This case presents difficult questions of statutory interpretation, justiciability, and the scope of judicial review of administrative action in foreign affairs. Hopson brought this action against the United States, the Secretary of Commerce and other government personnel and agencies (government) to challenge the validity of Department of Commerce regulations adopted pursuant to the International Whaling Convention Act of 1949. 16 U.S.C. §§ 916-9167. The district court dismissed the action as presenting a non-justiciable political question.
Hopson v. Kreps,
I.
The 1946 International Whaling Convention (Convention), 62 Stat. 1716, was entered into for the purpose of strengthening efforts to conserve whale populations around the world. Since prior treaties could only be amended by formal protocol, and therefоre did not lend themselves to establishment of seasonal quotas for the taking of whales, a major purpose of the Convention was the creation of an international commission with power to fix such quotas.
See Hopson v. Kreps, supra,
The subject of this controversy, the bow-head whale, is one of the most endangered whale species. Since 1946, the bowhead has been completely protected under the Schedule, except for an exemption for native subsistence whaling. This controversy began in 1977 when the Commission voted 17-0, the United States abstaining, to elimi *1377 nate the native subsistence exemption. The policy dilemma for the United States stems from the fact that native hunting for the bowhead whale is considered to be an integral part of Eskimo life and culture. Indeed, the bowhead whale is viewed as vital to Eskimo nutrition, apart from its contribution to traditional living patterns. Largely for these reasons, the government рrepared an extensive environmental impact statement to determine whether the United States should file an objection to the Schedule amendment.
Pursuant to Article V of the Convention, if a Contracting Government objects to an amendment to the Schedule within 90 days, the amendment does not apply to the objecting nation. Although the United States decided not to object to the native subsistence whaling amendment, the government made it cleаr that it considered a total ban on subsistence whaling unacceptable. Since that time, the American delegation to the Commission has succeeded in obtaining a limited quota for the taking of bowhead whales by Alaskan natives.
Hopson brought this action on behalf of Alaskan Eskimos, claiming that the Commission exceeded its jurisdiction under the Convention when it eliminated the exemption for subsistence whaling. Jurisdictional language in Article I of the Convention statеs that the Convention applies to “factory ships, land stations, and whale catchers under the jurisdiction of the Contracting Governments . . . .”
More important for our purposes, Hopson contends that since Congress enacted the Whaling Convention Act of 1949 solely to implement the Convention, the Commerce Department was not authorized to adopt Commission regulations that exceed the scope of the Commission’s jurisdiction.
1
The district court refused to address Hop-son’s statutory argument, however, and accepted instead the government’s contention that the interpretation of the Convention “is so intertwined with foreign policy consideratiоns that [a] court has no jurisdiction to consider the validity of the [Commerce Department] regulations that implement the Commission’s Schedule.”
II.
The district court’s decision was rendered prior to our decision in
United States v. Decker,
The government has failed to distinguish this case from
Decker.
The government urges that the political question doctrine has prudential as well as Article III dimensions, and contends that its application involves a weighing of relevant considerations on a case-by-case basis. It asks us to sustain the decision of the district court on the basis of a finding thаt the court sensitively applied the well-known criteria enunciated in
Baker
v.
Carr,
The analysis in
Baker
makes it clear that the criteria enunciated there generally do not apply to claims that the executive has exceeded specific limitations on dеlegated authority.
Id.
at 217,
a discriminating analysis of the particular question posed, in terms of the history of its management by the political branches, of its susceptibility to judicial handling in the light of its nature and posture in the specific case, and of the possible consequences of judicial action.
Id.
at 211-12,
Apart from these consideration, it is clear that in
Decker
we were cognizant of the
Baker
criteria when we determined that the issue there was justiciable.
The government next contends that this case is governed by our decision in
Jensen v. National Marine Fisheries Service,
In
Jensen,
we held non-justiciable a claim that the Secretary of State had acted arbitrarily (and hence illegally) in accepting the regulation of an international commission enаcted pursuant to a treaty similar to the one before us here. In
Decker,
we distinguished
Jensen
in two ways. First, we found that while
Jensen
involved a refusal to review a decision made within the range of a broad grant of discretionary authority in foreign affairs, the claim in
Decker
went to the very existence of the power of the executive to act as it did.
United States v. Decker, supra,
The government relies on the second point, contending that
Decker
draws a distinction for purposes of justiciability analysis between a claim for declaratory relief and an appeal from a criminal conviction. But we do not read
Decker
as holding that justiciability turns on the slender reed that distinguishes the seeking of declaratory relief from the threat of prosecution and appellate review оf a criminal conviction. Such a reading would be at odds with consistent holdings of the Supreme Court that persons subject to a real threat of criminal prosecution “should not be required to await and undergo a criminal prosecution as the sole means of seeking relief.”
Doe v. Bolton,
Finally, the government argues that its position is lent support by
Goldwater v. Carter,
III.
The government asks us to affirm the judgment of the district court on the alternative ground thаt the Secretary of State’s decision not to object to the amendment of the Schedule was action which the statute committed to his unreviewable discretion. The government asserts that because such a ruling holds that the statute granted the Secretary authority to determine the validity of the amendment under the Convention, it would have the effect of sustaining the challenged regulations rather than avoiding questions as to their validity. The government argues that this alternative ground can thus be squared with
United States v. Decker, supra,
The government is correct in observing that although “[i]t is the role of the judiciary to interpret international treaties and to enforce domestic rights arising from them,”
id.
at 737, treaties are relevant to the interpretation of congressional enactments only to the extent that Congress makes them relevant. Courts are empowered to give direct legal effect to treaties only insofar as they are self-executing and therefore operate as the law of the land.
See Head Money Cases,
The issue in any legal action concerning a statute implementing a treaty is the intended meaning of the terms of the statute. The treaty has no independent significance in resolving such issues, but is relevant insofar as it may aid in the proper construction of the statute. Thus, where courts have been persuaded as to the proper interpretаtion of an implementing statute, that judgment has not been affected by the claim that the reading given the statute was inconsistent with the intent of the parties to the treaty.
United States v. Navarre,
Moreover, although claims alleging that agencies have acted beyond their statutory
*1381
authority are generally deemed justiciable, there is also no doubt that Congress has “the constitutional authority ... to lodge with the Secretary of State the authority to consider and pass upon the regularity and validity” of the actions of an international commission pursuant to a treaty.
Z. & F. Assets Realization Corp. v. Hull,
Although the circuit court had held that the claim presented a political question,
Z. & F. Assets Realization Corp. v. Hull,
In the cаse before us, the statute expressly grants the Secretary of State power to accept or object to amendments to the Schedule pursuant to Article V of the Convention. 16 U.S.C. § 916b. The relevant legislative history states that the Secretary “is authorized to act for this Government in connection with amendments to the schedule made by the Commission . . H.R.Rep.No. 2514, 81st Cong., 1st Sess. 5 (1949), reprinted in [1950] U.S.Code Cong. & Admin.News, pp. 2938, 2943. As the Secretary of Commerce is authorized by the Act “to adopt suсh regulations as may be necessary to carry out . . . the regulations of the Commission,” 16 U.S.C. § 916j(a) (emphasis added), it is contended that 916b grants the Secretary of State final authority to determine whether amendments to the schedule will constitute “regulations of the commission” under 916j. 7 The government thus asks us to read this grant of power broadly so as to sustain the discretion of the district court.
We decline the government’s invitation. A careful study of the district court’s opinion demonstrates that the holding is based uрon the political question doctrine. Admittedly, there is some language which refers to commitment to agency discretion, but it would be unfair to the district court *1382 to construe these brief references as an unannounced alternative holding. We arrive at this conclusion primarily because the district court’s analysis does not appear to have been based on a reading of the statute, and the language referring to discretionary administrative action does not articulate a distinct basis for the court’s holding. Although Z. & F. Assets indicates that the subject matter of the grant of discretionary power is sometimes a significant factor in reviewability rulings, such rulings ultimately require interpretation of congressional intent. The district court’s opinion, however, displays virtually no analysis of the language of the statute or discussion of legislative intent. Thus, the court’s statement that the Secretary’s action constituted unreviewable administrative action in foreign affairs apparently rested on the court’s broad holding that it lacked jurisdiction even to address the validity of the Commerce Department regulations. We have held that this conclusion was error.
It would be inappropriate for us to decide the reviewability issue independently because we believe it should be first decided by the district court after full briefing by the parties.
8
The reviewability issue raises substantial questions as to the proper reconciliation of the holdings in
Decker, Z. & F. Assets,
and
Jensen
v.
National Marine Fisheries Service, supra,
REVERSED AND REMANDED.
Notes
. Hopson also contends that the Commerce Departmеnt issued its regulations in violation of the procedural and substantive requirements of the Marine Mammal Protection Act and the Endangered Species Act. See 16 U.S.C. §§ 1371(b) and 1539(e)(4). In addition, he claims that the regulations violate United States trust responsibilities to native subsistence whalers. We need not address these additional contentions.
. The Baker formulation reads:
Prominent on the surface of any case held to involve a political question is found a textually demonstrable constitutional cоmmitment of the issue to a coordinate political department; or a lack of judicially discoverable and manageable standards for resolving it; or the impossibility of deciding without an initial policy determination of a kind clearly for nonjudicial discretion; or the impossibility of a court’s undertaking independent resolution without expressing lack of the respect due coordinate branches of government; or an unusual need for unquestioning adhеrence to a political decision already made; or the potentiality of embarrassment from multifarious pronouncements by various departments on one question.
. It is difficult to reconcile the cases refusing to decide various issues, including those in the field of foreign relations, without acknowledging that the doctrine reflects prudential and functional concerns as well as Article III limitations on the use of judicial power. See L. Tribe, American Constitutional Law § 3-16, at 71-79; Scharpf, Judicial Review and the Political Question: A Functional Analysis, 75 Yale L.J. 517, 535-36 (1966); Note, A Dialogue on the Political Question Doctrine, 1978 Utah L.Rev. 523. But see Henkin, Is There a “Political Question” Doctrine?, 85 Yale L.J. 597 (1976) (“political question” rulings in foreign affairs are rulings on the merits); Tiger, Judicial Power, the “Political Question Doctrine,” and Foreign Relations, 17 U.C.L.A. L.Rev. 1135 (1970) (same).
. Claims that the executive has violated constitutional or statutory limitations have been ruled political only very rarely in recent years.
See, e. g., Sarnoff v. Connally,
. It is true that plaintiffs in
Jensen
also sought relief from potential prosecution, but we held that the mere possibility of prоsecution, as presented in that case, did not present a concrete controversy that was ripe for adjudication.
. We also decline to adopt the view that “personal liberty” interests will more likely trigger judicial review than claims related to “economic interests.” If economic penalties had been the only possible consequences of violation of the regulations in Decker, the validity of the regulations would still have been a prerequisite to Decker’s liability.
. Without reaching the merits of the government’s contention, we observe that the statute before us is not precisely analogous to the statute addressed in Z. & F. Assets. Whereas the statute in Z. & F. Assets specifically authorized the Secretary of Treasury to pay awards certified by the Secretary of State, here the Secretary of Commerce’s alleged power to adopt amendments not objected to by the Secretary of State entаils a relatively broad reading of 916b.
. This issue was virtually unexplored before us. Most' of the discussion in the briefs and oral arguments in this case were directed at the political question ruling of the district court. Although the government did articulate review-ability as a separate ground for the decision, that ground was not explored at any length. Viewing the district court decision as a political question ruling only, Hopson did not address any separate discussion to a reviewability question. Indeed, at oral argument Hopson stated that reviewability was one of the statutory questions which the district court refused to decide.
. In Decker, the Secretary’s power to accept the regulations of the Commission was granted by the treaty rather than by an explicit statutory provision. The scope of review thus turned entirely on the justiciability of the question of treaty construction presented there. Any implications of this difference in the statutory schemes can be explored by the parties on remand.
