OPINION
Movant-Appellant David J. Gallo (“Gallo”) appeals from the District Court’s order that pursuant to an amendment to Rule 1.5 of the Local Rules of the United States District Court for the District of Arizona (“Rule 1.5”), Gallo no longer may appear before the District of Arizona without successful completion of a pro hac vice application. 1 In his appeal, he argues that the rule is unconstitutional and that the District Court erred in concluding that Gallo had received sufficient notice of the applicability of the amendment to him and that the Ninth Circuit should exercise its supervisory power to direct the District Court to apply Rule 1.5(a) prospectively.
BACKGROUND
Gallo was admitted to the Bar of the United States District Court for the District of Arizona (the “District Court”) on July 28, 1995, under Local Rule 1.5, which allowed non-resident attorneys to gain admission based on their admission to the bar of any United States District Court. In September 1999, the District Court amended Local Rule 1.5 to state: “Admission to and continuing membership in the bar of this Court is limited to attorneys who are active members in good standing of the State Bar of Arizona.” United States District Court For the District of Arizona, Local Rules 1.5(a) (2003).
On May 8, 2000, Gallo participated in the filing of Bartlett v. Arthur Andersen, CIV 00-852-PHX-SMM, in the District Court of Arizona and served as Plaintiffs’ co-counsel of record. On September 1, 2000, Gallo received a letter, dated August 30, 2000, from the Attorney Admissions Clerk of the District Court in which he was informed that he was no longer admitted to appear generally before the District *1174 Court of Arizona. Specifically, the letter stated: “Your name has appeared on pleadings filed with this court; however a review of our files indicates that you have not been admitted to practice in this Court.” The letter gave Gallo until September 29, 2000, to apply for admission pro hac vice to avoid being removed as counsel of record.
On September 25, 2000, Gallo filed an Ex Parte Application for Order Clarifying Status of Counsel, or, Alternatively, for Order Nunc Pro Tunc Granting Admission Pro Hac Vice {“Ex Parte Application”). On October 2, 2000, the District Court filed an Order in which it denied Gallo’s Ex Parte Application and allowed Gallo to appear in the District Court pro hac vice. See Order, filed October 2, 2000 (“October 2, 2000 Order”). Gallo paid the twenty-five dollar fee and was admitted to appear in the action pro hac vice. Final judgment in the Bartlett case was entered on September 17, 2001, and on October 12, 2001, Gallo filed his Notice of Appeal. 2 We vacated and deferred submission so that we could receive briefing from the District Court, the Real Party in Interest-Appel-lee. The State Bar of Arizona also submitted an Amicus Brief.
JURISDICTION
1. Appellate Jurisdiction Under 28 U.S.C. § 1291
Gallo’s case is currently before us despite the fact that Gallo did not commence an official action in the District Court regarding the effect of the new Local Rules on his ability to appear before the District Court. Rather, as part of the proceedings involved in his representation of the Plaintiffs in Bartlett, Gallo requested the District Court to review the August 30, 2000 letter informing him that he was not admitted to practice in the District Court. In his Ex Parte Application, he sought the District Court’s reconsideration of the decision to apply the amended Local Rules to him.
Gallo argues that the District Court’s October 2, 2000 Order denying his
Ex Parte
Application was an interlocutory order and that pursuant to the applicable case law in the Ninth Circuit, his present appeal of that order is properly before us. Specifically, Gallo argues that jurisdiction exists because the interlocutory order constituted a “collateral order” that was immediately appealable. In support of this proposition, he cites
Estate of Bishop By and Through Bishop v. Bechtel Power Corporation,
In accordance with
Bishop,
Gallo argues that the October 2, 2000 Order provided a conclusive determination regarding his admission status, which was an issue unrelated to the Plaintiffs’ claims in the underlying
Bartlett
action. Gallo also asserts that the Order was unreviewable from the final judgment in the
Bartlett
ease.
Id.
(citing
Coopers & Lyhrand v. Livesay, 437 U.S.
463, 468,
Finally, Gallo asserts that even though he did not appeal the “collateral order”
*1175
immediately, we still have jurisdiction to review the District Court’s decision because the Order merged into the final judgment in the underlying case,
Bartlett,
which was entered on September 17, 2001.
City of Los Angeles, Harbor Div. v. Santa Monica Baykeeper,
The District Court responds by arguing that as a matter of law, the District Court’s October 2, 2000 Order prohibiting Gallo from practicing generally before it cannot be reviewed upon appeal.
In re Wasserman,
Gallo argues that his case is distinguishable because he had already obtained admission to practice before the District Court. He asserts that he is not requesting reconsideration of a denial of a motion for admission based on a “[fjailure or refusal to act favorably upon such an application.”
Wasserman,
As the District Court stated in its October 2, 2000 Order, however, under the Local Rules in effect at the time Gallo sought to practice before the District Court, he no longer met the eligibility requirements for “continuing membership,” which required membership in the State Bar of Arizona. Moreover, unlike some other districts who have revised their respective local rules governing admission, these Local Rules do not include a grandfather clause. See, e.g., Local Rules of Practice for the United States District Court for the District of Hawai’i, Local Rule 83.1(b) (2002) (“After October 1,1997, an applicant for admission to membership in the bar of this court must be an attorney who is a member in good standing of the bar of the State of Hawai’i.”); Local Rules for the United States District Court for the Northern District of California, Local Rule 11 — 1(b) (“After the effective date of these rules [Jan. 1, 2001] an applicant for admission to membership in the bar of this Court must be an attorney who is an active member in good standing of the State Bar of California.”). Thus, Gallo no longer met the requirements for membership in the bar of the District Court. As discussed below, even if Gallo had a property interest in his membership, the District Court had a legitimate reason for altering the local rules governing admission such that its amendment passes the rational basis test. Accordingly, under ei *1176 ther analysis, his Ex Parte Application was necessarily an application for admission.
Consistent with its interpretation of
Wasserman,
the District Court also argues that Gallo’s reliance on
Estate of Bishop
is misplaced. It correctly points out that in
Estate of Bishop
the issue before this court was whether an order denying a motion to remand to state court was an appealable order. Despite the detailed analysis of the collateral order exception, the District Court argues that
Estate of Bishop
nevertheless precludes a finding that Gallo’s appeal is reviewable because such review is “confined to whether the federal[district] court would have had jurisdiction had the case been filed in federal court in the posture it had at the time of the entry of final judgment.”
Estate of Bishop,
Upon consideration of the District Court’s arguments under
Wasserman
and
Estate of Bishop,
we agree that appellate jurisdiction to review an order by the District Court denying admission to practice generally before it is lacking. Irrespective of whether the October 2, 2000 Order constitutes an interlocutory order on appeal, it is nonetheless an order issued by the District Court denying Gallo’s request for a waiver from the Local Rules in effect at the time he submitted filings on behalf of his clients. As this Circuit and other Circuits have found, the denial of a petition for admission to a district court bar is neither a final order appealable under 28 U.S.C. § 1291 (“Section 1291”) nor an interlocutory order appealable under 28 U.S.C. § 1292.
Wasserman,
In his Opening Brief and Reply, Gallo attempts to distinguish this precedent by characterizing both the initial letter sent to him on August 30, 2000, and the October 2, 2000 Order as a disbarment action, rather than a denial of an application for admission. Accordingly, he argues that such action is inappropriate in the absence of any findings of misconduct or unfitness, the only grounds, he asserts, upon which an attorney who has been admitted to a bar may lose his or her license. As stated above, we recognize that Gallo’s situation differs somewhat from the situation in Wasserman because he previously was licensed to appear generally before the court. However, we disagree that the District Court’s action constitutes a disbarment. Gallo’s Ex Parte Application was a petition to the District Court for a waiver of Rule 1.5, or, alternatively, permission to proceed pro hoc vice. The application constituted a request to practice before the court despite the existing laws proscribing such appearances. As discussed, infra, the amended law is constitutional on its face and as applied by the District Court to Gallo’s situation.
As recognized by Gallo, disbarment proceedings generally involve an ethical violation sufficient to prevent an attorney from appearing in any capacity before the District Court. All parties concede that the decision to enforce the amended version of the Local Rules was not based on any character determination or other ethical considerations. To the contrary, Gallo was granted pro hac vice admission. Thus, the District Court’s Order is aptly characterized as a denial of Gallo’s application for a waiver of the Local Rules as otherwise *1177 applicable to him. Accordingly, the law established in Wasserman applies such that the District Court’s October 2, 2002 Order is neither final nor appealable and jurisdiction under Section 1291 does not exist.
2. Petition for Writ of Mandamus Under 28 U.S.C. § 1651(a)
Alternatively, Gallo argues that this court should treat his October 12, 2001 Notice of Appeal as a petition for writ of mandamus. In the absence of appellate jurisdiction pursuant to 28 U.S.C. §§ 1291-1292, jurisdiction may exist under 28 U.S.C. § 1651(a).
See Miller v. Gammie,
(1) The party seeking the writ has no other adequate means, such as a direct appeal, to attain the relief he or she desires.
(2) The petitioner will be damaged or prejudiced in a way not correctable on appeal.
(3) The district court’s order is clearly erroneous as a matter of law.
(4) The district court’s order is an oft-repeated error, or manifests a persistent disregard of the federal rules.
(5) The district court’s order raises new and important problems, or issues of law of first impression.
Allen v. Old Nat’l Bank (In re Allen),
The District Court argues that the third factor is dispositive in this case such that our review of the District Court’s Order for clear error will determine whether we should issue a writ of mandamus. Indeed, it is well established in this Circuit that “[w]hen a district court’s decision is correct as a matter of law, a writ of mandamus should be denied.”
In Re Allen,
STANDARD OF REVIEW
In light of our conclusion that we do not have appellate jurisdiction over the District Court’s decision to deny Gallo’s request to practice generally before it, we decline to review the District Court’s conclusions of law de novo. In the absence of a direct appeal, we shall treat Gallo’s challenge to the District Court’s Order as a petition for writ of mandamus. Accordingly, we review the District Court’s October 2, 2000 Order for clear error as a matter of law.
Executive Software North America, Inc. v. United States Dist. Court,
DISCUSSION
1. District Court Order
As established above, the District Court’s October 2, 2000 Order did not “disbar” Gallo and all attorneys similarly situated. Instead, it affirmed that Gallo was no longer eligible for “continuing membership” in the bar of the District *1178 Court. The District Court also determined that the amended Local Rules governing admission and membership should not be waived to account for the fact that under the former version of the rules, Gallo previously had been admitted to practice generally before the District Court. It determined that pursuant to the inherent authority of federal district courts to regulate the practice of law in their forums, the amendments to the Local Rules were both constitutional on their face and as applied to Gallo’s situation. The District Court declined to find that at a minimum, the amended Local Rules should be applied prospectively to recognize and preserve Gallo’s previous admission and membership. The District Court also determined that Gallo had not suffered a due process violation but was granted admission to practice before the District Court of Arizona on a case-by-case basis through the avenue of pro hoc vice.
We now review this decision for clear error and begin our analysis by considering the constitutional dimensions of Gallo’s claim. Although the District Court declined to address the constitutional arguments, we believe it is necessary to conduct a thorough review of whether application of the amended Rule 1.5(a) in this case deprived Gallo of a constitutionally protected property interest in his license to practice generally before the District Court of Arizona. We nonetheless arrive at the same outcome as the District Court because we find that when analyzed under the applicable constitutional scrutiny, the District Court’s amendment was rationally-related to a legitimate state interest in ensuring the fitness of lawyers who appear before it.
We then discuss the remainder of the District Court’s opinion to determine whether the District Court properly applied the amended version of the Local Rules governing admission and continuing membership in the bar of the District Court. As suggested in our previous discussion regarding jurisdiction, Gallo’s ability to appear before the District Court subsequent to the amendments is governed by the laws in effect at the time of the proceeding. After discussion of this issue, we turn to the question of whether Gallo received sufficient and proper notice of the relevant changes in the Local Rules.
2. Constitutionality of Rule 1.5(a)
The amendments to the Local Rules are similar to laws adopted by the majority of federal district courts.
Zambrano v. City of Tustin,
A. Substantive Due Process
The Supreme Court has held that property interests derive not from the Constitution but from “existing rules or understandings that stem from an independent source such as state law — rules or understandings that secure certain benefits and that support claims of entitlement to those benefits.”
Bd. of Regents of State Coll. v. Roth,
We have recognized in a number of contexts that an individual has a legitimate property interest in his or her professional license.
See Brown v. Smith (In re Poole),
Applying the well-established constitutional analysis to this case, a retroactive licensing scheme not affecting fundamental rights will pass scrutiny if the scheme bears “a rational relationship to a legitimate state interest.”
See Nat’l Ass’n for the Advancement of Psychoanalysis v. Cal. Bd. of Psychology,
We applied the rational basis standard in
Lupert v. California State Bar,
From
Lupert
and
National Association for the Advancement of Psychoanalysis
emerges the long-standing rule that any “conceivable basis” will justify the constitutionality of a licensing scheme not affecting fundamental rights.
Lupert,
(a) The Supreme Court and all courts established by Act of Congress may from time to time prescribe rules for the conduct of their business. Such rules shall be consistent with Acts of Congress and rules of practice and procedure prescribed under section 2072 of this title.
(b) Any rule prescribed by a court, other than the Supreme Court, under subsection (a) shall be prescribed only after giving appropriate public notice and an opportunity for comment. Such rule shall take effect upon the date specified by the prescribing court and shall have such effect on pending proceedings as the prescribing court may order.
28 U.S.C. § 2071 (emphasis added).
Historically, however, “the licensing and regulation of lawyers has been left exclusively to the states and the District of Columbia within their respective jurisdictions.”
Leis v. Flynt,
In
Russell v. Hug,
Because there are more than fifty bar examinations in the United States, the minimum standard of competence required to be a ‘lawyer’ arguably varies considerably among the States. Requiring membership in the California Bar allows the Northern District of California to be sure that all attorneys ... are at least capable enough to clear the standard required in California — a standard with which the Northern District is familiar, and a standard that is quite possibly higher than that of many other states.
Id.
The Russell court also concluded that the Northern District’s requirement that attorneys be members of the bar in “good standing” was rationally related to the federal court’s legitimate interest “in policing standards of ethical conduct of the lawyers who practice law on the Indigent Panel.” Id. at 820. We stated that “the California bar membership requirement makes discipline easier for the Northern District because the California Bar provides the Northern District with a disciplinary mechanism complementary to its own.” Id. Finally, the court noted that the adoption of California’s requirements permitted the district court to bring allegations of professional misconduct to the attention of the California State Bar. Id.
*1181 Rule 1.5(a) is similar to the general order at issue in Russell. In both cases, the local rule serves the legitimate interest of ensuring that all attorneys practicing before the courts “clear the standard required” by the respective state bar associations. 6 Id. at 819. In its Amicus Brief, the Arizona State Bar argues that because the District Court does not have its own administrative staff to supervise and regulate the conduct and ethics of attorneys who appear before it, it relies heavily upon the resources of the State Bar to implement these rules. Absent the Arizona State Bar’s assistance in undertaking the administrative steps necessary to enforce the regulations governing attorney conduct, questions of misconduct may never properly come before the District Court.
Indeed, the standard for admission in both Arizona and California may well exceed that required in other states. Nonetheless, Rule 1.5(a) serves the court’s legitimate interest in simplifying the disciplinary process. No longer must the District Court refer wayward lawyers to out-of-state bar associations. The amended version of Rule 1.5(a) permits the District Court to limit disciplinary referrals to the Arizona State Bar. The Arizona State Bar also provides a number of procedures that permit the District Court to file disciplinary complaints free from public exposure. If the District Court files a complaint, the Arizona State Bar brings the complaint on behalf of the District Court. The District Court is not guaranteed the same privacy when referring attorneys to other state bar associations. This special procedure provides an additional legitimate justification for amending Rule 1.5(a).
In light of this analysis, we conclude that the retroactive application of the Arizona Bar requirement does not violate Gallo’s substantive due process rights because it is justified by the rational purpose of streamlining and perfecting the regulation of attorney admission in the Arizona District Court.
B. Procedural Due Process
Gallo also contends that the new licensing scheme resulted in the deprivation of his property without adequate notice and opportunity to be heard. Whether an affected party is entitled to individual notice and a pre-deprivation hearing depends upon the character of the action. When the action is purely legislative, the statute satisfies due process if the enacting body provides public notice and open hearings.
Texaco v. Short,
When the government action is adjudicative, however, due process requires “notice reasonably calculated, under all circumstances, to apprise interested parties of the pendency of the action and afford them
*1182
an opportunity to present their objections.” Mul
lane v. Cent. Hanover Bank & Trust Co.,
Indeed, “the line between legislation and adjudication is not always easy to draw,”
LC & S, Inc. v. Warren County Area Plan Comm’n,
In
McGarr,
the Seventh Circuit considered a general order issued by the Illinois District Court that required trial attorneys to have a certain level of trial experience.
Disbarment ... is a punishment or penalty imposed on the lawyer. A court conducting a disbarment proceeding must determine for itself the facts of the attorney’s conduct and whether that conduct had been so grievous as to require disbarment. Thus, the ultimate result of a disbarment proceeding is a finding, based upon the conduct and actions of an individual attorney, that the individual attorney is unfit. Unlike a disbarment proceeding focused upon specific incidents of misconduct by an individual attorney, the district court’s trial bar rules were adopted in response to fact finding that was not focused on individual attorneys.
Id. (internal quotation marks and citations omitted).
The present case is indistinguishable. The requirement that all attorneys be members of the Arizona Bar was adopted to streamline the District Court’s attorney regulation procedures. The effect of the law is to revoke a general class of licenses, but unlike a disbarment proceeding, the ground for doing so is not individual attorney misconduct.
Cf. Ohio Bell Tel. Co. v. Pub. Util. Comm’n,
Since the amended rule affects a large number of people, as opposed to targeting a small number of individuals based on individual factual determinations, Gallo’s claim that he is entitled to individual notice and an opportunity to be heard fails because the amended legislative rule does not “give rise to constitutional procedural due process requirements.”
7
Christensen
*1183
v. Yolo County Bd. of Supervisors,
In most cases an individual would be entitled to individual notice and an opportunity to be heard before retroactive extin-guishment of his or her vested property interest. Justice Scalia has commented that the “central distinction” between rule-making and adjudication is that rules have legal consequences “only for the future.”
Bowen v. Georgetown Univ. Hosp.,
For these reasons, we conclude that even when subjected to a constitutional analysis, the balance of factors weighs in favor of finding that the enactment of Local Rule 1.5(a) is a legislative act such that Gallo’s claim fails. Even though he arguably was deprived of a vested property interest, the rule bears a rational relationship to legitimate government interests.
3. Applicability of Local Rule 1.5
As discussed above, we do not characterize the actions taken by the District Court as an unconstitutional disbarment. It is the well established law that a court’s power to disbar “can only be exercised where there has been such conduct on the part of the parties complained of as shows them to be unfit to be members of the profession.”
Ex Parte Robinson,
Having resolved that the District Court did not act to disbar Gallo, we address Gallo’s additional argument that because he gained admission at one point in time, he cannot now be denied the right to practice generally before the District Court because the qualifications for admission have changed. He characterizes this argument as one for prospective application of *1184 Rule 1.5. Gallo cites the Supreme Court’s holding in Selling v. Radford, which held that where the prerequisite to admission to the Bar of the Supreme Court was:
membership of the Bar of the court of last resort of a state ... its effect is exhausted upon admission to this Bar which it has served to secure, — a result which becomes manifest by the consideration that although the membership of the Bar of the court of last resort of a state, after admission here, might be lost by change of domicil from one state to another, if so provided by the state law or rule of court, or by any other cause not involving unworthiness, such loss would be wholly negligible upon the right to continue to be a member of the Bar of this court.
Selling v. Radford,
Gallo interprets this holding to stand for the proposition that upon admission to practice before the District Court, no change in the admission criteria may act to deny him his right to continue as a member of the bar. He asserts that his membership in the District Court’s bar may only be revoked upon a finding of “unworthiness” or if he is “unfit” to be a member of the bar. In support of this argument, Gallo cites a previous opinion by this court,
Brown v. Smith (In re Poole),
In In re Poole, we affirmed that “a federal court has the power to control admission to its bar and to discipline attorneys who appear before it.” Id. at 620 (internal quotation marks and citation omitted). We also stated that “[o]nce federal admission is secured, a change in circumstances underlying state admission ... is wholly negligible on the right to practice before a federal court.” Id. (emphasis added) (internal quotation marks and citation omitted).
Unlike In re Poole, here we are asked to address the implications of a change in circumstance underlying federal admission. The holding in In re Poole does not address this issue. Moreover, it focused on the implications of disbarment from the federal bar as a result of disbarment fi-om practicing before a state court. Id. (finding that “[w]hile a lawyer is admitted into a federal court by way of a state court, he is not automatically sent out of the federal court by the same route”) (internal quotation marks and citations omitted). In light of the above, the holding of In re Poole is neither binding nor relevant to our analysis.
Although the Local Rules promulgated by the District Court prior to 1999 allowed admission into the Arizona federal bar based on admission to federal bars located in other states, there is no guaranteed right to such admission.
Zambrano,
Absent any persuasive argument to the contrary, we therefore find that the District Court properly acted within its rule making authority under Section 2071 to alter its rules of local practice by requiring members to obtain membership in the State Bar of Arizona. Although the *1185 amendment effectively terminated Gallo’s membership in the bar of the District Court, such a result, though unfortunate, violates no constitutional or statutory provision. Moreover, he may qualify for general admission by joining the State Bar of Arizona or by appearing on a pro hac vice basis.
We recognize that the
pro hac vice
option requires the attorney seeking such admission to associate with a member of the District Court bar who can sign the necessary court documents. This may be construed as burdensome for the attorney as well as expensive for the client.
Frazier v. Heebe,
As set forth above, we find that applying the amended Rule 1.5 to Gallo is consistent with the District Court’s fulfillment of its responsibilities. The court is unpersuaded by Gallo’s argument that interpreting the Local Rules as did the District Court would result in a situation in which attorneys who gain admission to the District Court but let their Arizona state licenses lapse do not risk losing their licenses to practice before the District Court. This assertion is simply without merit, as the amended Local Rules specifically require that only attorneys in good standing with the Arizona State Bar may be members of the bar of the District Court.
Gallo argues alternatively that the amended version of Rule 1.5 should apply only to new admissions occurring subsequent to its effective date. As set forth above, we recognize that some districts do include grandfather clauses. See supra discussion 16289-91. Although it was well within the authority of the District Court to enact such a clause, it is not required. In the absence of any grounds upon which to infer such an intent, we refrain from doing so. As the District Court noted, the language of Section 2071 states: “Such rule shall take effect upon the date specified by the prescribing court and shall have such effect on pending proceedings as the prescribing court may order.” 28 U.S.C. § 2071(b). In contrast to this language allowing the District Court to prescribe rules as it sees fit, Gallo has presented no legal grounds for finding that the District Court erred in applying the amended Rule 1.5 to prohibit him from appearing generally before it.
4. Adequacy of Notice
In his appeal, Gallo also argues that he did not receive proper notice of the consequences he would face as a result of the pertinent amendment to Rule 1.5. Be
*1186
fore denying an attorney admission or readmission to the bar of the District Court on the basis of character, due process requires that the District Court give the applicant notice, the reasons for its action, and an opportunity to respond.
In re Ruffalo,
Section 2071(b) includes the following provision for notice: “Any rule prescribed by a court, other than the Supreme Court, under subsection (a) shall be prescribed only after giving appropriate public notice and an opportunity for comment.” Accordingly, we find that the following actions taken by the District Court satisfy any due process requirements that may exist. 9
On July 12, 1999, the District Court held hearings on the amendments to the Local Rules. Supplement to Record, at 4-6. After the adoption of the amendments, the District Court states that it promulgated notice via postings on its website, as well as through hard copy notices in its intake offices. The District Court also represented to this court that it sent mailings to out-of-state attorneys admitted prior to September 15, 1999, who had made an appearance and/or requested a certificate of good standing since that time. For a three-month period prior to enacting the amendments, the District Court maintains that notice of the amendments was included in footnotes placed on all cover sheets used to transmit orders and judgments issued in civil and criminal cases. Finally, in January 2000, the District Court made a presentation to the Federal Bar Association luncheon in Phoenix. At all times, the proposed amendments, and then the final rules, were available on the District Court’s website.
In light of these actions, we do not agree with Gallo’s assertion that all 6,796 attorneys should have received notice by U.S. mail. 10 There is no evidence that the amendment resulted from any specific disciplinary proceedings against any of the affected 6,796 attorneys.
Gallo also admits that prior to commencing an action in the District Court, he reviewed the Local Rules and thus had actual notice of the amendments. Moreover, the Attorney Admissions Clerk informed Gallo of his status in the August 30, 2000 letter. Finally, the District Court reviewed and considered the merits of Gallo’s claims in his Ex Parte Application; it issued an order accordingly. The District Court’s compliance with the opportunity for comment provision in Section 2071(b), its promulgation of notice of the amendments, the notice Gallo admits he received, and the opportunity for hearing that Gallo received from the District Court satisfy any due process requirements Gallo argues he deserves.
The above forms of notice notwithstanding, Gallo requests that we notify each active federal judge in the District Court of our decision. Appellant’s Opening Brief (“AOB”), at 22-23. However, such notice is also unnecessary.
5. Supervisory Power to Modify Local Rule 1.5
Gallo argues that because this court has plenary supervisory power over
*1187
the rules adopted by the District Court, we can alter or dispense with rules we find unconstitutional on their face or as applied.
Frazier,
As discussed above, we reject Gallo’s characterization of the District Court’s enactment of the amendments as a revocation of his life tenure as a member of the bar. Moreover, as per our analysis of the constitutional implications of the District Court decision, we find that it was rationally related to a legitimate interest such that it passes constitutional scrutiny.
AFFIRMED.
Notes
. Admission pro hac vice refers to an attorney who is admitted temporarily to practice in a jurisdiction for the purpose of participating in a particular case. BLACK’S LAW DICTIONARY 1227 (7th ed.1999).
. In the underlying action, we affirmed in part and dismissed in part, finding that the investors had failed to plead their securities fraud claims with sufficient particularity.
See Bartlett v. Andersen,
. The District Court also notes that the holding in Hook only applies if the October 2, 2000 Order is appealable, which it contends it is not.
. We address, infra, Gallo’s assertion that a finding of clear error is unnecessary because we have plenary supervisory over the local rules.
.
See also Austin v. City of Bisbee, Ariz.,
. Although the record does not indicate that the District Court amended Local Rule 1.5(a) for the explicit purpose of ensuring quality attorney representation, it is well-established that rational basis scrutiny permits the court to consider any
conceivable
justifications for enacting the law.
See Nat’l Ass'n for the Advancement of Psychoanalysis,
. As discussed,
infra,
Gallo does not contend that he received inadequate public notice of the pending changes to Rule 1.5(a). The Dis
*1183
trict Court issued notice of public hearings on the proposed amendments on May 19, 1999. The amended rules were apparently posted on the District Court's website. On July 12, 1999, the District Court held two public hearings regarding the amended rule at which several interested parties expressed their concerns with Rule 1.5. Gallo had access to the requisite information and his "rights [were] protected in the only way that they can be in a complex society, by their power, immediate or remote, over those who make the rule.”
Bi-Metallic,
.
But see In re Evans,
. See discussion, supra, Section 2.
. Were this in fact a “mass disbarment,” as characterized by Gallo, we might well be inclined to find otherwise.
