Constitutional Law Cases: Rehnquist Court
1990 - 1999
U.S. Supreme Court
Syllabus
PRINTZ, SHERIFF/CORONER, RAVALLI COUNTY, MONTANA v. UNITED STATES
certiorari to the united states court of appeals for the ninth circuit
No. 95-1478.
Argued December 3, 1996
Decided June 27, 1997*
Brady Handgun Violence Prevention Act provisions require the Attorney General to
establish a national system for instantly checking prospective handgun purchasers'
backgrounds, note following 18 U.S.C. § 922 and command the "chief law enforcement
officer" (CLEO) of each local jurisdiction to conduct such checks and perform related
tasks on an interim basis until the national system becomes operative, §922(s). Petitioners,
the CLEOs for counties in Montana and Arizona, filed separate actions challenging
the interim provisions' constitutionality. In each case, the District Court held that
the background check provision was unconstitutional, but concluded that it was severable
from the remainder of the Act, effectively leaving a voluntary background check system
in place. The Ninth Circuit reversed, finding none of the interim provisions unconstitutional.
Held:
1. The Brady Act's interim provision commanding CLEOs to conduct background checks,
§922(s)(2), is unconstitutional. Extinguished with it is the duty implicit in the
background check requirement that the CLEO accept completed handgun applicant statements
(Brady Forms) from firearms dealers, §§922(s)(1)(A)(i)(III) and (IV). Pp. 4-34.
(a) Because there is no constitutional text speaking to the precise question whether
congressional action compelling state officers to execute federal laws is unconstitutional,
the answer to the CLEOs'challenge must be sought in historical understanding and practice,
in the Constitution's structure, and in this Court's jurisprudence. P. 4.
(b) Relevant constitutional practice tends to negate the existence of the congressional
power asserted here, but is not conclusive. Enactments of the early Congresses seem
to contain no evidence of an assumption that the Federal Government may command the
States' executive power in the absence of a particularized constitutional authorization.
The early enactments establish, at most, that the Constitution was originally understood
to permit imposition of an obligation on state judges to enforce federal prescriptions
related to matters appropriate for the judicial power. The Government misplaces its
reliance on portions of The Federalist suggesting that federal responsibilities could
be imposed on state officers. None of these statements necessarily implies--what is
the critical point here--that Congress could impose these responsibilities without
the States' consent. They appear to rest on the natural assumption that the States
would consent, see FERC v. Mississippi, 456 U.S. 742, 796 , n. 35 (O'Connor, J., concurring
in judgment and dissenting in part). Finally, there is an absence of executive commandeering
federal statutes in the country's later history, at least until very recent years.
Even assuming that newer laws represent an assertion of the congressional power challenged
here, they are of such recent vintage that they are not probative of a constitutional
tradition. Pp. 4-18.
(c) The Constitution's structure reveals a principle that controls these cases: the
system of "dual sovereignty." See, e.g., Gregory v. Ashcroft, 501 U.S. 452, 457 .
Although the States surrendered many of their powers to the new Federal Government,
they retained a residuary and inviolable sovereignty that is reflected throughout
the Constitution's text. See, e.g., Lane County v. Oregon, 7 Wall. 71, 76. The Framers
rejected the concept of a central government that would act upon and through the States,
and instead designed a system in which the State and Federal Governments would exercise
concurrent authority over the people. The Federal Government's power would be augmented
immeasurably and impermissibly if it were able to impress into its service--and at
no cost to itself--the police officers of the 50 States. Pp. 18-22.
(d) Federal control of state officers would also have an effect upon the separation
and equilibration of powers between the three branches of the Federal Government itself.
The Brady Act effectively transfers the President's responsibility to administer the
laws enacted by Congress, Art. II, §§2 and 3, to thousands of CLEOs in the 50 States,
who are left to implement the program without meaningful Presidential control. The
Federal Executive's unity would be shattered, and the power of the President would
be subject to reduction, ifCongress could simply require state officers to execute
its laws. Pp. 22-23.
(e) Contrary to the dissent's contention, the Brady Act's direction of the actions
of state executive officials is not constitutionally valid under Art. I, §8, as a
law "necessary and proper" to the execution of Congress's Commerce Clause power to
regulate handgun sales. Where, as here, a law violates the state sovereignty principle,
it is not a law "proper for carrying into Execution" delegated powers within the Necessary
and Proper Clause's meaning. Cf. New York v. United States, 505 U.S. 144, 166 . The
Supremacy Clause does not help the dissent, since it makes "Law of the Land" only
"Laws of the United States which shall be made in Pursuance [of the Constitution.]"
Art. VI, cl. 2. Pp. 24-25.
(f) Finally, and most conclusively in these cases, the Court's jurisprudence makes
clear that the Federal Government may not compel the States to enact or administer
a federal regulatory program. See, e.g., New York, supra, at 188. The attempts of
the Government and the dissent to distinguish New York--on grounds that the Brady
Act's background check provision does not require state legislative or executive officials
to make policy; that requiring state officers to perform discrete, ministerial federal
tasks does not diminish the state or federal officials' accountability; and that the
Brady Act is addressed to individual CLEOs while the provisions invalidated in New
York were directed to the State itself--are not persuasive. A "balancing" analysis
is inappropriate here, since the whole object of the law is to direct the functioning
of the state executive, and hence to compromise the structural framework of dual sovereignty;
it is the very principle of separate state sovereignty that such a law offends. See
e.g., New York, supra, at 187. Pp. 25-34.
2. With the Act's background check and implicit receipt of forms requirements invalidated,
the Brady Act requirements that CLEOs destroy all Brady Forms and related records,
§922(s)(6)(B)(i), and give would be purchasers written statements of the reasons for
determining their ineligibility to receive handguns, §922(s)(6)(C), require no action
whatsoever on the part of CLEOs such as petitioners, who are not voluntary participants
in administration of the federal scheme. As to them, these provisions are not unconstitutional,
but simply inoperative. Pp. 34-36.
3. The Court declines to address the severability question briefed and argued by
the parties: whether firearms dealers remain obliged to forward Brady Forms to CLEOs,
§§922(s)(1)(A)(i)(III) and (IV), and to wait five business days thereafter before
consummating a firearms sale, §922(s)(1)(A)(ii). These provisions burden only dealers
andfirearms purchasers, and no plaintiff in either of those categories is before the
Court. P. 36.
66 F. 3d 1025, reversed.
Scalia, J., delivered the opinion of the Court, in which Rehnquist, C. J., and O'Connor,
Kennedy, and Thomas, JJ., joined. O'Connor, J., and Thomas, J., filed concurring opinions.
Stevens, J., filed a dissenting opinion, in which Souter, Ginsburg, and Breyer, JJ.,
joined. Souter, J., filed a dissenting opinion. Breyer, J., filed a dissenting opinion,
in which Stevens, J., joined.
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NOTICE: This opinion is subject to formal revision before publication in the preliminary
print of the United States Reports. Readers are requested to notify the Reporter of
Decisions, Supreme Court of the United States, Wash ington, D.C. 20543, of any typographical
or other formal errors, in order that corrections may be made before the preliminary
print goes to press.
U.S. Supreme Court
Nos. 95-1478 and 95-1503
JAY PRINTZ, SHERIFF/CORONER, RAVALLI COUNTY, MONTANA, PETITIONER 95-1478 v. UNITED
STATES RICHARD MACK, PETITIONER 95-1503
on writs of certiorari to the united states court of appeals for the ninth circuit
[June 27, 1997]
Justice Scalia delivered the opinion of the Court.
The question presented in these cases is whether certain interim provisions of the
Brady Handgun Violence Prevention Act, Pub. L. 103-159, 107 Stat. 1536, commanding
state and local law enforcement officers to conduct background checks on prospective
handgun purchasers and to perform certain related tasks, violate the Constitution.
The Gun Control Act of 1968 (GCA), 18 U.S.C. § 921 et seq., establishes a detailed
federal scheme governing the distribution of firearms. It prohibits firearms dealers
from transferring handguns to any person under 21, not resident in the dealer's State,
or prohibited by state or local law from purchasing or possessing firearms, §922(b).
It also forbids possession of a firearm by, and transfer of a firearm to, convicted
felons, fugitives
from justice, unlawful users of controlled substances, persons adjudicated as mentally
defective or committed to mental institutions, aliens unlawfully present in the United
States, persons dishonorably discharged from the Armed Forces, persons who have renounced
their citizenship, and persons who have been subjected to certain restraining orders
or been convicted of a misdemeanor offense involving domestic violence. §§922(d) and
(g).
In 1993, Congress amended the GCA by enacting the Brady Act. The Act requires the
Attorney General to establish a national instant background check system by November
30, 1998, Pub. L. 103-159, as amended, Pub. L. 103-322, 103 Stat. 2074, note following
18 U.S.C. § 922 and immediately puts in place certain interim provisions until that
system becomes operative. Under the interim provisions, a firearms dealer who proposes
to transfer a handgun must first: (1) receive from the transferee a statement (the
Brady Form), §922(s)(1)(A) (i)(I), containing the name, address and date of birth
of the proposed transferee along with a sworn statement that the transferee is not
among any of the classes of prohibited purchasers, §922(s)(3); (2) verify the identity
of the transferee by examining an identification document, §922(s)(1)(A)(i)(II); and
(3) provide the "chief law enforcement officer" (CLEO) of the transferee's residence
with notice of the contents (and a copy) of the Brady Form, §§922(s)(1)(A)(i)(III)
and (IV). With some exceptions, the dealer must then wait five business days before
consummating the sale, unless the CLEO earlier notifies the dealer that he has no
reason to believe the transfer would be illegal. §922(s)(1)(A)(ii).
The Brady Act creates two significant alternatives to the foregoing scheme. A dealer
may sell a handgun immediately if the purchaser possesses a state handgun permit issued
after a background check, §922(s)(1)(C), or if state law provides for an instant background
check, §922(s)(1)(D). In States that have not rendered one ofthese alternatives applicable
to all gun purchasers, CLEOs are required to perform certain duties. When a CLEO receives
the required notice of a proposed transfer from the firearms dealer, the CLEO must
"make a reasonable effort to ascertain within 5 business days whether receipt or possession
would be in violation of the law, including research in whatever State and local recordkeeping
systems are available and in a national system designated by the Attorney General."
§922(s)(2). The Act does not require the CLEO to take any particular action if he
determines that a pending transaction would be unlawful; he may notify the firearms
dealer to that effect, but is not required to do so. If, however, the CLEO notifies
a gun dealer that a prospective purchaser is ineligible to receive a handgun, he must,
upon request, provide the would be purchaser with a written statement of the reasons
for that determination. §922(s)(6)(C). Moreover, if the CLEO does not discover any
basis for objecting to the sale, he must destroy any records in his possession relating
to the transfer, including his copy of the Brady Form. §922(s)(6)(B)(i). Under a separate
provision of the GCA, any person who "knowingly violates [the section of the GCA amended
by the Brady Act] shall be fined under this title, imprisoned for no more than 1 year,
or both." §924(a)(5).
Petitioners Jay Printz and Richard Mack, the CLEOs for Ravalli County, Montana, and
Graham County, Arizona, respectively, filed separate actions challenging the constitutionality
of the Brady Act's interim provisions. In each case, the District Court held that
the provision requiring CLEOs to perform background checks was unconstitutional, but
concluded that that provision was severable from the remainder of the Act, effectively
leaving a voluntary background check system in place. 856 F. Supp. 1372 (Ariz. 1994);
854 F. Supp. 1503 (Mont. 1994). A divided panel of the Court of Appeals for the Ninth
Circuit reversed, finding none of the BradyAct's interim provisions to be unconstitutional.
66 F. 3d 1025 (1995). We granted certiorari. 518 U. S. ___ (1996).
From the description set forth above, it is apparent that the Brady Act purports
to direct state law enforcement officers to participate, albeit only temporarily,
in the administration of a federally enacted regulatory scheme. Regulated firearms
dealers are required to forward Brady Forms not to a federal officer or employee,
but to the CLEOs, whose obligation to accept those forms is implicit in the duty imposed
upon them to make "reasonable efforts" within five days to determine whether the sales
reflected in the forms are lawful. While the CLEOs are subjected to no federal requirement
that they prevent the sales determined to be unlawful (it is perhaps assumed that
their state law duties will require prevention or apprehension), they are empowered
to grant, in effect, waivers of the federally prescribed 5 day waiting period for
handgun purchases by notifying the gun dealers that they have no reason to believe
the transactions would be illegal.
The petitioners here object to being pressed into federal service, and contend that
congressional action compelling state officers to execute federal laws is unconstitutional.
Because there is no constitutional text speaking to this precise question, the answer
to the CLEOs' challenge must be sought in historical understanding and practice, in
the structure of the Constitution, and in the jurisprudence of this Court. We treat
those three sources, in that order, in this and the next two sections of this opinion.
Petitioners contend that compelled enlistment of state executive officers for the
administration of federal programs is, until very recent years at least, unprecedented.
The Government contends, to the contrary, that-the earliest Congresses enacted statutes
that required the participation of state officials in the implementation of federal
laws," Brief for United States 28. The Government's contention demands our careful
consideration, since early congressional enactments "provid[e] `contemporaneous and
weighty evidence' of the Constitution's meaning," Bowsher v. Synar, 478 U.S. 714,
723 -724 (1986) (quoting Marsh v. Chambers, 463 U.S. 783, 790 (1983)). Indeed, such
"contemporaneous legislative exposition of the Constitution . . . , acquiesced in
for a long term of years, fixes the construction to be given its provisions." Myers
v. United States, 272 U.S. 52, 175 (1926) (citing numerous cases). Conversely if,
as petitioners contend, earlier Congresses avoided use of this highly attractive power,
we would have reason to believe that the power was thought not to exist.
The Government observes that statutes enacted by the first Congresses required state
courts to record applications for citizenship, Act of Mar. 26, 1790, ch. 3, §1, 1
Stat. 103, to transmit abstracts of citizenship applications and other naturalization
records to the Secretary of State, Act of June 18, 1798, ch. 54, §2, 1 Stat. 567,
and to register aliens seeking naturalization and issue certificates of registry,
Act of Apr. 14, 1802, ch. 28, §2, 2 Stat. 154-155. It may well be, however, that these
requirements applied only in States that authorized their courts to conduct naturalization
proceedings. See Act of Mar. 26, 1790, ch. 3, §1, 1 Stat. 103; Holmgren v. United
States, 217 U.S. 509, 516 -517 (1910) (explaining that the Act of March 26, 1790 "conferred
authority upon state courts to admit aliens to citizenship" and refraining from addressing
the question "whether the States can be required to enforce such naturalization laws
against their consent");
United States v. Jones, 109 U.S. 513, 519 -520 (1883) (stating that these obligations
were imposed "with the consent of the States" and-could not be enforced against the
consent of the States"). 1 Other statutes of that era apparently or at least arguably
required state courts to perform functions unrelated to naturalization, such as resolving
controversies between a captain and the crew of his ship concerning the seaworthiness
of the vessel, Act of July 20, 1790, ch. 29, §3, 1 Stat. 132, hearing the claims of
slave owners who had apprehended fugitive slaves and issuing certificates authorizing
the slave's forced removal to the State from which he had fled, Act of Feb. 12, 1793,
ch. 7, §3, 1 Stat. 302-305, taking proof of the claims of Canadian refugees who had
assisted the United States during the Revolutionary War, Act of Apr. 7, 1798, ch.
26, §3, 1 Stat. 548, and ordering the deportation of alien enemies in times of war,
Act of July 6, 1798, ch. 66, §2, 1 Stat. 577-578.
These early laws establish, at most, that the Constitution was originally understood
to permit imposition of an obligation on state judges to enforce federal prescriptions,
insofar as those prescriptions related to matters appropriate for the judicial power.
That assumption was perhaps implicit in one of the provisions of the Constitution,
and was explicit in another. In accord with the so called Madisonian Compromise, Article
III, §1, established only a Supreme Court, and made the creation of lower federal
courts optional with the Congress--even though it was obvious that the Supreme Court
alone could not hear all federal cases throughout the United States. See C. Warren,
The Making of the Constitution 325-327 (1928). And the Supremacy Clause, Art. VI,
cl. 2, announced that "the Laws of the United States . . . shall be the supreme Law
of the Land; and the Judges in every State shall be bound thereby." It is understandable
why courts should have been viewed distinctively in this regard; unlike legislatures
and executives, they applied the law of other sovereigns all the time. The principle
underlying so called "transitory" causes of action was that laws which operated elsewhere
created obligations in justice that courts of the forum state would enforce. See,
e.g., McKenna v. Fisk, 1 How. 241, 247-249 (1843). The Constitution itself, in the
Full Faith and Credit Clause, Art. IV, §1, generally required such enforcement with
respect to obligations arising in other States. See Hughes v. Fetter, 341 U.S. 609
(1951).
For these reasons, we do not think the early statutes imposing obligations on state
courts imply a power of Congress to impress the state executive into its service.
Indeed, it can be argued that the numerousness of these statutes, contrasted with
the utter lack of statutes imposing obligations on the States' executive (notwithstanding
the attractiveness of that course to Congress), suggests an assumed absence of such
power. 2 The onlyearly federal law the Government has brought to our attention that
imposed duties on state executive officers is the Extradition Act of 1793, which required
the "executive authority" of a State to cause the arrest and delivery of a fugitive
from justice upon the request of the executive authority of the State from which the
fugitive had fled. See Act of Feb. 12, 1793, ch. 7, §1, 1 Stat. 302. That was in direct
implementation, however,of the Extradition Clause of the Constitution itself, see
Art. IV, §2. 3
Not only do the enactments of the early Congresses, as far as we are aware, contain
no evidence of an assumption that the Federal Government may command the States' executive
power in the absence of a particularized constitutional authorization, they contain
some indication of precisely the opposite assumption. On September 23, 1789--the day
before its proposal of the Bill of Rights, see 1 Annals of Congress 912-913--the First
Congress enacted a law aimed at obtaining state assistance of the most rudimentary
and necessary sort for the enforcement of the new Government's laws: the holding of
federal prisoners in state jails at federal expense. Significantly, the law issued
not a command to the States' executive, but a recommendation to their legislatures.
Congress "recommended to the legislatures of the several States to pass laws, making
it expressly the duty of the keepers of their gaols, to receive and safe keep therein
all prisoners committed under the authority of the United States," and offered to
pay 50 cents per month for each prisoner. Act of Sept. 23, 1789, 1 Stat. 96. Moreover,
when Georgia refused to comply with the request, see L. White, The Federalists402
(1948), Congress's only reaction was a law authorizing the marshal in any State that
failed to comply with the Recommendation of September 23, 1789, to rent a temporary
jail until provision for a permanent one could be made, see Resolution of Mar. 3,
1791, 1 Stat. 225.
In addition to early legislation, the Government also appeals to other sources we
have usually regarded as indicative of the original understanding of the Constitution.
It points to portions of The Federalist which reply to criticisms that Congress's
power to tax will produce two sets of revenue officers--for example, "Brutus's" assertion
in his letter to the New York Journal of December 13, 1787, that the Constitution
"opens a door to the appointment of a swarm of revenue and excise officers to prey
upon the honest and industrious part of the community, eat up their substance, and
riot on the spoils of the country," reprinted in 1 Debate on the Constitution 502
(B. Bailyn ed. 1993). "Publius" responded that Congress will probably "make use of
the State officers and State regulations, for collecting" federal taxes, The Federalist
No. 36, p. 221 (C. Rossiter ed. 1961) (A. Hamilton) (hereinafter The Federalist),
and predicted that "the eventual collection [of internal revenue] under the immediate
authority of the Union, will generally be made by the officers, and according to the
rules, appointed by the several States," id., No. 45, at 292 (J. Madison). The Government
also invokes the Federalist's more general observations that the Constitution would
"enable the [national] government to employ the ordinary magistracy of each [State]
in the execution of its laws," id., No. 27, at 176 (A. Hamilton), and that it was
"extremely probable that in other instances, particularly in the organization of the
judicial power, the officers of the States will be clothed in the correspondent authority
of the Union," id., No. 45, at 292 (J. Madison). But none of these statements necessarily
implies--what is the critical point here--that Congress could imposethese responsibilities
without the consent of the States. They appear to rest on the natural assumption that
the States would consent to allowing their officials to assist the Federal Government,
see FERC v. Mississippi, 456 U.S. 742, 796 , n. 35 (1982) (O'Connor, J., concurring
in judgment in part and dissenting in part), an assumption proved correct by the extensive
mutual assistance the States and Federal Government voluntarily provided one another
in the early days of the Republic, see generally White, supra, at 401-404, including
voluntary federal implementation of state law, see, e.g., Act of Apr. 2, 1790, ch.
5, §1, 1 Stat. 106 (directing federal tax collectors and customs officers to assist
in enforcing state inspection laws).
Another passage of The Federalist reads as follows:
"It merits particular attention . . . , that the laws of the Confederacy as to the
enumerated and legitimate objects of its jurisdiction will become the supreme law
of the land; to the observance of which all officers, legislative, executive, and
judicial in each State will be bound by the sanctity of an oath. Thus, the legislatures,
courts, and magistrates, of the respective members will be incorporated into the operations
of the national government as far as its just and constitutional authority extends;
and will be rendered auxiliary to the enforcement of its laws." The Federalist No.
27, at 177 (A. Hamilton) (emphasis in original).
The Government does not rely upon this passage, but Justice Souter (with whose conclusions
on this point the dissent is in agreement, see post, at 11) makes it the very foundation
of his position; so we pause to examine it in some detail. Justice Souter finds "[t]he
natural reading" of the phrases "will be incorporated into the operations of the national
government" and "will be rendered auxiliary to the enforcement of its laws" tobe that
the National Government will have "authority . . . , when exercising an otherwise
legitimate power (the commerce power, say), to require state `auxiliaries' to take
appropriate action." Post, at 2. There are several obstacles to such an interpretation.
First, the consequences in question ("incorporated into the operations of the national
government" and "rendered auxiliary to the enforcement of its laws") are said in the
quoted passage to flow automatically from the officers' oath to observe the "the laws
of the Confederacy as to the enumerated and legitimate objects of its jurisdiction."
4 Thus, if the passage means that state officers must take an active role in the implementation
of federal law, it means that they must do so without the necessity for a congressional
directive that they implement it. But no one has ever thought, and no one asserts
in the present litigation, that that is the law. The second problem with Justice Souter's
reading is that it makes state legislatures subject to federal direction. (The passage
in question, after all, does not include legislatures merely incidentally, as by referring
to "all state officers"; it refers to legislatures specifically and first of all.)
We have held, however, that state leglislatures are not subject to federal direction.
New York v. United States, 505 U.S. 144 (1992). 5
These problems are avoided, of course, if the calculatedly vague consequences the
passage recites--%incorporated into the operations of the national government" and
"rendered auxiliary to the enforcement of its laws"--are taken to refer to nothing
more (or less) than the duty owed to the National Government, on the part of all state
officials, to enact, enforce, and interpret state law in such fashion as not to obstruct
the operation of federal law, and the attendant reality that all state actions constituting
such obstruction, even legislative acts, are ipso facto invalid. 6 See Silkwood v.
Kerr-McGee Corp., 464 U.S. 238, 248 (1984) (federal pre-emption of conflicting state
law). This meaningaccords well with the context of the passage, which seeks to explain
why the new system of federal law directed to individual citizens, unlike the old
one of federal law directed to the States, will "bid much fairer to avoid the necessity
of using force" against the States, The Federalist No. 27, at 176 . It also reconciles
the passage with Hamilton's statement in Federalist No. 36, at 222, that the Federal
Government would in some circumstances do well "to employ the state officers as much
as possible, and to attach them to the Union by an accumulation of their emoluments"--which
surely suggests inducing state officers to come aboard by paying them, rather than
merely commandeering their official services. 7
Justice Souter contends that his interpretation of Federalist No. 27 is "supported
by No. 44," written by Madison, wherefore he claims that "Madison and Hamilton" together
stand opposed to our view. Post, at 4. In fact, Federalist No. 44 quite clearly contradicts
Justice Souter's reading. In that Number, Madison justifies the requirement that state
officials take an oath to support the Federal Constitution on the ground that they
"will have an essential agency in giving effect to the federal Constitution." If the
dissent's reading of Federalist No. 27 were correct (and if Madison agreed with it),
one would surely have expected that "essential agency" of state executive officers
(if described further) to be described as their responsibility to execute the laws
enacted under the Constitution. Instead, however, Federalist No. 44 continues with
the followingdescription:
"The election of the President and Senate will depend, in all cases, on the legislatures
of the several States. And the election of the House of Representatives will equally
depend on the same authority in the first instance; and will, probably, forever be
conducted by the officers and according to the laws of the States." Id., at 287 (emphasis
added).
It is most implausible that the person who labored for that example of state executive
officers' assisting the Federal Government believed, but neglected to mention, that
they had a responsibility to execute federal laws. 8 If it was indeed Hamilton's view
that the Federal Government could direct the officers of the States, that view has
no clear support in Madison's writings, or as far as we are aware, in text, history,
or early commentary elsewhere. 9
To complete the historical record, we must note that there is not only an absence
of executive commandeering statutes in the early Congresses, but there is an absence
of them in our later history as well, at least until very recent years. The Government
points to the Act of August 3, 1882, ch. 376, §§2, 4, 22 Stat. 214, which enlisted
state officials "to take charge of the local affairs of immigration in the ports within
such State, and to provide for the support and relief of such immigrants therein landing
as may fall into distress or need ofpublic aid"; to inspect arriving immigrants and
exclude any person found to be a "convict, lunatic, idiot," or indigent; and to send
convicts back to their country of origin "without compensation." The statute did not,
however, mandate those duties, but merely empowered the Secretary of the Treasury
"to enter into contracts with such State . . . officers as may be designated for that
purpose by the governor of any State." (Emphasis added.)
The Government cites the World War I selective draft law that authorized the President
"to utilize the service of any or all departments and any or all officers or agents
of the United States and of the several States, Territories, and the District of Columbia,
and subdivisions thereof, in the execution of this Act," and made any person who refused
to comply with the President's directions guilty of a misdemeanor. Act of May 18,
1917, ch. 15, §6, 40 Stat. 80-81 (emphasis added). However, it is far from clear that
the authorization "to utilize the service" of state officers was an authorization
to compel the service of state officers; and the misdemeanor provision surely applied
only to refusal to comply with the President's authorized directions, which might
not have included directions to officers of States whose governors had not volunteered
their services. It is interesting that in implementing the Act President Wilson did
not commandeer the services of state officers, but instead requested the assistance
of the States' governors, see Proclamation of May 18, 1917, 40 Stat. 1665 ("call[ing]
upon the Governor of each of the several States . . . and all officers and agents
of the several States . . . to perform certain duties"); Registration Regulations
Prescribed by the President Under the Act of Congress Approved May 18, 1917, Part
I, §7 ("the governor [of each State] is requested to act under the regulations and
rules prescribed by the President or under his direction") (emphasis added), obtained
theconsent of each of the governors, see Note, The President, the Senate, the Constitution,
and the Executive Order of May 8, 1926, 21 Ill. L. Rev. 142, 144 (1926), and left
it to the governors to issue orders to their subordinate state officers, see Selective
Service Regulations Prescribed by the President Under the Act of May 18, 1917, §27
(1918); J. Clark, The Rise of a New Federalism 91 (1965). See generally Note, 21 Ill.
L. Rev., at 144. It is impressive that even with respect to a wartime measure the
President should have been so solicitous of state independence.
The Government points to a number of federal statutes enacted within the past few
decades that require the participation of state or local officials in implementing
federal regulatory schemes. Some of these are connected to federal funding measures,
and can perhaps be more accurately described as conditions upon the grant of federal
funding than as mandates to the States; others, which require only the provision of
information to the Federal Government, do not involve the precise issue before us
here, which is the forced participation of the States' executive in the actual administration
of a federal program. We of course do not address these or other currently operative
enactments that are not before us; it will be time enough to do so if and when their
validity is challenged in a proper case. For deciding the issue before us here, they
are of little relevance. Even assuming they represent assertion of the very same congressional
power challenged here, they are of such recent vintage that they are no more probative
than the statute before us of a constitutional tradition that lends meaning to the
text. Their persuasive force is far outweighed by almost two centuries of apparent
congressional avoidance of the practice. Compare INS v. Chadha, 462 U.S. 919 (1983),
in which the legislative veto, though enshrined in perhaps hundreds of federal statutes,
most of whichwere enacted in the 1970's and the earliest of which was enacted in 1932,
see id., at 967-975 (White, J., dissenting), was nonetheless held unconstitutional.
The constitutional practice we have examined above tends to negate the existence
of the congressional power asserted here, but is not conclusive. We turn next to consideration
of the structure of the Constitution, to see if we can discern among its "essential
postulate[s]," Principality of Monaco v. Mississippi, 292 U.S. 313, 322 (1934), a
principle that controls the present cases.
It is incontestible that the Constitution established a system of "dual sovereignty."
Gregory v. Ashcroft, 501 U.S. 452, 457 (1991); Tafflin v. Levitt, 493 U.S. 455, 458
(1990). Although the States surrendered many of their powers to the new Federal Government,
they retained "a residuary and inviolable sovereignty," The Federalist No. 39, at
245 (J. Madison). This is reflected throughout the Constitution's text, Lane County
v. Oregon, 7 Wall. 71, 76 (1869); Texas v. White, 7 Wall. 700, 725 (1869), including
(to mention only a few examples) the prohibition on any involuntary reduction or combination
of a State's territory, Art. IV, §3; the Judicial Power Clause, Art. III, §2, and
the Privileges and Immunities Clause, Art. IV, §2, which speak of the "Citizens" of
the States; the amendment provision, Article V, which requires the votes of three
fourths of the States to amend the Constitution; and the Guarantee Clause, Art. IV,
§4, which "presupposes the continued existence of the states and . . . those means
and instrumentalities which are the creation of their sovereign and reserved rights,"
Helvering v. Gerhardt, 304 U.S. 405, 414 -415 (1938). Residual state sovereignty was
also implicit, of course, in the Constitution's conferral upon Congress of not all
governmental powers,but only discrete, enumerated ones, Art. I, §8, which implication
was rendered express by the Tenth Amendment's assertion that "[t]he powers not delegated
to the United States by the Constitution, nor prohibited by it to the States, are
reserved to the States respectively, or to the people."
The Framers' experience under the Articles of Confederation had persuaded them that
using the States as the instruments of federal governance was both ineffectual and
provocative of federal state conflict. See The Federalist No. 15. Preservation of
the States as independent political entities being the price of union, and "[t]he
practicality of making laws, with coercive sanctions, for the States as political
bodies" having been, in Madison's words, "exploded on all hands," 2 Records of the
Federal Convention of 1787, p. 9 (M. Farrand ed. 1911), the Framers rejected the concept
of a central government that would act upon and through the States, and instead designed
a system in which the state and federal governments would exercise concurrent authority
over the people--who were, in Hamilton's words, "the only proper objects of government,"
The Federalist No. 15, at 109. We have set forth the historical record in more detail
elsewhere, see New York v. United States, 505 U.S., at 161 -166, and need not repeat
it here. It suffices to repeat the conclusion: "The Framers explicitly chose a Constitution
that confers upon Congress the power to regulate individuals, not States." Id., at
166. 10 The great innovation of this design was that-our citizens would have two political
capacities, one state and one federal, each protected from incursion by the other"--%a
legal system unprecedented in form and design, establishing two orders of government,
each with its own direct relationship, its own privity, its own set of mutual rights
and obligations to the people who sustain it and are governed by it." U. S. Term Limits,
Inc. v. Thornton, 514 U.S. 779, 838 (1995) (Kennedy, J., concurring). The Constitution
thus contemplates that a State's government will represent and remain accountable
to its own citizens. See New York, supra, at 168-169; United States v. Lopez, 514
U.S. 549, 576 -577 (1995) (Kennedy, J., concurring). Cf. Edgar v. MITE Corp., 457
U.S. 624, 644 (1982) ("the State has no legitimate interest in protecting nonresident[s]").
As Madison expressed it: "[T]he local or municipal authorities form distinct and independent
portions of the supremacy, no more subject, within their respective spheres, to the
general authority than the general authority is subject to them, within its own sphere."
The Federalist No. 39, at 245. 11
This separation of the two spheres is one of the Constitution's structural protections
of liberty. "Just as the separation and independence of the coordinate branches of
the Federal Government serve to prevent the accumulation of excessive power in any
one branch, a healthy balance of power between the States and the Federal Government
will reduce the risk of tyranny and abuse from either front." Gregory, supra, at 458.
To quote Madison once again:
"In the compound republic of America, the power surrendered by the people is first
divided between two distinct governments, and then the portion allotted to each subdivided
among distinct and separate departments. Hence a double security arises to the rights
of the people. The different governments will control each other, at the same time
that each will be controlled by itself." TheFederalist No. 51, at 323.
See also The Federalist No. 28, at 180-181 (A. Hamilton). The power of the Federal
Government would be augmented immeasurably if it were able to impress into its service--and
at no cost to itself--the police officers of the 50 States.
We have thus far discussed the effect that federal control of state officers would
have upon the first element of the "double security" alluded to by Madison: the division
of power between State and Federal Governments. It would also have an effect upon
the second element: the separation and equilibration of powers between the three branches
of the Federal Government itself. The Constitution does not leave to speculation who
is to administer the laws enacted by Congress; the President, it says, "shall take
Care that the Laws be faithfully executed," Art. II, §3, personally and through officers
whom he appoints (save for such inferior officers as Congress may authorize to be
appointed by the "Courts of Law" or by "the Heads of Departments" who are themselves
presidential appointees), Art. II, §2. The Brady Act effectively transfers this responsibility
to thousands of CLEOs in the 50 States, who are left to implement the program without
meaningful Presidential control (if indeed meaningful Presidential control is possible
without the power to appoint and remove). The insistence of the Framers upon unity
in the Federal Executive--to insure both vigor and accountability--is well known.
See The Federalist No. 70 (A. Hamilton); 2 Documentary History of the Ratification
of the Constitution 495 (M. Jensen ed. 1976) (statement of James Wilson); see also
Calabresi & Prakash, The President's Power to Execute the Laws, 104 Yale L. J. 541
(1994). That unity would be shattered, and the power of the President would be subject
to reduction, if Congresscould act as effectively without the President as with him,
by simply requiring state officers to execute its laws. 12
The dissent of course resorts to the last, best hope of those who defend ultra vires
congressional action, the Necessary and Proper Clause. It reasons, post, at 3-5, that
the power to regulate the sale of handguns under the Commerce Clause, coupled with
the power to "make all Laws which shall be necessary and proper for carrying into
Execution the foregoing Powers," Art. I, §8, conclusively establishes the Brady Act's
constitutional validity, because the Tenth Amendment imposes no limitations on the
exercise of delegated powers but merely prohibits the exercise of powers "not delegated
to the United States." What destroys the dissent's Necessary and Proper Clause argument,
however, is not the Tenth Amendment but the Necessary and Proper Clause itself. 13
When a "La[w] . . . for carrying into Execution "the Commerce Clause violates the
principle of state sovereignty reflected in the various constitutional provisions
we mentioned earlier, supra, at 19-20, it is not a "La[w] . . . proper for carrying
into Execution the Commerce Clause," and is thus, in the words of The Federalist,
"merely [an] ac[t] of usurpation" which "deserve[s] to be treated as such." The Federalist
No. 33, at 204 (A. Hamilton). See Lawson & Granger, The "Proper" Scope of Federal
Power: A Jurisdictional Interpretation of the Sweeping Clause, 43 Duke L. J. 267,
297-326, 330-333 (1993). We in fact answered the dissent's Necessary and Proper Clause
argument in New York: "[E]ven where Congress has the authority under the Constitution
to pass laws requiring or prohibiting certain acts, it lacks the power directly to
compel the States to require or prohibit those acts. . . . [T]he Commerce Clause,
for example, authorizes Congress to regulate interstate commerce directly; it does
not authorize Congress to regulate state governments' regulation of interstate commerce."
505 U.S., at 166 .
The dissent perceives a simple answer in that portion of Article VI which requires
that "all executive and judicial Officers, both of the United States and of the several
States, shall be bound by Oath or Affirmation, to support this Constitution," arguing
that by virtue of the Supremacy Clause this makes "not only the Constitution, but
every law enacted by Congress as well," binding on state officers, including laws
requiring state officer enforcement. Post, at 6. The Supremacy Clause, however, makes
"Law of the Land" only "Laws of the United States which shall be made in Pursuance
[of the Constitution]"; so the Supremacy Clause merely bringsus back to the question
discussed earlier, whether laws conscripting state officers violate state sovereignty
and are thus not in accord with the Constitution.
Finally, and most conclusively in the present litigation, we turn to the prior jurisprudence
of this Court. Federal commandeering of state governments is such a novel phenomenon
that this Court's first experience with it did not occur until the 1970's, when the
Environmental Protection Agency promulgated regulations requiring States to prescribe
auto emissions testing, monitoring and retrofit programs, and to designate preferential
bus and carpool lanes. The Courts of Appeals for the Fourth and Ninth Circuits invalidated
the regulations on statutory grounds in order to avoid what they perceived to be grave
constitutional issues, see Maryland v. EPA, 530 F. 2d 215, 226 (CA4 1975); Brown v.
EPA, 521 F. 2d 827, 838-842 (CA9 1975); and the District of Columbia Circuit invalidated
the regulations on both constitutional and statutory grounds, see District of Columbia
v. Train, 521 F. 2d 971, 994 (CADC 1975). After we granted certiorari to review the
statutory and constitutional validity of the regulations, the Government declined
even to defend them, and insteadrescinded some and conceded the invalidity of those
that remained, leading us to vacate the opinions below and remand for consideration
of mootness. EPA v. Brown, 431 U.S. 99 (1977).
Although we had no occasion to pass upon the subject in Brown, later opinions of
ours have made clear that the Federal Government may not compel the States to implement,
by legislation or executive action, federal regulatory programs. In Hodel v. Virginia
Surface Mining & Reclamation Assn., Inc., 452 U.S. 264 (1981), and FERC v. Mississippi,
456 U.S. 742 (1982), we sustained statutes against constitutional challenge onlyafter
assuring ourselves that they did not require the States to enforce federal law. In
Hodel we cited the lower court cases in EPA v. Brown, supra, but concluded that the
Surface Mining Control and Reclamation Act did not present the problem they raised
because it merely made compliance with federal standards a precondition to continued
state regulation in an otherwise pre-empted field, Hodel, supra, at 288. In FERC,
we construed the most troubling provisions of the Public Utility Regulatory Policies
Act of 1978, to contain only the "command" that state agencies "consider" federal
standards, and again only as a precondition to continued state regulation of an otherwise
pre-empted field. 456 U.S., at 764 -765. We warned that "this Court never has sanctioned
explicitly a federal command to the States to promulgate and enforce laws and regulations,"
id., at 761-762.
When we were at last confronted squarely with a federal statute that unambiguously
required the States to enact or administer a federal regulatory program, our decision
should have come as no surprise. At issue in New York v. United States, 505 U.S. 144
(1992), were the so called "take title" provisions of the Low Level Radioactive Waste
Policy Amendments Act of 1985, which required States either to enact legislation providing
for the disposal of radioactive waste generated within their borders, or to take title
to, and possession of the waste--effectively requiring the States either to legislate
pursuant to Congress's directions, or to implement an administrative solution. Id.,
at 175-176. We concluded that Congress could constitutionally require the States to
do neither. Id., at 176. "The Federal Government," we held, "may not compel the States
to enact or administer a federal regulatory program." Id., at 188.
The Government contends that New York is distinguishable on the following ground:
unlike the "take title"provisions invalidated there, the background check provision
of the Brady Act does not require state legislative or executive officials to make
policy, but instead issues a final directive to state CLEOs. It is permissible, the
Government asserts, for Congress to command state or local officials to assist in
the implementation of federal law so long as "Congress itself devises a clear legislative
solution that regulates private conduct" and requires state or local officers to provide
only "limited, non policymaking help in enforcing that law." "[T]he constitutional
line is crossed only when Congress compels the States to make law in their sovereign
capacities." Brief for United States 16.
The Government's distinction between "making" law and merely "enforcing" it, between
"policymaking" and mere "implementation," is an interesting one. It is perhaps not
meant to be the same as, but it is surely reminiscent of, the line that separates
proper congressional conferral of Executive power from unconstitutional delegation
of legislative authority for federal separation of powers purposes. See A. L. A. Schechter
Poultry Corp. v. United States, 295 U.S. 495, 530 (1935); Panama Refining Co. v. Ryan,
293 U.S. 388, 428 -429 (1935). This Court has not been notably successful in describing
the latter line; indeed, some think we have abandoned the effort to do so. See FPC
v. New England Power Co., 415 U.S. 345, 352 -353 (1974) (Marshall, J., concurring
in result); Schoenbrod, The Delegation Doctrine: Could the Court Give it Substance?
83 Mich. L. Rev. 1223, 1233 (1985). We are doubtful that the new line the Government
proposes would be any more distinct. Executive action that has utterly no policymaking
component is rare, particularly at an executive level as high as a jurisdiction's
chief law enforcement officer. Is it really true that there is no policymaking involved
in deciding, for example, what "reasonable efforts" shall be expended to conduct a
backgroundcheck? It may well satisfy the Act for a CLEO to direct that (a) no background
checks will be conducted that divert personnel time from pending felony investigations,
and (b) no background check will be permitted to consume more than one half hour of
an officer's time. But nothing in the Act requires a CLEO to be so parsimonious; diverting
at least some felony investigation time, and permitting at least some background checks
beyond one half hour would certainly not be unreasonable. Is this decision whether
to devote maximum "reasonable efforts" or minimum "reasonable efforts" not preeminently
a matter of policy? It is quite impossible, in short, to draw the Government's proposed
line at "no policymaking," and we would have to fall back upon a line of "not too
much policymaking." How much is too much is not likely to be answered precisely; and
an imprecise barrier against federal intrusion upon state authority is not likely
to be an effective one.
Even assuming, moreover, that the Brady Act leaves no "policymaking" discretion with
the States, we fail to see how that improves rather than worsens the intrusion upon
state sovereignty. Preservation of the States as independent and autonomous political
entities is arguably less undermined by requiring them to make policy in certain fields
than (as Judge Sneed aptly described it over two decades ago) by "reduc[ing] [them]
to puppets of a ventriloquist Congress," Brown v. EPA, 521 F. 2d, at 839. It is an
essential attribute of the States' retained sovereignty that they remain independent
and autonomous within their proper sphere of authority. See Texas v. White, 7 Wall,
at 725. It is no more compatible with this independence and autonomy that their officers
be "dragooned" (as Judge Fernandez put it in his dissent below, 66 F. 3d, at 1035)
into administering federal law, than it would be compatible with the independence
and autonomy of the United States that its officers be impressed into service for
the execution of state laws.
The Government purports to find support for its proffered distinction of New York
in our decisions in Testa v. Katt, 330 U.S. 386 (1947), and FERC v. Mississippi, 456
U.S. 742 (1982). We find neither case relevant. Testa stands for the proposition that
state courts cannot refuse to apply federal law--a conclusion mandated by the terms
of the Supremacy Clause ("the Judges in every State shall be bound [by federal law]").
As we have suggested earlier, supra, at 6-7, that says nothing about whether state
executive officers must administer federal law. Accord New York, 505 U.S., at 178
-179. As for FERC, it stated (as we have described earlier) that "this Court never
has sanctioned explicitly a federal command to the States to promulgate and enforce
laws and regulations," 456 U.S., at 761 -762, and upheld the statutory provisions
at issue precisely because they did not commandeer state government, but merely imposed
preconditions to continued state regulation of an otherwise pre-empted field, in accord
with Hodel, 452 U.S., at 288 , and required state administrative agencies to apply
federal law while acting in a judicial capacity, in accord with Testa, See FERC, supra,
at 759-771, andn. 24. 14
The Government also maintains that requiring state officers to perform discrete,
ministerial tasks specified by Congress does not violate the principle of New York
because it does not diminish the accountability of state or federal officials. This
argument fails even on its own terms. By forcing state governments to absorb the financial
burden of implementing a federal regulatory program, Members of Congress can take
credit for "solving" problems without having to ask their constituents to pay for
the solutions with higher federal taxes. And even when the States are not forced to
absorb the costs of implementing a federal program, they are still put in the position
of taking the blame for its burdensomeness and for its defects. See Merritt, Three
Faces of Federalism: Finding a Formula for the Future, 47 Vand. L. Rev. 1563, 1580,
n. 65 (1994). Under the present law, for example, it will be the CLEO and not some
federal official who stands between the gun purchaser and immediate possession of
his gun. And it will likely be the CLEO, not some federal official, who will be blamed
for any error (even one in the designated federal database) that causes a purchaser
to be mistakenly rejected.
The dissent makes no attempt to defend the Government's basis for distinguishing
New York, but instead advances what seems to us an even more implausible theory. The
Brady Act, the dissent asserts, is different from the "take title" provisions invalidatedin
New York because the former is addressed to individuals--namely CLEOs--while the latter
were directed to the State itself. That is certainly a difference, but it cannot be
a constitutionally significant one. While the Brady Act is directed to "individuals,"
it is directed to them in their official capacities as state officers; it controls
their actions, not as private citizens, but as the agents of the State. The distinction
between judicial writs and other government action directed against individuals in
their personal capacity, on the one hand, and in their official capacity, on the other
hand, is an ancient one, principally because it is dictated by common sense. We have
observed that "a suit against a state official in his or her official capacity is
not a suit against the official but rather is a suit against the official's office.
. . . As such, it is no different from a suit against the State itself." Will v. Michigan
Dept. of State Police, 491 U.S. 58, 71 (1989). And the same must be said of a directive
to an official in his or her official capacity. To say that the Federal Government
cannot control the State, but can control all of its officers, is to say nothing of
significance. 15 Indeed, it merits the description "empty formalistic reasoning of
the highest order," post, at 15. By resorting to this, thedissent not so much distinguishes
New York as disembowels it. 16
Finally, the Government puts forward a cluster of arguments that can be grouped under
the heading: "The Brady Act serves very important purposes, is most efficiently administered
by CLEOs during the interim period, and places a minimal and only temporary burden
upon state officers." There is considerable disagreement over the extent of the burden,
but we need not pause over that detail. Assuming all the mentioned factors were true,
they might be relevant if we were evaluating whether the incidental application to
the States of a federal law of general applicability excessively interfered with the
functioning of state governments. See, e.g., Fry v. United States, 421 U.S. 542, 548
(1975); National League of Cities v. Usery, 426 U.S. 833, 853 (1976) (overruled by
Garcia v. San Antonio Metropolitan Transit Authority, 469 U.S. 528 (1985)); South
Carolina v. Baker, 485 U.S. 505, 529 (1988) (Rehnquist, C. J., concurring in judgment).
But where, as here, it is the whole object of the law to direct the functioning of
the state executive, and hence to compromise the structural framework of dual sovereignty,
such a "balancing"analysis is inappropriate. 17 It is the very principle of separate
state sovereignty that such a law offends, and no comparative assessment of the various
interests can overcome that fundamental defect. Cf. Bowsher, 478 U.S., at 736 (declining
to subject principle of separation of powers to a balancing test); Chadha, 462 U.S.,
at 944 -946 (same); Plaut v. Spendthrift Farm, Inc., 514 U.S. 211, 239 -240 (1995)
(holding legislated invalidation of final judgments to be categorically unconstitutional).
We expressly rejected such an approach in New York, and what we said bears repeating:
"Much of the Constitution is concerned with setting forth the form of our government,
and the courts have traditionally invalidated measures deviating from that form. The
result may appear `formalistic' in a given case to partisans of the measure at issue,
because such measures are typically the product of the era's perceived necessity.
But the Constitution protects us from our own best intentions: It divides power among
sovereigns and among branches of government precisely so that we may resist the temptation
to concentrate power in one location as an expedient solution to the crisis of the
day." Id.,at 187.
We adhere to that principle today, and conclude categorically, as we concluded categorically
in New York: "The Federal Government may not compel the States to enact or administer
a federal regulatory program." Id., at 188. The mandatory obligation imposed on CLEOs
to perform background checks on prospective handgun purchasers plainly runs afoul
of that rule.
What we have said makes it clear enough that the central obligation imposed upon
CLEOs by the interim provisions of the Brady Act--the obligation to "make a reasonable
effort to ascertain within 5 business days whether receipt or possession [of a handgun]
would be in violation of the law, including research in whatever State and local recordkeeping
systems are available and in a national system designated by the Attorney General,"
18 U.S.C. § 922(s)(2)--is unconstitutional. Extinguished with it, of course, is the
duty implicit in the background check requirement that the CLEO accept notice of the
contents of, and a copy of, the completed Brady Form, which the firearms dealer is
required to provide to him, §§922(s)(1)(A)(i)(III) and (IV).
Petitioners also challenge, however, two other provisions of the Act: (1) the requirement
that any CLEO "to whom a [Brady Form] is transmitted" destroy the form and any record
containing information derived from it, §922(s)(6)(B)(i), and (2) the requirement
that any CLEO who "determines that an individual is ineligible to receive a handgun"
provide the would be purchaser, upon request, a written statement of the reasons for
that determination, §922(s)(6)(C). With the background check and implicit receipt
of forms requirements invalidated, however, these provisions require no action whatsoever
on the part of the CLEO. Quite obviously, the obligation to destroy all Brady Forms
that he has receivedwhen he has received none, and the obligation to give reasons
for a determination of ineligibility when he never makes a determination of ineligibility,
are no obligations at all. These two provisions have conceivable application to a
CLEO, in other words, only if he has chosen, voluntarily, to participate in administration
of the federal scheme. The present petitioners arenot in that position. 18 As to them,
these last two challenged provisions are not unconstitutional, but simply inoperative.
There is involved in this Brady Act conundrum a severability question, which the
parties have briefed and argued: whether firearms dealers in the jurisdictions at
issue here, and in other jurisdictions, remain obliged to forward to the CLEO (even
if he will not accept it) the requisite notice of the contents (and a copy) of the
Brady Form, §§922(s)(1)(A)(i)(III) and (IV); and to wait five business days before
consummating the sale, §922(s)(1)(A)(ii). These are important questions, but we have
no business answering them in these cases. These provisions burden only firearms dealers
and purchasers, and no plaintiff in either of those categories is before us here.
We decline to speculate regarding the rights andobligations of parties not before
the Court. Cf., e.g., New York, supra, at 186-187 (addressing severability where remaining
provisions at issue affected the plaintiffs).
* * *
We held in New York that Congress cannot compel the States to enact or enforce a
federal regulatory program. Today we hold that Congress cannot circumvent that prohibition
by conscripting the State's officers directly. The Federal Government may neither
issue directives requiring the States to address particular problems, nor command
the States' officers, or those of their political subdivisions, to administer or enforce
a federal regulatory program. It matters not whether policymaking is involved, and
no case by case weighing of the burdens or benefits is necessary; such commands are
fundamentally incompatible with our constitutional system of dual sovereignty. Accordingly,
the judgment of the Court of Appeals for the Ninth Circuit isreversed.
It is so ordered.
----------------------------------------------------------------------------
U.S. Supreme Court
Nos. 95-1478 and 95-1503
JAY PRINTZ, SHERIFF/CORONER, RAVALLI COUNTY, MONTANA, PETITIONER 95-1478 v. UNITED
STATES RICHARD MACK, PETITIONER 95-1503
on writs of certiorari to the united states court of appeals for the ninth circuit
[June 27, 1997]
Justice O'Connor, concurring.
Our precedent and our Nation's historical practices support the Court's holding today.
The Brady Act violates the Tenth Amendment to the extent it forces States and local
law enforcement officers to perform background checks on prospective handgun owners
and to accept Brady Forms from firearms dealers. See ante, at 23. Our holding, of
course, does not spell theend of the objectives of the Brady Act. States and chief
law enforcement officers may voluntarily continue to participate in the federal program.
Moreover, the directives to the States are merely interim provisions scheduled to
terminate November 30, 1998. Note following 18 U.S.C. § 922. Congress is also free
to amend the interim program to provide for its continuance on a contractual basis
with the States if it wishes, as it does with a number of other federal programs.
See, e.g., 23 U.S.C. § 402 (conditioning States' receipt
of federal funds for highway safety program on compliance with federal requirements).
In addition, the Court appropriately refrains from deciding whether other purely
ministerial reporting requirements imposed by Congress on state and local authorities
pursuant to its Commerce Clause powers are similarly invalid. See, e.g., 42 U.S.C.
§ 5779(a) (requiring state and local law enforcement agencies to report cases of missing
children to the Department of Justice). The provisions invalidated here, however,
which directly compel state officials to administer a federal regulatory program,
utterly fail to adhere to the design and structure of our constitutional scheme.
----------------------------------------------------------------------------
U.S. Supreme Court
Nos. 95-1478 and 95-1503
JAY PRINTZ, SHERIFF/CORONER, RAVALLI COUNTY, MONTANA, PETITIONER 95-1478 v. UNITED
STATES RICHARD MACK, PETITIONER 95-1503
on writs of certiorari to the united states court of appeals for the ninth circuit
[June 27, 1997]
Justice Thomas, concurring.
The Court today properly holds that the Brady Act violates the Tenth Amendment in
that it compels state law enforcement officers to "administer or enforce a federal
regulatory program." See ante, at 25. Although I join the Court's opinion in full,
I write separately to emphasize that the Tenth Amendment affirms the undeniable notion
that under our Constitution, the Federal Government is one of enumerated, hence limited,
powers. See, e.g., McCulloch v. Maryland, 4 Wheat. 316, 405 (1819) ("This government
is acknowledged by all to be one of enumerated powers"). "[T]hat those limits may
not be mistaken, or forgotten, the constitution is written." Marbury v. Madison, 1
Cranch 137, 176 (1803). Accordingly, the Federal Government may act only where the
Constitution authorizes it to do so. Cf. New York v. United States, 505 U.S. 144 (1992).
In my "revisionist" view, see post, at 3, the Federal
Government's authority under the Commerce Clause, which merely allocates to Congress
the power "to regulate Commerce . . . among the several states," does not extend to
the regulation of wholly intrastate, point of sale transactions. See United States
v. Lopez, 514 U.S. 549, 584 (1995) (concurring opinion). Absent the underlying authority
to regulate the intrastate transfer of firearms, Congress surely lacks the corollary
power to impress state law enforcement officers into administering and enforcing such
regulations. Although this Court has long interpreted the Constitution as ceding Congress
extensive authority to regulate commerce (interstate or otherwise), I continue to
believe that we must "temper our Commerce Clause jurisprudence" and return to an interpretation
better rooted in the Clause's original understanding. Id., at 601; (concurring opinion);
see also Camps Newfound/Owatonna, Inc. v. Town of Harrison, 520 U. S. ___, (1997)
(Thomas, J., dissenting). Even if we construe Congress' authority to regulate interstate
commerce to encompass those intrastate transactions that "substantially affect" interstate
commerce, I question whether Congress can regulate the particular transactions at
issue here. The Constitution, in addition to delegating certain enumerated powers
to Congress, places whole areas outside the reach of Congress' regulatory authority.
The First Amendment, for example, is fittingly celebrated for preventing Congress
from "prohibiting the free exercise" of religion or "abridging the freedom of speech."
The Second Amendment similarly appears to contain an express limitation on the government's
authority. That Amendment provides: "[a] well regulated Militia, being necessary to
the security of a free State, the right of the people to keep and bear arms, shall
not be infringed." This Court has not had recent occasion to consider the nature of
the substantiveright safeguarded by the Second Amendment. 1 If, however, the Second
Amendment is read to confer a personal right to "keep and bear arms," a colorable
argument exists that the Federal Government's regulatory scheme, at least as it pertains
to the purely intrastate sale or possession of firearms, runs afoul of that Amendment's
protections. 2 As the parties did not raisethis argument, however, we need not consider
it here. Perhaps, at some future date, this Court will have the opportunity to determine
whether Justice Story was correct when he wrote that the right to bear arms "has justly
been considered, as the palladium of the liberties of a republic." 3 J. Story, Commentaries
§1890, p. 746 (1833). In the meantime, I join the Court's opinion striking down the
challenged provisions of the Brady Act as inconsistent with the Tenth Amendment.
----------------------------------------------------------------------------
U.S. Supreme Court
Nos. 95-1478 and 95-1503
JAY PRINTZ, SHERIFF/CORONER, RAVALLI COUNTY, MONTANA, PETITIONER 95-1478 v. UNITED
STATES RICHARD MACK, PETITIONER 95-1503
on writs of certiorari to the united states court of appeals for the ninth circuit
[June 27, 1997]
Justice Stevens, with whom Justice Souter, Justice Ginsburg, and Justice Breyer join,
dissenting.
When Congress exercises the powers delegated to it by the Constitution, it may impose
affirmative obligations on executive and judicial officers of state and local governments
as well as ordinary citizens. This conclusion is firmly supported by the text of the
Constitution, the early history of the Nation, decisions of this Court, and a correct
understanding of the basic structure of the Federal Government.
These cases do not implicate the more difficult questions associated with congressional
coercion of state legislatures addressed in New York v. United States, 505 U.S. 144
(1992). Nor need we consider the wisdom of relying on local officials rather than
federal agents to carry out aspects of a federal program, or even the question whether
such officials may be required to perform a federal function on a permanent basis.
The question is whether Congress, acting on behalf of thepeople of the entire Nation,
may require local law enforcement officers to perform certain duties during the interim
needed for the development of a federal gun control program. It is remarkably similar
to the question, heavily debated by the Framers of the Constitution, whether the Congress
could require state agents to collect federal taxes. Or the question whether Congress
could impress state judges into federal service to entertain and decide cases that
they would prefer to ignore.
Indeed, since the ultimate issue is one of power, we must consider its implications
in times of national emergency. Matters such as the enlistment of air raid wardens,
the administration of a military draft, the mass inoculation of children to forestall
an epidemic, or perhaps the threat of an international terrorist, may require a national
response before federal personnel can be made available to respond. If the Constitution
empowers Congress and the President to make an appropriate response, is there anything
in the Tenth Amendment, "in historical understanding and practice, in the structure
of the Constitution, [or] in the jurisprudence of this Court," ante, at 4, that forbids
the enlistment of state officers to make that response effective? More narrowly, what
basis is there in any of those sources for concluding that it is the Members of this
Court, rather than the elected representatives of the people, who should determine
whether the Constitution contains the unwritten rule that the Court announces today?
Perhaps today's majority would suggest that no such emergency is presented by the
facts of these cases. But such a suggestion is itself an expression of a policy judgment.
And Congress' view of the matter is quite different from that implied by the Court
today.
The Brady Act was passed in response to what Congress described as an "epidemic of
gun violence." H. R. Rep. No. 103-344, p. 8 (1993). The Act's legislative history
notes that 15,377 Americans were murdered with firearms in 1992, and that 12,489 of
these deaths were caused by handguns. Ibid. Congress expressed special concern that
"[t]he level of firearm violence in this country is, by far, the highest among developed
nations." Ibid. The partial solution contained in the Brady Act, a mandatory background
check before a handgun may be purchased, has met with remarkable success. Between
1994 and 1996, approximately 6,600 firearm sales each month to potentially dangerous
persons were prevented by Brady Act checks; over 70% of the rejected purchasers were
convicted or indicted felons. See U. S. Dept. of Justice, Bureau of Justice Statistics
Bulletin, A National Estimate: Presale Firearm Checks 1 (Feb. 1997). Whether or not
the evaluation reflected in the enactment of the Brady Act is correct as to the extent
of the danger and the efficacy of the legislation, the congressional decision surely
warrants more respect than it is accorded in today's unprecedented decision.
The text of the Constitution provides a sufficient basis for a correct disposition
of this case.
Article I, §8, grants the Congress the power to regulate commerce among the States.
Putting to one side the revisionist views expressed by Justice Thomas in his concurring
opinion in United States v. Lopez, 514 U.S. 549, 584 (1995), there can be no question
that that provision adequately supports the regulation of commerce in handguns effected
by the Brady Act. Moreover, the additional grant of authority in that section of the
Constitution "[t]o make all Laws which shall be necessary and proper for carrying
into Execution the foregoing Powers" is surely adequate to support the temporary enlistment
of local police officers in the process ofidentifying persons who should not be entrusted
with the possession of handguns. In short, the affirmative delegation of power in
Article I provides ample authority for the congressional enactment.
Unlike the First Amendment, which prohibits the enactment of a category of laws that
would otherwise be authorized by Article I, the Tenth Amendment imposes no restriction
on the exercise of delegated powers. Using language that plainly refers only to powers
that are "not" delegated to Congress, it provides:
"The powers not delegated to the United States by the Constitution, nor prohibited
by it to the States, are reserved to the States respectively, or to the people." U.
S. Const., Amdt. 10.
The Amendment confirms the principle that the powers of the Federal Government are
limited to those affirmatively granted by the Constitution, but it does not purport
to limit the scope or the effectiveness of the exercise of powers that are delegated
to Congress. 1 See New York v. United States, 505 U.S. 144, 156 (1992) ("[i]n a case
. . . involving the division of authority between federal and state governments, the
two inquiries are mirror images of each other"). Thus, the Amendment provides no support
for a rule that immunizes local officials from obligations that might beimposed on
ordinary citizens. 2 Indeed, it would be more reasonable to infer that federal law
may impose greater duties on state officials than on private citizens because another
provision of the Constitution requires that "all executive and judicial Officers,
both of the United States and of the several States, shall be bound by Oath or Affirmation,
to support this Constitution." U. S. Const., Art. VI, cl. 3.
It is appropriate for state officials to make an oath or affirmation to support the
Federal Constitution because, as explained in The Federalist, they "have an essentialagency
in giving effect to the federal Constitution." 3 The Federalist No. 44, p. 312 (E.
Bourne ed. 1947) (J. Madison). There can be no conflict between their duties to the
State and those owed to the Federal Government because Article VI unambiguously provides
that federal law "shall be the supreme Law of the Land," binding in every State. U.
S. Const., Art. VI, cl. 2. Thus, not only the Constitution, but every law enacted
by Congress as well, establishes policy for the States just as firmly as do laws enacted
by state legislatures.
The reasoning in our unanimous opinion explaining why state tribunals with ordinary
jurisdiction over tort litigation can be required to hear cases arising under the
Federal Employers' Liability Act applies equally to local law enforcement officers
whose ordinary duties parallel the modest obligations imposed by the Brady Act:
"The suggestion that the act of Congress is not in harmony with the policy of the
State, and therefore that the courts of the State are free to decline jurisdiction,
is quite inadmissible, because it presupposes what in legal contemplation does not
exist. When Congress, in the exertion of the power confided to it by the Constitution,
adopted that act, it spoke for all the people and all the States, and thereby established
a policy for all. That policy is as much the policy of Connecticut as if the act had
emanated from its own legislature, and should be respected accordingly in the courts
of the State. As was said by this court in Claflin v. Houseman, 93 U.S. 130, 136 ,
137:
`The laws of the United States are laws in the several States, and just as much binding
on the citizens and courts thereof as the State laws are. The United States is not
a foreign sovereignty as regards the several States, but is a concurrent, and, within
its jurisdiction, paramount sovereignty.' " Second Employers' Liability Cases, 223
U.S. 1, 57 (1912).
See also Testa v. Katt, 330 U.S. 386, 392 (1947).
There is not a clause, sentence, or paragraph in the entire text of the Constitution
of the United States that supports the proposition that a local police officer can
ignore a command contained in a statute enacted by Congress pursuant to an express
delegation of power enumerated in Article I.
Under the Articles of Confederation the National Government had the power to issue
commands to the several sovereign states, but it had no authority to govern individuals
directly. Thus, it raised an army and financed its operations by issuing requisitions
to the constituent members of the Confederacy, rather than by creating federal agencies
to draft soldiers or to impose taxes.
That method of governing proved to be unacceptable, not because it demeaned the sovereign
character of the several States, but rather because it was cumbersome and inefficient.
Indeed, a confederation that allows each of its members to determine the ways and
means of complying with an overriding requisition is obviouslymore deferential to
state sovereignty concerns than a national government that uses its own agents to
impose its will directly on the citizenry. The basic change in the character of the
government that the Framers conceived was designed to enhance the power of the national
government, not to provide some new, unmentioned immunity for state officers. Because
indirect control over individual citizens ("the only proper objects of government")
was ineffective under the Articles of Confederation, Alexander Hamilton explained
that "we must extend the authority of the Union to the persons of the citizens." The
Federalist No. 15, at 101 (emphasis added).
Indeed, the historical materials strongly suggest that the Founders intended to enhance
the capacity of the federal government by empowering it--as a part of the new authority
to make demands directly on individual citizens--to act through local officials. Hamilton
made clear that the new Constitution, "by extending the authority of the federal head
to the individual citizens of the several States, will enable the government to employ
the ordinary magistracy of each, in the execution of its laws." The Federalist No.
27, at 180. Hamilton's meaning was unambiguous; the federal government was to have
the power to demand that local officials implement national policy programs. As he
went on to explain: "It is easy to perceive that this will tend to destroy, in the
common apprehension, all distinction between the sources from which [the state and
federal governments] might proceed; and will give the federal government the same
advantage for securing a due obedience to its authority which is enjoyed by the government
of each State." Ibid. 4
More specifically, during the debates concerning the ratification of the Constitution,
it was assumed that state agents would act as tax collectors for the federal government.
Opponents of the Constitution had repeatedly expressed fears that the new federal
government's ability to impose taxes directly on the citizenry would result in an
overbearing presence of federal tax collectors in the States. 5 Federalists rejoined
that this problem would not arise because, as Hamilton explained, "the United States
. . . will make use of the State officers and State regulations for collecting" certain
taxes. Id., No. 36, at 235. Similarly, Madison made clear that the new central government's
power to raise taxes directly from the citizenry would "not be resorted to, except
for supplemental purposes of revenue . . . and that the eventual collection, under
the immediate authority of the Union, will generally be made by the officers . . .
appointed by the several States." Id.,No. 45, at 318. 6
The Court's response to this powerful historical evidence is weak. The majority suggests
that "none of these statements necessarily implies . . . Congress could impose these
responsibilities without the consent of the States." Ante, at 10-11 (emphasis omitted).
No fair reading of these materials can justify such an interpretation. As Hamilton
explained, the power of the government to act on "individual citizens"--including
"employ[ing] the ordinary magistracy" of the States--was an answer to the problems
faced by a central government that could act only directly "upon the States in their
political or collective capacities." The Federalist, No. 27, at 179-180. The new Constitution
would avoid this problem, resulting in "a regular and peaceable execution of the law
of the Union." Ibid.
This point is made especially clear in Hamilton's statement that "the legislatures,
courts, and magistrates, of the respective members, will be incorporated into the
operations of the national government as far as its just and constitutional authority
extends; and will be rendered auxiliary to the enforcement of its laws." Ibid. (second
emphasis added). It is hard to imagine a more unequivocal statement that state judicial
and executive branch officials may be required to implement federal law where the
National Government acts within the scope of its affirmative powers. 7
The Court makes two unpersuasive attempts to discount the force of this statement.
First, according to the majority, because Hamilton mentioned the Supremacy Clause
without specifically referring to any "congressional directive," the statement does
not mean what it plainly says. Ante, at 12. But the mere fact that the Supremacy Clause
is the source of the obligation of state officials to implement congressional directives
does not remotely suggest that they might be " `incorporat[ed] into the operations
of the national government' " before their obligations have been defined by Congress.
Federal law establishes policy for the States just as firmly as laws enacted by state
legislatures, but that does not mean that state or federal officials must implement
directives that have not been specified in any law. 8 Second, the majority suggests
that interpreting this passage to mean what it says would conflict with our decision
in New York v. United States. Ante, at 12. But since the New York opinion did not
mention Federalist No. 27, it does not affect either the relevance or the weight of
the historical evidence provided by No. 27 insofar as it relates to state courts and
magistrates.
Bereft of support in the history of the founding, the Court rests its conclusion
on the claim that there is little evidence the National Government actually exercised
such a power in the early years of the Republic. See ante, at 5. This reasoning is
misguided in principle and in fact. While we have indicated that the expressconsideration
and resolution of difficult constitutional issues by the First Congress in particular
"provides `contemporaneous and weighty evidence' of the Constitution's meaning since
many of [its] Members . . . `had taken part in framing that instrument,' " Bowsher
v. Synar, 478 U.S. 714, 723 -724 (1986) (quoting Marsh v. Chambers, 463 U.S. 783,
790 (1983)), we have never suggested that the failure of the early Congresses to address
the scope of federal power in a particular area or to exercise a particular authority
was an argument against its existence. That position, if correct, would undermine
most of our post-New Deal Commerce Clause jurisprudence. As Justice O'Connor quite
properly noted in New York, "[t]he Federal Government undertakes activities today
that would have been unimaginable to the Framers." 505 U.S., at 157 .
More importantly, the fact that Congress did elect to rely on state judges and the
clerks of state courts to perform a variety of executive functions, see ante, at 5-6,
is surely evidence of a contemporary understanding that their status as state officials
did not immunize them from federal service. The majority's description of these early
statutes is both incomplete and at times misleading.
For example, statutes of the early Congresses required in mandatory terms that state
judges and their clerks perform various executive duties with respect to applications
for citizenship. The First Congress enacted a statute requiring that the state courts
consider such applications, specifying that the state courts "shall administer" an
oath of loyalty to the United States, and that "the clerk of such court shall record
such application." Act of Mar. 26, 1790, ch. 3, §1, 1 Stat. 103 (emphasis added).
Early legislation passed by the Fifth Congress also imposed reporting requirements
relating to naturalization on court clerks, specifying that failure to perform those
duties would result in a fine. Act ofJune 18, 1798, ch. 54, §2, 1 Stat. 567 (specifying
that these obligations %shall be the duty of the clerk" (emphasis added)). Not long
thereafter, the Seventh Congress mandated that state courts maintain a registry of
aliens seeking naturalization. Court clerks were required to receive certain information
from aliens, record that data, and provide certificates to the aliens; the statute
specified fees to be received by local officials in compensation. Act of Apr. 14,
1802, ch. 28, §2, 2 Stat. 154-155 (specifying that these burdens "shall be the duty
of such clerk" including clerks "of a . . . state" (emphasis added)). 9
Similarly, the First Congress enacted legislation requiring state courts to serve,
functionally, like contemporary regulatory agencies in certifying the seaworthiness
of vessels. Act of July 20, 1790, ch. 29, §3, 1 Stat. 132-133. The majority casts
this as an adjudicative duty, ante, at 6, but that characterization is misleading.
The law provided that upon a complaint raised by a ship's crew members, the state
courts were (if no federal court was proximately located) to appoint an investigative
committee of three persons "most skilful in maritime affairs" to report back. On this
basis, the judge was to determine whether the ship was fit for its intended voyage.
The statute sets forth, in essence, procedures for an expert inquisitorial proceeding,
supervised by a judge but otherwise more characteristic of executive activity. 10
The Court assumes that the imposition of such essentially executive duties on state
judges and their clerks sheds no light on the question whether executive officials
might have an immunity from federal obligations. Ante, at 6. Even assuming that the
enlistment of state judges in their judicial role for federal purposes is irrelevant
to the question whether executive officials may be asked to perform the same function--a
claim disputed below, see infra, at 32--the majority's analysisis badly mistaken.
We are far truer to the historical record by applying a functional approach in assessing
the role played by these early state officials. The use of state judges and their
clerks to perform executive functions was, in historical context, hardly unusual.
As one scholar has noted, "two centuries ago, state and local judges and associated
judicial personnel performed many of the functions today performed by executive officers,
including such varied tasks as laying city streets and ensuring the seaworthiness
of vessels." Caminker, State Sovereignty and Subordinacy: May Congress Commandeer
State Officers to Implement Federal Law?, 95 Colum. L. Rev. 1001, 1045, n. 176 (1995).
And, of course, judges today continue to perform a variety of functions that may more
properly be described as executive. See, e.g., Forrester v. White, 484 U.S. 219, 227
(1988) (noting "intelligible distinction between judicial acts and the administrative,
legislative, or executive functions that judges may on occasion be assigned to perform").
The majority's insistence that this evidence of federal enlistment of state officials
to serve executive functions is irrelevant simply because the assistance of "judges"
was at issue rests on empty formalistic reasoning of the highest order. 11
The Court's evaluation of the historical evidence, furthermore, fails to acknowledge
the important difference between policy decisions that may have been influenced by
respect for state sovereignty concerns, and decisions that are compelled by the Constitution.
12 Thus, for example, the decision by Congress to give President Wilson the authority
to utilize the services of state officers in implementing the World War I draft, see
Act of May 18, 1917, ch. 15, §6, 40 Stat. 80-81, surely indicates that the national
legislature saw no constitutional impediment to the enlistment of state assistance
during a federal emergency. The fact that the President was able to implement the
program by respectfully "request[ing]" state action, rather than bluntly commanding
it, is evidence that he was an effective statesman, but surely does not indicate that
he doubted either his or Congress' power to use mandatory language if necessary. 13
If there were merit to the Court's appraisal of this incident, one would assume that
there would have been some contemporary comment on the supposed constitutional concern
that hypothetically might have motivated the President's choice of language. 14
The Court concludes its review of the historical materials with a reference to the
fact that our decision in INS v. Chadha, 462 U.S. 919 (1983), invalidated a large
number of statutes enacted in the 1970's, implying that recent enactments by Congress
that are similar to the Brady Act are not entitled to any presumption of validity.
But in Chadha, unlike this case, our decision rested on the Constitution's express
bicameralism and presentment requirements, id., at 946, not on judicial inferences
drawn from a silent text and a historical record that surely favors the congressional
understanding. Indeed, the majority's opinion consists almost entirely of arguments
against the substantial evidenceweighing in opposition to its view; the Court's ruling
is strikingly lacking in affirmative support. Absent even a modicum of textual foundation
for its judicially crafted constitutional rule, there should be a presumption that
if the Framers had actually intended such a rule, at least one of them would have
mentioned it. 15
The Court's "structural" arguments are not sufficient to rebut that presumption.
The fact that the Framers intended to preserve the sovereignty of the several States
simply does not speak to the question whether individual state employees may be required
to perform federal obligations, such as registering young adults for the draft, 40
Stat. 80-81, creating state emergency response commissions designed to manage the
release of hazardous substances, 42 U.S.C. §§ 11001 11003, collecting and reporting
data on underground storage tanks that may pose an environmental hazard, §6991a, and
reporting traffic fatalities, 23 U.S.C. § 402(a), and missing children, 42 U.S.C.
§ 5779(a), to a federal agency. 16
As we explained in Garcia v. San Antonio Metropolitan Transit Authority, 469 U.S.
528 (1985):%[T]he principal means chosen by the Framers to ensure the role of the
States in the federal system lies in the structure of the Federal Government itself.
It is no novelty to observe that the composition of the Federal Government was designed
in large part to protect the States from overreaching by Congress." Id., at 550-551.
Given the fact that the Members of Congress are electedby the people of the several
States, with each State receiving an equivalent number of Senators in order to ensure
that even the smallest States have a powerful voice in the legislature, it is quite
unrealistic to assume that they will ignore the sovereignty concerns of their constituents.
It is far more reasonable to presume that their decisions to impose modest burdens
on state officials from time to time reflect a considered judgment that the people
in each of the States will benefit therefrom.
Indeed, the presumption of validity that supports all congressional enactments 17
has added force with respect to policy judgments concerning the impact of a federal
statute upon the respective States. The majority points to nothing suggesting that
the political safeguards of federalism identified in Garcia need be supplemented by
a rule, grounded in neither constitutional history nor text, flatly prohibiting the
National Government from enlisting state and local officials in the implementation
of federal law.
Recent developments demonstrate that the political safeguards protecting Our Federalism
are effective. Themajority expresses special concern that were its rule not adopted
the Federal Government would be able to avail itself of the services of state government
officials "at no cost to itself." Ante, at 23; see also ante, at 31 (arguing that
"Members of Congress can take credit for `solving' problems without having to ask
their constituents to pay for the solutions with higher federal taxes"). But this
specific problem of federal actions that have the effect of imposing so called "unfunded
mandates" on the States has been identified and meaningfully addressed by Congress
in recent legislation. 18 See Unfunded Mandates Reform Act of 1995, Pub. L. 104-4,
109 Stat. 48.
The statute was designed "to end the imposition, in the absence of full consideration
by Congress, of Federal mandates on State . . . governments without adequate Federal
funding, in a manner that may displace other essential State . . . governmental priorities."
2 U. S. C. A. §1501(2) (Supp. 1997). It functions, inter alia, by permitting Members
of Congress to raise an objection by point of order to a pending bill that contains
an "unfunded mandate," as defined by the statute, of over $50 million. 19 The mandate
may not then be enacted unless the Members make an explicit decision to proceed anyway.
See Recent Legislation, Unfunded Mandates Reform Act of 1995, 109 Harv. L. Rev. 1469
(1996) (describing functioning of statute). Whatever the ultimate impact of the new
legislation, its passage demonstrates that unelected judges are better off leaving
the protection of federalism to the political process in all but the most extraordinary
circumstances. 20
Perversely, the majority's rule seems more likely to damage than to preserve the
safeguards against tyranny provided by the existence of vital state governments. By
limiting the ability of the Federal Government to enlist state officials in the implementation
of its programs, the Court creates incentives for the National Government to aggrandize
itself. In the name of State's rights, the majority would have the Federal Government
create vast national bureaucracies to implement its policies. This is exactly the
sort of thing that the early Federalists promised would not occur, in part as a result
of the National Government's ability to rely on the magistracy of the states. See,
e.g., The Federalist No. 36, at 234-235 (Hamilton); id., No. 45, at 318(Madison).
21
With colorful hyperbole, the Court suggests that the unity in the Executive Branch
of the Federal Government "would be shattered, and the power of the President would
be subject to reduction, if Congress could . . . require . . . state officers to execute
its laws." Ante, at 23-24. Putting to one side the obvious tension between the majority's
claim that impressing state police officers will unduly tip the balance of power in
favor of the federal sovereign and this suggestion that it will emasculate the Presidency,
the Court's reasoningcontradicts New York v. United States. 22
That decision squarely approved of cooperative federalism programs, designed at the
national level but implemented principally by state governments. New York disapproved
of a particular method of putting such programs into place, not the existence of federal
programs implemented locally. See New York, 505 U.S., at 166 ("Our cases have identified
a variety of methods . . . by which Congress may urge a State to adopt a legislative
program consistent with federal interests"). Indeed, nothing in the majority's holding
calls into question the three mechanisms for constructing such programs that New York
expressly approved. Congress may require the States to implement its programs as a
condition of federal spending, 23 in order to avoid the threat of unilateral federal
action in the area, 24 or as a part of a program that affects States and private parties
alike. 25 The majority's suggestion in response to this dissent that Congress' ability
to create such programs is limited, ante, at 24, n. 12, is belied by the importance
and sweep of the federal statutes that meet this description, some of which we described
in New York. See id., at 167-168 (mentioning, inter alia, the Clean Water Act, the
Occupational Safety and Health Act of 1970, and the Resource Conservation and Recovery
Act of 1976).
Nor is there force to the assumption undergirding the Court's entire opinion that
if this trivial burden on state sovereignty is permissible, the entire structure of
federalism will soon collapse. These cases do not involve any mandate to state legislatures
to enact new rules. When legislative action, or even administrative rule making, is
at issue, it may be appropriate for Congress either to pre-empt the State's lawmaking
power and fashion the federal rule itself, or to respect the State's power to fashion
its own rules. But this case, unlike any precedent in which the Court has held that
Congress exceeded its powers, merely involves the imposition of modest duties on individual
officers. The Court seems to accept the fact that Congress could require private persons,
such as hospital executives or school administrators, to provide arms merchants with
relevant information about a prospective purchaser's fitness to own a weapon; indeed,
the Court does not disturb the conclusion that flows directly from our prior holdings
that the burden on police officers would be permissible if a similar burden were also
imposed on private parties with access to relevant data. See New York, 505 U.S., at
160 ; Garcia v. San Antonio Metropolitan Transit Authority, 469 U.S. 528 (1985). A
structural problem that vanishes when the statute affects private individuals as well
as public officials is not much of a structuralproblem.
Far more important than the concerns that the Court musters in support of its new
rule is the fact that the Framers entrusted Congress with the task of creating a working
structure of intergovernmental relationships around the framework that the Constitution
authorized. Neither explicitly nor implicitly did the Framers issue any command that
forbids Congress from imposing federal duties on private citizens or on local officials.
As a general matter, Congress has followed the soundpolicy of authorizing federal
agencies and federal agents to administer federal programs. That general practice,
however, does not negate the existence of power to rely on state officials in occasional
situations in which such reliance is in the national interest. Rather, the occasional
exceptions confirm the wisdom of Justice Holmes' reminder that "the machinery of government
would not work if it were not allowed a little play in its joints." Bain Peanut Co.
of Tex. v. Pinson, 282 U.S. 499, 501 (1931).
Finally, the Court advises us that the "prior jurisprudence of this Court" is the
most conclusive support for its position. Ante, at 26. That "prior jurisprudence"
is New York v. United States. 26 The case involved the validity of a federal statute
that provided the States with three types of incentives to encourage them to dispose
of radioactive wastes generated within their borders. The Court held that the first
two sets of incentives were authorized by affirmative grants of power to Congress,
and therefore "not inconsistent with the Tenth Amendment." 505 U.S., at 173 , 174.
That holding, of course, sheds no doubt on the validity of the Brady Act.
The third so called "incentive" gave the States the option either of adopting regulations
dictated by Congress or of taking title to and possession of the low level radioactive
waste. The Court concluded that, because Congress had no power to compel the stategovernments
to take title to the waste, the "option" really amounted to a simple command to the
States to enact and enforce a federal regulatory program. Id., at 176. The Court explained:
"A choice between two unconstitutionally coercive regulatory techniques is no choice
at all. Either way, `the Act commandeers the legislative processes of the States by
directly compelling them to enact and enforce a federal regulatory program,' Hodel
v. Virginia Surface Mining & Reclamation Assn., Inc., supra, at 288, an outcome that
has never been understood to lie within the authority conferred upon Congress by the
Constitution." Ibid.
After noting that the "take title provision appears to be unique" because no other
federal statute had offered "a state government no option other than that of implementing
legislation enacted by Congress," the Court concluded that the provision was "inconsistent
with the federal structure of our Government established by the Constitution." Id.,
at 177.
Our statements, taken in context, clearly did not decide the question presented here,
whether state executive officials--as opposed to state legislators--may in appropriate
circumstances be enlisted to implement federal policy. The "take title" provision
at issue in New York was beyond Congress' authority to enact because it was "in principle
. . . no different than a congressionally compelled subsidy from state governments
to radioactive waste producers," 505 U.S., at 175 , almost certainly a legislative
act.
The majority relies upon dictum in New York to the effect that "[t]he Federal Government
may not compel the States to enact or administer a federal regulatory program." Id.,
at 188 (emphasis added); see ante, at 35. But that language was wholly unnecessary
to the decision of the case. It is, of course, beyond dispute thatwe are not bound
by the dicta of our prior opinions. See, e.g., U. S. Bancorp Mortgage Co. v. Bonner
Mall Partnership, 513 U.S. 18, 24 (1994) (Scalia, J.) ("invoking our customary refusal
to be bound by dicta"). To the extent that it has any substance at all, New York's
administration language may have referred to the possibility that the State might
have been able to take title to and devise an elaborate scheme for the management
of the radioactive waste through purely executive policymaking. But despite the majority's
effort to suggest that similar activities are required by the Brady Act, see ante,
at 28-29, it is hard to characterize the minimal requirement that CLEOs perform background
checks as one involving the exercise of substantial policymaking discretion on that
essentially legislative scale. 27
Indeed, Justice Kennedy's recent comment about another case that was distinguishable
from New York applies to these cases as well:
"This is not a case where the etiquette of federalism has been violated by a formal
command from the National Government directing the State to enact a certain policy,
cf. New York v. United States, 505 U.S. 144 (1992), or to organize its governmental
functions in a certain way, cf. FERC v. Mississippi, 456 U.S., at 781 , (O'Connor,
J., concurring in judgment in part and dissenting in part)." Lopez, 514 U.S., at 583
(Kennedy, J., concurring).
In response to this dissent, the majority asserts that the difference between a federal
command addressed to individuals and one addressed to the State itself "cannot be
a constitutionally significant one." Ante, at 32. But as I have already noted, n.
16, supra, there is abundant authority in our Eleventh Amendment jurisprudence recognizing
a constitutional distinction between local government officials, such as the CLEO's
who brought this action, and State entities that are entitled to sovereign immunity.
To my knowledge, no one has previously thought that the distinction "disembowels,"
ante, at 32-33, the Eleventh Amendment. 28
Importantly, the majority either misconstrues or ignores three cases that are more
directly on point. In FERC, we upheld a federal statute requiring state utilities
commissions, inter alia, to take the affirmative step of considering federal energy
standards in a manner complying with federally specified notice and comment procedures,
and to report back to Congress periodically. The state commissions could avoid this
obligation only by ceasing regulation in the field, a "choice" that we recognized
was realistically foreclosed, since Congress had put forward no alternative regulatory
scheme to govern this very important area. 456 U.S., at 764 , 766, 770. The burden
on state officials that we approved in FERC was far more extensive than the minimal,
temporary imposition posed by the Brady Act. 29
Similarly, in Puerto Rico v. Branstad, 483 U.S. 219 (1987), we overruled our earlier
decision in Kentucky v. Dennison, 24 How. 66 (1861), and held that the Extradition
Act of 1793 permitted the Commonwealth of Puerto Rico to seek extradition of a fugitive
from its laws without constitutional barrier. The Extradition Act, as the majority
properly concedes, plainly imposes duties on state executive officers. See ante, at
8. The majority suggests that this statute is nevertheless of little importance because
it simply constitutes an implementation of the authority granted the National Government
by the Constitution's Extradition Clause, Art. IV, §2. But in Branstad we noted ambiguity
as to whether Puerto Rico benefits from that Clause, which applies on its face only
to "States." Avoiding the question of the Clause's applicability, we held simply that
under the Extradition Act Puerto Rico had the power to request that the State of Iowa
deliver up the fugitive the Commonwealth sought. 483 U.S., at 229 -230. Although Branstad
relied on the authority of the Act alone, without the benefit of the Extradition Clause,
we noted no barrier to our decision in the principles of federalism--despite the fact
that one Member of the Court brought the issue to our attention, see id., at 231(Scalia,
J., concurring in part and concurring in judgment). 30
Finally, the majority provides an incomplete explana tion of our decision in Testa
v. Katt, 330 U.S. 386 (1947), and demeans its importance. In that case the Court unanimously
held that state courts of appropriate jurisdiction must occupy themselves adjudicating
claims brought by private litigants under the federal Emergency Price Control Act
of 1942, regardless of how otherwise crowded their dockets might be with state law
matters. That is a much greater imposition on state sovereignty than the Court's characterization
of the case as merely holding that "state courts cannot refuse to apply federal law,"
ante, at 30. That characterization describes only the narrower duty to apply federal
law in cases that the state courts have consented to entertain.
The language drawn from the Supremacy Clause upon which the majority relies ("the
Judges in every State shall be bound [by federal law], any Thing in the Constitution
or Laws of any state to the Contrary notwithstanding"), expressly embraces that narrower
conflict of laws principle. Art. VI, cl. 2. But the Supremacy Clause means far more.
As Testa held, because the "Laws of the United States . . . [are] the supreme Law
of the Land," state courts of appropriate jurisdiction must hear federal claims whenever
a federal statute, such as the Emergency Price Control Act, requires them to do so.
Ibid.
Hence, the Court's textual argument is quite misguided. The majority focuses on the
Clause's specific attention to the point that "Judges in every State shall bebound."
Ibid. That language commands state judges to "apply federal law" in cases that they
entertain, but it is not the source of their duty to accept jurisdiction of federal
claims that they would prefer to ignore. Our opinions in Testa, and earlier the Second
Employers' Liability Cases, rested generally on the language of the Supremacy Clause,
without any specific focus on the
reference to judges. 31
The majority's reinterpretation of Testa also contradicts our decision in FERC. In
addition to the holding mentioned earlier, see supra, at 30, we also approved in that
case provisions of federal law requiring a state utilities commission to "adjudicate
disputes arising under [a federal] statute." FERC, 456 U.S., at 760 . Because the
state commission had "jurisdiction to entertain claims analogous to those" put before
it under the federal statute, ibid., we held that Testa required it to adjudicate
the federal claims. Although the commission was serving an adjudicative function,
the commissioners were unquestionably not "judges" within the meaning of Art. VI,
cl. 2. It is impossible to reconcile the Court's present view that Testa rested entirely
on the specific reference to state judges in the Supremacy Clause with our extension
of that early case in FERC. 32
Even if the Court were correct in its suggestion that it was the reference to judges
in the Supremacy Clause, rather than the central message of the entire Clause, that
dictated the result in Testa, the Court's implied expressio unius argument that the
Framers therefore did not intend to permit the enlistment of other state officials
is implausible. Throughout our history judges, state as well as federal, have merited
as much respect as executive agents. The notion that the Framers would have had no
reluctance to "press state judges into federal service" against their will but would
have regarded the imposition of a similar--indeed, far lesser-- burden on town constables
as an intolerable affront to principles of state sovereignty, can only be considered
perverse. If such a distinction had been contemplated by the learned and articulate
men who fashioned the basic structure of our government, surely some of them would
have said so. 33
* * *
The provision of the Brady Act that crosses the Court's newly defined constitutional
threshold is more comparable to a statute requiring local police officers to report
the identity of missing children to the Crime Control Center of the Department of
Justice than to an offensive federal command to a sovereign state. If Congress believes
that such a statute will benefit the people of the Nation, and serve the interests
of cooperative federalism better than an enlarged federal bureaucracy, we should respect
both its policy judgment and its appraisal of its constitutional power.
Accordingly, I respectfully dissent.
----------------------------------------------------------------------------
U.S. Supreme Court
Nos. 95-1478 and 95-1503
JAY PRINTZ, SHERIFF/CORONER, RAVALLI COUNTY, MONTANA, PETITIONER 95-1478 v. UNITED
STATES RICHARD MACK, PETITIONER 95-1503
on writs of certiorari to the united states court of appeals for the ninth circuit
[June 27, 1997]
Justice Souter, dissenting.
I join Justice Stevens's dissenting opinion, but subject to the following qualifications.
While I do not find anything dispositive in the paucity of early examples of federal
employment of state officers for executive purposes, for the reason given by Justice
Stevens, ante, at 11-12, neither would I find myself in dissent with no more to go
on than those few early instances in the administration of naturalization laws, for
example, or such later instances as state support for federal emergency action, see
ante, at 12-14; ante, at 5-10, 16-18 (majority opinion). These illustrations of state
action implementing congressional statutes are consistent with the Government's positions,
but they do not speak to me with much force.
In deciding these cases, which I have found closer than I had anticipated, it is
The Federalist that finally determines my position. I believe that the most straightforward
reading of No. 27 is authority for theGovernment's position here, and that this reading
is both supported by No. 44 and consistent with Nos. 36 and 45.
Hamilton in No. 27 first notes that because the new Constitution would authorize
the National Government to bind individuals directly through national law, it could
"employ the ordinary magistracy of each [State] in the execution of its laws." The
Federalist No. 27, p. 174 (J. Cooke ed. 1961) (A. Hamilton). Were he to stop here,
he would not necessarily be speaking of anything beyond the possibility of cooperative
arrangements by agreement. But he then addresses the combined effect of the proposed
Supremacy Clause, U. S. Const., Art. VI, cl. 2, and state officers's oath requirement,
U. S. Const., Art. VI, cl. 3, and he states that "the Legislatures, Courts and Magistrates
of the respective members will be incorporated into the operations of the national
government, as far as its just and constitutional authority extends; and will be rendered
auxiliary to the enforcement of its laws." The Federalist No. 27, at 174-175 (emphasis
in original). The natural reading of this language is not merely that the officers
of the various branches of state governments may be employed in the performance of
national functions; Hamilton says that the state governmental machinery "will be incorporated"
into the Nation's operation, and because the "auxiliary" status of the state officials
will occur because they are "bound by the sanctity of an oath," id., at 175, I take
him to mean that their auxiliary functions will be the products of their obligations
thus undertaken to support federal law, not of their own, or the States', unfettered
choices. 1
Madison in No. 44 supports this reading in his commentary on the oath requirement.
He asks why state magistrates should have to swear to support the National Constitution,
when national officials will not be required to oblige themselves to support the state
counterparts. His answer is that national officials "will have no agency in carrying
the State Constitutions into effect. The members and officers of the State Governments,
on the contrary, will have an essential agency in giving effect to the Federal Constitution."
The Federalist No. 44, at 307 (J. Madison). He then describes the state legislative
"agency" as action necessary for selecting the President, see U. S. Const., Art. II,
§1, and the choice of Senators, see U. S. Const., Art. I, §3 (repealed by Amendment
XVII). Ibid. The Supremacy Clause itself, of course, expressly refers to the state
judges' obligations under federal law, and other numbers of The Federalist give examples
of state executive "agency" in the enforcement of national revenue laws. 2
Two such examples of anticipated state collection of federal revenue are instructive,
each of which is put forward to counter fears of a proliferation of tax collectors.
In No. 45, Hamilton says that if a State is not given (or declines to exercise) an
option to supply its citizens' share of a federal tax, the "eventual collection [of
the federal tax] under the immediate authority of the Union, will generally be made
by the officers, andaccording to the rules, appointed by the several States." The
Federalist No. 45, at 313. And in No. 36, he explains that the National Government
would more readily "employ the State officers as much as possible, and to attach them
to the Union by an accumulation of their emoluments," The Federalist No. 36, at 228,
than by appointing separate federal revenue collectors.
In the light of all these passages, I cannot persuade myself that the statements
from No. 27 speak of anything less than the authority of the National Government,
when exercising an otherwise legitimate power (the commerce power, say), to require
state "auxiliaries" to take appropriate action. To be sure, it does not follow that
any conceivable requirement may be imposed on any state official. I continue to agree,
for example, that Congress may not require a state legislature to enact a regulatory
scheme and that New York v. United States, 505 U.S. 144 (1992) was rightly decided
(even though I now believe its dicta went too far toward immunizing state administration
as well as state enactment of such a scheme from congressional mandate); after all,
the essence of legislative power, within the limits of legislative jurisdiction, is
a discretion not subject to command. But insofar as national law would require nothing
from a state officer inconsistent with the power proper to his branch of tripartite
state government (say, by obligating a state judge to exercise law enforcement powers),
I suppose that the reach of federal law as Hamilton described it would not be exceeded,
cf. Garcia v. San Antonio Metropolitan Transit Authority, 469 U.S. 528, 554 , 556-567
(1985) (without precisely delineating the outer limits of Congress's Commerce Clause
power, finding that the statute at issue was not "destructive of state sovereignty").
I should mention two other points. First, I recognize that my reading of The Federalist
runs counter to the view of Justice Field, who stated explicitly in United States
v. Jones, 109 U.S. 513, 519 -520 (1883), that the early examples of state execution
of federal law couldnot have been required against a State's will. But that statement,
too, was dictum, and as against dictum even from Justice Field, Madison and Hamilton
prevail. Second, I do not read any of The Federalist material as requiring the conclusion
that Congress could require administrative support without an obligation to pay fair
value for it. The quotation from No. 36, for example, describes the United States
as paying. If, therefore, my views were prevailing in these cases, I would remand
for development and consideration of petitioners' points, that they have no budget
provision for work required under the Act and are liable for unauthorized expenditures.
Brief for Petitioner in No. 95-1478, pp. 4-5; Brief for Petitioner in No. 95-1503,
pp. 6-7.
----------------------------------------------------------------------------
U.S. Supreme Court
Nos. 95-1478 and 95-1503
JAY PRINTZ, SHERIFF/CORONER, RAVALLI COUNTY, MONTANA, PETITIONER 95-1478 v. UNITED
STATES RICHARD MACK, PETITIONER 95-1503
on writs of certiorari to the united states court of appeals for the ninth circuit
[June 27, 1997]
Justice Breyer, with whom Justice Stevens joins, dissenting.
I would add to the reasons Justice Stevens sets forth the fact that the United States
is not the only nation that seeks to reconcile the practical need for a central authority
with the democratic virtues of more local control. At least some other countries,
facing the same basic problem, have found that local control is better maintained
through application of a principle that is the direct opposite of the principle the
majority derives from the silence of our Constitution. The federal systems of Switzerland,
Germany, and the European Union, for example, all provide that constituent states,
not federal bureaucracies, will themselves implement many of the laws, rules, regulations,
or decrees enacted by the central "federal" body. Lenaerts, Constitutionalism and
the Many Faces of Federalism, 38 Am. J. Comp. L. 205, 237 (1990); D. Currie, The Constitution
of the FederalRepublic of Germany 66, 84 (1994); Mackenzie Stuart, Foreward, Comparative
Constitutional Federalism: Europe and America ix (M. Tushnet ed. 1990); Kimber, A
Comparison of Environmental Federalism in the United States and the European Union,
54 Md. L. Rev. 1658, 1675-1677 (1995). They do so in part because they believe that
such a system interferes less, not more, with the independent authority of the "state,"
member nation, or other subsidiary government, and helps to safeguard individual liberty
as well. See Council of European Communities, European Council in Edinburgh, 11-12
December 1992, Conclusions of the Presidency 20-21 (1993); D. Lasok & K. Bridge, Law
and Institutions of the European Union 114 (1994); Currie, supra, at 68, 81-84, 100-101;
Frowein, Integration and the Federal Experience in Germany and Switzerland, 1 Integration
Through Law 573, 586-587 (M. Cappelletti, M. Seccombe, & J. Weiler eds. 1986); Lenaerts,
supra, at 232, 263.
Of course, we are interpreting our own Constitution, not those of other nations,
and there may be relevant political and structural differences between their systems
and our own. Cf. The Federalist No. 20, pp. 134-138 (C. Rossiter ed. 1961) (J. Madison
and A. Hamilton) (rejecting certain aspects of European federalism). But their experience
may nonetheless cast an empirical light on the consequences of different solutions
to a common legal problem--in this case the problem of reconciling central authority
with the need to preserve the liberty enhancing autonomy of a smaller constituent
governmental entity. Cf. id., No. 42, p. 268 (J. Madison) (looking to experiences
of European countries); id., No. 43, pp. 275, 276 (J. Madison) (same). And that experience
here offers empirical confirmation of the implied answer to a question Justice Stevens
asks: Why, or how, would what the majority sees as a constitutional alternative--the
creation of a new federal gun law bureaucracy,or the expansion of an existing federal
bureaucracy-- better promote either state sovereignty or individual liberty? See ante,
at 7-8, 23 (Stevens, J., dissenting).
As comparative experience suggests, there is no need to interpret the Constitution
as containing an absolute principle--forbidding the assignment of virtually any federal
duty to any state official. Nor is there a need to read the Brady Act as permitting
the Federal Government to overwhelm a state civil service. The statute uses the words
"reasonable effort," 18 U.S.C. § 922(s)(2)--words that easily can encompass the considerations
of, say, time or cost, necessary to avoid any such result.
Regardless, as Justice Stevens points out, the Constitution itself is silent on the
matter. Ante, at 7, 18, 25 (Stevens, J., dissenting). Precedent supports the Government's
position here. Ante, at 19, 23-25, 26-34 (Stevens, J., dissenting). And the fact that
there is not more precedent--that direct federal assignment of duties to state officers
is not common--likely reflects, not a widely shared belief that any such assignment
is incompatible with basic principles of federalism, but rather a widely shared practice
of assigning such duties in other ways. See, e.g., South Dakota v. Dole, 483 U.S.
203 (1987) (spending power); Garcia v. United States, 469 U.S. 70 (1984); New York
v. United States, 505 U.S. 144, 160 (1992) (general statutory duty); FERC v. Mississippi,
456 U.S. 742 (1982) (pre emption). See also ante, at 4-5 (Souter, J., dissenting).
Thus, there is neither need nor reason to find in the Constitution an absolute principle,
the inflexibility of which poses a surprising and technical obstacle to the enactment
of a law that Congress believed necessary to solve an important national problem.
For these reasons and those set forth in Justice Stevens' opinion, I join his dissent.
Footnotes
[ Footnote * ] Together with No. 95-1503, Mack v. United States, also on certiorari
to the same court.
[ Footnote 1 ] The dissent is wrong in suggesting, post, at 13, n. 9, that the Second
Employers' Liability Cases, 223 U.S. 1 (1912), eliminate the possibility that the
duties imposed on state courts and their clerks in connection with naturalization
proceedings were contingent on the State's voluntary assumption of the task of adjudicating
citizenship applications. The Second Employers' Liability Cases stand for the proposition
that a state court must entertain a claim arising under federal law "when its ordinary
jurisdiction as prescribed by local law is appropriate to the occasion and is invoked
in conformity with those laws." Id., at 56-57. This does not necessarily conflict
with Holmgren and Jones, as the States obviously regulate the "ordinary jurisdiction"
of their courts. (Our references throughout this opinion to "the dissent" are to the
dissenting opinion of Justice Stevens, joined by Justice Ginsburg and Justice Breyer.
The separate dissenting opinions of Justice Breyer and Justice Souter will be referred
to as such.)
[ Footnote 2 ] Bereft of even a single early, or indeed even pre-20th century, statute
compelling state executive officers to administer federal laws, the dissent is driven
to claim that early federal statutes compelled state judges to perform executive functions,
which implies a power to compel state executive officers to do so as well. Assuming
that this implication wouldfollow (which is doubtful), the premise of the argument
is in any case wrong. None of the early statutes directed to state judges or court
clerks required the performance of functions more appropriately characterized as executive
than judicial (bearing in mind that the line between the two for present purposes
is not necessarily identical with the line established by the Constitution for federal
separation of powers purposes, see Sweezy v. New Hampshire, 354 U.S. 234, 255 (1957)).
Given that state courts were entrusted with the quintessentially adjudicative task
of determining whether applicants for citizenship met the requisite qualifications,
see Act of Mar. 26, 1790, ch. 3, §1, 1 Stat. 103, it is unreasonable to maintain that
the ancillary functions of recording, registering, and certifying the citizenship
applications were unalterably executive rather than judicial in nature. The dissent's
assertion that the Act of July 20, 1790, ch. 29, §3, 1 Stat. 132-133, which required
state courts to resolve controversies between captain and crew regarding seaworthiness
of a vessel, caused state courts to act "like contemporary regulatory agencies," post,
at 14, is cleverly true--because contemporary regulatory agencies have been allowed
to perform adjudicative ("quasi judicial") functions. See 5 U.S.C. § 554; Humphrey's
Executor v. United States, 295 U.S. 602 (1935). It is foolish, however, to mistake
the copy for the original, and to believe that 18th century courts were imitating
agencies, rather than 20th century agencies imitating courts. The Act's requirement
that the court appoint "three persons in the neighbourhood . . . most skilful in maritime
affairs" to examine the ship and report on its condition certainly does not change
the proceeding into one "supervised by a judge but otherwise more characteristic of
executive activity," post, at 14; that requirement is not significantly different
from the contemporary judicial practice of appointing expert witnesses, see e.g.,
Fed. Rule Evid. 706. The ultimate function of the judge under the Act was purely adjudicative;
he was, after receiving the report, to "adjudge and determine . . . whether said ship
or vessel is fit to proceed on the intended voyage . . . ." 1 Stat. 132.
[ Footnote 3 ] Article IV, §2, cl. 2 provides: "A Person charged in any State with
Treason, Felony, or other Crime, who shall flee from Justice, and be found in another
State, shall on Demand of the executive Authority of the State from which he fled,
be delivered up, to be removed to the State having Jurisdiction of the Crime." To
the extent the legislation went beyond the substantive requirement of this provision
and specified procedures to be followed in complying with the constitutional obligation,
we have found that that was an exercise of the congressional power to "prescribe the
Manner in which such Acts, Records and Proceedings, shall be proved, and the Effect
thereof," Art. IV, §1. See California v. Superior Court of Cal., San Bernardino Cty.,
482 U.S. 400, 407 (1987).
[ Footnote 4 ] Both the dissent and Justice Souter dispute that the consequences
are said to flow automatically. They are wrong. The passage says that (1) federal
laws will be supreme, and (2) all state officers will be oath bound to observe those
laws, and thus (3) state officers will be "incorporated" and "rendered auxiliary."
The reason the progression is automatic is that there is not included between (2)
and (3): "(2a) those laws will include laws compelling action by state officers."
It is the mere existence of all federal laws that is said to make state officers "incorporated"
and "auxiliary."
[ Footnote 5 ] Justice Souter seeks to avoid incompatibility with New York (a decision
which he joined and purports to adhere to), by saying, post, at 3-4, that the passage
does not mean "any conceivable requirement maybe imposed on any state official," and
that "the essence of legislative power . . . is a discretion not subject to command,"
so that legislatures, at least, cannot be commanded. But then why were legislatures
mentioned in the passage? It seems to us assuredly not a "natural reading" that being
"rendered auxiliary to the enforcement of [the national government's] laws" means
impressibility into federal service for "courts and magistrates" but something quite
different for "legislatures." Moreover, the novel principle of political science that
Justice Souter invokes in order to bring forth disparity of outcome from parity of
language--namely, that "[t]he essence of legislative power . . . is a discretion not
subject to command"--seems to us untrue. Perhaps legislatures are inherently uncommandable
as to the outcome of their legislation, but they are commanded all the time as to
what subjects they shall legislate upon--commanded, that is, by the people, in constitutional
provisions that require, for example, the enactment of annual budgets or forbid the
enactment of laws permitting gambling. We do not think that state legislatures would
be betraying their very "essence" as legislatures (as opposed to their nature as sovereigns,
a nature they share with the other two branches of government) if they obeyed a federal
command to enact laws, for example, criminalizing the sale of marijuana.
[ Footnote 6 ] If Justice Souter finds these obligations too insignificant, see post,
at 3, n. 1, then perhaps he should subscribe to the interpretations of "essential
agency" given by Madison, see infra, at 15 andn. 8, or by Story, see infra, n. 9.
The point is that there is no necessity to give the phrase the problematic meaning
which alone enables him to use it as a basis for deciding this case.
[ Footnote 7 ] Justice Souter deduces from this passage in No. 36 that although the
Federal Government may commandeer state officers, it must compensate them for their
services. This is a mighty leap, which would create a constitutional jurisprudence
(for determining when the compensation was adequate) that would make takings cases
appear clear and simple.
[ Footnote 8 ] Justice Souter's discussion of this passage omits to mention that
it contains an example of state executives' "essential agency"--and indeed implies
the opposite by observing that "other numbers of the Federalist give examples" of
the "essential agency" of state executive officers. Post, at 4 (emphasis added). In
seeking to explain the curiousness of Madison's not mentioning the state executives'
obligation to administer federal law, Justice Souter says that in speaking of "an
essential agency in giving effect to the Federal Constitution," Federalist No. 44,
Madison "was not talking about executing congressional statutes; he was talking about
putting the National Constitution into effect," post, at 4, n. 2. Quite so, which
is our very point. It is interesting to observe that Story's Commentaries on the Constitution,
commenting upon the same issue of why state officials are required by oath to support
the Constitution, uses the same "essential agency" language as Madison did in Federalist
No. 44, and goes on to give more numerous examples of state executive agency than
Madison did; all of them, however, involve not state administration of federal law,
but merely the implementation of duties imposed on state officers by the Constitution
itself: "The executive authority of the several states may be often called upon to
exert Powers or allow Rights given by the Constitution, as in filling vacancies in
the senate during the recess of the leislature; in issuing writs of election to fill
vacancies in the house of representatives; in officering the militia, and giving effect
to laws for calling them; andin the surrender of fugitives from justice." 2 Story,
Commentaries on the Constitution of the United States 577 (1851).
[ Footnote 9 ] Even if we agreed with Justice Souter's reading of the Federalist
No. 27, it would still seem to us most peculiar to give the view expressed in that
one piece, not clearly confirmed by any other writer, the determinative weight he
does. That would be crediting the most expansive view of federal authority ever expressed,
and from the pen of the most expansive expositor of federal power. Hamilton was "from
first to last the most nationalistic of all nationalists in his interpretation of
the clauses of our federal Constitution." C. Rossiter, Alexander Hamilton and the
Constitution 199 (1964). More specifically, it is widely recognized that "The Federalist
reads with a split personality" on matters of federalism. See D. Braveman, W. Banks,
& R. Smolla, Constitutional Law: Structure and Rights in Our Federal System 198-199
(3d ed. 1996). While overall The Federalist reflects a "large area of agreement between
Hamilton and Madison," Rossiter, supra, at 58, that is not the case with respect to
the subject at hand, see Braveman, supra, at 198-199. To choose Hamilton's view, as
Justice Souter would, is to turn a blind eye to the fact that it was Madison's--not
Hamilton's--that prevailed, not only at the Constitutional Convention and in popular
sentiment, see Rossiter, supra, at 44-47, 194, 196; 1 Records of the Federal Convention
(M. Farrand ed. 1911) 366, but in the subsequent struggle to fix the meaning of the
Constitution by early congressional practice, see supra, at 5-10.
[ Footnote 10 ] The dissent, reiterating Justice Stevens' dissent in New York, 505
U.S., at 210 -213, maintains that the Constitution merely augmented the pre-existing
power under the Articles to issue commands to the States with the additional power
to make demands directly on individuals. See post, at 7-8. That argument, however,
was squarely rejected by the Court in New York, supra, at 161-166, and with good reason.
Many of Congress's powers under Art. I, § 8, were copied almost verbatim fromthe Articles
of Confederation, indicating quite clearly that "[w]here the Constitution intends
that our Congress enjoy a power once vested in the Continental Congress, it specifically
grants it." Prakash, Field Office Federalism, 79 Va. L. Rev. 1957, 1972 (1993).
[ Footnote 11 ] Justice Breyer's dissent would have us consider the benefits that
other countries, and the European Union, believe they have derived from federal systems
that are different from ours. We think such comparative analysis inappropriate to
the task of interpreting a constitution, though it was of course quite relevant to
the task of writing one. The Framers were familiar with many federal systems, from
classical antiquity down to their own time; they are discussed in Nos. 18-20 of The
Federalist. Some were (for the purpose here under discussion) quite similar to the
modern "federal" systems thatJustice Breyer favors. Madison's and Hamilton's opinion
of such systems could not be clearer. Federalist No. 20, after an extended critique
of the system of government established by the Union of Utrecht for the United Netherlands,
concludes: "I make no apology for having dwelt so long on the contemplation of these
federal precedents. Experience is the oracle of truth; and where its responses are
unequivocal, they ought to be conclusive and sacred. The important truth, which it
unequivocally pronounces in the present case, is that a sovereignty over sovereigns,
a government over governments, a legislation for communities, as contradistinguished
from individuals, as it is a solecism in theory, so in practice it is subversive of
the order and ends of civil polity . . . ." Id., at 138. Antifederalists, on the other
hand, pointed specifically to Switzerland--and its then 400 years of success as a
"confederate republic"--as proof that the proposed Constitution and its federal structure
was unnecessary. See Patrick Henry, Speeches given before the Virginia Ratifying Convention,
4 and 5 June, 1788, reprinted in The Essential Antifederalist 123, 135-136 (W. Allen
& G. Lloyd ed. 1985). The fact is that our federalism is not Europe's. It is "the
unique contribution of the Framers to political science and political theory." United
States v. Lopez, 514 U.S. 549, 575 (1995) (Kennedy, J., concurring) (citing Friendly,
Federalism: A Forward, 86 Yale L. J. 1019 (1977)).
[ Footnote 12 ] There is not, as the dissent believes, post, at 23, "tension" between
the proposition that impressing state police officers into federal service will massively
augment federal power, and the proposition that it will also sap the power of the
Federal Presidency. It is quite possible to have a more powerful Federal Government
that is, by reason of the destruction of its Executive unity, a less efficient one.
The dissent is correct, post, at 24, that control by the unitary Federal Executive
is also sacrificed when States voluntarily administer federal programs, but the condition
of voluntary state participation significantly reduces the ability of Congress to
use this device as a means of reducing the power of the Presidency.
[ Footnote 13 ] This argument also falsely presumes that the the Tenth Amendment
is the exclusive textual source of protection for principles of federalism. Our system
of dual sovereignty is reflected in numerous constitutional provisions, see supra,
at 19-20, and not only those, like the Tenth Amendment, that speak to the point explicitely.
It is not at all unusual for our resolution of a significant constitutional question
to rest upon reasonable implications. See, e.g., Myers v. United States, 272 U.S.
52 (1926) (finding by implication from Art. II, §§1, 2, that the President has the
exclusive power to remove executive officers); Plaut v. Spendthrift Farm, Inc., 514
U.S. 211 (1995) (finding that Article III implies a lack of congressional power to
set aside final judgments).
[ Footnote 14 ] The dissent points out that FERC cannot be construed as merely following
the principle recognized in Testa that state courts must apply relevant federal law
because "[a]lthough the commission was serving an adjudicative function, the commissioners
were unquestionably not `judges' within the meaning of [the Supremacy Clause]." Post,
at 33. That is true enough. But the answer to the question of which state officers
must apply federal law (only " `judges' within the meaning of [the Supremacy Clause]")
is different from the answer to the question of which state officers may be required
by statute to apply federal law (officers who conduct adjudications similar to those
traditionally performed by judges). It is within the power of the States, as it is
within the power of the Federal Government, see Crowell v. Benson, 285 U.S. 22 (1932),
to transfer some adjudicatory functions to administrative agencies, with opportunity
for subsequent judicial review. But it is alsowithin the power of Congress to prescribe,
explicitly or by implication (as in the legislation at issue in FERC), that those
adjudications must take account of federal law. The existence of this latter power
should not be unacceptable to a dissent that believes distinguishing among officers
on the basis of their title rather than the function they perform is "empty formalistic
reasoning of the highest order," post, at 15. We have no doubt that FERC would not
have been decided the way it was if nonadjudicative responsibilities of the state
agency were at issue.
[ Footnote 15 ] Contrary to the dissent's suggestion, post, at 18-19, n. 16, and
29, the distinction in our Eleventh Amendment jurisprudence between States and municipalities
is of no relevance here. We long ago made clear that the distinction is peculiar to
the question of whether a governmental entity is entitled to Eleventh Amendment sovereign
immunity, see Monell v. New York City Dept. of Social Servs., 436 U.S. 658, 690 ,
n. 55 (1978); we have refused to apply it to the question of whether a governmental
entity is protected by the Constitution's guarantees of federalism, including the
Tenth Amendment, see National League of Cities v. Ursery, 426 U.S. 833, 855 -856,
n. 20 (1976) (overruled on other grounds by Garcia v. San Antonio Metropolitan Transit
Authority, 469 U.S. 528 (1985)); see also Garcia, supra (resolving Tenth Amendment
issues in suit brought by local transit authority).
[ Footnote 16 ] The dissent's suggestion, post, at 28-29, n. 27, that New York v.
United States, 505 U.S. 144 (1992), itself embraced the distinction between congressional
control of States (impermissible) and congressional control of state officers (permissible)
is based upon the most egregious wrenching of statements out of context. It would
take too much to reconstruct the context here, but by examining the entire passage
cited, id., at 178-179, the reader will readily perceive the distortion. The passage
includes, for example, the following: "Additional cases cited by the United States
discuss the power of federal courts to order state officials to comply with federal
law. . . . Again, however, the text of the Constitution plainly confers this authority
on the federal courts . . . . The Constitution contains no analogous grant of authority
to Congress." Id., at 179.
[ Footnote 17 ] The dissent observes that "Congress could require private persons,
such as hospital executives or school administrators, to provide arms merchants with
relevant information about a prospective purchaser's fitness to own a weapon," and
that "the burden on police officers [imposed by the Brady Act] would be permissible
if a similar burden were also imposed on private parties with access to relevant data."
Post, at 25. That is undoubtedly true, but it does not advance the dissent's case.
The Brady Act does not merely require CLEOs to report information in their private
possession. It requires them to provide information that belongs to the State and
is available to them only in their official capacity; and to conduct investigation
in their official capacity, by examining databases and records that only state officials
have access to. In other words, the suggestion that extension of this statute to private
citizens would eliminate the constitutional problem posits the impossible.
[ Footnote 18 ] We note, in this regard, that both CLEOs before us here assert that
they are prohibited from taking on these federal responsibilities under state law.
That assertion is clearly correct with regard to Montana law, which expressly enjoins
any "county . . . or other local government unit" from "prohibit[ing] . . . or regulat[ing]
the purchase, sale or other transfer (including delay in purchase, sale, or other
transfer), ownership, [or] possession . . . of any . . . handgun," Mont. Code §45-8-351(1)
(1995). It is arguably correct with regard to Arizona law as well, which states that
"[a] political subdivision of this state shall not . . . prohibit the ownership, purchase,
sale or transfer of firearms," Ariz. Rev. Stat. §13-3108(B) (1989). We need not resolve
that question today; it is at least clear that Montana and Arizona do not require
their CLEOs to implement the Brady Act, and CLEOs Printz and Mack have chosen not
to do so.
[ Footnote 1 ] Our most recent treatment of the Second Amendment occurred in United
States v. Miller, 307 U.S. 174 (1939), in which we reversed the District Court's invalidation
of the National Firearms Act, enacted in 1934. In Miller, we determined that the Second
Amendment did not guarantee a citizen's right to possess a sawed off shotgun because
that weapon had not been shown to be "ordinary military equipment" that could "contribute
to the common defense." Id., at 178. The Court did not, however, attempt to define,
or otherwise construe, the substantive right protected by the Second Amendment.
[ Footnote 2 ] Marshaling an impressive array of historical evidence, a growing body
of scholarly commentary indicates that the "right to keep and bear arms" is, as the
Amendment's text suggests, a personal right. See, e.g., J. Malcolm, To Keep and Bear
Arms: The Origins of an Anglo American Right 162 (1994); S. Halbrook, That Every Man
Be Armed, The Evolution of a Constitutional Right (1984); Van Alstyne, The Second
Amendment and the Personal Right to Arms, 43 Duke L. J. 1236 (1994); Amar, The Bill
of Rights and the Fourteenth Amendment, 101 Yale L. J. 1193 (1992); Cottrol & Diamond,
The Second Amendment: Toward an Afro Americanist Reconsideration, 80 Geo. L. J. 309
(1991); Levinson, The Embarrassing Second Amendment, 99 Yale L. J. 637 (1989); Kates,
Handgun Prohibition and the Original Meaning of the Second Amendment, 82 Mich. L.
Rev. 204 (1983). Other scholars, however, argue that the Second Amendment does not
secure a personal right to keep or to bear arms. See, e.g., Bogus, Race, Riots, and
Guns, 66 S. Cal. L. Rev. 1365 (1993); Williams, Civic Republicanism and the Citizen
Militia: The Terrifying Second Amendment, 101 Yale L. J. 551 (1991); Brown, Guns,
Cowboys, Philadelphia Mayors, and Civic Republicanism: On Sanford Levinson's The Embarrassing
Second Amendment, 99 Yale L. J. 661 (1989); Cress, An Armed Community: The Origins
and Meaning of the Right to Bear Arms, 71 J. Am. Hist. 22 (1984). Although somewhat
overlooked in our jurisprudence, the Amendment hascertainly engendered considerable
academic, as well as public, debate.
[ Footnote 1 ] Indeed, the Framers repeatedly rejected proposed changes to the Tenth
Amendment that would have altered the text to refer to "powers not expressly delegated
to the United States." 3 W. Crosskey & W. Jeffrey, Politics and the Constitution in
the History of the United States 36 (1980). This was done, as Madison explained, because
"it was impossible to confine a Government to the exercise of express powers; there
must necessarily be admitted powers by implication, unless the constitution descended
to recount every minutia." 1 Annals of Cong. 790 (Aug. 18, 1789); see McCulloch v.
Maryland, 4 Wheat. 316, 406-407 (1819).
[ Footnote 2 ] Recognizing the force of the argument, the Court suggests that this
reasoning is in error because--even if it is responsive to the submission that the
Tenth Amendment roots the principle set forth by the majority today--it does not answer
the possibility that the Court's holding can be rooted in a "principle of state sovereignty"
mentioned nowhere in the constitutional text. See ante, at 24. As a ground for invalidating
important federal legislation, this argument is remarkably weak. The majority's further
claim that, while the Brady Act may be legislation "necessary" to Congress' execution
of its undisputed Commerce Clause authority to regulate firearms sales, it is nevertheless
not "proper" because it violates state sovereignty, see ibid., is wholly circular
and provides no traction for its argument. Moreover, this reading of the term "proper"
gives it a meaning directly contradicted by Chief Justice Marshall in McCulloch v.
Maryland, 4 Wheat. 316 (1819). As the Chief Justice explained, the Necessary and Proper
Clause by "[i]ts terms purport[s] to enlarge, not to diminish the powers vested in
the government. It purports to be an additional power, not a restriction on those
already granted." Id., at 420; see also id., at 418-419(explaining that "the only
possible effect" of the use of the term "proper" was "to present to the mind the idea
of some choice of means of legislation not straitened and compressed within . . .
narrow limits"). Our ruling in New York that the Commerce Clause does not provide
Congress the authority to require States to enact legislation--a power that affects
States far closer to the core of their sovereign authority--does nothing to support
the majority's unwarranted extension of that reasoning today.
[ Footnote 3 ] "It has been asked why it was thought necessary, that the State magistracy
should be bound to support the federal Constitution, and unnecessary that a like oath
should be imposed on the officers of the United States, in favor of the State constitutions.
"Several reasons might be assigned for the distinction. I content myself with one,
which is obvious and conclusive. The members of the federal government will have no
agency in carrying the State constitutions into effect. The members and officers of
the State governments, on the contrary, will have an essential agency in giving effect
to the federal Constitution." The Federalist No. 44, at 312 (J. Madison).
[ Footnote 4 ] The notion that central government would rule by directing the actions
of local magistrates was scarcely a novel conception at the time of the founding.
Indeed, as an eminent scholar recentlyobserved: "At the time the Constitution was
being framed . . . Massachusetts had virtually no administrative apparatus of its
own but used the towns for such purposes as tax gathering. In the 1830s Tocqueville
observed this feature of government in New England and praised it for its ideal combination
of centralized legislation and decentralized administration." S. Beer, To Make a Nation:
The Rediscovery of American Federalism 252 (1993). This may have provided a model
for the expectation of "Madison himself . . . [that] the new federal government [would]
govern through the state governments, rather in the manner of the New England states
in relation to their local governments." Ibid.
[ Footnote 5 ] See, e.g., 1 Debate on the Constitution 502 (B. Bailyn ed. 1993) (statement
of "Brutus" that the new Constitution would "ope[n] a door to the appointment of a
swarm of revenue and excise officers to prey upon the honest and industrious part
of the community"); 2 id., at 633 (statement of Patrick Henry at the Virginia Convention
that "the salaries and fees of the swarm of officers and dependants on the Government
will cost this Continent immense sums" and noting that "[d]ouble sets of [tax] collectors
will double the expence").
[ Footnote 6 ] Antifederalists acknowledged this response, and recognized the likelihood
that the federal government would rely on state officials to collect its taxes. See,
e.g., 3 J. Elliot, Debates on the Federal Constitution 167-168 (2d ed. 1891) (statement
of Patrick Henry). The wide acceptance of this point by all participants in the framing
casts serious doubt on the majority's efforts, see ante, at 16, n. 9, to suggest that
the view that state officials could be called upon toimplement federal programs was
somehow an unusual or peculiar position.
[ Footnote 7 ] Hamilton recognized the force of his comments, acknowledgingbut rejecting
opponents' "sophist[ic]" arguments to the effect that this position would "tend to
the destruction of the State governments." The Federalist No. 27, at 180, *.
[ Footnote 8 ] Indeed, the majority's suggestion that this consequence flows "automatically"
from the officers' oath, ante, at 12 (emphasis omitted), is entirely without foundation
in the quoted text. Although the fact that the Court has italicized the word "automatically"
may give the reader the impression that it is a word Hamilton used, that is not so.
[ Footnote 9 ] The majority asserts that these statutes relating to the administration
of the federal naturalization scheme are not proper evidence of the original understanding
because over a century later, in Holmgren v. United States, 217 U.S. 509 (1910), this
Court observed that that case did not present the question whether the States can
be required to enforce federal laws "against their consent," id., at 517. The majority
points to similar comments in United States v. Jones, 109 U.S. 513, 519 -520 (1883).
See ante, at 5-6. Those cases are unpersuasive authority. First, whatever their statements
in dicta, the naturalization statutes at issue here, as made clear in the text, were
framed in quite mandatory terms. Even the majority only goes so far as to say that
"[i]t may well be" that these facially mandatory statutes in fact rested on voluntary
state participation. Ante, at 5. Any suggestion to the contrary is belied by the language
of the statutes themselves. Second, both of the cases relied upon by the majority
rest on now rejected doctrine. In Jones, the Court indicated that various duties,
including the requirement that state courts of appropriate jurisdiction hear federal
questions, "could not be enforced against the consent of the States." 109 U.S., at
520 . That view was unanimously resolved to the contrary thereafter in the Second
Employers' Liability Cases, 223 U.S. 1, 57 (1912), and in Testa v. Katt, 330 U.S.
386 (1947). Finally, the Court suggests that the obligation set forth in the latter
two cases that state courts hear federal claims is "voluntary" in that States need
not create courts of ordinary jurisdiction. That is true, but unhelpful to the majority.
If a State chooses to have no local law enforcement officials it may avoid the Brady
Act's requirements, and if it chooses to have no courts it may avoid Testa. Butneither
seems likely.
[ Footnote 10 ] Other statutes mentioned by the majority are also wrongly miscategorized
as involving essentially judicial matters. For example, the Fifth Congress enacted
legislation requiring state courts to serve as repositories for reporting what amounted
to administrative claims against the United States Government, under a statute providing
compensation in land to Canadian refugees who had supported the United States during
the Revolutionary War. Contrary to the majority's suggestion, that statute did not
amount to a requirement that state courts adjudicate claims, see ante, at 8, n. 2;
final decisions as to appropriate compensation were made by federal authorities, see
Act of Apr. 7, 1798, ch. 26, § 3, 1 Stat. 548.
[ Footnote 11 ] Able to muster little response other than the bald claim that this
argument strikes the majority as "doubtful," ante, at 8, n. 2, the Court proceeds
to attack the basic point that the statutes discussed above called state judges to
serve what were substantially executive functions. The argument has little force.
The majority's view that none of the statutes referred to in the text required judges
to perform anything other than "quintessentially adjudicative tasks[s]," ibid., is
quite wrong. The evaluation of applications for citizenship and the acceptance of
Revolutionary War claims for example, both discussed above, are hard to characterize
as the sort of adversarial proceedings to which common law courts are accustomed.
As for the majority's suggestion that the substantial administrative requirements
imposed on state court clerks under the naturalization statutes are merely "ancillary"
and therefore irrelevant, this conclusion is in considerable tension with the Court's
holding that the minor burden imposed by the Brady Act violates the Constitution.
Finally, the majority's suggestion that the early statute requiring federal courts
to assess the seaworthiness of vessels is essentially adjudicative in nature is not
compelling. Activities of this sort, although they may bear some resemblance to traditional
common law adjudication, are far afield from the classical model of adversarial litigation.
[ Footnote 12 ] Indeed, an entirely appropriate concern for the prerogatives of state
government readily explains Congress' sparing use of this otherwise "highly attractive,"
ante, at 5, 7, power. Congress' discretion, contrary to the majority's suggestion,
indicates not that the power does not exist, but rather that the interests of the
States are more than sufficiently protected by their participation in the National
Government. See infra, at 19-20.
[ Footnote 13 ] Indeed, the very commentator upon whom the majority relies noted
that the "President might, under the act, have issued orders directly to every state
officer, and this would have been, for warpurposes, a justifiable Congressional grant
of all state powers into the President's hands." Note, The President, The Senate,
The Constitution, and the Executive Order of May 8, 1926, 21 U. Ill. L. Rev. 142,
144 (1926).
[ Footnote 14 ] Even less probative is the Court's reliance on the decision by Congress
to authorize federal marshalls to rent temporary jail facilities instead of insisting
that state jailkeepers house federal prisoners at federal expense. See ante, at 9.
The majority finds constitutional significance in the fact that the First Congress
(apparently following practice appropriate under the Articles of Confederation) had
issued a request to state legislatures rather than a command to state jailkeepers,
see Resolution of Sept. 29, 1789, 1 Stat. 96, and the further fact that it chose not
to change that request to a command 18 months later, see Resolution of Mar. 3, 1791,
1 Stat. 225. The Court does not point us to a single comment by any Member of Congress
suggesting that either decision was motivated in the slightest by constitutional doubts.
If this sort of unexplained congressional action provides sufficient historical evidence
to support the fashioning of judge made rules of constitutional law, the doctrine
of judicial restraint has a brief, though probably colorful, life expectancy.
[ Footnote 15 ] Indeed, despite the exhaustive character of the Court's response
to this dissent, it has failed to find even an iota of evidence that any of the Framers
of the Constitution or any Member of Congress who supported or opposed the statutes
discussed in the text ever expressed doubt as to the power of Congress to impose federal
responsibilities on local judges or police officers. Even plausible rebuttals of evidence
consistently pointing in the other direction are no substitute for affirmative evidence.
In short, a neutral historian would have to conclude that the Court's discussion of
history does not even begin to establish a prima facie case.
[ Footnote 16 ] The majority's argument is particularly peculiar because these cases
do not involve the enlistment of state officials at all, but only an effort to have
federal policy implemented by officials of local government. Both Sheriffs Printz
and Mack are county officials. Given that the Brady Act places its interim obligations
on Chief law enforcement officers (CLEOs), who are defined as "the chief ofpolice,
the sheriff, or an equivalent officer," 18 U.S.C. § 922(s)(8), it seems likely that
most cases would similarly involve local government officials. This Court has not
had cause in its recent federalism jurisprudence to address the constitutional implications
of enlisting non state officials for federal purposes. (We did pass briefly on the
issue in a footnote in National League of Cities v. Usery, 426 U.S. 833, 855 , n.
20 (1976), but that case was overruled in its entirety by Garcia v. San Antonio Metropolitan
Transit Authority, 469 U.S. 528 (1985). The question was not called to our attention
in Garcia itself.) It is therefore worth noting that the majority's decision is in
considerable tension with our Eleventh Amendment sovereign immunity cases. Those decisions
were designed to "accor[d] the States the respect owed them as members of the federation."
Puerto Rico Aqueduct and Sewer Authority v. Metcalf & Eddy, Inc., 506 U.S. 139, 146
(1993). But despite the fact that "political subdivisions exist solely at the whim
and behest of their State," Port Authority Trans Hudson Corp. v. Feeney, 495 U.S.
299, 313 (1990) (Brennan, J., concurring in part and concurring in judgment), we have
"consistently refused to construe the Amendment to afford protection to political
subdivisions such as counties and municipalities." Lake Country Estates, Inc. v. Tahoe
Regional Planning Agency, 440 U.S. 391, 401 (1979); see also Hess v. Port Authority
Trans Hudson Corporation, 513 U.S. 30, 47 (1994). Even if the protections that the
majority describes as rooted in the Tenth Amendment ought to benefit state officials,
it is difficult to reconcile the decision to extend these principles to local officials
with our refusal to do so in the Eleventh Amendment context. If the federal judicial
power may be exercised over local government officials, it is hard to see why they
are not subject to the legislative power as well.
[ Footnote 17 ] "Whenever called upon to judge the constitutionality of an Act of
Congress--`the gravest and most delicate duty that this Court is called upon to perform,'
Blodgett v. Holden, 275 U.S. 142, 148 (1927) (Holmes, J.)--the Court accords `great
weight to the decisions of Congress.' Columbia Broadcasting System, Inc. v. Democratic
National Committee, 412 U.S. 94, 102 (1973). The Congress is a coequal branch of government
whose Members take the same oath we do to uphold the Constitution of the United States.
As Justice Frankfurter noted in Joint Anti Fascist Refugee Committee v. McGrath, 341
U.S. 123, 164 (1951) (concurring opinion), we must have `due regard to the fact that
this Court is not exercising a primary judgment but is sitting in judgment upon those
who also have taken the oath to observe the Constitution and who have the responsibility
for carrying on government.' " Rostker v. Goldberg, 453 U.S. 57, 64 (1981).
[ Footnote 18 ] The majority also makes the more general claim that requiring state
officials to carry out federal policy causes states to "tak[e] the blame" for failed
programs. Ante, at 31. The Court cites no empirical authority to support the proposition,
relying entirely on the speculations of a law review article. This concern is vastly
overstated. Unlike state legislators, local government executive officials routinely
take action in response to a variety of sources of authority: local ordinance, state
law, and federal law. It doubtless may therefore require some sophistication to discern
under which authority an executive official is acting, just as it may not always be
immediately obvious what legal source of authority underlies a judicial decision.
In both cases, affected citizens must look past the official before them to find the
true cause of their grievance. See FERC v. Mississippi, 456 U.S. 742, 785 (1982) (O'Connor,
J., concurring in part and dissenting in part) (legislators differ from judges because
legislators have "the power to choose subjects for legislation"). But the majority's
rule neither creates nor alters this basic truth. The problem is of little real consequence
in any event, because to the extent that a particular action proves politically unpopular,
we may be confident that elected officials charged with implementing it will be quite
clear to their constituents where the source of the misfortune lies. These cases demonstrate
the point. Sheriffs Printz and Mack have made public statements, including their decisions
to serve as plaintiffs in these actions, denouncing the Brady Act. See, e.g., Shaffer,
Gun Suit Shoots Sheriff into Spotlight, Arizona Republic, July 5, 1994, p. B1; Downs,
Most Gun Dealers Shrug off Proposal to Raise License Fee, Missoulian, Jan. 5, 1994.
Indeed, Sheriff Mack has written a book discussing his views on theissue. See R. Mack
& T. Walters, From My Cold Dead Fingers: Why America Needs Guns (1994). Moreover,
we can be sure that CLEOs will inform disgruntled constituents who have been denied
permission to purchase a handgun about the origins of the Brady Act requirements.
The Court's suggestion that voters will be confused over who is to "blame" for the
statute reflects a gross lack of confidence in the electorate that is at war with
the basic assumptions underlying any democratic government.
[ Footnote 19 ] Unlike the majority's judicially crafted rule, the statute excludes
from its coverage bills in certain subject areas, such as emergency matters, legislation
prohibiting discrimination, and national security measures. See 2 U. S. C. A. §1503
(Supp. 1997).
[ Footnote 20 ] The initial signs are that the Act will play an important role in
curbing the behavior about which the majority expresses concern. In the law's first
year, the Congressional Budget Office identified only five bills containing unfunded
mandates over the statutory threshold. Of these, one was not enacted into law, and
three were modified to limit their effect on the States. The fifth, which was enacted,
was scarcely a program of the sort described by the majority at all; it was a generally
applicable increase in the minimum wage. See Congressional Budget Office, The Experience
of the Congressional Budget Office During the First Year of the Unfunded Mandates
Reform Act 13-15 (Jan. 1997).
[ Footnote 21 ] The Court raises the specter that the National Government seeks the
authority "to impress into its service . . . the police officers of the 50 States."
Ante, at 23. But it is difficult to see how state sovereignty and individual liberty
are more seriously threatened by federal reliance on state police officers to fulfill
this minimal request than by the aggrandizement of a national police force. The Court's
alarmist hypothetical is no more persuasive than the likelihood that Congress would
actually enact any such program.
[ Footnote 22 ] Moreover, with respect to programs that directly enlist the local
government officials, the majority's position rests on nothing more than a fanciful
hypothetical. The enactment of statutes that merely involve the gathering of information,
or the use of state officials on an interim basis, do not raise even arguable separation
of powers concerns.
[ Footnote 23 ] See New York, 505 U.S., at 167 ; see, e.g., South Dakota v. Dole,
483 U.S. 203 (1987); see also ante, at 1-2 (O'Connor, J., concurring).
[ Footnote 24 ] New York, 505 U.S., at 167 ; see, e.g., Hodel v. Virginia Surface
Mining & Reclamation Assn., Inc., 452 U.S. 264 (1981).
[ Footnote 25 ] New York, 505 U.S., at 160 ; see, e.g., Garcia v. San Antonio Metropolitan
Transit Authority, 469 U.S. 528 (1985).
[ Footnote 26 ] The majority also cites to FERC v. Mississippi, 456 U.S. 742 (1982),
and Hodel v. Virginia Surface Mining & Reclamation Assn., Inc., 452 U.S. 264 (1981).
See ante, at 26-27. Neither case addressed the issue presented here. Hodel simply
reserved the question. See 452 U.S., at 288 . The Court's subsequent opinion in FERC
did the same, see 456 U.S., at 764 -765; and, both its holding and reasoning cut against
the majority's view in this case.
[ Footnote 27 ] Indeed, this distinction is made in the New York opinion itself.
In that case, the Court rejected the Government's argument that earlier decisions
supported the proposition that "the Constitution does, in some circumstances, permit
federal directives to state governments." New York, 505 U.S., at 178 . But in doing
so, it distinguished those cases on a ground that applies to the federal directive
in the Brady Act: "[A]ll involve congressional regulation of individuals, not congressional
requirements that States regulate. . . . . . "[T]he cases relied upon by the United
States hold only that federal law is enforceable in state courts and that federal
courts may in proper circumstances order state officials to comply with federal law,
propositions that by no means imply any authority on the part of Congress to mandate
state regulation." Id., at 178-179. The Brady Act contains no command directed to
a sovereign State or to a state legislature. It does not require any state entity
to promulgate any federal rule. In this case, the federal statute is not even being
applied to any state official. See n. 16, supra. It is a "congressional regulation
of individuals," New York, 505 U.S., at 178 , including gun retailers and local police
officials. Those officials, like the judges referred to in the New York opinion, are
bound by the Supremacy Clause to comply with federal law. Thus if we accept the distinction
identified in the New York opinion itself, thatdecision does not control the disposition
of these cases.
[ Footnote 28 ] Ironically, the distinction that the Court now finds so preposterous
can be traced to the majority opinion in National League of Cities. See 426 U.S.,
at 854 ("the States as States stand on a quite different footing from an individual
or a corporation when challenging the exercise of Congress' power to regulate commerce").
The fact that the distinction did not provide an adequate basis for curtailing the
power of Congress to extend the coverage of the Fair Labor Standards Act to state
employees does not speak to the question whether it may identify a legitimate difference
between a directive to local officers to provide information or assistance to the
Federal Government and a directive to a State to enact legislation.
[ Footnote 29 ] The majority correctly notes the opinion's statement that "this Court
never has sanctioned explicitly a federal command to the States to promulgate and
enforce laws and regulations . . . ." FERC, 456 U.S., at 761 -762. But the Court truncates
this quotation in a grossly misleading fashion. We continued by noting in that very
sentence that "there are instances where the Court has upheld federal statutory structures
that in effect directed state decisionmakers to take or to refrain from taking certain
actions." Ibid. Indeed, the Court expressly rejected as "rigid and isolated," id.,
at 761, our suggestion long ago in Kentucky v. Dennison, 24 How. 66, 107 (1861), that
Congress "has no power to impose on a State officer, as such, any duty whatever."
[ Footnote 30 ] Moreover, Branstad unequivocally rejected an important premise that
resonates throughout the majority opinion: namely, that because the States retain
their sovereignty in areas that are unregulated by federal law, notions of comity
rather than constitutional power govern any direction by the National Government to
state executive or judicial officers. That construct was the product of the ill starred
opinion of Chief Justice Taney in Kentucky v. Dennison, 24 How. 66 (1861), announced
at a time when "the practical power of the Federal Government [was] at its lowest
ebb," Branstad, 483 U.S., at 225 . As we explained: %If it seemed clear to the Court
in 1861, facing the looming shadow of a Civil War, that `the Federal Government, under
the Constitution, has no power to impose on a State officer, as such, any duty whatever,
and compel him to perform it,' 24 How., at 107, basic constitutional principles now
point as clearly the other way." Id., at 227. %Kentucky v. Dennison is the product
of another time. The conception of the relation between the States and the Federal
Government there announced is fundamentally incompatible with more than a century
of constitutional development. Yet this decision has stood while the world of which
it was a part has passed away. We conclude that it may stand no longer." Id., at 230.
[ Footnote 31 ] As the discussion above suggests, the Clause's mention of judges
was almost certainly meant as nothing more than a choice of law rule, informing the
state courts that they were to apply federal law in the event of a conflict with state
authority. The majority's quotation of this language, ante, at 30, is quite misleading
because it omits a crucial phrase that follows the mention of state judges. In its
entirety, the Supremacy Clause reads: "This Constitution, and the Laws of the United
States which shall be made in Pursuance thereof; and all Treaties made, or which shall
be made, under the Authority of the United States, shall be the supreme Law of the
Land; and the Judges in every State shall be bound thereby, any Thing in the Constitution
or Laws of any state to the Contrary notwithstanding." Art. VI, cl. 2 (emphasis added).
The omitted language, in my view, makes clear that the specific reference to judges
was designed to do nothing more than state a choice of law principle. The fact that
our earliest opinions in this area, see Testa; Second Employers' Liability Cases,
written at a time when the question was far more hotly contested than it is today,
did not rely upon that language lends considerable support to this reading.
[ Footnote 32 ] The Court's suggestion that these officials ought to be treated as
"judges" for constitutional purposes because that is, functionally, what they are,
is divorced from the constitutional text upon whichthe majority relies, which refers
quite explicitly to "Judges" and not administrative officials. In addition, it directly
contradicts the majority's position that early statutes requiring state courts to
perform executive functions are irrelevant to our assessment of the original understanding
because "Judges" were at issue. In short, the majority's adoption of a proper functional
analysis gives away important ground elsewhere without shoring up its argument here.
[ Footnote 33 ] Indeed, presuming that the majority has correctly read the Supremacy
Clause, it is far more likely that the founders had a special respect for the independence
of judges, and so thought it particularly important to emphasize that state judges
were bound to apply federal law. The Framers would hardly have felt any equivalent
need to state the then well accepted point, see supra, at 8-10, that the enlistment
of state executive officials was entirely proper.
[ Footnote 1 ] The Court offers two criticisms of this analysis. First, as the Court
puts it, the consequences set forth in this passage (that is, rendering state officials
"auxiliary" and "incorporat[ing]" them into the operations of the Federal Government)
"are said . . . to flowautomatically from the officers' oath," ante, at 12; from this,
the Court infers that on my reading, state officers' obligations to execute federal
law must follow "without the necessity for a congressional directive that they implement
it," ibid. But neither Hamilton nor I use the word "automatically"; consequently,
there is no reason on Hamilton's view to infer a state officer's affirmative obligation
without a textual indication to that effect. This is just whatJustice Stevens says,
ante at 11, and n. 8. Second, the Court reads Federalist No. 27 as incompatible with
our decision in New York v. United States, 505 U.S. 144 (1992), and credits me with
the imagination to devise a "novel principle of political science," ante at 12-13,
n. 5, "in order to bring forth disparity of outcome from parity of language," ibid.;
in order, that is, to salvage New York, by concluding that Congress can tell state
executive officers what to execute without at the same time having the power to tell
state legislators what to legislate. But the Court is too generous. I simply realize
that "parity of language" (i.e., all state officials who take the oath are "incorporated"
or are "auxiliar[ies]") operates on officers of the three branches in accordance with
the quite different powers of their respective branches. The core power of an executive
officer is to enforce a law in accordance with its terms; that is why a state executive
"auxiliary" may be told what result to bring about. The core power of a legislator
acting within the legislature's subject matter jurisdiction is to make a discretionary
decision on what the law should be; that is why a legislator may not be legally ordered
to exercise discretion a particular way without damaging the legislative power as
such. The discretionary nature of the authorized legislative Act is probably why Madison's
two examples of legislative "auxiliary" obligation address the elections of the President
and Senators, see infra, at 4 (discussing the Federalist No. 44, p. 307 (J. Cooke
ed. 1961) (J. Madison), not the passage of legislation to please Congress. The Court
reads Hamilton's description of state officers' role in carrying out federal law as
nothing more than a way of describing the duty of state officials "not to obstruct
the operation of federal law," with the consequence that any obstruction is invalid.
Ante, at 13. But I doubt that Hamilton's English was quite as bad as all that. Someone
whose virtue consists of not obstructing administration of the law is not described
as "incorporated into the operations" of a government or as an "auxiliary" to its
law enforcement. One simply cannot escape from Hamilton by reducing his prose to inapposite
figures of speech.
[ Footnote 2 ] The Court reads Madison's No. 44 as supporting its view that Hamilton
meant "auxiliaries" to mean merely "nonobstructors." It defends its position in what
seems like a very sensible argument, so long as one does not go beyond the terms set
by the Court: if Madison really thought state executive officials could be required
to enforce federal law, one would have expected him to say so, instead of giving examples
of how state officials (legislative and executive, the Court points out) have roles
in the election of national officials. See ante, at 14-16, and n. 8. One might indeed
have expected that, save for one remark of Madison's, and a detail of his language,
that the Court ignores. When he asked why state officers should have to take an oath
to support the National Constitution, he said that "several reasons might be assigned,"
but that he would "content [himself] with one which is obvious & conclusive." The
Federalist No. 44, at 307. The one example he gives describes how state officials
will have "an essential agency in giving effect to the Federal Constitution." He was
not talking about executing congressional statutes; he was talking about putting the
National Constitution into effect by selecting the executive and legislative members
whowould exercise its powers. The answer to the Court's question (and objection),
then, is that Madison was expressly choosing one example of state officer agency,
not purporting to exhaust the examples possible. There is, therefore, support in Madison's
No. 44 for the straightforward reading of Hamilton's No. 27 and, so, no occasion to
discount the authority of Hamilton's views as expressed in The Federalist as somehow
reflecting the weaker side of a split constitutional personality. Ante, at 16, n.
9. This, indeed, should not surprise us, for one of the Court's own authorities rejects
the "split personality" notion of Hamilton and Madison as being at odds in The Federalist,
in favor of a view of all three Federalist writers as constituting a single personality
notable for its integration: "In recent years it has been popular to describe Publius
[the nominal author of the Federalist] as a `split personality' who spoke through
Madison as a federalist and an exponent of limited government, [but]through Hamilton
as a nationalist and an admirer of energetic government. . . . Neither the diagnosis
of tension between Hamilton and Madison nor the indictment of each man for self contradiction
strikes me as a useful of perhaps even fair minded exercise. Publius was, on any large
view--the only correct view to take of an effort so sprawling in size and concentrated
in time--a remarkably `whole personality,' and I am far more impressed by the large
area of agreement between Hamilton and Madison than by the differences in emphasis
that have been read into rather than in their papers. . . . The intellectual tensions
of The Federalist and its creators are in fact an honest reflection of those built
into the Constitution it expounds and the polity it celebrates." C. Rossiter, Alexander
Hamilton and the Constitution 58 (1964). While Hamilton and Madison went their separate
ways in later years, see id., at 78, and may have had differing personal views, the
passages from The Federalist discussed here show no sign of