American
Radio Relay League, 524 F.3d at 247 (Kavanaugh, J.,
concurring in part, concurring in the judgment in part, and
dissenting in part). The majority of the court responded
that the disclosure requirement, unlike the procedures
invalidated in Vermont Yankee, is anchored in section 553
of the APA. American Radio Relay League, 524 F.3d at 239–
40; see also Owner-Operator Independent Drivers Ass’n,
Inc. v. Federal Motor Carrier Safety Ass’n, 494 F3d 188,
199 (D.C.Cir. 2007) (deriving the disclosure requirement
from the notice requirement of section 553(b)(3) and the
right of public comment in section 553(c)).
82 450 U.S. 582 (1981).
83 Id. at 592 n.22.
84 See, e.g., American Radio Relay League, 524 F.3d at
236–37; Owner-Operator Independent Drivers Ass’n, 494
F3d at 199; Air Transport Ass’n of America v. FAA, 169 F.3d
1, 7 (D.C.Cir. 1999); Solite Corp. v. EPA, 952 F.2d 473, 484
(D.C.Cir. 1991); Connecticut Light & Power, 673 F.2d at
530–31; Engine Mfrs. Ass’n, 20 F.3d at 1181.
85 486 F.2d 375, 394 (D.C.Cir. 1973).
86 Building Industry Ass’n of Superior California v.
Norton, 247 F.3d 1241, 1246 (D.C.Cir. 2001).
87 247 F.3d 1241 (D.C.Cir. 2001).
88 Id. at 1245–46; see also Idaho Farm Bureau Federation
v. Babbitt, 58 F.3d 1392, 1402 (9th Cir. 1995) (quoting
Solite Corp. v. EPA, 952 F.2d 473, 484 (D.C.Cir. 1991)
(internal quotation marks omitted)) (“agency may use
supplementary data, unavailable during the notice and
comment period, that expands on and confirms information
contained in the proposed rulemaking and addresses
alleged deficiencies in the pre-existing data, so long as no
prejudice is shown”); International Fabricare Inst. v. EPA,
972 F.2d 384, 398–400 (D.C.Cir. 1992) (agency may rely on
studies conducted by private laboratories confirming the
reliability of a proposed method for measuring chemical
concentration without providing specific notice and
opportunity for comment on the studies).
89 See Connecticut Light and Power, 673 F.2d at 528.
90 Prometheus Radio Project, 652 F.3d at 450 (quoting
Rural Cellular Ass’n v. FCC, 588 F.3d 1095, 1101 (D.C.Cir.
2009)).
91 For discussion of who actually participates in
administrative rulemaking proceedings, as well as of the
effectiveness of such participation, see KERWIN, RULEMAKING,
supra note 73, at 191–210; Steven P. Croley, Theories of
Regulation: Incorporating the Administrative Process, 98
COLUM. L. REV. 1, 119–42 (1998).
92 Attorney General’s Manual, supra note 35, at 29; see
also Prometheus Radio Project, 652 F.3d at 450 (public
must have “enough time … to comment”).
93 See Connecticut Light and Power, 673 F.2d at 534.
94 See JEFFREY S. LUBBERS, A GUIDE TO FEDERAL AGENCY
RULEMAKING 252 (5th ed. 2012).
95 See, e.g., Florida Power & Light, 846 F.2d at 772 (15
days); Connecticut Light & Power, 673 F.2d at 534 (30
days).
96 LUBBERS, GUIDE TO RULEMAKING, supra note 94, at 252.
97 SECTION OF ADMINISTRATIVE LAW AND REGULATORY PRACTICE
OF THE AMERICAN BAR ASSOCIATION, A BLACKLETTER STATEMENT
OF FEDERAL ADMINISTRATIVE LAW 25 (2004). The APA
authorizes courts “to compel agency action unlawfully
withheld or unreasonably delayed” (APA § 706(1)). The
Supreme Court has interpreted that authority narrowly,
however (see § 8.9).
98 See Attorney General’s Manual, supra note 35, at 31–
32. Agencies may be required to disclose for public
comment the relevant information not found in the written
comments on which they rely in their rulemaking (see §
6.3(a)).
99 See Citizens to Preserve Overton Park, Inc. v. Volpe,
401 U.S. 402, 419–20 (1971); § 8.3.
100 904 F.2d 1276 (9th Cir. 1990).
101 Id. at 1286.
102 84 F.3d 304 (9th Cir. 1996).
103 Id. at 313–15.
104 See Idaho Farm Bureau Fed’n v. Babbitt, 58 F.3d
1392, 1402 (9th Cir. 1995) (quoting Solite, 952 F.2d at 484)
(internal quotation marks omitted)) (“agency may use
supplementary data, unavailable during the notice and
comment period, that expands on and confirms information
contained in the proposed rulemaking and addresses
alleged deficiencies in the pre-existing data, so long as no
prejudice is shown”); see also Building Industry Association
of Superior California v. Norton, 247 F.3d 1241, 1245–46
(D.C.Cir. 2001) (permitting failure to disclose for public
comment an outside study released after the NPRM where
the study, “while the best available,” simply supported the
agency’s findings and decisions included in the NPRM;
“additional comment” on the study may have been
“necessary” had new study “reject[ed] or modif[ied]” the
agency’s initial position as described in the NPRM).
105 Attorney General’s Manual, supra note 35, at 36
(quoting congressional reports); see Rowell v. Andrus, 631
F.2d 699, 702 n.2 (10th Cir. 1980).
106 5 U.S.C. §§ 801–808.
107 See Attorney General’s Manual, supra note 35, at 32.
108 Connecticut Light and Power, 673 F.2d at 528; Nova
Scotia, 568 F.2d at 252; see § 8.8(b).
109 See Attorney General’s Manual, supra note 35, at 32.
110 See Automotive Parts & Accessories Ass’n v. Boyd,
407 F.2d 330, 338 (D.C.Cir. 1968).
111 See, e.g., Independent U.S. Tanker Owners Committee
v. Dole, 809 F.2d 847, 852 (D.C.Cir. 1987), cert. denied, 484
U.S. 819 (1987); Automotive Parts & Accessories, 407 F.2d
at 337–38.
112 Independent U.S. Tanker Owners, 809 F.2d at 852.
113 Automotive Parts & Accessories, 407 F.2d at 338.
114 Reytblatt v. NRC, 105 F.3d 715, 722 (D.C.Cir. 1997).
115 American Mining Congress v. EPA, 907 F.2d 1179,
1188 (D.C.Cir. 1990).
116 Nova Scotia Food Products, 568 F.2d at 252; see also
PPL Wallingford Energy LLC v. FERC, 419 F.3d 1194, 1199
(D.C.Cir. 2005) (quoting Canadian Ass’n of Petroleum
Producers v. FERC, 254 F.3d 289, 299 (D.C.Cir. 2001))
(“Unless the [agency] answers objections that on their face
seem legitimate, its decision can hardly be classified as
reasoned.”).
117 Reytblatt, 105 F.3d at 722.
118 Industrial Union Dep’t, AFL–CIO v. Hodgson, 499 F.2d
467, 475–76 (D.C.Cir. 1974).
119 Nova Scotia Food Products, 568 F.2d at 252; see
Independent U.S. Tanker Owners, 809 F.2d at 854.
120 See, e.g., Independent U.S. Tanker Owners, 809 F.2d
at 852; National Welfare Rights Org. v. Mathews, 533 F.2d
637, 649 (D.C.Cir. 1976).
121 See Nova Scotia Food Products, 568 F.2d at 252.
122 90 See American Radio Relay League, Inc. v FCC, 524
F.3d 227, 239–40 (D.C.Cir. 2008); Owner-Operator
Independent Drivers Ass’n, Inc. v. Federal Motor Carrier
Safety Ass’n, 494 F3d 188, 199 (D.C.Cir. 2007). For varying
views of commentators on the consistency between
Vermont Yankee and the contemporary jurisprudence
governing informal rulemaking procedure, see Jack M.
Beermann & Gary Lawson, Reprocessing Vermont Yankee,
75 GEO. WASH. L. REV. 856 (2007); Richard J. Pierce, Jr.,
Waiting for Vermont Yankee III, IV, and V? A Response to
Beermann and Lawson, 75 GEO. WASH. L. REV. 902, 917
(2007); Peter L. Strauss, Changing Times: The APA at Fifty,
63 U. CHI. L. REV. 1389, 1405–13 (1996).
123 See, e.g., E. Donald Elliott, Re-inventing Rulemaking,
41 DUKE L.J. 1490, 1492–96 (1992). The classic article
diagnosing and decrying the ossification of agency
rulemaking is Thomas O. McGarity, Some Thoughts on
“Deossifying” the Rulemaking Process, 41 DUKE L.J. 1385
(1992).
124 Judge Kavanaugh’s opinion separating himself from
the majority in American Radio Relay League is the
conspicuous exception here. See supra note 109.
125 LUBBERS, GUIDE TO RULEMAKING, supra note 94, at 198.
126 At least one study reported that, for some rules, e-
rulemaking increased the number of comments that
agencies receive “due to organized mail campaigns or to
the increased ease of commenting.” Bridget C.E. Dooling,
Legal Issues in E-Rulemaking, 63 ADMIN. L. REV. 893, 900
(2011); see also LUBBERS, GUIDE TO RULEMAKING, supra note
94, at 215 (“Blizzards of comments have become
increasingly common in controversial rulemakings.”).
127 Cynthia R. Farina, Reporter, Achieving the Potential:
The Future of Federal E-Rulemaking (2009): Report of the
Committee on the Status and Future of Federal E-
Rulemaking, 62 ADMIN. L. REV. 279, 281 (2010).
128 See Jeffrey S. Lubbers, A Survey of Federal Agency
Rulemakers’ Attitudes About E-Rulemaking, 62 ADMIN. L.
REV. 451 (2010) (“[T]he early picture is still mixed—no one
doubts that the new system is better at engendering more
public participation, although most agency rulemakers did
not report receiving a concomitant increase in useful
information or arguments among the additional
comments.”).
129 JERRY L. MASHAW, ET AL., ADMINISTRATIVE LAW: THE
AMERICAN PUBLIC LAW SYSTEM 480 (6th ed. 2009).
130 Stuart W. Shulman, The Internet Still Might (But
Probably Won’t) Change Everything, 1 I/S: J. L. & POL’Y 111,
137 (2005); see also Beth Simone Noveck, Public
Participation in Electronic Rulemaking: Electronic
Democracy or Notice-and-Spam?, ADMIN. & REG. L. NEWS,
Fall 2004, at 7 (“Attention and investment are focused on
digitizing paper—dragging the agency file cabinet into
cyberspace—rather than on the workings of participation,
which informs the process.”).
131 Farina, Achieving the Potential, supra note 127, at
282.
132 Office of Management and Budget, E-Government
Strategy 27 (Feb. 27, 2002),
http://www.usa.gov/Topics/Includes/Reference/egov_strateg
y.pdf; see also LUBBERS, GUIDE TO RULEMAKING, supra note 94,
at 199 n.107.
133 Pub. L. No. 107–347, 116 Stat. 2899 (codified as 44
U.S.C. § 3501 note).
134 Id. § 206(d).
135 E.O. 13,563, 76 Fed. Reg. 3,821 (2011).
136 Dooling, Legal Issues in E-Rulemaking, supra note
126, at 900–01; see also Beth Simone Noveck, The
Electronic Revolution in Rulemaking, 53 EMORY L.J. 433,
465 (2004) (“Nothing explains why one-click commenting is
the best design choice. Increasing the number of comments
without giving rule writers and agency officials the tools to
manage them pays lip service to participation while setting
up the conditions to undermine its effectiveness.”).
137 Dooling, Legal Issues in E-Rulemaking, supra note
126, at 907.
138 Id. at 915.
139 LUBBERS, GUIDE TO RULEMAKING, supra note 94, at 211–
12; Dooling, supra note 100, at 903–04.
140 LUBBERS, GUIDE TO RULEMAKING, supra note 94, at 211–
12.
141 269 F.2d 221 (D.C.Cir. 1959).
142 Id. at 224.
143 567 F.2d 9 (D.C.Cir. 1977), cert. denied, 434 U.S. 829
(1977).
144 Id. at 57.
145 Id. at 54–55.
146 The D.C. Circuit has acknowledged the tension
between Home Box Office and Vermont Yankee. See Air
Transport Ass’n of America v. FAA, 169 F.3d 1, 7 n.5
(D.C.Cir. 1999) (“Home Box Office … could be thought to be
undermined by Vermont Yankee”).
147 See United Steelworkers of America v. Marshall, 647
F.2d 1189, 1214 (D.C.Cir. 1980), cert. denied, 453 U.S. 913
(1981) (Home Box Office went “beyond the strict terms of
the APA” in imposing a ban on ex parte communications in
informal rulemaking proceedings that are not “quasi-
adjudicatory” in nature).
148 Home Box Office, 567 F.2d at 56.
149 Bi-Metallic Investment Co. v. State Bd. of
Equalization, 239 U.S. 441 (1915); see Steelworkers, 647
F.2d at 1215 n.28 (court “very wary of extending the due
process reasoning of Home Box Office” to informal
rulemaking proceedings that are not “quasi-adjudicatory”
in nature); see § 3.1.
150 Home Box Office, 567 F.2d at 55.
151 Steelworkers, 647 F.2d at 1214, 1215 n.28; see
Sangamon, 269 F.2d at 224.
152 564 F.2d 458 (D.C.Cir. 1977).
153 Id. at 458, 474–77; see Sangamon, 269 F.2d at 224.
154 Sierra Club v. Costle, 657 F.2d 298, 400 (D.C.Cir.
1981); see Iowa State Commerce Commission v. Office of
Federal Inspector, 730 F.2d 1566, 1576 (D.C. Cir. 1984);
Steelworkers, 647 F.2d at 1214–16.
155 657 F.2d 298 (D.C.Cir. 1981).
156 Id. at 400–04.
157 For a brief discussion of these agencies’ limitations on
ex parte communications, see JEFFREY S. LUBBERS, A GUIDE
TO FEDERAL AGENCY RULEMAKING 306–09 (5th ed. 2012).
158 627 F.2d 1151 (D.C.Cir. 1979), cert. denied, 447 U.S.
921 (1980).
159 Id. at 1155, 1168–69.
160 Id. at 1170, 1174.
161 PLMRS Narrowband Corp. v. FCC, 182 F.3d 995, 1002
(D.C.Cir. 1999).
162 See, e.g., id. at 995, 1002; Lead Industries Ass’n v.
EPA, 647 F.2d 1130, 1179–80 (D.C.Cir. 1980), cert. denied,
449 U.S. 1042 (1980); see also JERRY L. MASHAW, et al.,
ADMINISTRATIVE LAW: THE AMERICAN PUBLIC LAW SYSTEM 617
(6th ed., 2009) (authors unable to find any federal
administrative rule that has been invalidated because of
prejudgment by an agency decision-maker).
163 931 F.2d 1556 (D.C.Cir. 1991).
164 Id. at 1564–65 (emphasis added); see also Air
Transport Ass’n of America, Inc. v. National Mediation
Board, 663 F.3d 476, 486–88 (D.C.Cir. 2011) (affirming a
district court decision that a letter from a dissenting
agency member to several U.S. Senators reporting that she
had been excluded from the agency’s decision-making
regarding a rule proposal “[fell] short of the ‘strong’
evidence of ‘unalterably closed minds’ necessary to justify
discovery into the [agency]’s decisionmaking process”). For
a wide-ranging discussion of the issues raised by the
disqualification of agency rulemakers, see Peter L. Strauss,
Disqualification of Decisional Officials in Rulemaking, 80
COLUM. L. REV. 990 (1980).
165 See, e.g., Federal Trade Commission Improvement Act
of 1980, 15 U.S.C. § 57b–3; Clean Water Act of 1977, 33
U.S.C. § 1317; Clean Air Act Amendments of 1977, 42
U.S.C. § 7607(d); Toxic Substances Control Act of 1976, 15
U.S.C. § 2605(c); Consumer Product Safety Act of 1972, 15
U.S.C. § 2058; Occupational Safety and Health Act of 1970,
29 U.S.C. § 655.
166 For discussion of the subject-matter exemptions from
section 553, see Attorney General’s Manual on the
Administrative Procedure Act 26–28 (1947), reprinted in
WILLIAM F. FUNK, et al., FEDERAL ADMINISTRATIVE PROCEDURE
SOURCEBOOK 39–176 (4th ed. 2008); JEFFREY S. LUBBERS, A
GUIDE TO FEDERAL AGENCY RULEMAKING 52–58 (5th ed., 2012);
Arthur Earl Bonfield, Military and Foreign Affairs Function
Rulemaking under the APA, 71 MICH. L. REV. 221 (1972);
Arthur Earl Bonfield, Public Participation in Federal Rule-
making Relating to Public Property, Loans, Grants,
Benefits, or Contracts, 118 U. PA. L. REV. 540 (1970).
167 The APA uses the term “substantive rule” in section
553(d), but the act nowhere uses the term “legislative
rule.” The two terms nevertheless are often used
interchangeably in administrative law. I prefer the modifier
“legislative” because it highlights the distinguishing mark
of the agency rules that trigger the procedural
requirements of section 553—their legal effect.
168 Attorney General’s Manual, supra note 167, at 30 n.3.
169 American Hospital Ass’n v. Bowen, 834 F.2d 1037,
1045 (D.C.Cir. 1987).
170 See PETER L. STRAUSS, ET AL., GELLHORN AND BYSE’S
ADMINISTRATIVE LAW 188 (11th ed. 2011) (“The amount of
agency guidance has long greatly exceeded the number of
agency regulations adopted using notice-and-comment
procedures.”); Todd D. Rakoff, The Choice Between Formal
and Informal Modes of Administrative Regulation, 52
ADMIN. L. REV. 159, 167 (2000) (“While it is difficult to
document statistically, agencies seem to be resorting
increasingly to [guidance documents] for accomplishing
their tasks without paying the procedural price of
rulemaking or adjudication.”); cf. Connor N. Raso, Note,
Strategic or Sincere? Analyzing Agency Use of Guidance
Documents, 119 YALE L.J. 782, 787 (2010) (offering
empirical analysis concluding that “agencies do not
frequently abuse guidance documents to avoid issuing
significant legislative rules”).
171 See Vermont Yankee Nuclear Power Corp. v. Natural
Resources Defense Council, 435 U.S. 519 (1978) (rejecting
judicial hybrid rulemaking); United States v. Florida East
Coast Railway, 410 U.S. 224 (1973) (strictly interpreting
the APA provision triggering formal rulemaking).
172 New Jersey Dep’t of Environmental Protection v. EPA,
626 F.2d 1038, 1046 (D.C.Cir. 1980); see Professionals and
Patients for Customized Care v. Shalala, 56 F.3d 592, 595
(5th Cir. 1995).
173 American Bus Ass’n v. United States, 627 F.2d 525,
528 (D.C.Cir. 1980).
174 Professionals and Patients for Customized Care v.
Shalala, 56 F.3d 592, 596 (5th Cir. 1995); Pacific Gas &
Electric Co. v. Federal Power Commission, 506 F.2d 33, 38
(D.C.Cir. 1974); see Attorney General’s Manual, supra note
173, at 30 n.3.
175 Syncor International Corp. v. Shalala, 127 F.3d 90, 95
(D.C.Cir. 1997); see Attorney General’s Manual, supra note
173, at 30 n.3. A general grant of rulemaking authority in
an enabling act typically satisfies courts that an agency
possesses the power to issue legislative rules. National
Petroleum Refiners Ass’n v. FTC, 482 F.2d 672, cert.
denied, 415 U.S. 951 (1974); National Ass’n of
Pharmaceutical Mfrs. v. FDA, 637 F.2d 877 (2d Cir. 1981).
176 See Chrysler Corp. v. Brown, 441 U.S. 281, 295
(1979); Morton v. Ruiz, 415 U.S. 199, 232 (1974); Batterton
v. Marshall, 648 F.2d 694, 701–02 (D.C.Cir. 1980).
177 See, e.g., Pacific Gas & Electric, 506 F.2d at 38.
178 See, e.g., Lewis–Mota v. Secretary of Labor, 469 F.2d
478, 483 (2d Cir. 1972), quoting Texaco, Inc. v. Federal
Power Commission, 412 F.2d 740, 744 (3d Cir. 1969).
179 The leading article espousing the substantial impact
test over the legal effects test is William T. Mayton, A
Concept of a Rule and the “Substantial Impact” Test in
Rulemaking, 33 EMORY L.J. 889 (1984). For criticism of the
substantial impact test, see Michael Asimow, Nonlegislative
Rulemaking and Regulatory Reform, 1985 DUKE L.J. 381,
399–401.
180 Metropolitan School District v. Davila, 969 F.2d 485,
493 (7th Cir. 1992), cert. denied, 507 U.S. 949 (1993)
(“Prevailing authority rejects the proposition that a rule
that has substantial impact is necessarily legislative.”); see,
e.g., Rivera v. Becerra, 714 F.2d 887, 890–91 (9th Cir.
1983), cert. denied, 465 U.S. 1099 (1984); Cabais v. Egger,
690 F.2d 234, 237 (D.C.Cir. 1982).
181 See Rivera, 714 F.2d at 890; Cabais, 690 F.2d at 237.
182 See, e.g., Center for Auto Safety v. NHTSA, 452 F.3d
798, 811 (D.C.Cir. 2006) (“[D]e facto compliance is not
enough to establish that the guidelines have had legal
consequences.”).
183 See, e.g., Iowa League of Cites v. EPA, 711 F.3d 844,
862 (8th Cir. 2013) (espousing a “functional analysis” of
whether an agency statement has binding effect,
determining whether the agency’s “words and deeds …
bind legally or as a practical matter”).
184 5 U.S.C. § 552(a)(1)(D). In addition, Executive Order
13,422, 72 Fed. Reg. 2,763 (2007), subjects “significant
guidance documents” to White House review. President
Obama revoked Executive Order 13,422 soon after taking
office, E.O. 13,497, 74 Fed. Reg. 6,113 (2009). But a
memorandum issued by OMB “clarif[ied]” that the
revocation left in place OIRA review of guidance
documents. Office of Management and Budget
Memorandum for Acting Heads of Executive Departments
and Agencies, March 4, 2009. See § 2.4(c).
185 See Hoctor v. Department of Agriculture, 82 F.3d 165,
167 (7th Cir. 1996); American Hospital Ass’n, 834 F.2d at
1045; Pacific Gas & Electric, 506 F.2d at 38.
186 Attorney General’s Manual, supra note 173, at 30 n.3;
see, e.g., Chrysler Corp., 441 U.S. at 302 n.31.
187 Pacific Gas & Electric, 506 F.2d at 38; see also
National Mining Ass’n v. Department of Labor, 589 F.3d
1368, 1371 (11th Cir. 2009) (quoting Ryder Truck Lines,
Inc. v. United States, 716 F.2d 1369, 1377 (11th Cir. 1983))
(internal quotation marks omitted) (“Generally, whether a
particular agency proceeding announces a rule or a general
policy statement depends upon whether the agency action
establishes a binding norm.”); Molycorp, Inc. v. EPA, 197
F.3d 543, 545 (D.C.Cir. 1999) (“[T]he ultimate focus of the
inquiry is whether the agency action partakes of the
fundamental characteristic of a regulation, i.e., that it has
the force of law.”).
188 General Electric Co. v. EPA, 290 F.3d 377, 382
(D.C.Cir. 2002) (quoting McLouth Steel Prods. Corp. v.
Thomas, 838 F.2d 1317, 1321 (D.C.Cir. 1988)).
189 National Mining Ass’n, 589 F.3d at 1371; Pacific Gas
& Electric, 506 F.2d at 38.
190 National Family Planning & Reproductive Health
Ass’n v. Sullivan, 979 F.2d 227, 234 (D.C.Cir. 1992); see
Chrysler Corp., 441 U.S. at 301–02; United States v. Nixon,
418 U.S. 683, 695–96 (1974). Section 551(5) of the APA
defines rulemaking to include the administrative process
for “amending” or “repealing” a rule.
191 American Bus Ass’n, 627 F.2d at 529; see also
National Mining Ass’n, 589 F.3d at 1371 (quoting Ryder
Truck Lines, 716 F.2d at 1377) (“The key inquiry … is the
extent to which the challenged policy leaves the agency
free to exercise its discretion to follow or not to follow that
general policy in an individual case.…”); Syncor
International Corp., 127 F.3d at 94 (having issued a policy
statement, “[t]he agency retains the discretion and the
authority to change its position—even abruptly—in any
specific case”). For an argument that the reserved
discretion of the agency, while relevant, often should not be
determinative in distinguishing between a legislative rule
and a policy statement, see Robert A. Anthony, Interpretive
Rules, Policy Statements, Guidances, Manuals, and the Like
—Should Federal Agencies Use Them to Bind the Public?,
41 DUKE L.J. 1311, 1359–63 (1992).
192 Pacific Gas & Electric, 506 F.2d at 38; see Panhandle
Producers & Royalty Owners Ass’n v. Economic Regulatory
Administration, 847 F.2d 1168, 1174–75 (5th Cir. 1988).
193 Center for Auto Safety v. NHTSA, 452 F.3d 798, 807
(D.C.Cir. 2006).
194 506 F.2d 33 (D.C.Cir. 1974).
195 Id. at 36.
196Federal Power Commission Order No. 467, quoted in
Appendix, Pacific Gas & Electric, 506 F.2d at 50.
197 Pacific Gas & Electric, 506 F.2d at 36.
198 Id. at 39–40; see also United States Telephone Ass’n v.
FCC, 28 F.3d 1232, 1234 (D.C.Cir. 1994) (the distinction
between legislative rules and policy statements “turns on
an agency’s intention to bind itself to a particular legal
policy position”).
199 Pacific Gas & Electric, 506 F.2d at 39, 40; see also
Professionals and Patients for Customized Care v. Shalala,
56 F.3d 592, 595 (5th Cir. 1995) (court was “mindful but
suspicious of the agency’s own characterization”);
American Hospital Ass’n, 834 F.2d at 1047 (“[A]n agency’s
characterization of its own action, while not decisive, is a
factor that [reviewing courts] consider.”); Community
Nutrition Institute v. Young, 818 F.2d 943, 946 (D.C.Cir.
1987) (courts “give some, albeit ‘not overwhelming,’
deference to an agency’s characterization of its statement”;
courts “give far greater weight to the language actually
used by the agency” in a statement than they do “to an
agency’s characterization of its statement”).
200 Pacific Gas & Electric, 506 F.2d at 40; compare
General Electric Co. v. EPA, 290 F.3d 377, 384–85 (D.C.Cir.
2002) (holding an agency announcement to be a legislative
rule rather than a policy statement because it obligated
applicants to conduct a risk assessment using one of two
specified methods and because it obligated the agency to
accept an applicant’s use of a specified toxicity factor).
201 See United States Telephone Ass’n v. FCC, 28 F.3d
1232, 1235 (D.C.Cir. 1994).
202 Pacific Gas & Electric, 506 F.2d at 41.
203 General Electric Co. v. EPA, 290 F.3d 377, 383
(D.C.Cir. 2002); see Hudson v. FAA, 192 F.3d 1031, 1034–35
(D.C.Cir. 1999).
204 28 F.3d 1232 (D.C.Cir. 1994).
205 Id. at 1234; compare National Mining Ass’n, 589 F.3d
at 1372 (holding that “the advisory and permissive
language” of a Procedure Instruction Letter, as well as the
fact that the Letter provided only “general considerations”
for agency decision-makers, indicated that the Letter was a
policy statement rather than a legislative rule).
206 Id. at 1234–35; compare Professionals and Patients for
Customized Care, 56 F.3d at 599–600 (holding a
Compliance Policy Guide to be a policy statement rather
than a legislative rule where agency practice “made clear”
that the Guide “was used for guidance, but that the
[agency] retained discretion to conduct an individualized
inquiry and to consider … factors” not specified in the
Guide).
207 Attorney General’s Manual, supra note 173, at 30 n.3;
see, e.g., Shalala v. Guernsey Memorial Hospital, 514 U.S.
87, 99 (1995).
208 For helpful commentary on the distinction between
administrative policy statements and legislative rules, see
Robert A. Anthony, Interpretive Rules, Policy Statements,
Guidances, Manuals, and the Like, supra note 191.
209 American Hospital Ass’n, 834 F.2d at 1045.
210 Air Transport Ass’n of America, Inc. v. FAA, 291 F.3d
49, 56 (D.C.Cir. 2002); Syncor, 127 F.3d at 95.
211 American Hospital Ass’n, 834 F.2d at 1045; see
Syncor, 127 F.3d at 94; Hoctor, 82 F.3d at 167;
Professionals and Patients for Customized Care, 56 F.3d at
602; Powderly v. Schweiker, 704 F.2d 1092, 1098 (9th Cir.
1983).
212 Paralyzed Veterans of America v. D.C. Arena L.P., 117
F.3d 579, 588 (D.C.Cir. 1997) (emphasis added).
213 American Mining Congress v. Mine Safety & Health
Administration, 995 F.2d 1106, 1109 (D.C.Cir. 1993); see
also Long Island Care at Home, Ltd. v. Coke, 551 U.S. 158,
172 (2007) (“[A]n ‘interpretive’ regulation … may be used,
not to fill a statutory ‘gap,’ but simply to describe an
agency’s view of what a statute means.”).
214 See, e.g., Catholic Health Initiatives v. Sebelius, 617
F.3d 490, 494–95 (D.C.Cir. 2010); Syncor, 127 F.3d at 94
n.6.
215 82 F.3d 165 (7th Cir. 1996).
216 Id. at 167–68.
217 Id. at 169–71; see also Catholic Health Initiatives, 617
F.3d at 496 (“[T]here is no way an interpretation of
‘reasonable costs’ can produce the sort of detailed—and
rigid—investment code set forth in [a purported
interpretive rule].”); Syncor, 127 F.3d at 95 (agency
“notice” that it would require certain manufacturers to
comply with several statutory provisions was legislative
rather than interpretive because it “[did] not purport to
construe any language in a relevant statute or regulation; it
[did] not interpret anything”). For an article using Hoctor
to explore the distinction between legislative rules and
guidance documents, see Jacob E. Gersen, Legislative
Rules Revisited, 74 U. CHI. L. REV. 1705 (2007).
218 American Mining Congress, 995 F.2d at 1112.
219 117 F.3d 579 (D.C.Cir. 1997).
220 Id. at 587–88.
221 Mortgage Bankers Ass’n v. Harris, 720 F.3d 966, 969
(D.C.Cir. 2013).
222 Paralyzed Veterans of America, 117 F.3d at 586–88.
223 177 F.3d 1030 (D.C.Cir. 1999).
224 Id. at 1033–36.
225 Id. at 1030–32. It was unclear whether the FAA’s
central office, which issued the notice, knew of the contrary
position of the regional office. Id. at 1032.
226 Id. at 1034.
227Richard W. Murphy, Hunters for Administrative
Common Law, 58 ADMIN. L. REV. 917, 923 (2006).
228 Alaska Professional Hunters, 177 F.3d at 1035.
229 William Funk, A Primer on Nonlegislative Rules, 53
ADMIN. L. REV. 1321, 1329–30 (2001).
230 Alaska Professional Hunters, 177 F.3d at 1035–36; see
also MetWest, Inc. v. Secretary of Labor, 560 F.3d 506, 511
(D.C.Cir. 2009) (“A fundamental rationale of Alaska
Professional Hunters was the affected parties’ substantial
and justifiable reliance on a well-established agency
interpretation.”).
231 Alaska Professional Hunters, 177 F.3d at 1035–36.
232 The Third, Fifth, and Sixth Circuits appear to agree
with the D.C. Circuit’s decision in Alaska Professional
Hunders, while the First and Ninth Circuits seem to
disagree. See SBC Inc. v. FCC, 414 F.3d 486, 498 (3d Cir.
2005); Dismas Charities, Inc. v. U.S. Dep’t of Justice, 401
F.3d 666, 682 (6th Cir. 2005); Erringer v. Thompson, 371
F.3d 625, 632 (9th Cir. 2004); Shell Offshore Inc. v. Babbitt,
238 F.3d 622, 629 (5th Cir. 2001); Warder v. Shalala, 149
F.3d 73, 81–82 (1st Cir. 1998).
233 Air Transport Ass’n of America, Inc. v. FAA, 291 F.3d
49, 56 (D.C.Cir. 2002); see also Devon Energy Corp. v.
Kempthorne, 551 F.3d 1030, 1039 (D.C.Cir. 2008)
(declining to apply Alaska Professional Hunters where the
prior interpretation was “far from conclusive”).
234 MetWest, 560 F.3d at 512. In Mortgage Bankers
Association v. Harris, the D.C. Circuit clarified that reliance
was not a distinct prerequisite for requiring notice and
comment before an interpretive change. Rather, “reliance
is but one factor courts must consider in assessing whether
an agency interpretation qualifies as definitive or
authoritative.” Mortgage Bankers Ass’n v. Harris, 720 F.3d
966, 970 (D.C.Cir. 2013).
235 MetWest, 560 F.3d at 510 (quoting Air Transport Ass’n
of America, 291 F.3d at 57–58).
236 Batterton v. Marshall, 648 F.2d 694, 707 (D.C.Cir.
1980).
237 See LUBBERS, GUIDE TO RULEMAKING, supra note 166, at
58–59.
238 Batterton, 648 F.2d at 707; see also James V. Hurson
Associates, Inc. v. Glickman, 229 F.3d 277, 280 (D.C.Cir.
2000) (quoting Batterton).
239 Batterton, 648 F.2d at 707; see also James V. Hurson
Associates, 229 F.3d at 280 (quoting Batterton).
240 304 U.S. 64 (1938).
241 See Chamber of Commerce of U.S. v. U.S. Dep’t of
Labor, 174 F.3d 206, 211 (D.C.Cir. 1999) (“distinction
[between legislative rules and procedural rules] is often
difficult to apply, as even a purely procedural rule can
affect the substantive outcome of an agency proceeding”).
242 See, e.g., Air Transport Ass’n of America v.
Department of Transportation, 900 F.2d 369, 375–78
(D.C.Cir. 1990), vacated as moot, 933 F.2d 1043 (D.C.Cir.
1991) (holding agency rules establishing a formal
adjudication scheme for civil penalty proceedings to be
substantive rather than procedural because the rules
“substantially affected civil penalty defendants’ right to
avail themselves of an administrative adjudication”).
243 See JEM Broadcasting Co., Inc. v. FCC, 22 F.3d 320,
328 (D.C.Cir. 1994) (“the procedural exception to notice
and comment does not apply [if the rule] ‘encodes a
substantive value judgment’ ”), quoting American Hospital
Ass’n v. Bowen, 834 F.2d 1037, 1047 (D.C.Cir. 1987).
244 National Whistleblower Center v. NRC, 208 F.3d 256,
262 (D.C.Cir. 2000) (quoting Lamoille Valley Railroad Co. v.
ICC, 711 F.2d 295, 328 (D.C.Cir. 1983)) (procedural rules
that “foreclose effective opportunity to make one’s case on
the merits” must observe the notice-and-comment process).
245 American Hospital Ass’n, 834 F.2d at 1047.
246 James V. Hurson Associates, 229 F.3d at 281.
247 507 F.2d 1107 (D.C.Cir. 1974).
248 208 F.3d 256 (D.C.Cir. 2000).
249 Pickus, 507 F.2d at 1111, 1113; see also Chamber of
Commerce, 174 F.3d at 211–12 (holding an agency
directive providing that each employer in selected
industries would be inspected unless it adopted an
acceptable safety and health program to be a substantive,
legislative rule rather than a procedural rule).
250 National Whistleblower Center, 208 F.3d at 258, 262;
see also James V. Hurson Associates, 229 F.3d at 281
(agency’s abolition of so-called “face-to-face” process of
reviewing food labeling was procedural rather than
substantive because it “did not alter the substantive
criteria by which [the agency] would approve or deny
proposed labels; it simply changed the procedures [the
agency] would follow in applying those substantive
standards”); JEM Broadcasting, 22 F.3d at 327 (agency’s
so-called “hard look” rules, under which the agency
summarily dismissed flawed license applications without
allowing the applicant to correct its error, were procedural
rather than substantive because the rules “did not change
the substantive standards by which the [agency]
evaluate[d] license applications”).
251 United States v. Gavrilovic, 551 F.2d 1099, 1105 (8th
Cir. 1977); see Riverbend Farms, Inc. v. Madigan, 958 F.2d
1479, 1485–86 (9th Cir. 1992).
252 Attorney General’s Manual, supra note 166, at 30.
253 See, e.g., Tennessee Gas Pipeline Co. v. FERC, 969
F.2d 1141, 1145 (D.C.Cir. 1992); see also North Carolina
Growers’ Ass’n v. United Farm Workers, 702 F.3d 755, 766
(4th Cir. 2012) (“Although we do not impose a rigid
requirement that an agency must explicitly invoke the good
cause exception, the contemporaneous agency record must
manifest plainly the agency’s reliance on the exception in
its decision to depart from the required notice and
comment procedures.”). For commentary on the
inconsistent judicial enforcement of the requirement that
agencies publish their findings and reasons for invoking
one of the good cause exemptions, see Juan J. Lavilla, The
Good Cause Exemption to Notice and Comment
Rulemaking Requirements under the Administrative
Procedure Act, 3 ADMIN. L.J. AM. U. 317, 399–403 (1989).
254 North Carolina Growers’ Ass’n, 702 F.3d at 767.
255 Id. at 767; Mack Trucks, Inc. v. EPA, 682 F.3d 87, 93
(D.C.Cir. 2012); Levesque v. Block, 723 F.2d 175, 184 (1st
Cir. 1983); United States Steel Corp. v. EPA, 595 F.2d 207,
214 (5th Cir. 1979). For detailed discussions of the good
cause exemptions to the notice-and-comment requirements
of section 553, see Lavilla, Good Cause Exemption, supra
note 253; Ellen R. Jordan, The Administrative Procedure
Act’s “Good Cause” Exemption, 36 ADMIN. L. REV. 113
(1984).
256 Attorney General’s Manual, supra note 166, at 30; see
also North Carolina Growers’ Ass’n, 702 F.3d at 766
(internal quotation marks and citations deleted) (“[A] rule
may be found to be impracticable when the due and
required execution of the agency functions would be
unavoidably prevented by its undertaking public rule-
making proceedings.”).
257 Riverbend Farms, 958 F.2d at 1484–85 & n.2, quoting
Levesque, 723 F.2d at 184; see United States Steel Corp. v.
EPA, 605 F.2d 283, 287 (7th Cir. 1979).
258 Attorney General’s Manual, supra note 166, at 30–31;
see also North Carolina Growers’ Ass’n, 702 F.3d at 766
(quoting Mack Trucks, Inc., 682 F.3d at 93 (“Examples of
such circumstances under which good cause existed [under
the impracticability exception] include an agency
determination that new rules were needed ‘to address
threats posing a possible imminent hazard to aircraft,
persons, and property within the United States,’ or were ‘of
life-saving importance to mine workers in the event of a
mine explosion,’ or were necessary to ‘stave off any
imminent threat to the environment or safety or national
security.’ ”).
259 See Petry v. Block, 737 F.2d 1193, 1203 (D.C.Cir.
1984); Levesque, 723 F.2d at 184; United States Steel, 595
F.2d at 213.
260 See, e.g., Methodist Hospital of Sacramento v.
Shalala, 38 F.3d 1225, 1236–37 (D.C.Cir. 1994) (upholding
agency’s invocation of good cause exemption for “the
daunting task of preparing regulations to implement a
complete and radical overhaul of the Medicare
reimbursement system” within a statutory deadline of just
over four months where enabling act manifested
Congress’s “clear intent that APA notice and comment
procedures need not be followed”); Petry, 737 F.2d at
1200–03 (upholding agency’s invocation of good cause
exemption for rulemaking to implement a particularly
complex enabling act within a 60-day deadline); United
States Steel, 605 F.2d at 286–89 (upholding agency’s
invocation of good cause exemption for “time-consuming”
rulemaking under “a series of tight statutory deadlines”
prompted by “Congressional concern over the seriously
adverse health consequences” resulting from agency’s
prior delays in issuing these rules).
261 See American Federation of Government Employees v.
Block, 655 F.2d 1153, 1158 (D.C.Cir. 1981); New Jersey v.
EPA, 626 F.2d 1038, 1047 (D.C.Cir. 1980).
262 Council of Southern Mountains, Inc. v. Donovan, 653
F.2d 573, 581 (D.C.Cir. 1981); see Air Transport Ass’n of
America v. Department of Transportation, 900 F.2d 369,
379 (D.C.Cir. 1990), vacated as moot, 933 F.2d 1043
(D.C.Cir. 1991); National Ass’n of Farmworkers
Organizations v. Marshall, 628 F.2d 604, 622 (D.C.Cir.
1980).
263 Attorney General’s Manual, supra note 166, at 31; see
Riverbend Farms, 958 F.2d at 1484 n.2.
264 United States Steel, 595 F.2d at 214 n.15; see, e.g.,
DeRieux v. Five Smiths, 499 F.2d 1321, 1332 (Temp. Emer.
Ct. App. 1974), cert. denied, 419 U.S. 896 (1974);
Amalgamated Meat Cutters & Butcher Workmen v.
Connally, 337 F.Supp. 737, 761–62 (D.D.C. (1971) (three-
judge court)).
265 See Tennessee Gas Pipeline, 969 F.2d at 1145
(denying good cause exemption for an interim rule
requiring advance notice and disclosure of the construction
or replacement of facilities by natural gas pipeline
companies; agency contended interim rule was needed “to
prevent the environmental damage that might result from a
speedup in construction and replacement as pipeline
companies seek to avoid the unknown burdens of a final
rule”).
266 Malek–Marzban v. Immigration and Naturalization
Service, 653 F.2d 113, 115 (4th Cir. 1981).
267 See Jordan, “Good Cause” Exemption, supra note 255,
at 122–29.
268 See Levesque, 723 F.2d at 184.
269 Mack Trucks, Inc. v. EPA, 682 F.3d 87, 95 (D.C.Cir.
2012) 270 Id.
271 See, e.g., American Federation of Government
Employees, 655 F.2d at 1157–58; cf. Mack Trucks, Inc., 682
F.3d at 94 (interim nature of a rule is not sufficient by itself
to justify the good cause exemption); Tennessee Gas
Pipeline, 969 F.2d at 1144–45 (quoting Mid-Tex Electric
Cooperative, Inc. v. FERC, 822 F.2d 1123, 1132 (D.C.Cir.
1987)) (although “[t]he interim status of [a] challenged rule
is a significant factor in the good cause analysis,” interim
status, alone, does not exempt a rule from notice and
comment).
272 For a discussion and defense of interim final
rulemaking, see Michael Asimow, Interim-Final Rules:
Making Haste Slowly, 51 ADMIN. L. REV. 703, 719–20
(1999).
273 Attorney General’s Manual, supra note 166, at 31; see
also Utility Solid Waste Activities Group v. EPA, 236 F.3d
749, 755 (D.C.Cir. 2001) (quoting South Carolina v. Block,
558 F.Supp. 1004, 1016 (D.S.C. 1983)) (the unnecessary
exemption is “confined to those situations in which the
administrative rule is a routine determination, insignificant
in nature and impact, and inconsequential to the industry
and to the public.”); North Carolina Growers’ Ass’n, 702
F.3d at 766 (citations and internal quotation marks omitted)
(“Congress intended that rule making be exempted as
unnecessary when amendments are minor or merely
technical, and of little public interest.”).
274 Lavilla, Good Cause Exemption, supra note 265, at
342 & n.92.
275 613 F.2d 120 (5th Cir. 1980).
276 Id. at 123–24.
277 236 F.3d 749 (D.C. Cir. 2001).
278 Id. at 754–55; see also Texaco, Inc. v. Federal Power
Commission, 412 F.2d 740, 743 (3d Cir. 1969) (holding
amendment to a rule requiring natural gas companies to
pay compound interest on refunds ordered by the agency
did not qualify for the “unnecessary” exception because the
amendment “would affect numerous jurisdictional natural
gas companies and potentially involves large sums of
money”).
279 See Lars Noah, Doubts About Direct Final
Rulemaking, 51 ADMIN. L. REV. 401, 406–07 (1999); Ronald
M. Levin, Direct Final Rulemaking, 64 GEO. WASH. L. REV. 1,
1 (1995). An empirical study of direct final rulemaking
found withdrawal rates generally falling below ten or
twenty percent, although the Food and Drug Administration
suffered a whopping withdrawal rate of forty percent.
Michael Kolber, Rulemaking Without Rules: An Empirical
Study of Direct Final Rulemaking, 72 ALB. L. REV. 79, 82
(2009).
280 See Levin, Direct Final Rulemaking, supra note 279,
at 11–15.
281 See Noah, Doubts about Direct Final Rulemaking,
supra note 279, at 416.
282 See Ronald M. Levin, More on Direct Final
Rulemaking: Streamlining, Not Corner-Cutting, 51 ADMIN.
L. REV. 757, 758–63 (1999); Levin, Direct Final Rulemaking,
supra note 279, at 15–18.
283 See Noah, Doubts about Direct Final Rulemaking,
supra note 279, at 417–23.
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but that he “would not do so because he was concerned
that the water was polluted by Laidlaw’s discharges.” This
affidavit satisfied the justices that the member’s
“reasonable concerns about the effects of [Laidlaw’s]
discharges … directly affected” his recreational and
aesthetic interests in the area.101 In Laidlaw, then, at least
one member of Friends of the Earth, and thus the
organization itself, had standing to sue because, in the
language of Sierra Club, the member was “among the
injured.”102
Taken together, Sierra Club, Lujan, and Laidlaw open
federal courts to plaintiffs claiming environmental,
aesthetic, recreational, and other non-economic injuries,103
but these decisions make clear that the justices closely
scrutinize such claims to ensure that the plaintiff actually
has suffered, or imminently will suffer, a distinct and
personal injury.
Traceability and Redressability. The second and third
constitutional requirements of litigant standing—that the
plaintiff’s injury be “fairly traceable” to the defendant’s
actions and “likely redressable” by a federal court—are
often mirror images of an inquiry into causation.
Traceability “examines the causal connection between the
assertedly unlawful conduct and the alleged injury,” while
redressability “examines the causal connection between
the alleged injury and the judicial relief requested.”104 If
the plaintiff’s injury was caused by the challenged action of
the defendant, the injury can be fairly traced to the
defendant, and a remedial order of the court addressed to
the defendant likely will redress the injury.
Traceability and redressability often break down when
“the independent action of some third party not before the
court” is the immediate cause of the plaintiff’s injury.105
The Court’s decision in Simon v. Eastern Kentucky Welfare
Rights Organization106 illustrates the third party causation
problem. Indigents had sued the Secretary of the Treasury
and the Commissioner of Internal Revenue challenging the
legality of an IRS revenue ruling declining to revoke the
tax-exempt status of nonprofit hospitals that offer only
emergency-room services to indigents. The justices were
willing to assume that at least some of the plaintiffs had
been denied hospital services because they were indigent.
But this injury,
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the banks compete with credit unions for customers. The
agency argued, however, that the banks’ injury was not
within the zone of interests served by the provision of its
enabling act restricting the formation of credit unions.
When Congress wrote those restrictions into law, the
agency argued, the legislators were not concerned with the
interests of a credit union’s competitors. Indeed, the
agency claimed that Congress’s purpose in writing the
statutory provision at issue was to enable credit unions to
reach the small borrowers that banks did not serve. The
Court rejected the agency’s zone-of-interests challenge to
the banks’ standing. The justices explained, “[E]ven if it
cannot be said that Congress had the specific purpose of
benefiting commercial banks, one of the interests ‘arguably
… to be protected’ by [the statutory provision at issue was]
an interest in limiting the markets that federal credit
unions can serve.” Banks were within the zone of interests
served by the statutory restrictions on the markets that
credit unions could serve simply because they benefited
from those restrictions.120
Not only must one take care to identify the interests
actually served by a statute when applying the zone-of-
interests consideration, but also one must focus on the
interests protected by the particular statutory provision at
issue rather than by the statute as a whole. The Court’s
decision in Bennett v. Spear121 teaches this lesson. Water
users sued the Fish and Wildlife Service pursuant to the
Administrative Procedure Act, claiming that a biological
opinion prepared by the Service had wrongly concluded
that an irrigation project operated by the Bureau of
Reclamation threatened endangered fish species. The
plaintiffs claimed that the Service’s opinion violated the
Endangered Species Act and that the Bureau’s decision to
follow the Service’s opinion threatened to reduce the
supply of water from the project that they had enjoyed over
the years. A lower court had found that the plaintiffs lacked
standing to make this claim because they were outside the
zone of interests protected by the Endangered Species Act.
Congress had designed that act, reasoned the lower court,
to preserve species, and not to protect those who were
adversely affected by species preservation. But the
provision of the act that the Service allegedly had violated
required federal agencies to “use the best scientific and
commercial data available” when determining whether an
endangered species was in jeopardy. That language, the
Court held, served dual objectives: it safeguarded
endangered species from under-enforcement of the act’s
requirements, as it protected those affected by agency
action protecting species from “needless economic
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of appeals agreed to review the validity of an EPA guidance
document entitled “Periodic Monitoring Guidance.” An EPA
regulation required certain states to include “periodic
monitoring” as a condition of permits for the operation of
stationary sources of air pollution. The challenged EPA
document elaborated the “periodic monitoring”
requirement established by the regulation. EPA instructed
its personnel to follow the guidance when reviewing
permits and “insist[ed]” that state and local authorities
comply with the guidance document when establishing the
terms and conditions of operating permits. Under these
circumstances, EPA’s document, the court of appeals held,
constituted final agency action because it “reflect[ed] a
settled agency position which has legal consequences both
for State agencies administering their permit programs and
for companies [that] must obtain … permits in order to
continue operating.”163 The guidance document resembled
the biological opinion in Bennett more than the
administrative advisory opinions in Chicago & Southern Air
Lines and in Dalton. It had, in the language of Bennett, a
“virtually determinative effect” on the future issuance of
operating permits.164
(b) Ripeness
Reviewing courts must ensure not only that the
challenged agency action is final, but also that it is “ripe for
judicial resolution.”165 In contrast to the finality
requirement, ripeness doctrine is not limited to suits
bought pursuant to the Administrative Procedure Act. All
federal litigation must be ripe. Ripeness, like standing, is
an element of the case-or-controversy requirement of
Article III of the Constitution, as well as a mix of judge-
made prudential considerations that courts traditionally
have consulted when deciding whether to award
declaratory or injunctive relief.166 The ripeness and finality
requirements, however, serve similar interests in
administrative and judicial efficiency. As the Supreme
Court observed, the ripeness requirement protects
agencies from “judicial interference until an administrative
decision has been formalized and its effects felt in a
concrete way by the
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issues presented by the challenge would not be ready for
judicial resolution. In the latter case, the parties would not
suffer undue hardship if judicial resolution of the challenge
awaited enforcement.
The Supreme Court has followed this understanding of
the Abbott Laboratories/Toilet Goods Association
distinction when evaluating the ripeness of administrative
actions other than rules. For example, in Ohio Forestry
Association, Inc. v. Sierra Club,176 the justices dismissed an
environmental group’s lawsuit challenging a federal land
and resource management plan that the United States
Forest Service had adopted for a national forest in Ohio.
Sierra Club claimed that the plan violated several federal
statutes by allowing for too much logging and clearcutting
of timber. The Court held, however, that the suit did not
satisfy either of the two Abbott Laboratories criteria for
ripeness.
The justices first concluded that dismissal of Sierra
Club’s challenge to the Forest Service’s plan would not
cause the organization or its members any “significant
hardship.” Ohio Forestry Association differed crucially from
Abbott Laboratories because the Forest Service plan,
unlike the labeling regulation, “create[d] no legal rights or
obligations.” Sierra Club, in contrast to the drug companies
in Abbott Laboratories, had thus suffered no “adverse
effects of a strictly legal kind.” Nor had the plan “force[d]”
Sierra Club “to modify its behavior in order to avoid future
adverse consequences.”177
Moreover, the Forest Service plan did not inflict
“significant practical harm” on Sierra Club’s ability to
contest logging or cutting operations in the forest that it
regarded as unlawful. Before any such activity could occur,
the Forest Service would have to identify a particular site,
propose a specific harvesting method, prepare an
environmental review, offer the public an opportunity to be
heard, and if sued, justify the proposal to a reviewing court.
This process, like the administrative and judicial review
processes in Toilet Goods Association, gave Sierra Club
“ample opportunity later to bring its legal challenge at a
time when harm is more imminent and more certain.” The
justices acknowledged Sierra Club’s point that it would be
“easier” and less expensive to challenge the plan as a
whole rather than to challenge each particular logging or
cutting decision as it arose, but “litigation cost saving,” the
justices ruled, did not “justify review in a case that would
otherwise be unripe.”178
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____________________________
1 For a discussion of the prerogative writs providing for
judicial review of administrative action, see LOUIS L. JAFFE,
JUDICIAL CONTROL OF ADMINISTRATIVE ACTION 165–93 (1965).
For a discussion of judicial control of administrative action
in early America, see Jerry L. Mashaw, Recovering
American Administrative Law: Federalist Foundations,
1787–1801, 115 YALE L.J 1256, 1319–37 (2006).
2 5 U.S. (1 Cranch) 137 (1803). For a revealing analysis of
Marbury from an administrative law perspective, see Henry
P. Monaghan, Marbury and the Administrative State, 83
COLUM. L. REV. 1 (1983).
3 See, e.g., American School of Magnetic Healing v.
McAnnulty, 187 U.S. 94 (1902).
4 See Attorney General’s Manual on the Administrative
Procedure Act 97 (1947), reprinted in WILLIAM F. FUNK et
al., FEDERAL ADMINISTRATIVE PROCEDURE SOURCEBOOK 39–176
(4th ed. 2008).
5 See Harold H. Bruff, Coordinating Judicial Review in
Administrative Law, 39 UCLA L. REV. 1193, 1196 (1992).
6 See David P. Currie & Frank I. Goodman, Judicial
Review of Federal Administrative Action: Quest for the
Optimum Forum, 75 COLUM. L. REV. 1, 5–7 (1975).
7 See, e.g., California Energy Comm’n v. Department of
Energy, 585 F.3d 1143, 1148 (9th Cir. 2009) (“[R]eview of
agency action is typically located in the district courts
under the APA absent a specific statutory provision to the
contrary.”).
8 See Attorney General’s Manual, supra note 4, at 93.
9 Japan Whaling Ass’n v. American Cetacean Society, 478
U.S. 221, 231 n.4 (1986).
10 Your Home Visiting Nurse Services, Inc. v. Shalala, 525
U.S. 449, 457–58 (1999); Califano v. Sanders, 430 U.S. 99,
104–07 (1977).
11 INS v. St. Cyr, 533 U.S. 289, 298 (2001); Bowen v.
Michigan Academy of Family Physicians, 476 U.S. 667, 670
(1986); see also Califano v. Sanders, 430 U.S. 99, 104
(1977) (APA embodies the “intention and understanding” of
Congress “that judicial review [of agency action] should be
widely available”). For a critique of the presumption of
reviewability as a canon of statutory interpretation, see
Daniel B. Rodriguez, The Presumption of Reviewability: A
Study in Canonical Construction and Its Consequences, 45
VAND. L. REV. 743 (1992).
12See Sierra Club v. Peterson, 185 F.3d 349, 366 (5th Cir.
1999).
13 St. Cyr, 533 U.S. at 298; Bowen, 476 U.S. at 670.
14 Abbott Laboratories v. Gardner, 387 U.S. 136, 141
(1967) (quoting Rusk v. Cort, 369 U.S. 367, 380 (1962)); see
Bowen, 476 U.S. at 671–72; Nathaniel L. Nathanson, Some
Comments on the Administrative Procedure Act, 41 ILL. L.
REV. 368, 415 (1946) (quoting the relevant legislative
history of the APA).
15 See Morris v. Gressette, 432 U.S. 491, 501 (1977);
Switchmen’s Union of North America v. National Mediation
Board, 320 U.S. 297 (1943); Attorney General’s Manual on
the Administrative Procedure Act 94 (1947), reprinted in
WILLIAM F. FUNK, et al., FEDERAL ADMINISTRATIVE PROCEDURE
SOURCEBOOK 33–171 (3d ed. 2000); see also Sackett v. EPA,
___ U.S. ___, 132 S.Ct. 1367, 1372–73 (2012) (“[I]n
determining ‘[w]hether and to what extent a particular
statute precludes judicial review,’ we do not look ‘only [to]
its express language.’ ”) (quoting Block v. Community
Nutrition Institute, 467 U.S. 340, 345 (1984) (second and
third alterations in original)). For an argument that section
706(a)(1) of the APA “may well have limited the instances
in which judicial review is precluded to those covered by
express statutory language,” see Rodriguez, Presumption
of Reviewability, supra note 11, at 757.
16 Elgin v. Department of Treasury, ___ U.S. ___, 132 S.Ct.
2126, 2133 (2012); Block, 467 U.S. at 345; see Bowen, 476
U.S. at 673; Thunder Basin Coal Co. v. Reich, 510 U.S. 200,
207 (1994).
17 See Bowen, 476 U.S. at 674; Abbott Laboratories, 387
U.S. at 141.
18 387 U.S. 136 (1967).
19 Id. at 139–48; see also Bowen, 476 U.S. at 674–78
(rejecting similar implied preclusion arguments regarding
the Medicare program).
20 510 U.S. 200 (1994).
21 Id. at 207–12.
22 467 U.S. 340 (1984).
23 Id. at 345–48.
24 Bowen, 476 U.S. at 672–73.
25 See AMERICAN BAR ASSOCIATION SECTION OF ADMINISTRATIVE
LAW AND REGULATORY PRACTICE, A BLACKLETTER STATEMENT OF
FEDERAL ADMINISTRATIVE LAW 46 (2004).
26 See, e.g., Free Enterprise Fund v. Public Company
Accounting Oversight Board, ___ U.S. ___, 130 S.Ct. 3138,
3150 (2010) (rejecting an implied statutory preclusion
argument because, among other things, such an
interpretation would deny challengers an opportunity to
“meaningfully pursue their constitutional claims”). This
special sensitivity “does not apply where Congress simply
channels judicial review of a constitutional claim to a
particular court.” Elgin v. Department of Treasury, ___ U.S.
___, 132 S.Ct. 2126, 2132 (2012).
27 See, e.g., Hamdan v. Rumsfeld, 548 U.S. 557, 572–75
(2006); Ex parte Yerger, 75 U.S. (8 Wall.) 85 (1868); Ex
parte McCardle, 74 U.S. (7 Wall.) 506 (1868). The law-
review literature considering this issue is extensive, but the
fountainhead is Henry M. Hart, Jr., The Power of Congress
to Limit the Jurisdiction of Federal Courts: An Exercise in
Dialectic, 66 HARV. L. REV. 1362 (1953).
28 See Lepre v. Department of Labor, 275 F.3d 59, 75
(D.C.Cir. 2001) (Silberman, J., concurring) (It is “doubt[ful]
that the Supreme Court has left … any principled ground
upon which a Court of Appeals judge can honor a
congressional preclusion of review of a constitutional
claim.”).
29 415 U.S. 361 (1974).
30 Id. at 366–67 (alterations in original) (quoting United
States v. Thirty-Seven (37) Photographs, 402 U.S. 363, 369
(1971) (internal quotation marks omitted)).
31 Id. at 366–74; see also McNary v. Haitian Refugee
Center, Inc., 498 U.S. 479 (1991) (enabling act’s provision
precluding judicial review of determinations by the
Attorney General concerning applications by
undocumented workers for adjustment of status did not bar
constitutional challenge to the administration of the act).
32 St. Cyr, 533 U.S. at 308.
33 See Ronald M. Levin, Understanding Unreviewability
in Administrative Law, 74 MINN. L. REV. 689, 739–40
(1990); see, e.g., Lindahl v. OPM, 470 U.S. 768, 778–91
(1985).
34 Heckler v. Chaney, 470 U.S. 821, 830 (1985).
35 See Attorney General’s Manual, supra note 15, at 94–
95.
36 401 U.S. 402, 410 (1971) (quoting S. REP. NO. 79–752,
at 26 (1945)) (internal quotation marks omitted).
37 470 U.S. 821 (1985).
38 Id. at 830. For criticism of the no-law-to-apply test as
“simplistic, historically unfounded, and needlessly rigid,”
see Levin, Understanding Unreviewability, supra note 33,
at 692, 704–10.
39 Lincoln v. Vigil, 508 U.S. 182, 191 (1993); see also
Conservancy of Southwest Florida v. United States Fish &
Wildlife Service, 677 F.3d 1073, 1084 (11th Cir. 2012)
(“[C]ourts often consider the nature of the challenged
decision and its suitability for judicial review in
determining whether it is committed to agency
discretion.”); see, e.g., ICC v. Brotherhood of Locomotive
Engineers, 482 U.S. 270, 282 (1987) (citing “tradition of
nonreviewability” regarding agency refusals to reconsider
their decisions for material error).
40 508 U.S. 182 (1993).
41 Id. at 190–95.
42 486 U.S. 592 (1988).
43 Id. at 594–96, 599–601.
44 470 U.S. 821 (1985).
45 Id. at 830–38. For criticism of Chaney, see Cass R.
Sunstein, Reviewing Agency Inaction after Heckler v.
Chaney, 52 U. CHI. L. REV. 653 (1985).
46 Chaney, 470 U.S. at 832–33.
47 421 U.S. 560 (1975).
48 Id. at 563 n.2 (emphasis added) (quoting 29 U.S.C. §
482(b) (2006)) (internal quotation marks omitted).
49 Chaney, 470 U.S. at 833–34 (quoting Bachowski v.
Brennan, 502 F.2d 79 (3d Cir. 1974)); see also National
Wildlife Federation v. EPA, 980 F.2d 765, 773–74 (D.C.Cir.
1992) (holding presumption of non-reviewability of agency
non-enforcement decisions to be rebutted because the
enabling act had “withdraw[n] discretion from the agency
and [had] provide[d] guidelines for the exercise of
enforcement power”).
50 See Norton v. Southern Utah Wilderness Alliance, 542
U.S. 55, 63 (2004) (“[T]he only agency action that can be
compelled under the APA is action legally required.”); § 8.9.
51 See, e.g., Public Citizen Health Research Group v.
Auchter, 702 F.2d 1150 (D.C.Cir. 1983).
52 Chaney, 470 U.S. at 825 n. 2.
53 American Horse Protection Ass’n, Inc. v. Lyng, 812 F.2d
1, 4 (D.C.Cir. 1987).
54 549 U.S. 497 (2007).
55 Id. at 527 (quoting American Horse Protection Ass’n,
812 F.2d at 4).
56 Massachusetts, 549 U.S. at 527; American Horse
Protection Ass’n, 812 F.2d at 4. Although Massachusetts
settled that Chaney’s presumption against reviewability
does not apply to agency denials of rulemaking petitions, a
court still might find that a particular denial of a
rulemaking petition is committed to agency discretion and
thus not reviewable. See Conservancy of Southwest Florida
v. United States Fish & Wildlife Service, 677 F.3d 1073,
1085 (11th Cir. 2012) (holding that the agency’s denial of a
rulemaking petition to designate a critical habitat for an
endangered species is exempt from judicial review under
section 701(a)(2) because of “the absence of any applicable
statutory or regulatory standards” governing the agency’s
decisions to initiate rulemaking).
57 See American Horse Protection Ass’n, 812 F.2d at 4.
58 The “arbitrary-or-capricious” standard is discussed in §
8.8.
59 Massachusetts, 549 U.S. at 527–28 (quoting National
Customs Brokers & Forwarders Ass’n of America, Inc. v.
United States, 883 F.2d 93, 96 (D.C.Cir. 1989)); see also
American Horse Protection Ass’n, 812 F.2d at 5 (agency
refusal to initiate rulemaking proceeding is to be
overturned “only in the rarest and most compelling of
circumstances” (quoting WWHT, Inc. v. FCC, 656 F.2d 807
(D.C.Cir. 1981))).
60 Massachusetts, 549 U.S. at 527; American Horse
Protection Ass’n, 812 F.2d at 4. For an analysis of the
principles that should guide a court in reviewing an
agency’s decision not regulate, see Eric Biber, The
Importance of Resource Allocation in Administrative Law,
60 ADMIN. L. REV. 1 (2008).
61 486 U.S. 592 (1988).
62 Id. at 601–05.
63 See Sunstein, Reviewing Agency Inaction, supra note
45, at 658.
64 Webster, 486 U.S. at 603 (quoting Weinberger v. Salfi,
422 U.S. 749, 762 (1975)).
65 Id. at 601–05.
66 See Hollingsworth v. Perry, 570 U.S. ___, 133 S.Ct.
2652, 2659 (2013) (“Federal courts have authority under
the Constitution to answer [legal] questions only if
necessary to do so in the course of deciding an actual ‘case’
or ‘controversy.’ ”).
67 See Steel Co. v. Citizens for a Better Environment, 523
U.S. 83, 102 (1998).
68 See Bennett v. Spear, 520 U.S. 154, 162 (1997).
69 Davis v. Federal Elections Comm’n., 554 U.S. 724, 734
(2008) (internal quotation marks and citation omitted).
70 See Warth v. Seldin, 422 U.S. 490, 498–99 (1975);
Baker v. Carr, 369 U.S. 186, 204 (1962).
71 See Bennett, 520 U.S. at 162; Allen v. Wright, 468 U.S.
737, 751 (1984).
72 See Allen, 468 U.S. at 752.
73 Marbury v. Madison, 5 U.S. (1 Cranch) 137, 173–80
(1803).
74 Lujan v. Defenders of Wildlife, 504 U.S. 555, 571–78
(1992). For an argument against reading Article III to limit
the power of Congress to create litigant standing by
authorizing causes of action, see Cass R. Sunstein,
Standing and the Privatization of Public Law, 88 COLUM. L.
REV. 1432, 1461–80 (1988). For an argument that the
existence of such a limit is historically grounded, see Ann
Woolhandler & Caleb Nelson, Does History Defeat Standing
Doctrine?, 102 MICH. L. REV. 689 (2004).
75 Lujan, 504 U.S. at 561, 576.
76 See Allen, 468 U.S. at 751.
77 Warth, 422 U.S. at 499.
78 Allen, 468 U.S. at 751. The zone-of-interests test is the
only prudential consideration considered in this section.
For analysis of the generalized grievance criterion, see
Gene R. Nichol, Jr., Standing on the Constitution: The
Supreme Court and Valley Forge, 61 N.C. L. REV. 798
(1983). For analysis of the third party claim criterion, see
Richard H. Fallon, Jr., As-Applied and Facial Challenges and
Third-Party Standing, 113 HARV. L. REV. 1321 (2000); Henry
P. Monaghan, Third Party Standing, 84 COLUM. L. REV. 277
(1984).
79 United States v. Windsor, 570 U.S. ___, 133 S.Ct. 2675,
2686 (2013) (internal quotation marks and citations
omitted) (alterations in original).
80 See Bennett, 520 U.S. at 162.
81 See Windsor, 133 S.Ct. at 2687 (“[T]he relevant
prudential factors that counsel against hearing this case
are subject to ‘countervailing considerations [that] may
outweigh the concerns underlying the usual reluctance to
exert judicial power.’ ” (alterations in original) (quoting
Warth, 422 U.S. at 500–01)).
82 See Allen, 468 U.S. at 751.
83 See Association of Data Processing Service
Organizations, Inc. v. Camp, 397 U.S. 150, 153 (1970); Joint
Anti-Fascist Refugee Comm. v. McGrath, 341 U.S. 123, 153
(1951) (Frankfurter, J., concurring).
84 397 U.S. 150 (1970).
85 Id. at 152. The relative merits of the legal interest test
and the injury-in-fact alternative were the subject of a
storied debate on the heels of the Data Processing decision
between two leading administrative law scholars, see
Kenneth Culp Davis, The Liberalized Law of Standing, 37 U.
CHI. L. REV. 450 (1970); Louis L. Jaffe, Standing Again, 84
HARV. L. REV. 633 (1971).
86 See Warth, 422 U.S. at 500. Many observers suspect
that at least on occasion, a court’s view on the merits of a
controversy informs its ruling on litigant standing. See,
e.g., Jonathan D. Varat, Variable Justiciability and the Duke
Power Case, 58 TEX. L. REV. 273 (1980). For criticism of
contemporary standing doctrine as fostering politically
result-oriented manipulation by the courts, see Richard J.
Pierce, Jr., Is Standing Law or Politics?, 77 N.C. L. REV.
1741 (1999). The leading defense of a court’s use of
standing, together with the other justiciability doctrines, to
avoid legal issues it deems inadvisable to decide is
ALEXANDER M. BICKEL, THE LEAST DANGEROUS BRANCH: THE
SUPREME COURT AT THE BAR OF POLITICS 111–98 (2d ed. 1986).
87 Warth, 422 U.S. at 500; see Raines v. Byrd, 521 U.S.
811, 818 (1997); see also Sprint Communications Co. v.
APCC Services, Inc., 554 U.S. 269, 274 (2008) (“We have
often said that history and tradition offer a meaningful
guide to the types of cases that Article III empowers
federal courts to consider.”).
88Raines, 521 U.S. at 819; see Allen, 468 U.S. at 753–56;
Warth, 422 U.S. at 514.
89 Raines, 521 U.S. at 819 (quoting Lujan v. Defenders of
Wildlife, 504 U.S. 555, 560 (1992); Flast v. Cohen, 392 U.S.
83, 97 (1968)) (internal quotation marks omitted).
90 See Data Processing, 397 U.S. at 151.
91 See Bennett, 520 U.S. at 167. To be imminent, “the
threatened injury [must be] real, immediate, and direct.”
Davis v. Federal Election Comm’n, 554 U.S. 724, 734
(2008).
92 See Raines, 521 U.S. at 818–19; Lujan, 504 U.S. at 560;
Allen, 468 U.S. at 751.
93 See Summers v. Earth Island Institute, 555 U.S. 488,
493 (2009); Bennett, 520 U.S. at 167; Allen, 468 U.S. at
751.
94 405 U.S. 727 (1972).
95 Id. at 730, 734–35, 738–40. The Court similarly has
held that a plaintiff’s interests as U.S. citizen or as federal
taxpayer generally are too abstract to support standing to
challenge the legality of actions taken by the federal
government. See Schlesinger v. Reservists Committee to
Stop the War, 418 U.S. 208, 220–21 (1974) (citizens);
Frothingham v. Mellon, 262 U.S. 447, 487 (1923)
(taxpayers). For the classic argument that a plaintiff’s
ideological interest in the subject of the litigation should be
sufficient to sustain standing, see Louis L. Jaffe, The Citizen
as Litigant in Public Actions: The Non-Hohfeldian or
Ideological Plaintiff, 116 U. PA. L. REV. 1033, (1968).
96 504 U.S. 555 (1992).
97 Id. at 562–64.
98 Id. at 563–64 (second alteration in original).
99 Id. at 562–66; see also Summers, 555 U.S. at 495
(denying standing because the plaintiff failed “to allege
that any particular timber sale or other project claimed to
be unlawfully subject to the regulations will impede a
specific and concrete plan of [its member]’s to enjoy the
National Forests”).
100 528 U.S. 167 (2000).
101 Id. at 180–85.
102 Sierra Club, 405 U.S. at 735.
103 See Summers, 555 U.S. at 494 (“While generalized
harm to the forest or the environment will not alone
support standing, if that harm in fact affects the
recreational or even the mere esthetic interests of the
plaintiff, that will suffice [to satisfy the injury
requirement].”).
104 Allen, 468 U.S. at 753 n.19.
105 Bennett, 520 U.S. at 167.
106 426 U.S. 26 (1976).
107 Id. at 40–46.
108 See id. at 44–45; see, e.g., Allen, 468 U.S. at 756–60
(1984); Warth, 422 U.S. at 504–07; Linda R.S. v. Richard D.,
410 U.S. 614, 617–19 (1973).
109 520 U.S. 154, 168–71 (1997).
110 Id. at 168–71; see also Massachusetts v. EPA, 549 U.S.
497 (2007). Massachusetts involved a challenge to EPA’s
denial of a petition to regulate greenhouse gas emissions
from automobiles. EPA claimed that the challengers lacked
standing, arguing that its failure to regulate auto emissions
had not caused global warming, and that new limits on
emissions would not prevent global warming, because of
the existence of other sources of greenhouse gas emissions
throughout the world. The Court held that the challengers
nevertheless had satisfied the traceability and
redressability requirements. Because U.S. auto emissions
“make a meaningful contribution to greenhouse gas
concentrations,” the Court reasoned, “[a] reduction in
[U.S.] emissions would slow the pace of global emissions
increases, no matter what happens elsewhere.” Id. at 525–
26.
111 Allen, 468 U.S. at 753 n.19.
112 Steel Co. v. Citizens for a Better Environment, 523
U.S. 83, 102 (1998).
113 See, e.g., National Credit Union Administration v.
First National Bank & Trust Company, 522 U.S. 479, 488
(1998); Simon, 426 U.S. at 39.
114 Association of Data Processing Service Organizations,
Inc. v. Camp, 397 U.S. 150, 153 (1970); see National Credit
Union Administration, 522 U.S. at 488.
115 Bennett, 520 U.S. at 163–64.
116 Data Processing, 397 U.S. at 153; see National Credit
Union Administration, 522 U.S. at 488. Some scholars
believe that the zone-of-interests test may be applicable
only to suits brought pursuant to the Administrative
Procedure Act. See ERWIN CHEMERINSKY, FEDERAL
JURISDICTION 107–08 (6th ed. 2012).
117 See CHEMERINSKY, FEDERAL JURISDICTION, supra note
116, at 103.
118 National Credit Union Administration, 522 U.S. at
492, 498.
119 522 U.S. 479 (1998).
120 Id. at 492–93, 495–96.
121 520 U.S. 154 (1997).
122 Id. at 175–77.
123 Match-E-Be-Nash-She-Wish Band of Pottawatomi
Indians v. Patchak, ___ U.S. ___, 132 S.Ct. 2199, 2210 (2012)
(quoting Clarke v. Securities Indus. Assn., 479 U.S. 388,
399 (1987)).
124 Id. (quoting Clarke, 479 U.S. at 399).
125 498 U.S. 517 (1991).
126 Id. at 524–31.
127 Warth v. Seldin, 422 U.S. 490, 511 (1975).
128 International Union, UAW v. Brock, 477 U.S. 274, 290
(1986).
129 Hunt v. Washington State Apple Advertising Comm’n,
432 U.S. 333, 343 (1977); see Friends of the Earth, Inc. v.
Laidlaw Environmental Services (TOC), Inc., 528 U.S. 167,
181 (2000); International Union, 477 U.S. at 281–82; Warth,
422 U.S. at 511.
130 United Food & Commercial Workers Union Local 751
v. Brown Group, Inc., 517 U.S. 544, 555 (1996).
131 Hunt, 432 U.S. at 343.
132 United Food & Commercial Workers, 517 U.S. at 555–
56.
133 Hunt, 432 U.S. at 343.
134 United Food & Commercial Workers, 517 U.S. at 554–
58.
135 International Union, 477 U.S. at 287.
136 Warth, 422 U.S. at 515–16.
137 United Food & Commercial Workers, 517 U.S. at 558.
138 A lawsuit also may be filed too late, and thus be
“moot.” Because the mootness doctrine has no special
application in administrative law, it is not considered here.
For a helpful, introductory discussion of the mootness
doctrine, see ERWIN CHEMERINSKY, FEDERAL JURISDICTION 131–
50 (6th ed. 2012).
139 Federal Trade Commission v. Standard Oil Company
of California, 449 U.S. 232, 238 n.7 (1980) (quoting S. Doc.
No. 79–248, at 255 (1946)).
140 Norton v. Southern Utah Wilderness Alliance, 542 U.S.
55, 61–65 (2004). The appropriate conditions for
challenging an agency’s failure to act are the subject of
Section 8.9.
141 497 U.S. 871 (1990).
142 Id. at 890–91.
143 Bennett v. Spear, 520 U.S. 154, 177–78 (1997); see
also Sackett v. EPA, ___ U.S. ___, 132 S.Ct. 1367, 1371–72
(2012) (quoting and applying the Bennett criteria). Courts
typically apply the finality requirements in special statutory
review statutes the same as they apply the APA’s finality
requirement. See, e.g., Whitman v. American Trucking
Ass’ns, 531 U.S. 457, 478 (2001) (“[T]he phrase ‘final
action’ … bears the same meaning in [the Clean Air Act]
that it does under the Administrative Procedure Act.…”);
Harrison v. PPG Industries, Inc., 446 U.S. 578, 586 (1980);
John Doe, Inc. v. DEA, 484 F.3d 561, 566 n.4 (D.C.Cir.
2007).
144 See Bennett, 520 U.S. at 177; Federal Trade
Commission v. Standard Oil Company of California (Socal),
449 U.S. 232, 239–43 (1980); Abbott Laboratories v.
Gardner, 387 U.S. 136, 149 (1967).
145 See American Airlines, Inc. v. Herman, 176 F.3d 283,
288 (5th Cir. 1999); PepsiCo, Inc. v. Federal Trade
Commission, 472 F.2d 179, 185 (2d Cir. 1972), cert. denied,
414 U.S. 876 (1973).
146 See Socal, 449 U.S. at 242; PepsiCo, 472 F.2d at 185.
147 449 U.S. 232 (1980).
148 Id. at 239–43; see also American Airlines, 176 F.3d at
289 (agency decision denying a motion for summary
judgment in a formal adjudicatory proceeding is not final
agency action within the meaning of section 704 of the
Administrative Procedure Act).
149 Abbott Laboratories, 387 U.S. at 149–52.
150 See PepsiCo, 472 F.2d at 186.
151 Id. at 187; see also Association of National
Advertisers, Inc. v. FTC, 627 F.2d 1151, 1180 (D.C.Cir.
1979) (Leventhal, J., concurring) (citation omitted), cert.
denied, 447 U.S. 921 (1980) (“[A] federal court … [may]
take jurisdiction before final agency action … only … in a
case of ‘clear right’ such as outright violation of a clear
statutory provision … or violation of basic rights
established by a structural flaw, and not requiring in any
way a consideration of interrelated aspects of the
merits.…”).
152 993 F.2d 1557 (D.C.Cir. 1993).
153 Id. at 1566–67.
154 333 U.S. 103 (1948).
155 Id. at 113–14.
156 511 U.S. 462 (1994).
157 Id. at 468–71; see also Franklin v. Massachusetts, 505
U.S. 788, 796–801 (1992) (submission of a census report by
the Secretary of Commerce to the president was not final
agency action because the president could revise the report
before submitting it to Congress).
158 520 U.S. 154 (1997).
159 Id. at 169–70, 177–78.
160 313 F.3d 852 (4th Cir. 2002).
161 Id. at 858–62.
162 208 F.3d 1015 (D.C.Cir. 2000).
163 Id. at 1017–23.
164 Bennett, 520 U.S. at 170.
165 Abbott Laboratories v. Gardner, 387 U.S. 136, 148
(1967); see National Park Hospitality Ass’n v. Department
of the Interior, 538 U.S. 803 (2003) (holding an agency
action to be final within the meaning of the Administrative
Procedure Act but not ripe for judicial review).
166 See Horne v. Department of Agriculture, ___ U.S. ___,
133 S.Ct. 2053, 2062 & n. 6 (2013); National Park
Hospitality Ass’n, 538 U.S. at 808; Reno v. Catholic Social
Services, Inc., 509 U.S. 43, 58 n.18 (1993). For an
argument that the doctrine of ripeness should not apply to
suits filed pursuant to the Administrative Procedure Act,
see John F. Duffy, Administrative Common Law in Judicial
Review, 77 TEX. L. REV. 113, 162–81 (1998).
167 Abbott Laboratories, 387 U.S. at 148–49.
168 387 U.S. 136 (1967); see Pacific Gas & Electric Co. v.
State Energy Resources Conservation & Development
Comm’n, 461 U.S. 190, 201(1983) (Abbott Laboratories …
remains our leading discussion of the [ripeness]
doctrine.…”).
169 Abbott Laboratories, 387 U.S. at 149; see also Stolt–
Nielsen S.A. v. Animal Feeds Int’l Corp., 559 U.S. 662, 670
n.2 (2010) (stating and applying the Abbott Laboratories
test).
170 Lujan v. National Wildlife Federation, 497 U.S. 871,
891 (1990).
171 Abbott Laboratories, 387 U.S. at 149.
172 Id. at 152–53; see also Holder v. Humanitarian Law
Project, 561 U.S. 1, 130 S.Ct. 2705, 2717 (2010) (holding
that a suit seeking pre-enforcement review of a criminal
statute was ripe because the “[p]laintiffs face[d] a credible
threat of prosecution and should not [have been] required
to await and undergo a criminal prosecution as the sole
means of seeking relief”) (internal quotations and citation
omitted); MedImmune, Inc. v. Genentech, Inc., 549 U.S.
118, 128–29 (2007) (“[W]here threatened action by
government is concerned, we do not require a plaintiff to
expose himself to liability before bringing suit to challenge
the basis for the threat.…” (emphasis deleted)).
173 387 U.S. 158 (1967).
174 Id. at 162–63.
175 Id. at 164–66; see also Pacific Gas & Electric Co. v.
State Energy Resources Conservation & Development
Comm’n., 461 U.S. 190, 203 (1983) (holding that a
constitutional challenge to a state statute requiring nuclear
power plants to provide adequate storage capacity for
spent fuel rods was not ripe because (1) the state agency
would make these determinations on a case-by-case basis,
(2) it was unknowable whether the state agency would ever
find a particular plant’s storage capacity to be inadequate,
and (3) there was “little likelihood that industry behavior
would be uniquely affected by whatever uncertainty
surrounds the … storage provisions”).
176 523 U.S. 726 (1998).
177 Id. at 733–34.
178 Id. at 733–35.
179 Id. at 735–37 (quoting Abbott Laboratories, 387 U.S.
at 148); see also American Trucking Ass’ns, Inc. v. City of
Los Angeles, ___ U.S. ___, 133 S.Ct. 2096, 2105 (2013)
(declining to consider a pre-enforcement challenge because
it was unclear how the city would exercise its enforcement
authority); National Park Hospitality Ass’n v. Department of
the Interior, 538 U.S. 803 (2003) (holding National Park
Service’s policy statement that its concession contracts are
not subject to the Contract Disputes Act was not ripe for
judicial review upon its issuance).
180 Woodford v. Ngo, 548 U.S. 81, 88–89 (2006);
McCarthy v. Madigan, 503 U.S. 140, 144–45 (1992); Myers
v. Bethlehem Shipbuilding Corp., 303 U.S. 41, 50–51
(1938).
181 McKart v. United States, 395 U.S. 185, 194–95 (1969);
see McCarthy, 503 U.S. at 145.
182 McCarthy, 503 U.S. at 145; see Woodford, 548 U.S. at
89; Weinberger v. Salfi, 422 U.S. 749, 765 (1975); McKart,
395 U.S. at 195.
183 McCarthy, 503 U.S. at 145; see Woodford, 548 U.S. at
89; Weinberger, 422 U.S. at 765; McKart, 395 U.S. at 195.
For a critique of the purposes often attributed to the
exhaustion requirement, see Marcia R. Gelpe, Exhaustion
of Administrative Remedies: Lessons from Environmental
Cases, 53 GEO. WASH. L. REV. 1 (1985).
184 See Bowen v. City of New York, 476 U.S. 467, 484
(1986) (describing exhaustion doctrine as “intensely
practical” (quoting Mathews v. Eldridge, 424 U.S. 319, 331
n. 11 (1976)).
185 McCarthy, 503 U.S. at 146; see Bowen, 476 U.S. at
484; Mathews, 424 U.S. at 330.
186 McCarthy, 503 U.S. at 146.
187 Id. at 146–47.
188 Id. at 147; see, e.g., Bowen, 476 U.S. at 482–86.
189 McCarthy, 503 U.S. at 147; see, e.g., Coit
Independence Joint Venture v. FSLIC, 489 U.S. 561, 587
(1989) (exhaustion not required because agency did not
place “a reasonable time limit” on its consideration of the
relevant claims).
190 McCarthy, 503 U.S. at 147 (internal quotation marks
and citation omitted).
191 McCarthy, 503 U.S. at 148; see, e.g., Barry v. Barchi,
443 U.S. 55, 63 n.10 (1979); Mathews v. Eldridge, 424 U.S.
319, 330–32 (1976).
192 McCarthy, 503 U.S. at 147–48; see, e.g., Mathews v.
Diaz, 426 U.S. 67, 76 (1976).
193 McCarthy, 503 U.S. at 148; see Gibson v. Berryhill,
411 U.S. 564, 575 n.14 (1973). For a critique of the
exhaustion exceptions, see Gelpe, Exhaustion of
Administrative Remedies, supra note 183, at 25–64.
194 McCarthy, 503 U.S. at 144.
195 Darby v. Cisneros, 509 U.S. 137, 144–45, 153–54
(1993); see Volvo GM Heavy Truck Corp. v. United States
Department of Labor, 118 F.3d 205, 209 (4th Cir. 1997). For
an approving analysis of Darby as “a heartening sign” that
federal common law “is receding in administrative law,” see
Duffy, Administrative Common Law, supra note 166, at
156–62.
196 McCarthy, 503 U.S. at 144 (1992); Coit Independence
Joint Venture, 489 U.S. at 579; see, e.g., United States v.
Clintwood Elkhorn Mining Co., 553 U.S. 1, 7–8 (2008)
(enforcing a clear statutory exhaustion requirement for tax-
refund claims); Woodford v. Ngo, 548 U.S. 81, 87–88 (2006)
(enforcing a clear statutory exhaustion requirement on
prisoners filing section 1983 actions).
197 Coit Independence Joint Venture, 489 U.S. at 580.
198 Sousa v. INS, 226 F.3d 28, 32 (1st Cir. 2000).
199 Marine Mammal Conservancy, Inc. v. Department of
Agriculture, 134 F.3d 409, 411 (D.C.Cir. 1998).
341
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the type of harmless error that the APA counsels reviewing
courts to disregard.17
The Court’s disposition of Chenery I established an
important corollary to the general principle that courts
review discretionary agency action only on the grounds
invoked by the agency. Having decided that the judicial
precedent cited by the SEC did not justify the surrender
order, the Court in Chenery I vacated the administrative
order and directed the court of appeals to remand the
matter back to the SEC “for such further proceedings, not
inconsistent with this opinion, as may be appropriate.” The
Administrative Procedure Act tracks this corollary by
instructing reviewing courts simply to “hold unlawful and
set aside agency action” that they determine to be invalid
(APA § 706(2)). In the typical case, once a reviewing court
invalidates agency action, its only recourse is to remand
the matter back to the agency for further consideration. It
cannot resolve the matter on its own.18
The Supreme Court has recognized, however, that in
some “exceptional situation[s]” a “crystal-clear”
administrative error may make “a remand an unnecessary
formality.”19 Such situations may occur, for example, when
an agency has violated a non-discretionary duty or where
an agency repeatedly has rejected the only rational
outcome available under its enabling act. Moreover, some
(but not all) reviewing courts, led by the D.C. Circuit, have
issued so-called “remand-only” orders to cure
administrative decision-making defects without vacating
the agency’s order. Courts have issued such orders when
they have found that the agency’s error was minor and that
vacating the administrative order would cause undue
disruption to the regulatory program.20 Although the
Supreme Court has not ruled on whether section 706(2) of
the APA permits remand-only orders, its recent decision in
National
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the administrative record “could satisfy a reasonable
factfinder.”59 This reasonableness review maintains the
tradition of judicial deference toward administrative
factfinding. At the same time, reasonableness review has
an accordion-like quality that offers reviewing courts
sufficient flexibility to ensure, in the language of Universal
Camera, “the reasonableness and fairness”60 of
administrative findings on a case-by-case basis.
A reviewing court may be expected to intensify its
reasonableness review when the factual findings of the
administrative law judge are overturned during the
administrative appeals process (see § 5.5). This is
especially the case when the findings turn on the credibility
of witnesses that the ALJ had observed during the
hearing.61 The ALJ’s findings are part of the administrative
record of the agency’s decision (APA § 557(c)), and thus
they weigh against any contrary findings by the agency.62
An agency must provide a reasoned explanation of why it
disregarded an ALJ’s findings.63
As the courts’ insistence on a reasoned explanation for
an agency’s departure from the factual findings of an ALJ
demonstrates, the traditional translation of the substantial
evidence standard into a reasonableness requirement
prescribes a norm of administrative decision-making as
well as a benchmark for judicial review. Administrative
factfinding must be reasoned in order to be reasonable.
Congress wrote the Administrative Procedure Act to ensure
that agency action affecting individual rights be the
product of “reasoned decisionmaking,” and not merely the
arbitrary exercise of governmental power.64 As one of the
most thoughtful commentators on the subject of judicial
review of agency action explained, the substantial evidence
standard tests not only whether “there is record evidence
which provides a rational or
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appeals, ruled that “in their application to the requirement
of factual support the substantial evidence test and the
arbitrary or capricious test are one and the same.” In
Justice Scalia’s rendering, the substantial evidence
standard applicable to formal administrative proceedings is
“only a specific application” of the arbitrary-or-capricious
standard that applies generally to all administrative
proceedings.70
According to Justice Scalia’s opinion for the D.C. Circuit
in Data Processing, the difference between the substantial
evidence standard and the arbitrary-or-capricious standard
does not lie in the degree of deference that reviewing
courts owe to administrative factual findings. Both
standards essentially require reasonableness review. The
difference between the two standards lies in the nature of
the record that the court reviews for evidentiary support of
the agency’s findings. In a formal proceeding governed by
the substantial evidence standard, evidentiary support of
administrative factual findings must be present in the
formal hearing record. In an informal proceeding governed
by the arbitrary-or-capricious standard, evidentiary support
may appear anywhere in the information that agency
decision-makers consulted when making their decision.71
There is much to be said for Justice Scalia’s equation of
the substantial evidence and arbitrary-or-capricious
standards of judicial review of agency factfinding. Indeed,
before the APA some reviewing courts related substantial
evidence review to the more established arbitrary-or-
capricious standard.72 The court’s role when reviewing
administrative factual determinations in informal
proceedings is no different than its role when reviewing
administrative factual determinations in formal
proceedings. In each instance, the reviewing court must
determine “whether the [administrative] record supports
whatever factual conclusions underlie the [agency
action].”73 Should reviewing courts be any less concerned
with the soundness of administrative factual
determinations in informal proceedings than with the
soundness of such determinations in formal proceedings, as
the traditional understanding would have it? The APA
requires that agencies engage in reasoned decision-making
in informal as well as formal proceedings. In each case, if
an agency gets the relevant facts wrong, its decision likely
will be mistaken as well. And while section 706 of the APA
uses different language to describe the
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assigns to the judiciary the role to “say what the law is”
when deciding cases.121 Chevron’s role reversal also is in
tension with section 706 of the Administrative Procedure
Act, which instructs reviewing courts to “decide all relevant
questions of law,” including interpretation of “statutory
provisions.”122 The Court in Chevron anticipated these
criticisms by presuming that statutory ambiguity reflected
a congressional intention to delegate interpretive authority
to the agencies as part of their overall duty to administer
the statute. If Congress had intended that agencies rather
than courts take the lead in filling interpretive gaps in
enabling acts, judicial deference to reasonable
administrative interpretations would follow congressional
will, as mandated by the separation-of-powers principle of
legislative supremacy.123
Many observers regard Chevron’s presumption that
statutory ambiguities in enabling acts reflect a
congressional intention to delegate interpretive authority
to agencies as a “dubious fiction.”124 Before Chevron, of
course, Congress had enacted enabling acts against the
background of Skidmore deference, which had assigned
courts, not agencies, primary responsibility for resolving
statutory ambiguities. The Chevron Court itself
underscored the fictional nature of its presumption of
congressional intention when it exclaimed that the actual
explanation for any particular interpretive gap in an
enabling act was irrelevant.125
Yet many of Chevron’s proponents have argued that the
two-step analysis furthers rather than undermines the
separation of powers. These proponents rely on the
Chevron Court’s claim that the resolution of ambiguities in
enabling acts involves questions of regulatory policy
appropriate for agencies rather than questions of law for
the courts.126 They argue that Chevron’s Step One satisfies
the injunction of Marbury and of the APA that courts take
primary
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____________________________
1 See ALEXANDER M. BICKEL, THE LEAST DANGEROUS BRANCH:
THE SUPREME COURT AT THE BAR OF POLITICS 16–23 (2d ed.,
1986). For an argument that judicial review of the exercise
of administrative discretion poses no countermajoritarian
difficulty, see Matthew D. Adler, Judicial Restraint in the
Administrative State: Beyond the Countermajoritarian
Difficulty, 145 U. PA. L. REV. 759 (1997).
2 Ethyl Corp. v. EPA, 541 F.2d 1, 68 (D.C.Cir.) (Leventhal,
J., concurring), cert. denied, 426 U.S. 941 (1976). For a law-
and-economics perspective on why Congress entrusts
courts with the duty to police statutory limits on agency
action, see William M. Landes & Richard A. Posner, The
Independent Judiciary in an Interest-Group Perspective, 18
J.L. & ECON. 875 (1975).
3 Ernest Gellhorn & Glen O. Robinson, Perspectives on
Administrative Law, 75 COLUM. L. REV. 771, 780–81 (1975).
4 See United States v. Mead Corp., 533 U.S. 218, 235–37
(2001).
5 Universal Camera Corp. v. NLRB, 340 U.S. 474, 487,
489 (1951).
6 Several specialized courts dot the American judicial
landscape, however. The Court of Federal Claims, the Court
of International Trade, and the United States Tax Court
have jurisdiction over certain types of claims against the
federal government and its agencies. The United States
Court of Appeals for the Federal Circuit hears appeals from
judgments by the Court of Federal Claims, as well patent
cases, international trade cases, and several other types of
cases.
7 Ethyl Corp., 541 F.2d at 67 (Bazelon, C.J., concurring).
8 LOUIS L. JAFFE, JUDICIAL CONTROL OF ADMINISTRATIVE ACTION
590 (1965).
9 For fuller consideration of the relative roles and merits
of generalized and specialized courts in the administrative
process, see Harold H. Bruff, Specialized Courts in
Administrative Law, 43 ADMIN. L. REV. 329 (1991); Ellen R.
Jordan, Specialized Courts: A Choice?, 76 NW. U. L. REV.
745 (1981); Richard L. Revesz, Specialized Courts and the
Administrative Lawmaking System, 138 U. PA. L. REV. 1111
(1990).
10 SEC v. Chenery Corp., 318 U.S. 80, 88 (1943) (Chenery
I). For an argument that the Chenery I principle
implements the non-delegation doctrine, see Kevin M.
Stack, The Constitutional Foundations of Chenery, 116 YALE
L.J. 952 (2007).
11 SEC v. Chenery Corp., 332 U.S. 194, 196 (1947)
(Chenery II).
12 318 U.S. 80 (1943).
13 Id. at 88–95; see also Motor Vehicle Manufacturers
Ass’n of United States, Inc. v. State Farm Mutual
Automobile Insurance Co., 463 U.S. 29, 50 (1983) (“It is
well-established that an agency’s action must be upheld, if
at all, on the basis articulated by the agency itself.”).
14 554 U.S. 527 (2008).
15 Id. at 544–45.
16 551 U.S. 644 (2007).
17 Id. at 659–60; see 5 U.S.C. § 706 (On judicial review of
agency action, “due account shall be taken of the rule of
prejudicial error.”).
18 Chenery I, 318 U.S. at 95; see, e.g., National Ass’n of
Home Builders, 551 U.S. at 657–58; INS v. Orlando Ventura,
537 U.S. 12, 16–17 (2002); Florida Power & Light Co. v.
Lorion, 470 U.S. 729, 744 (1985); FPC v. Transcontinental
Gas Pipe Line Corp., 423 U.S. 326, 331–34 (1976).
19 NLRB v. Food Store Employees Union, Local 347, 417
U.S. 1, 8 (1974); see also NLRB v. Wyman–Gordon Co., 394
U.S. 759, 766–67 n.6 (1969) (plurality opinion) (If “[t]here
is not the slightest uncertainty as to the outcome of a
proceeding before the Board,.… [i]t would be meaningless
to remand.”).
20 For a discussion of these variations on the Chenery
norm, see SECTION OF ADMINISTRATIVE LAW AND REGULATORY
PRACTICE OF AMERICAN BAR ASSOCIATION, A GUIDE TO JUDICIAL
AND POLITICAL REVIEW OF FEDERAL AGENCIES 205–09 (John F.
Duffy & Michael Herz, eds., 2005); Matthew Ginsburg, “A
Nigh Endless Game of Battledore and Shuttlecock”: The
D.C. Circuit’s Misuse of Chenery Remands in NLRB Cases,
86 NEB. L. REV. 595 (2008); Ronald M. Levin, “Vacation” at
Sea: Judicial Remedies and Equitable Discretion in
Administrative Law, 53 DUKE L.J. 291 (2003).
21 551 U.S. 644 (2007).
22 Id. at 659–60; see also Massachusetts Trustees of
Eastern Gas & Fuel Associates v. United States, 377 U.S.
235, 248 (1964) (A reviewing court should not remand back
to the agency “when a mistake of the administrative body is
one that clearly had no bearing on the procedure used or
the substance of [the] decision reached.”).
23 332 U.S. 194 (1947).
24 Id. at 199–200, 204–09.
25 Id. at 196–97. The Court has since instructed courts to
review administrative decisions “of less than ideal clarity if
the agency’s path may reasonably be discerned.” Bowman
Transportation, Inc. v. Arkansas-Best Freight System, Inc.,
419 U.S. 281, 286 (1974); see also National Ass’n of Home
Builders, 551 U.S. at 658 (quoting Bowman
Transportation).
26 401 U.S. 402 (1971).
27 Id. at 404–05.
28 Id. at 409, 417, 419; see also Motor Vehicles
Manufacturers Ass’n of United States, Inc. v. State Farm
Mutual Automobile Insurance Co., 463 U.S. 29, 50 (1983)
(“[C]ourts may not accept appellate counsel’s post hoc
rationalizations for agency action.”).
29 Overton Park, 401 U.S. at 420; see also Camp v. Pitts,
411 U.S. 138, 142 (1973) (“[T]he focal point for judicial
review should be the administrative record already in
existence, not some new record made initially in the
reviewing court.”).
30 Overton Park, 401 U.S. at 420–21.
31 496 U.S. 633 (1990).
32 Id. at 654 (1990) (quoting Florida Power & Light Co. v.
Lorion, 470 U.S. 729, 744 (1985)).
33 Pension Benefit Guaranty Corp., 496 U.S. at 654; see
Vermont Yankee Nuclear Power Corp. v. Natural Resources
Defense Council, Inc., 435 U.S. 519 (1978).
34 Pension Benefit Guaranty Corp., 496 U.S. at 654–55.
35 Florida Power & Light Co. v. Lorion, 470 U.S. 729, 743
(1985).
36 Camp v. Pitts, 411 U.S. 138, 142 (1973).
37 Florida Power & Light, 470 U.S. at 743–44 (citation
omitted).
38 See William F. Pederson, Jr., Formal Records and
Informal Rulemaking, 85 YALE L.J. 38, 61 (1975).
39 For an excellent discussion of the required contents of
an administrative record, see Richard McMillan, Jr. & Todd
D. Peterson, The Permissible Scope of Hearings, Discovery,
and Additional Fact-Finding During Judicial Review of
Informal Agency Action, 1982 DUKE L.J. 333, 341–43.
40 Id. at 339, 340–50.
41 National Courier Ass’n v. Board of Governors of
Federal Reserve System, 516 F.2d 1229, 1241–43 (D.C.Cir.
1975).
42 See id. at 1241–43; McMillan & Peterson, Permissible
Scope of Hearings, supra note 39, at 342–43, 382–89.
43 Environmental Defense Fund, Inc. v. Costle, 657 F.2d
275, 285–86 (D.C. Cir. 1981); see Asarco, Inc. v. EPA, 616
F.2d 1153, 1160 (9th Cir. 1980).
44See Kunaknana v. Clark, 742 F.2d 1145, 1152 (9th Cir.
1984); Environmental Defense Fund, 657 F.2d at 285–86.
45 See Camp, 411 U.S. at 142–43.
46 Asarco, 616 F.2d at 1160; Association of Pacific
Fisheries v. EPA, 615 F.2d 794, 811–12 (9th Cir. 1980); see
Environmental Defense Fund, 657 F.2d at 285.
47 Environmental Defense Fund, 657 F.2d at 285; see
Bunker Hill Co. v. EPA, 572 F.2d 1286, 1292 (9th Cir. 1977).
48 Asarco, 616 F.2d at 1160; see Environmental Defense
Fund, 657 F.2d at 286. For an argument that the exceptions
reviewing courts have made to Overton Park’s record
requirement have so eroded the requirement that parties
may evade it at will, see Steven Stark & Sarah Wald,
Setting No Records: The Failed Attempts to Limit the
Record in Review of Administrative Action, 36 ADMIN. L.
REV. 333 (1984).
49 See SECTION OF ADMINISTRATIVE LAW AND REGULATORY
PRACTICE OF THE AMERICAN BAR ASSOCIATION, A BLACKLETTER
STATEMENT OF FEDERAL ADMINISTRATIVE LAW 29 (2004). For an
argument that all of substantive scope-of-review doctrine
can—and should—be compressed into a reasonableness
requirement, see David Zaring, Reasonable Agencies, 96
VA. L. REV. 135 (2010).
50 See Industrial Union Department, AFL–CIO v.
American Petroleum Institute, 448 U.S. 607, 642 (1980).
51 See Citizens to Preserve Overton Park, Inc. v. Volpe,
401 U.S. 402, 411, 416 (1971).
52 ICC v. Louisville and Nashville Railroad Co., 227 U.S.
88, 92 (1913).
53 See American Paper Institute, Inc. v. American Electric
Power Service Corp., 461 U.S. 402, 412 n.7 (1983);
Association of Data Processing Service Organizations, Inc.
v. Board of Governors of Federal Reserve System, 745 F.2d
677, 683 (D.C.Cir. 1984).
54 Dickinson v. Zurko, 527 U.S. 150, 160–61 (1999).
55 See id. at 157; ICC v. Union Pacific Railroad Co., 222
U.S. 541, 548 (1912); E. Blythe Stason, “Substantial
Evidence” in Administrative Law, 89 U. PA. L. REV. 1026,
1026–29 (1941); Robert L. Stern, Review of Findings of
Administrators, Judges and Juries: A Comparative Analysis,
58 HARV. L. REV. 70, 75–76 (1944).
56 Consolidated Edison Co. of New York, Inc. v. NLRB,
305 U.S. 197, 229 (1938).
57 340 U.S. 474 (1951).
58 See id. at 487–90; see Attorney General’s Manual on
the Administrative Procedure Act 110 (1947), reprinted in
WILLIAM F. FUNK, et al., FEDERAL ADMINISTRATIVE PROCEDURE
SOURCEBOOK 39–176 (4th ed. 2008).
59 Allentown Mack Sales and Service, Inc. v. NLRB, 522
U.S. 359, 377 (1998); see Dickinson, 527 U.S. at 162. The
Supreme Court regards the reasonableness review of the
substantial evidence standard as more deferential to
administrative factual findings than the “clearly erroneous”
standard that federal appellate courts apply to a district
judge’s findings. Dickinson, 527 U.S. at 162. The Supreme
Court has defined the clearly erroneous standard as asking
whether an appellate court has a “definite and firm
conviction” that a trial judge’s factual finding is mistaken.
United States v. United States Gypsum Co., 333 U.S. 364,
395 (1948).
60 Universal Camera, 340 U.S. at 490.
61 Id. at 496; see Attorney General’s Manual, supra note
58, at 84; see, e.g., Penasquitos Village, Inc. v. NLRB, 565
F.2d 1074, 1078–80 (9th Cir. 1977).
62 See Universal Camera, 340 U.S. at 492–97.
63 See Patricia M. Wald, Some Thoughts on Beginnings
and Ends: Court of Appeals Review of Administrative Law
Judges’ Findings and Opinions, 67 WASH. U. L.Q. 661, 666
(1989); see, e.g., ITT Continental Baking Co. v. FTC, 532
F.2d 207, 219 (2d Cir. 1976).
64 Allentown Mack, 522 U.S. at 374.
65 LOUIS L. JAFFE, JUDICIAL CONTROL OF ADMINISTRATIVE
ACTION 601 (1965).
66 American Paper Institute, Inc. v. American Electric
Power Service Corp., 461 U.S. 402, 412 n.7 (1983).
67 See Attorney General’s Manual on the Administrative
Procedure Act, supra note 58, at 109.
68 Id.
69 745 F.2d 677 (D.C.Cir. 1984).
70 Id. at 683.
71 Id. at 683–84.
72 See Stason, Substantial Evidence, supra note 55, at
1026.
73 See McGregor Printing Corp. v. Kemp, 20 F.3d 1188,
1194 (D.C.Cir. 1994).
74 See Data Processing, 745 F.2d at 683–84.
75 Central States Enterprises, Inc. v. ICC, 780 F.2d 664,
674 n.10 (7th Cir. 1985).
76 See, e.g., GTE South, Inc. v. Morrison, 199 F.3d 733,
745 n.5 (4th Cir. 1999) (“With respect to review of
factfindings, there is no meaningful difference between [the
arbitrary-or-capricious] standard and the substantial
evidence standard.”); Central States Enterprises, 780 F.2d
at 674 n.10 (“[T]he difference between the arbitrary and
capricious standard of review and the substantial evidence
standard of review is primarily a semantic distinction.…”).
77 See, e.g., Corrosion Proof Fittings v. EPA, 947 F.2d
1201, 1213–14 (5th Cir. 1991).
78 Dickinson v. Zurko, 527 U.S. 150, 158 (1999). The
Second Circuit similarly noted the Data Processing position
without deciding whether to adopt it. Browning-Ferris
Industries of South Jersey, Inc. v. Muszynski, 899 F.2d 151,
194 (2d Cir. 1990).
79 For a partial listing of such enabling acts, see Matthew
J. McGrath, Note, Convergence of the Substantial Evidence
and Arbitrary and Capricious Standards of Review During
Informal Rulemaking, 54 GEO. WASH. L. REV. 541, 542 n.5
(1986).
80 Aqua Slide ‘N’ Dive Corp. v. CPSC, 569 F.2d 831, 837
(5th Cir. 1978); see AFL–CIO v. OSHA, 965 F.2d 962, 970
(11th Cir. 1992); Corrosion Proof Fittings, 947 F.2d at
1213–14.
81 Aircraft Owners & Pilots Ass’n v. FAA, 600 F.2d 965,
969 (D.C.Cir. 1979); see also Industrial Union Dep’t, AFL–
CIO v. Hodgson, 499 F.2d 467, 469–70 (D.C.Cir. 1974)
(describing the “anomaly” of exercising substantial
evidence review over administrative factfinding in an
informal proceeding).
82 Data Processing, 745 F.2d at 686.
83 Universal Camera, 340 U.S. at 487, 489.
84 See, e.g., AFL–CIO, 965 F.2d at 970; Corrosion Proof
Fittings, 947 F.2d at 1213–14; Aqua Slide ‘N’ Dive, 569 F.2d
at 837.
85 See Pittston Stevedoring Corp. v. Dellaventura, 544
F.2d 35, 49 n.15 (2d Cir. 1976), aff’d sub nom., Northeast
Marine Terminal Co. v. Caputo, 432 U.S. 249 (1977).
86 5 U.S. (1 Cranch) 137, 177 (1803).
87 See United States v. Vowell, 9 U.S. (5 Cranch) 368, 372
(1810).
88 See, e.g., Packard Motor Car Co. v. NLRB, 330 U.S.
485, 493 (1947).
89 See, e.g., NLRB v. United Food & Commercial Workers
Union, Local 23, AFL–CIO, 484 U.S. 112, 123 (1987).
90 322 U.S. 111 (1944).
91 Id. at 130–31.
92 323 U.S. 134 (1944).
93 Id. at 139–40.
94 Id. at 140.
95 Volkswagenwerk Aktiengesellschaft v. FMC, 390 U.S.
261, 272 (1968).
96 See BATF v. FLRA, 464 U.S. 89, 98 n.8 (1983).
97 See Robert L. Stern, Review of Findings of
Administrators, Judges and Juries: A Comparative Analysis,
58 HARV. L. REV. 70, 106–09 (1944).
98 See Zuber v. Allen, 396 U.S. 168, 192 (1969)
(administrative interpretation was “only one input in the
interpretational equation”).
99 See, e.g., SEC v. Sloan, 436 U.S. 103, 117–23 (1978);
Volkswagenwerk, 390 U.S. at 272–78.
100 Skidmore, 323 U.S. at 140; see also University of
Texas Southwestern Medical Center v. Nassar, ___ U.S. ___,
133 S.Ct. 2517, 2533 (2013) (“[T]he persuasive force [of an
agency’s explanation] is a necessary precondition to
deference under Skidmore.”).
101 See Thomas W. Merrill, Judicial Deference to
Executive Precedent, 101 YALE L.J. 969, 973–74 (1992).
102 This discussion of the factors traditionally influencing
the weight of an administrative interpretation under
Skidmore deference is drawn from Stephen Breyer, Judicial
Review of Questions of Law and Policy, 38 ADMIN. L. REV.
363, 365–72 (1986); Merrill, Judicial Deference, supra note
101, at 972–75; David R. Woodward & Ronald M. Levin, In
Defense of Deference: Judicial Review of Agency Action, 31
ADMIN. L. REV. 329, 333–35 (1979).
103 See Merrill, Judicial Deference, supra note 101, at
972.
104 See Woodward & Levin, Defense of Deference, supra
note 102, at 336.
105 467 U.S. 837 (1984).
106 It is not clear whether the Chevron Court intended the
revolution it ignited. See Robert V. Percival, Environmental
Law in the Supreme Court: Highlights from the Marshall
Papers, 23 ENVTL. L. REP. 10,606, 10,613 (1993) (noting
with “surprise” “the absence of any evidence in [Justice
Marshall’s Papers] indicating that the Justices realized the
full implications” of the Chevron opinion); see also Gary
Lawson & Stephen Kam, Making Law Out of Nothing at All:
The Origins of the Chevron Doctrine, 65 ADMIN. L. REV. 1
(2013); Thomas W. Merrill & Kristin E. Hickman, Chevron’s
Domain, 89 GEO. L.J. 833, 838 (2001); Cass R. Sunstein,
Chevron Step Zero, 92 VA. L. REV. 187, 188 & n.2 (2006).
107 Thomas W. Merrill, The Mead Doctrine: Rules and
Standards, Meta-Rules and Meta-Standards, 54 ADMIN. L.
REV. 807, 809 (2002) (quoting Marbury v. Madison, 5 U.S.
(1 Cranch) 137, 177 (1803).
108 See Packard Motor Car Co. v. NLRB, 330 U.S. 485,
493 (1947).
109 See Chevron, 467 U.S. at 839–40.
110 See NRDC v. Gorsuch, 685 F.2d 718, 720 & n.6, 725–
28 (D.C.Cir. 1982).
111 See Chevron, 467 U.S. at 840–45.
112 See id. In Entergy Corp. v. Riverkeeper, Inc., the
Supreme Court recently hinted that Chevron Step One
might be subsumed in Step Two. The justices wrote,
“[S]urely if Congress has directly spoken to an issue then
any agency interpretation contradicting what Congress has
said would be unreasonable.” 556 U.S. 208, 218 n.4 (2009).
At least some commentators believe that Chevron should
be applied in one step, inquiring simply whether the
administrative interpretation was reasonable. See Matthew
C. Stephenson & Adrian Vermeule, Chevron Has Only One
Step, 95 VA. L. REV. 597 (2009).
113 Kenneth A. Bamberger & Peter L. Strauss, Chevron’s
Two Steps, 95 VA. L. REV. 611, 616 (2009); see National
Cable & Telecommunications Ass’n v. Brand X Internet
Services, 545 U.S. 967, 982–83 (2005).
114 Chevron, 467 U.S. at 843 n.9.
115 Merrill, Judicial Deference, supra note 101, at 977. At
the Court’s conference on Chevron, Justice Stevens said
that “ ‘[w]hen I am so confused [about the meaning of a
statutory term], I go with the Agency.’ ” Robert V. Percival,
Environmental Law in the Supreme Court: Highlights from
the Blackmun Papers, 35 ENVTL. L. REP. 10, 637, 10,644
(2005). Professor Peter Strauss has argued that use of the
word “deference” is something of a misnomer for both the
Chevron and Skidmore methodologies, and that the
confusion generated by a comparison between Chevron and
Skidmore might be reduced if we adopt a different
shorthand description of each methodology. Peter L.
Strauss, “Deference” Is Too Confusing—Let’s Call Them
“Chevron Space” and “Skidmore Weight,” 112 COLUM. L.
REV. 1143 (2012).
116 See National Cable & Telecommunications Ass’n v.
Brand X Internet Services, 545 U.S. 967, 983 (2005).
117 Sunstein, Law and Administration, supra note 107, at
2119.
118 See Chevron, 467 U.S. at 843–44; see also City of
Arlington, Texas v. FCC, ___ U.S. ___, 133 S.Ct. 1863, 1868
(2013) (quoting Smiley v. Citibank (South Dakota), N. A.,
517 U.S. 735, 740–741 (1996)) (“Chevron is rooted in a
background presumption of congressional intent: namely,
‘that Congress, when it left ambiguity in a statute’
administered by an agency, ‘understood that the ambiguity
would be resolved, first and foremost, by the agency, and
desired the agency (rather than the courts) to possess
whatever degree of discretion the ambiguity allows.’ ”).
119 See Chevron, 467 U.S. at 864–66; see also Pauley v.
Bethenergy Mines, Inc., 501 U.S. 680, 696 (1991) (“Judicial
deference to an agency’s interpretation of ambiguous
provisions of the statutes it is authorized to implement
reflects the sensitivity to the proper roles of the political
and judicial branches.”).
120 One commentator recently offered a non-exclusive list
of ten reasons why the Court should overrule Chevron. See
Jack M. Beermann, End the Failed Chevron Experiment
Now: How Chevron Has Failed and Why It Can and Should
Be Overruled, 42 CONN. L. REV. 779, 782–84 (2010).
121 See Marbury v. Madison, 5 U.S. (1 Cranch) 137, 177
(1803).
122 For an elaboration of the apparent inconsistency
between Chevron and section 706 of the APA, see John F.
Duffy, Administrative Common Law in Judicial Review, 77
TEX. L. REV. 113, 193–99 (1998).
123 See Henry P. Monaghan, Marbury and the
Administrative State, 83 COLUM. L. REV. 1, 25–28 (1983).
124 Merrill, Judicial Deference, supra note 103, at 998
(1992); see also Cass R. Sunstein, Beyond Marbury: The
Executive’s Power To Say What the Law Is, 115 YALE L.J.
2580, 2589–91 (2006). Even Justice Antonin Scalia, the
staunchest champion of Chevron on the high Court, has
conceded that the Chevron presumption is a fiction. See
Antonin Scalia, Judicial Deference to Administrative
Interpretations of Law, 1989 DUKE L.J. 511, 517.
125 Chevron, 467 U.S. at 865.
126 See, e.g., Richard J. Pierce, Jr., Chevron and its
Aftermath: Judicial Review of Agency Interpretations of
Statutory Provisions, 41 VAND. L. REV. 301, 304–05, 308
(1988); Kenneth W. Starr, Judicial Review in the Post-
Chevron Era, 3 YALE J. ON REG. 283, 308–09 (1986).
127 Pierce, Chevron and its Aftermath, supra note 126, at
313. On the political accountability of administrative
agencies, see Jerry L. Mashaw, Prodelegation: Why
Administrators Should Make Political Decisions, 1 J. L.
ECON. & ORG. 81 (1985).
128 City of Arlington, Texas v. FCC, ___ U.S. ___, 133 S.Ct.
1863, 1868 (2013).
129 See Starr, Judicial Review, supra note 126, at 307–09;
see also Pauley, 501 U.S. at 696 (“Judicial deference to an
agency’s interpretation of ambiguous provisions of the
statutes it is authorized to implement reflects the
sensitivity to the proper roles of the political and judicial
branches.”).
130 Regarding Chevron, the Court has observed, “No
matter how it is framed, the question a court faces when
confronted with an agency’s interpretation of a statute it
administers is always, simply, whether the agency has
stayed within the bounds of its statutory authority.” City of
Arlington, Texas v. FCC, ___ U.S. ___, 133 S.Ct. 1863, 1868
(2013).
131 See Cynthia R. Farina, Statutory Interpretation and
the Balance of Power in the Administrative State, 89
COLUM. L. REV. 452, 499–526 (1989); Jonathan T. Molot, The
Judicial Perspective in the Administrative State:
Reconciling Modern Doctrines of Deference with the
Judiciary’s Structural Role, 53 STAN. L. REV. 1, 68–99
(2000).
132 Peter H. Schuck & E. Donald Elliott, To the Chevron
Station: An Empirical Study of Federal Administrative Law,
1990 DUKE L.J. 984.
133 Linda R. Cohen & Matthew L. Spitzer, Solving the
Chevron Puzzle, 57 LAW & CONTEMP. PROBS. 65 (1994).
134 Sidney A. Shapiro & Richard E. Levy, Judicial
Incentives and Indeterminacy in Substantive Review of
Administrative Decisions, 44 DUKE L.J. 1051, 1070 (1995);
see also William N. Eskridge, Jr. & Lauren E. Baer, The
Continuum of Deference: Supreme Court Treatment of
Agency Statutory Interpretations from Chevron to Hamdan,
96 GEO. L.J. 1083, 1090 (2008) (“Based upon our data, we
conclude that there has not been a Chevron ‘revolution’ at
the Supreme Court level.”).
135 Orin S. Kerr, Shedding Light on Chevron: An
Empirical Study of the Chevron Doctrine in the U.S. Courts
of Appeals, 15 YALE J. ON REG. 1, 30 (1998).
136 The term “step zero” was coined by Thomas W. Merrill
and Kristin E. Hickman in Chevron’s Domain, supra note
106.
137 See Pauley v. Bethenergy Mines, Inc., 501 U.S. 680,
702 (1991) (“[agency’s] interpretation need not be the best
or most natural one”).
138 Chevron, 467 U.S. at 842–43.
139 Id. at 843 n.9; see NLRB v. United Food & Commercial
Workers Union, Local 23, AFL–CIO, 484 U.S. 112, 123
(1987).
140 See Rapanos v. United States, 547 U.S. 715, 739
(2006).
141 Gonzales v. Oregon, 546 U.S. 243, 258 (2006).
142 FDA v. Brown & Williamson Tobacco Corp., 529 U.S.
120, 132 (2000); see also Zuni Public School Dist. No. 89 v.
Department of Education, 550 U.S. 81, 98 (2007) (Statutory
“ambiguity is a creature not [just] of definitional
possibilities but [also] of statutory context.”) (alterations in
original) (quoting Brown v. Gardner, 513 U.S. 115, 118
(1994)) (internal quotation marks omitted).
143 See, e.g., Zuni Public School Dist., 550 U.S. at 89–100;
Ragsdale v. Wolverine World Wide, Inc., 535 U.S. 81, 86
(2002); Brown & Williamson, 529 U.S. at 133; Maislin
Industries, U.S., Inc. v. Primary Steel, Inc., 497 U.S. 116,
131 (1990).
144 Chevron, 467 U.S. at 843 n.9.
145 See, e.g., Verizon Communications Inc. v. FCC, 535
U.S. 467, 498 (2002).
146 See, e.g., Zuni Public School Dist., 550 U.S. at 94; MCI
Telecommunications Corp. v. American Telephone &
Telegraph Co., 512 U.S. 218, 225–28 (1994). The Supreme
Court’s reliance on dictionary definitions to interpret
contested statutory language has spiked in recent years, as
at least some justices have eschewed legislative history in
favor of a textualist approach to statutory interpretation.
See Note, Looking It Up: Dictionaries and Statutory
Interpretation, 107 HARV. L. REV. 1437 (1994).
147 See, e.g., Verizon, 535 U.S. at 498–99.
148 See, e.g., Solid Waste Agency of Northern Cook
County v. U.S. Army Corps of Engineers, 531 U.S. 159, 172–
73 (2001); National Credit Union Administration v. First
National Bank & Trust Co., 522 U.S. 479, 501–02 (1998).
For a discussion of the application of canons of statutory
interpretation at Chevron Step One, see SECTION OF
ADMINISTRATIVE LAW AND REGULATORY PRACTICE OF AMERICAN
BAR ASSOCIATION, A GUIDE TO JUDICIAL AND POLITICAL REVIEW OF
FEDERAL AGENCIES 68–81 (John F. Duffy & Michael Herz,
eds., 2005); Sunstein, Law and Administration, supra note
107, at 2105–19.
149 See Brown & Williamson, 529 U.S. at 133.
150 See id. at 133, 159–61; MCI, 512 U.S. at 231. For the
suggestion that these Step One decisions may have sown
the seeds of a “major question” exception to Chevron, see
Merrill & Hickman, Chevron’s Domain, supra note 107, at
844–45; Sunstein, Chevron Step Zero, supra note 107, at
236–47.
151 Chevron, 467 U.S. at 842–43; see, e.g., Brown &
Williamson, 529 U.S. 120.
152 See, e.g., Dole v. United Steelworkers of America, 494
U.S. 26, 43–44 (1990) (White, J., dissenting); Ronald M.
Levin, Mead and the Prospective Exercise of Discretion, 54
ADMIN. L. REV. 771, 779 (2002); Shapiro & Levy, Judicial
Incentives, supra note 134, at 1070.
153 Chevron, 467 U.S. at 843.
154 See, e.g., Astrue v. Capato, ___ U.S. ___, 132 S.Ct.
2021, 2033 (2012); National Railroad Passenger Corp. v.
Boston and Maine Corp., 503 U.S. 407, 417–18 (1992);
Chevron, 467 U.S. at 840, 844, 845.
155 Entergy Corp. v. Riverkeeper, Inc., 556 U.S. 208, 218
(2009); see also Holder v. Martinez Gutierrez, ___ U.S. ___,
132 S.Ct. 2011, 2017 (2012) (An administrative
interpretation prevails at Step Two “if it is a reasonable
construction of the statute, whether or not it is the only
possible interpretation or even the one a court might think
best.”).
156 See MCI, 512 U.S. at 229; see also Natural Resources
Defense Council, Inc. v. Daley, 209 F.3d 747, 753 (D.C.Cir.
2000) (“[A] court will not uphold [an agency’s]
interpretation that diverges from any realistic meaning of
the statute.”) (quoting Massachusetts v. U.S. Dep’t of
Transportation, 93 F.3d 890, 893 (D.C.Cir. 1996)) (internal
quotation marks omitted).
157 Chevron, 467 U.S. at 843 n.9.
158 515 U.S. 687, 696–708 (1995); see also Republican
National Committee v. FEC, 76 F.3d 400, 406 (D.C.Cir.
1996) (At Step Two reviewing courts “ask whether the
[agency’s] interpretation … is reasonable in light of the
language, legislative history, and policies of the statute.”)
(quoting Natural Resources Defense Council, Inc. v. EPA,
822 F.2d 104, 111 (D.C.Cir. 1987)).
159 Verizon, 535 U.S. at 501.
160 See Kerr, Shedding Light on Chevron, supra note 135,
at 47 (citing results of empirical study conducted by
author).
161 525 U.S. 366 (1999).
162 Id. at 371–73.
163 Id. at 388–89.
164 Id. at 387–92; compare Republican National
Committee, 76 F.3d at 406 (upholding administrative
interpretation at Step Two because the statutory text and
the legislative history provided “no basis for questioning
the reasonableness” of the interpretation and because the
interpretation furthered the purposes of the statute).
165 See, e.g., South Coast Air Quality Management
District v. EPA, 554 F.3d 1076, 1080 (D.C.Cir. 2009); Sierra
Club v. Leavitt, 368 F.3d 1300, 1304 (11th Cir. 2004);
Madison Gas & Elec. Co. v. EPA, 25 F.3d 526, 529 (7th Cir.
1994).
166 See ABA GUIDE TO JUDICIAL AND POLITICAL REVIEW, supra
note 148, at 96–102; Ronald M. Levin, The Anatomy of
Chevron: Step Two Reconsidered, 72 CHI.–KENT L. REV.
1253 (1997); Mark Seidenfeld, A Syncopated Chevron:
Emphasizing Reasoned Decisionmaking in Reviewing
Agency Interpretations of Statutes, 73 TEX. L. REV. 83
(1994); cf. Molot, Judicial Perspective, supra note 131, at
92–94 (noting problems with arbitrary-or-capricious review
at Step Two).
167 70 F.3d 610 (D.C.Cir. 1995).
168 Id. at 615–16; see also Texas Office of Public Utility
Counsel v. FCC, 183 F.3d 393, 410 (5th Cir. 1999) (“
‘Arbitrary and capricious’ review under the APA differs
from Chevron step-two review, because it focuses on the
reasonability of the agency’s decision-making processes
rather than on the reasonability of its interpretation.”);
Continental Air Lines, Inc. v. Dep’t of Transp., 843 F.2d
1444, 1452 (D.C.Cir. 1988) (“[I]nterpreting a statute is
quite a different enterprise than policymaking.… [M]uch of
the ‘arbitrary and capricious’ style analysis concerned with
reasoned agency decisionmaking … cannot be applied
directly to the question of whether an agency’s
interpretation of a statute is ‘contrary to law.’ It would be
inappropriate, therefore, to import wholesale that body of
law and apply it in a conceptually distinct arena.”).
169 United States v. Riverside Bayview Homes, Inc. 474
U.S. 121, 131 (1985); see also National Ass’n of Home
Builders v. Defenders of Wildlife, 551 U.S. 644, 666 (2007)
(upholding administrative interpretation at Step Two as
“reasonable in light of the statute’s text and the overall
statutory scheme”); Barnhart v. Thomas, 540 U.S. 20, 26–29
(2003) (using statutory interpretation rather than arbitrary-
or-capricious review at Chevron Step Two).
170 See Judulang v. Holder, ___ U.S. ___, 132 S.Ct. 476,
483 n.7 (2011) (internal quotation marks and citations
omitted) (“[O]ur analysis [under Chevron Step Two and
arbitrary-or-capricious review is] the same, because under
Chevron step two, we ask whether an agency interpretation
is arbitrary or capricious in substance.”); Mayo Foundation
for Medical Educ. & Research v. United States, ___ U.S. ___,
131 S.Ct. 704, 711 (2011) (internal quotation marks and
citations omitted) (Under “Chevron step two … we may not
disturb an agency rule unless it is arbitrary or capricious in
substance, or manifestly contrary to the statute.”).
171 ___ U.S. ___, 132 S.Ct. 476, 483 n.7 (2011).
172 Chevron, 467 U.S. at 842.
173 Adams Fruit Co. v. Barrett, 494 U.S. 638, 649 (1990).
174 Leading explorations of the limited applicability of
Chevron include Merrill & Hickman, Chevron’s Domain,
supra note 106; Sunstein, Chevron Step Zero, supra note
106.
175 See, e.g., Gulf Power Co. v. FCC, 208 F.3d 1263, 1271
(11th Cir. 2000); Rural Telephone Coalition v. FCC, 838 F.2d
1307, 1313 (D.C.Cir. 1988).
176 Reno v. Bossier Parish School Bd., 528 U.S. 320, 336
n.5 (2000); see Negusie v. Holder, 555 U.S. 511, 516–24
(2009) (independently reviewing and reversing an agency’s
interpretation of a Supreme Court opinion interpreting the
agency’s enabling act, and remanding to the agency to
reinterpret the enabling act); see also Jicarilla Apache
Tribe v. FERC, 578 F.2d 289, 292–93 (10th Cir. 1978)
(declining to defer to an agency interpretation based on
common law principles). In National Cable &
Telecommunications Association v. Brand X Internet
Services, 545 U.S. 967 (2005), however, the Court held that
Chevron applies where an agency’s interpretation of
ambiguous terms in its enabling act deviates from a prior
judicial interpretation. This is so, the Court reasoned,
because Chevron vests agencies, not reviewing courts, with
primary interpretive authority over ambiguities in the
statutes they administer. By contrast, the Court in National
Cable held, prior judicial interpretations of the
unambiguous terms of enabling acts block agencies from
adopting a contrary interpretation. This is because
unambiguous terms in enabling acts are capable of only
one correct interpretation. Id. at 982–86; cf. United States
v. Home Concrete & Supply, LLC, ___ U.S. ___, 132 S.Ct.
1836 (2012) (plurality opinion) (holding that an agency was
bound by a Supreme Court interpretation of an ambiguous
statutory provision because the decision was 30 years
before Chevron and thus “[t]here [was] no reason to
believe that the linguistic ambiguity noted by [the Court in
the earlier decision] reflect[ed] a post-Chevron conclusion
that Congress had delegated gap-filling power to the
agency”).
177 Adams Fruit, 494 U.S. at 649.
178 See, e.g., Metropolitan Stevedore Co. v. Rambo, 521
U.S. 121, 137 n.9 (1997) (Chevron does not apply to
administrative interpretations of the APA); Bowen v.
American Hospital Ass’n, 476 U.S. 610, 642 n.30 (1986)
(plurality opinion) (Chevron does not apply to
administrative interpretation of the Rehabilitation Act); cf.
Chemical Waste Management, Inc. v EPA, 873 F.2d 1477
(D.C.Cir. 1989) (applying Chevron to agency decision that a
hearing provision in its enabling act did not trigger the
formal adjudication requirements of the APA).
179Metropolitan Stevedore Co., 521 U.S. at 137 n.9;
Bowen, 476 U.S. at 642 n.30.
180 See Bragdon v. Abbott, 524 U.S. 624, 642 (1998).
181 Rapaport v. United States Dep’t of Treasury, Office of
Thrift Supervision, 59 F.3d 212, 216–17 (D.C.Cir. 1995)
(holding Chevron inapplicable “because that agency shares
responsibility for the administration of the statute with at
least three other agencies”).
182 Martin v. Occupational Safety & Health Review
Comm’n, 499 U.S. 144, 156 (1991); see Bowen, 488 U.S. at
212–13. The Court, however, has applied Chevron to an
administrative interpretation announced after notice-and-
comment rulemaking that was “prompted by litigation.”
Smiley v. Citibank, 517 U.S. 735, 741 (1996).
183 See Dominion Energy Brayton Point, LLC v. Johnson,
443 F.3d 12, 15–19 (1st Cir. 2006); Chemical Waste
Management, Inc. v. EPA, 873 F.2d 1477, 1480 (D.C.Cir.
1989).
184 See Melissa M. Berry, Beyond Chevron’s Domain:
Agency Interpretations of Statutory Procedural Provisions,
30 SEATTLE U. L. REV. 541, 584–94 (2007); William S. Jordan,
III, Chevron and Hearing Rights: An Unintended
Combination, 61 ADMIN. L. REV. 249, 283–89 (2009).
185 ___ U.S. ___, 133 S.Ct. 1863, 1868 (2013).
186 533 U.S. 218 (2001).
187 Id. at 226–27.
188 Id. at 221, 226–27; see Skidmore v. Swift & Co., 323
U.S. 134 (1944). For a discussion of how courts have
deployed the Skidmore factors after Mead, see Kristin E.
Hickman & Matthew D. Krueger, In Search of the Modern
Skidmore Standard, 107 COLUM. L. REV. 1235 (2007).
189 Adams Fruit, 494 U.S. at 649; see Chevron, 467 U.S.
at 842.
190 See Merrill & Hickman, Chevron’s Domain, supra note
106, at 874–82.
191 Mead, 533 U.S. at 227–28, 236.
192 499 U.S. 244 (1991).
193 Id. at 256–57.
194 529 U.S. 576 (2000).
195 Id. at 587; see also Reno v. Koray, 515 U.S. 50, 61
(1995) (internal agency guideline not subject to the
“rigors” of the notice-and-comment process of the
Administrative Procedure Act is entitled only to “some
deference”); Martin v. Occupational Safety & Health
Review Comm’n, 499 U.S. 144, 157 (1991) (interpretative
rules and enforcement guidelines are “entitled to some
weight on judicial review,” but not to “the same deference
as norms that derive from the exercise of the [agency’s]
delegated lawmaking powers”).
196 Mead, 533 U.S. at 222, 227, 230, 232.
197 See id. at 231–32.
198 See id. at 223–24, 233. The enabling act required
Customs to follow notice-and-comment procedures only
when revoking or modifying a tariff-classification ruling. Id.
at 234.
199 This is the definition that distinguishes legislative
rules, which require notice and comment, from guidance
documents, which do not (see § 6.5(a)–(b)).
200 For an exploration of Mead’s force-of-law criterion,
see Kristin E. Hickman, Unpacking the Force of Law, 66
VAND. L. REV. 465 (2013).
201 For an argument that the Court should adopt the
conventional meaning of “force of law” for Chevron
purposes, see Merrill, Mead Doctrine, supra note 107, at
827–33.
202 Mead, 533 U.S. at 227, 229.
203 Id. at 227; see Christensen, 529 U.S. at 587; see also
Martin, 499 U.S. at 157 (administrative interpretations in
notice-and-comment rulemaking and in adjudication are
“exercise[s] of delegated lawmaking powers”). The Mead
Court noted, “[T]he overwhelming number of our cases
applying Chevron deference have reviewed the fruits of
notice-and-comment rulemaking or formal adjudication.”
Mead, 533 U.S. at 230.
204 Mead, 533 U.S. at 227, 230; see also Edelman v.
Lynchburg College, 535 U.S. 106, 114 (2002) (“deference
under Chevron … does not necessarily require an agency’s
exercise of express notice-and-comment rulemaking
power”).
205 Merrill & Hickman, Chevron’s Domain, supra note
106, at 884–88; Sunstein, Chevron Step Zero, supra note
106, at 225–26.
206 Sunstein, Chevron Step Zero, supra note 106, at 225.
For an argument against relying on the administrative
process underlying an agency’s interpretation when
determining whether the interpretation carries the force of
law, see, Levin, Mead, supra note 152, at 787–98.
207 See Mead, 533 U.S. at 231.
208 See id. at 233; cf. id. at 232 (“precedential value alone
does not add up to Chevron entitlement”).
209 See FEC v. National Rifle Association of America, 254
F.3d 173, 185–86 (D.C.Cir. 2001) (post-Mead decision
applying Chevron to agency action reflecting the
“considered judgment” of the agency exercised “pursuant
to congressionally delegated lawmaking power” and having
“binding legal effect”).
210 See Mead, 533 U.S. at 233–34.
211 See Lisa Schultz Bressman, How Mead Has Muddled
Judicial Review of Agency Action, 58 VAND. L. REV. 1443,
1444, 1457–74 (2005).
212 See, e.g., Astrue v. Capato, ___ U.S. ___, 132 S.Ct.
2021, 2033–34 (2012) (applying Chevron deference to
agency interpretation in notice-and-comment rulemaking);
Federal Express Corp. v. Holowecki, 552 U.S. 389, 395
(2008) (“when an agency invokes its [statutory] authority to
issue regulations, which then interpret ambiguous
statutory terms,” Chevron applies); SEC v. Zandford, 535
U.S. 813, 819–20 (2002) (applying Chevron deference to
agency interpretation in formal adjudication).
213 See, e.g., Mylan Laboratories, Inc. v. Thompson, 389
F.3d 1272, 1279–80 (D.C.Cir. 2004); Davis v. EPA, 336 F.3d
965, 972 n.5 (9th Cir. 2003); Wilderness Society v. U.S. Fish
& Wildlife Service, 316 F.3d 913, 921–22 (9th Cir. 2003).
214 See Mead, 533 U.S. at 230.
215 See id. at 232, 234; Christensen, 529 U.S. at 587.
216 535 U.S. 212, 222 (2002).
217 Id. at 222.
218 Clackamas Gastroenterology Associates, P.C. v. Wells,
538 U.S. 440, 449 n.9 (2003) (quoting Christensen, 529 U.S.
at 587) (internal quotation marks omitted); see also Wyeth
v. Levine, 555 U.S. 555 (2009); Federal Express Corp. v.
Holowecki, 552 U.S. 389, 399 (2008) (applying Skidmore
rather than Chevron deference to policy statements and
interpretive statements in an agency’s compliance manual
and internal directives); Washington State Dep’t of Social &
Health Services v. Guardianship Estate of Keffeler, 537 U.S.
371, 385–86 (2003) (agency interpretation in guidance
documents issued without notice and comment entitled to
Skidmore deference). Walton, however, has prompted at
least several courts of appeals to give Chevron deference to
administrative guidance documents as they deem
appropriate. See, e.g., Kruse v. Wells Fargo Home
Mortgage, Inc., 383 F.3d 49, 58–61 (2d Cir. 2004); Schuetz
v. Banc One Mortgage Corp., 292 F.3d 1004, 1012 (9th Cir.
2002).
219 See, e.g., Udall v. Tallman, 380 U.S. 1, 16 (1965)
(“When the construction of an administrative regulation
rather than a statute is in issue, deference is even more
clearly in order.”).
220 325 U.S. 410, 414 (1945).
221Martin v. Occupational Safety & Health Review
Comm’n, 499 U.S. 144, 151–53 (1991).
222 See Auer v. Robbins, 519 U.S. 452, 461–63 (1997).
223 See, e.g., Federal Express Corp. v. Holowecki, 552
U.S. 389, 397 (2008) (“Just as we defer to an agency’s
reasonable interpretations of the statute when it issues
regulations in the first instance [citing Chevron], the
agency is entitled to further deference when it adopts a
reasonable interpretation of regulations it has put in force
[citing Auer].”); Stinson v. United States, 508 U.S. 36, 44–
45 (1993).
224 Decker v Northwest Environmental Defense Center,
___ U.S. ___, 133 S.Ct. 1326, 1339 (2013) (Scalia, J.,
concurring in part and dissenting in part) (“In practice,
Auer deference is Chevron deference applied to regulations
rather than statutes.”).
225 Christensen v. Harris County, 529 U.S. 576, 588
(2000).
226 See C.F. Communications Corp. v. FCC, 128 F.3d 735,
738 (D.C.Cir. 1997); Paradissiotis v. Rubin, 171 F.3d 983,
987 (5th Cir. 1999).
227 See, e.g., Decker, 133 S.Ct. at 1331 (according Auer
deference to an agency’s “reasonable interpretation of its
own regulation”); Martin, 499 U.S. at 158 (“[T]he reviewing
court should defer to the Secretary only if the Secretary’s
[rule] interpretation is reasonable.”); Ehlert v. United
States, 402 U.S. 99, 105 (1971) (Reviewing courts are
“obligated to regard as controlling a reasonable,
consistently applied administrative interpretation” of an
ambiguous agency rule.).
228 Coeur Alaska, Inc. v. Southeast Alaska Conservation
Council, 557 U.S. 261, 283–84 (2009) (An agency
memorandum, “though not subject to sufficiently formal
procedures to merit Chevron deference [citing Mead], is
entitled to [Auer] deference because it interprets the
agencies’ own regulatory scheme.”).
229 Talk America, Inc. v. Michigan Bell Telephone Co., ___
U.S. ___, 131 S.Ct. 2254, 2266 (2011) (Scalia, J.,
concurring). More recently, Chief Justice Roberts, in an
opinion joined by Justice Alito, described Auer deference as
“a basic [principle] going to the heart of administrative
law,” yet wrote that “[i]t may be appropriate to reconsider
[that principle] in an appropriate case.” Decker, 133 S.Ct.
at 1338–39 (Roberts, C.J., concurring).
230 Talk America, 131 S.Ct. at 2266 (Scalia, J.,
concurring); see also Decker, 133 S.Ct. at 1339–42 (Scalia,
J., concurring in part and dissenting in part) (elaborating on
his critique of Auer deference). For a critique of Auer
deference that apparently informed Justice Scalia’s second
thoughts, see John F. Manning, Constitutional Structure
and Judicial Deference to Agency Interpretations of Agency
Rules, 96 COLUM. L. REV. 612 (1996). For other thoughtful
critiques of Auer deference, see Kevin M. Stack,
Interpreting Regulations, 111 MICH. L. REV. 355 (2012);
Matthew C. Stephenson & Miri Pogoriler, Seminole Rock’s
Domain, 79 GEO. WASH. L. REV. 1449 (2011).
231 ___ U.S. ___, 132 S.Ct. 2156 (2012).
232 Id. at 2166–67 (quoting Auer, 519 U.S. at 462; Bowen
v. Georgetown University Hospital, 488 U.S. 204, 213
(1988)) (citations omitted).
233 Id. at 2165; see also Decker, 133 S.Ct. at 1337 (noting
the fact that there had been no “change from prior
practice” as an additional reason to accord Auer deference
to an agency’s interpretation).
234 Mayo Foundation for Medical Education & Research v.
United States, ___ U.S. ___, 131 S.Ct. 704, 172 (2011) (“We
have repeatedly held that ‘[a]gency inconsistency is not a
basis for declining to analyze the agency’s interpretation
under the Chevron framework.’ ”) (quoting National Cable
& Telecommunications Ass’n v. Brand X Internet Services,
545 U.S. 967, 981 (2005)).
235 Cf. Kristin E. Hickman & Matthew D. Krueger, In
Search of the Modern Skidmore Standard, 107 COLUM. L.
REV. 1235, 1286 (2007) (“[Since Mead] courts are willing to
accept changes in agencies’ policies so long as the agency
accompanies those shifts with procedures and reasoning
that alleviate concerns about arbitrariness and unfairness
to regulated parties.”).
236 Gonzales v. Oregon, 546 U.S. 243, 256–58 (2006).
237 See Pacific States Box & Basket Co. v. White, 296 U.S.
176, 185–86 (1935) (equating the presumptions of
regularity applying to legislative action and to
administrative action).
238 See, e.g., American Trucking Ass’ns v. United States,
344 U.S. 298, 314 (1953) (invalidation of ultimate
administration decision is proper only if the agency had “no
reasonable ground for the exercise of judgment”);
Mississippi Valley Barge Line Co. v. United States, 292 U.S.
282, 286–87 (1934) (“[J]udicial function is exhausted when
there is found to be a rational basis for the conclusions
approved by the administrative body.”).
239 Gray v. Powell, 314 U.S. 402, 413 (1941).
240 See, e.g., NLRB v. Hearst Publications, Inc., 322 U.S.
111, 130–31 (1944); Gray, 314 U.S. at 411–12.
241 332 U.S. 194 (1947).
242 Id. at 208–09 (citation omitted); see also National
Broadcasting Co. v. United States, 319 U.S. 190, 224 (1943)
(“Our duty is at an end when we find that the action of the
[agency] was based upon findings supported by evidence,
and was made pursuant to authority granted by Congress.
It is not for us to say that the [statutory standards] will be
furthered or retarded by the [agency action]. The
responsibility belongs to the Congress for the grant of valid
legislative authority and to the Commission for its
exercise.”).
243 See, e.g., Judulang v. Holder, ___ U.S. ___, 132 S.Ct.
476, 483 (2011); Motor Vehicle Manufacturers Ass’n v.
State Farm Mutual Automobile Insurance Co., 463 U.S. 29,
43 (1983); Citizens to Preserve Overton Park, Inc. v. Volpe,
401 U.S. 402, 416 (1971).
244 See State Farm, 463 U.S. at 43 n.9.
245 Calvert Cliffs’ Coordinating Committee, Inc. v. AEC,
449 F.2d 1109, 1111 (D.C.Cir. 1971).
246 See National Lime Ass’n v. EPA, 627 F.2d 416, 451
n.126 (D.C.Cir. 1980); Greater Boston Television Corp. v.
FCC, 444 F.2d 841, 851 (D.C.Cir. 1970), cert. denied, 403
U.S. 923 (1971).
247 Greater Boston, 444 F.2d at 852 (hard look review);
see Ethyl Corp. v. EPA, 541 F.2d 1, 66 (D.C.Cir.) (Bazelon,
C.J., concurring), cert. denied, 426 U.S. 941 (1976) (hybrid
rulemaking review).
248 435 U.S. 519 (1978).
249 See State Farm, 463 U.S. at 42–44; Overton Park, 401
U.S. at 416.
250 See Vermont Yankee, 435 U.S. at 549 (stating that the
focus of judicial review of agency action under the APA
should be on “the propriety” of an agency’s
“contemporaneous explanation” of its decision, as well as
on the sufficiency of “the administrative record” supporting
the agency’s decision).
251 444 F.2d 841 (D.C.Cir. 1970), cert. denied, 403 U.S.
923 (1971).
252 Id. at 850–51.
253 401 U.S. 402 (1971).
254 Id. at 416.
255 United States v. Nova Scotia Food Products Corp., 568
F.2d 240, 249 (2d Cir. 1977).
256 Overton Park, 401 U.S. at 416.
257 See Judulang v. Holder, ___ U.S. ___, 132 S.Ct. 476,
483–84 (2011) (“[C]ourts retain a role, and an important
one, in [government administration by] ensuring that
agencies have engaged in reasoned decisionmaking.”).
258 SECTION OF ADMINISTRATIVE LAW AND REGULATORY PRACTICE
OF AMERICAN BAR ASSOCIATION, A BLACKLETTER STATEMENT OF
FEDERAL ADMINISTRATIVE LAW 34 (2004).
259 Greater Boston, 444 F.2d at 851. Compare, e.g., State
Farm, 463 U.S. 29, with Baltimore Gas & Electric Co. v.
Natural Resources Defense Council, Inc., 462 U.S. 87
(1983).
260 See Federal Election Comm’n v. Rose, 806 F.2d 1081,
1089 (D.C.Cir. 1986).
261 For a fuller discussion of the decision-making flaws
that may lead to invalidation under the arbitrary-or-
capricious standard, see SECTION OF ADMINISTRATIVE LAW AND
REGULATORY PRACTICE OF AMERICAN BAR ASSOCIATION, A GUIDE
TO JUDICIAL AND POLITICAL REVIEW OF FEDERAL AGENCIES 177–95
(John F. Duffy & Michael Herz, eds., 2005).
262 State Farm, 463 U.S. at 43; see, e.g., Puerto Rico Sun
Oil Co. v. EPA, 8 F.3d 73, 78 (1st Cir. 1993).
263 Overton Park, 401 U.S. at 416; see also Judulang, 132
S.Ct. at 484 (repeating the Overton language).
264 Burlington Truck Lines, Inc. v. United States, 371 U.S.
156, 168 (1962).
265 ABA BLACKLETTER STATEMENT, supra note 258, at 35.
266 See, e.g., Judulang, 132 S.Ct. at 484 (“When
reviewing an agency action, we must assess, among other
matters, ‘whether the decision was based on a
consideration of the relevant factors.…’ ” (quoting State
Farm, 463 U.S. at 43)).
267 See, e.g., State Farm, 463 U.S. at 43; Overton Park,
401 U.S. at 416.
268 State Farm, 463 U.S. at 43; see e.g., Puerto Rico Sun
Oil Co. v. EPA, 8 F.3d 73, 77 (1st Cir. 1993) (failing to
discuss “relevant issues”); Rose, 806 F.2d at 1088.
269 City of Brookings Municipal Telephone Co. v. FCC, 822
F.2d 1153, 1169 (D.C.Cir. 1987); see, e.g., Nova Scotia, 568
F.2d at 253 (invalidating agency rule regulating the
processing of smoked fish in part because agency failed to
consider a less onerous alternative). Reviewing courts do
not require that agencies consider every conceivable
alternative to the policy choices they make. See, e.g., City
of Brookings Municipal Telephone, 822 F.2d at 1169. Nor
do courts require that an agency “solve every problem
before it in the same proceeding.” Mobil Oil Exploration &
Producing Southeast Inc. v. United Distribution Companies,
498 U.S. 211, 231 (1991).
270 See, e.g., Judulang 132 S.Ct. at 479; Rose, 806 F.2d at
1088; Industrial Union Dep’t, AFL–CIO v. Hodgson, 499
F.2d 467, 479–81, 486–88 (D.C.Cir. 1974). The adequacy of
an agency’s explanation depends on whether the reviewing
court can reasonably discern the path of the agency’s
decision-making. National Ass’n of Home Builders v.
Defenders of Wildlife, 551 U.S. 644, 658 (2007); Bowman
Transportation, Inc. v. Arkansas-Best Freight System, Inc.,
419 U.S. 281, 286 (1974). For an argument that a high-
quality explanation signals administrative confidence that
the agency’s decision will result in significant benefits, see
Matthew C. Stephenson, A Costly Signaling Theory of
“Hard Look” Judicial Review, 58 ADMIN. L. REV. 753 (2006).
271 Massachusetts v. EPA, 549 U.S. 497, 534 (2007);
Continental Air Lines, Inc. v. Dep’t of Transp., 843 F.2d
1444, 1451 (D.C.Cir. 1988).
272 City of Brookings Municipal Telephone, 822 F.2d at
1169.
273 See, e.g., State Farm, 463 U.S. at 43.
274 See id. at 42; Atchison, Topeka & Santa Fe Railway
Co. v. Wichita Bd. of Trade, 412 U.S. 800, 808 (1973).
Although judges typically review an administrative record
carefully to determine whether an agency’s change in
position was the product of reasoned decision-making, the
Supreme Court recently has held that the arbitrary-or-
capricious standard of review itself is not enhanced when a
court reviews an agency change in position. FCC v. Fox
Television Stations, Inc., 556 U.S. 502, 514–16 (2009).
Although “further justification is [not] demanded by the
mere fact of policy change,” the Court in Fox explained, “a
reasoned explanation is needed for disregarding facts and
circumstances that underlay or were engendered by the
prior policy.” Id. at 516.
275 463 U.S. 29 (1983).
276 Id. at 34–38.
277 Id. at 37–38. The passive restraint rule survived an
arbitrary-or-capricious challenge in Pacific Legal
Foundation v. Department of Transportation, 593 F.2d 1338
(D.C.Cir.), cert. denied, 444 U.S. 830 (1979).
278 State Farm, 463 U.S. at 38–39.
279 Id. at 40–42, 46 (“While the removal of a regulation
may not entail the monetary expenditures and other costs
of enacting a new standard, and accordingly, it may be
easier for an agency to justify a deregulatory action, the
direction in which an agency chooses to move does not
alter the standard of judicial review established by law.”).
280 Id. at 46–51, 55–56.
281 Id. at 51–57. The Cout has noted, however, that
“[t]here are some propositions for which scant empirical
evidence can be marshaled,” and that the arbitrary-or-
capricious standard does not obligate agencies to “obtain[ ]
the unobtainable.” Fox Television Stations, 556 U.S. at 519.
282 State Farm, 463 U.S. at 59 (Rehnquist, J., concurring
in part and dissenting in part).
283 Id. at 42. For recent commentary on the proper role of
politics in agency decision-making and the implications for
arbitrary-or-capricious review, see Mark Seidenfeld, The
Irrelevance of Politics for Arbitrary and Capricious Review,
90 WASH. U. L. REV. 141 (2012); Jodi L. Short, The Political
Turn in American Administrative Law: Power, Rationality,
and Reasons, 61 DUKE L.J. 1811 (2012); Kathryn A. Watts,
Proposing a Place For Politics in Arbitrary and Capricious
Review, 119 YALE L.J. 2 (2009).
284 See Patricia M. Wald, Judicial Review in Midpassage:
The Uneasy Partnership Between Courts and Agencies
Plays On, 32 TULSA L.J. 221, 234 (1996). For an argument
that the Supreme Court has shown little interest in
exercising hard look judicial review since State Farm, see
Michael Herz, The Rehnquist Court and Administrative
Law, 99 NW. U. L. REV. 297, 308–18 (2004).
285 See, e.g., Cass R. Sunstein, Deregulation and the
Hard-Look Doctrine, 1983 SUP. CT. REV. 177, 211–12 (hard
look judicial review provides “an important, if imperfect,
means of promoting agency fidelity to statutory norms”).
286 See Mark Seidenfeld, Demystifying Deossification:
Rethinking Recent Proposals to Modify Judicial Review of
Notice and Comment Rulemaking, 75 TEX. L. REV. 483, 501–
02 (1997); Sidney A. Shapiro & Richard E. Levy,
Heightened Scrutiny of the Fourth Branch: Separation of
Powers and the Requirement of Adequate Reasons for
Agency Decisions, 1987 DUKE L.J. 387, 412–13; Cass R.
Sunstein, In Defense of the Hard Look: Judicial Activism
and Administrative Law, 7 HARV. J.L. & PUB. POL’Y 51, 53
(1984).
287William F. Pederson, Jr., Formal Records and Informal
Rulemaking, 85 YALE L.J. 38, 60 (1975).
288 Ethyl Corp. v. EPA, 541 F.2d 1, 66 (D.C.Cir.), cert.
denied, 426 U.S. 941 (1976) (Bazelon, C.J., concurring); see,
e.g., Richard J. Pierce, Jr., Two Problems in Administrative
Law: Political Polarity on the District of Columbia Circuit
and Judicial Deterrence of Agency Rulemaking, 1988 DUKE
L.J. 300, 303–07.
289 The leading example is Thomas O. McGarity, Some
Thoughts on “Deossifying” the Rulemaking Process, 41
DUKE L.J. 1385, 1419 (1992).
290 See id. at 1419; Richard J. Pierce, Jr., Seven Ways to
Deossify Agency Rulemaking, 47 ADMIN. L. REV. 59, 60–62
(1995).
291 See, e.g., JERRY L. MASHAW & DAVID L. HARFST, THE
STRUGGLE FOR AUTO SAFETY 20–26 (1990); Stephen Breyer,
Judicial Review of Questions of Law and Policy, 38 ADMIN.
L. REV. 363, 395 (1986).
292 See, e.g., McGarity, “Deossifying” the Rulemaking
Process, supra note 289, at 1385; Pierce, Seven Ways to
Deossify Agency Rulemaking, supra note 290, at 65.
293 See, e.g., E. Donald Elliott, Re-inventing Rulemaking,
41 DUKE L.J. 1490, 1492–96 (1992).
294 See Anne Joseph O’Connell, Political Cycles of
Rulemaking: An Empirical Portrait of the Modern
Administrative State, 94 VA. L. REV. 889, 965 (2008).
295 See, e.g., Breyer, Judicial Review, supra note 291, at
391–93; McGarity, “Deossifying” the Rulemaking Process,
supra note 289, at 1419–20. For a suggestion that the
ossification claim may be overdrawn, see O’Connell,
Political Cycles of Rulemaking, supra note 294, at 964–66.
296 Attorney General’s Manual on the Administrative
Procedure Act 108 (1947), reprinted in WILLIAM F. FUNK, et
al., FEDERAL ADMINISTRATIVE PROCEDURE SOURCEBOOK 39–176
(4th ed. 2008).
297 See Telecommunications Research & Action Center v.
FCC, 750 F.2d 70, 79 (D.C.Cir. 1984).
298 542 U.S. 55 (2004).
299 Id. at 64.
300 Id. at 61–63.
301 The APA’s definition of “agency action” is discussed in
§ 7.3(a).
302 SUWA, 542 U.S. at 64–65.
303 Id. at 63–64 & n.1.
304 Id. at 66–67. For an argument that the justices’
concern about overreaching by courts pursuant to section
706(1) was not supported by the judicial track record, see
William D. Araiza, In Praise of a Skeletal APA: Norton v.
Southern Utah Wilderness Alliance, Judicial Remedies for
Agency Inaction, and the Questionable Value of Amending
the APA, 56 ADMIN. L. REV. 979, 990–92 (2004). For the
Court’s approach to reviewing agency decisions not to
initiate enforcement proceedings and to deny rulemaking
petitions, see § 7.2(b).
419
Index
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420