*1 Before: BATCHELDER, WHITE, and MURPHY, Circuit Judges.
_________________
COUNSEL ARGUED: Rоbert J. Olson, WILLIAM J. OLSON, P.C., Vienna, Virginia, for Appellants. Brad Hinshelwood, UNITED STATES DEPARTMENT OF JUSTICE, Washington, D.C., for Appellees. ON BRIEF: Robert J. Olson, WILLIAM J. OLSON, P.C., Vienna, Virginia, Kerry *2 L. Morgan, PENTIUK, COUVREUR & KOBILJAK, P.C., Wyandotte, Michigan, for Appellants. Brad Hinshelwood, Abby C. Wright, UNITED STATES DEPARTMENT OF JUSTICE, Washington, D.C., for Appellees. Ilya Shapiro, CATO INSTITUTE, Washington, D.C., James Bardwell, NATIONAL ASSOCIATION FOR GUN RIGHTS, Loveland, Colorado, for Amici Curiae.
BATCHELDER, J., delivered the opinion of the court in which MURPHY, J., joined. WHITE, J. (pp. 38–60), delivered a separate dissenting opinion.
_________________
OPINION _________________ ALICE M. BATCHELDER, Circuit Judge. The question before us is whether a bump stock may be properly classified as a machine gun as defined by 26 U.S.C. § 5845(b). [1] But this case rests as much on who determines the statute’s meaning as it does on what the statute means.
On December 26, 2018, the Bureau of Alcohol, Tobacco, Firearms, and Explosives (“ATF” or “Agency”) promulgated a rule that classified bump stocks as machine guns, reversing its previous position. See Bump-Stock-Type Devices, 83 Fed. Reg. 66,514 (Dec. 26, 2018) (to be codified at 27 C.F.R. pts. 447, 478, 479) (“Final Rule”). Plaintiffs-Appellants—three gun- rights organizations, two individuals who own bump stocks, and one individual who would purchase a bump stock if not for the Final Rule—filed a motion for a preliminary injunction to prevent the Final Rule from taking effect. After finding that the ATF’s interpretation was entitled to Chevron deference, the district court held that the Final Rule’s classification of bump stocks as machine guns was “a permissible interpretation” of § 5845(b). Accordingly, the court concluded that Plaintiffs-Appellants were unlikely to succeed on the merits and denied the preliminary injunction.
Because an agency’s interpretation of a criminal statute is not entitled to deference and because the ATF’s Final Rule is not the best interpretation of § 5845(b), we REVERSE the district court’s judgment and REMAND for proceedings consistent with this opinion.
I. Background
A. Statutory History of the Machine Gun
For as long as there have been firearms, there have been efforts to make them shoot faster. See J OHN E LLIS , T HE S OCIAL H ISTORY OF THE M ACHINE G UN 9-14 (1986). The modern- day machine gun dates back to the nineteenth century with Richard Gatling’s 1861 invention of the hand-cranked Gatling gun and Hiram Maxim’s 1884 invention of the fully automatic Maxim gun. At first, these technological advances changed only the nature of warfare. But their impact soon reached the civilian world with the submachine gun becoming the weapon of choice of organized crime during the Prohibition Era. See David T. Hardy, The Firearms Owners’ Protection Act: A Historical and Legal Perspective , 17 C UMB . L. R EV . 585, 589-90 (1987).
Seeking to crack down on the criminal use of concealable, high-powered firearms,
Congress passed the National Firearms Act of 1934, Pub. L. No. 73-474, 48 Stat. 1236 (codified
as amended in I.R.C. ch. 53).
See
S. R EP . N O . 73-1444, at 1-2 (1934) (“The gangster as a law
violator must be deprived of his most dangerous weapon, the machine gun. Your committee is
of the opinion that limiting the bill to the taxing of sawed-off guns and machine guns is sufficient
at this time.”). “Representing the first major federal attempt to regulate firearms,” that 1934 Act
levied a then-steep $200 tax (estimated at over $3,800 in today’s dollars) on the purchase of a
machine gun.
Lomont v. O’Neill
,
The term “machine gun” means any weapon which shoots, or is designed to shoot, automatically or semiautomatically, more than one shot, without manual reloading, by a single function of the trigger.
Ch. 757,
Thirty years later, in response to several high-profile assassinations, including those of President John F. Kennedy, Senator Robert F. Kennedy, and Dr. Martin Luther King, Jr., Congress passed the Gun Control Act of 1968, which, among other restrictions, prohibited felons, drug users, and the mentally ill from purchasing firearms. Pub. L. No. 90-618, 82 Stat. 1213 (amending 18 U.S.C. §§ 921-28 and I.R.C. ch. 53). The 1968 Act’s definition of a machine gun largely adopted the 1934 Act’s definition but also expanded its scope to include other parts or devices that could convert a weapon into a machine gun:
The term “machinegun” means any weapon which shoots, is designed to shoot, or can be readily restored to shoot, automatically more than one shot, without manual reloading, by a single function of the trigger. The term shall also include the frame or receiver of any such weapon, any combination of parts designed and intended for use in converting a weapon into a machinegun, and any combination of parts from which a machinegun can be assembled if such parts are in the possession or under the control of a person.
§ 5845(b),
Finally, in 1986, Congress passed the Firearm Owners’ Protection Act, which banned civilian ownership of machine guns manufactured after May 1986, as well as any parts used to convert an otherwise legal semiautomatic firearm into an illegal machine gun. Pub. L. No. 99- 308, 100 Stat. 449 (1986) (amending 18 U.S.C. §§ 921-29). The 1986 Act amended only the second part of § 5845(b):
Section 5845(b) of the National Firearms Act (26 U.S.C. 5845(b)) is amended by striking out “any combination of parts designed and intended for use in converting a weapon into a machinegun,” and inserting in lieu thereof “any part designed and intended solely and exclusively, or combination of parts designed and intended, for use in converting a weapon into a machinegun.”
§ 109(a),
Thus, as currently codified, the statutory definition of a machine gun reads: The term “machinegun” means any weapon which shoots, is designed to shoot, or can be readily restored to shoot, automatically more than one shot, without manual reloading, by a single function of the trigger. The term shall also include the frame or receiver of any such weapon, any part designed and intended solely and exclusively, or combination of parts designed and intended, for use in converting a weapon into a machinegun, and any combination of parts from *5 which a machinegun can be assembled if such parts are in the possession or under the control of a person.
26 U.S.C. § 5845(b) (2019).
While Congress has enacted other legislation during the past 30 years, both expanding and reducing gun-control measures, no law has amended the definition of a machine gun since 1986.
B. Regulatory History of the Bump Stock
Though there are different versions, all bump stocks are devices designed to assist the shooter in “bump firing,” a technique that increases a semiautomatic firearm’s rate of fire. The bump stock replaces the standard stock of a semiautomatic rifle, i.e. , the end of the rifle that rests against the shooter’s shoulder. In contrast to the standard stock, which is stationary, the bump stock is a sliding stock that enables the firearm to move backwards and forwards in a “constrained linear”— i.e. , straight—fashion. Final Rule, 83 Fed. Reg. at 66,518. To initiate bump firing, the shooter pulls the trigger once, firing one shot, while maintaining “constant forward pressure with the non-trigger hand on the barrel-shroud or fore-grip of the rifle.” Id . at 66,516. At the same time, the shooter also maintains constant rearward pressure with his trigger hand, while keeping his trigger finger stationary. The recoil energy from the fired shot causes the firearm to slide backward approximately 1.5 inches. Id . at 66,518. The forward pressure applied by the shooter’s non-trigger hand, along with the recoil energy channeled by the bump stock, causes the firearm to then slide forward. As the firearm slides forward, the trigger “bumps” against the shooter’s stationary trigger finger, causing the trigger to depress and the firearm to shoot again. This second fired shot creates recoil energy once again, which again causes the bump-stock-attached firearm to slide back. The trigger is released and reset, and the process repeats.
This cycle will continue until the shooter moves his or her trigger finger, fails to maintain constant forward pressure with the non-trigger hand, the firearm malfunctions, or the firearm runs out of ammunition. As with any semiautomatic weapon, the trigger must be completely depressed, released, and then reset before it is capable of firing another shot. Only one shot is *6 fired each time the trigger is depressed. The bump stock enables a shooter to complete this depress-release-reset cycle of the trigger faster than would otherwise be possible without the bump stock.
Though the bump-firing technique has been around for as long as there have been
semiautomatic firearms,
[2]
the first patented bump-stock device was invented only 20 years ago.
In 1998, William Akins applied for a patent for an “apparatus for accelerating the cyclic firing
rate of a semi-automatic firearm.”
Akins v. United States
, No. 8:08-cv-988,
In 2006, the ATF opened an investigation and, by its own admission, “overruled” its
previous decision that the Akins Accelerator was not a machine gun. Final Rule, 83 Fed. Reg. at
66,517. The Agency concluded that the Accelerator’s internal spring made the device a machine
gun, but stated that if Accelerator owners removed the internal spring from the device, then it
“would render the device a non-machinegun under the statutory definition.”
Id
. Akins sued,
arguing that the Agency’s reversal was unreasonable, that the reversal violated due process, and
that the statutory definition of machine gun was unconstitutionally vague.
See Akins v. United
States
,
Meanwhile, “[b]etween 2008 and 2017, [the] ATF [] issued classification decisions concluding that other bump-stock-type devices were not machineguns, primarily because the devices did not rely on internal springs or similar mechanical parts to channel recoil energy.” Final Rule, 83 Fed. Reg. at 66,514 (emphasis added). But, as with the Akins Accelerator, the ATF later reversed course on these nonmechanical bump stocks too.
On October 1, 2017, in Las Vegas, Nevada, a gunman from his 32nd-floor hotel room fired down on a crowd of people at a nearby concert for nearly fifteen minutes, killing 58 and wounding over 500. The gunman used bump-stock devices attached to his semiautomatic rifles to increase his rate of firing, allowing him to inflict heavy casualties in a short period of time. In response to the shooting, President Trump “direct[ed] the Department of Justice to dedicate all available resources . . . as expeditiously as possible, to propose for notice and comment a rule banning all devices that turn legal weapons into machineguns.” Application of the Definition of Machinegun to “Bump Fire” Stocks and Other Similar Devices, 83 Fed. Reg. 7949 (Feb. 23, 2018).
On March 29, 2018, the Department of Justice (“DOJ”) published a notice of proposed
rulemaking that reinterpreted the terms “single function of the trigger” and “automatically,” as
used in 26 U.S.C. § 5845(b), in order to classify bump stocks as machine guns. Bump-Stock-
Type Devices, 83 Fed. Reg. 13,442 (proposed Mar. 29, 2018) (to be codified at 27 C.F.R. pts.
447, 478, 479). Over 186,000 comments were submitted in response to the notice. Final Rule,
C. Procedural History
Plaintiffs-Appellants filed suit on December 26, 2018, the same day that the Final Rule
was published in the Federal Register. Plaintiffs-Appellants claimed that the Final Rule violated
the Administrative Procedure Act (“APA”), the Fifth Amendment’s Takings Clause, and the
Fourteenth Amendment’s Due Process Clause. Plaintiffs-Appellants also sought a preliminary
injunction to stop the Final Rule from taking effect. The district court denied the preliminary
injunction.
Gun Owners of Am. v. Barr
,
While appealing the denial of their preliminary injunction, Plaintiffs-Appellants moved to
stay the effective date of the Final Rule. We denied the requested stay,
Gun Owners of Am., Inc.
v. Barr
, No. 19-1298,
Before us now is Plaintiffs-Appellants’ appeal of the district court’s denial of their request for a preliminary injunction.
II. Standard of Review
“When deciding whether to issue a preliminary injunction, the district court considers the following four factors: (1) whether the movant has a ‘strong’ likelihood of success on the merits; (2) whether the movant would otherwise suffer irreparable injury; (3) whether issuance of a preliminary injunction would cause substantial harm to others; and (4) whether the public interest would be served by issuance of a preliminary injunction.” Leary v. Daeschner , 228 F.3d 729, 736 (6th Cir. 2000) (citation omitted). The final two factors—assessing the harm to others and weighing the public interest—“merge when the Government is the opposing party.” Wilson v. Williams , 961 F.3d 829, 844 (6th Cir. 2020) (quoting Nken v. Holder , 556 U.S. 418, 435 (2009)).
“When a party appeals the denial of a preliminary injunction, we ask whether the district
court abused its discretion—by, for example, applying an incorrect legal standard, misapplying
the correct one, or relying on clearly erroneous facts.”
Pulte Homes, Inc. v. Laborers’ Int’l
Union of N. Am.
, 648 F.3d 295, 305 (6th Cir. 2011). This means that we “review the district
court’s legal conclusions de novo and its factual determinations for clear error.”
Id.
“The
district court’s determination of whether the movant is likely to sucсeed on the merits is a
question of law and is accordingly reviewed de novo.”
Certified Restoration Dry Cleaning
Network, LLC v. Tenke Corp.
,
III. Analysis: Chevron Deference
Before determining whether the ATF’s interpretation of § 5845(b) prevails, we must determine what deference, if any, we must give to its interpretation. Plaintiffs-Appellants argue that an agency’s construction is not, or should not be, entitled to deference when construing a criminal statute. [3] We agree and conclude that Chevron deference categorically does not apply to the judicial interpretation of statutes that criminalize conduct, i.e., that impose criminal penalties. Because the definition of machine gun in § 5845(b) applies to a machine-gun ban carrying criminal culpability and penalties, we cannot grant Chevron deference to the ATF’s interpretation.
A. Chevron Deference
In what turned out to be a landmark decision, Chevron USA, Inc. v. Natural Resources Defense Council, Inc. , 467 U.S. 837, 865 (1984), introduced the concept of “ Chevron deference”: an administering agency’s interpretation of a statute “is entitled to deference” from the courts. “ Chevron is rooted in a background presumption of congressional intent,” that Congress intentionally delegated interpretive authority to the agency by enacting a statute with “capacious terms” rather than “plain terms.” City of Arlington v. FCC , 569 U.S. 290, 296 (2013).
Despite becoming “the most-cited administrative law case of all time,” Jonathan R. Siegel, The Constitutional Case for Chevron Deference , 71 V AND . L. R EV . 937, 938 (2018), “ Chevron did not appear at first to be a major decision in administrative law,” Paul J. Larkin, Jr., Chevron and Federal Criminal Law , 32 J. L. & P OL . 211, 215 n.25 (2017). “That a third of its members were sidelined”—due to the recusals of Justices Marshall, Rehnquist, and O’Connor— *10 “reduces the likelihood that the Court intended to make a tectonic shift in administrative law.” Id. Regardless of its perceived intent—or lack thereof— Chevron did just that. Under its two- step process:
First, applying the ordinary tools of statutory construction, the court must determine whether Congress has directly spoken to the precise question at issue. If the intent of Congress is clear, that is the end of the matter; for the court . . . must give effect to the unambiguously expressed intent of Congress. But if the statute is silent or ambiguous with respect to the specific issue, the question for the court is whether the agency’s answer is based on a permissible construction of the statute.
City of Arlington
,
B. Supreme Court Precedent
The Court was clear and unеquivocal: “When a court reviews an agency’s construction of the statute which it administers . . . [and] th[at] statute is silent or ambiguous with respect to the specific issue[,] . . . [the] court may not substitute its own construction of [that] statutory provision for a reasonable interpretation made by the . . . agency.” , 467 U.S. at 842-44 (footnote omitted). did not draw any distinctions or identify any exceptions.
But in 2014, the Court said, “we have
never
held that the Government’s reading of a
criminal
statute is entitled to
any
deference.”
United States v. Apel
,
The critical point is that criminal laws are for courts, not for the Government, to construe. We think ATF’s old position no more relevant than its current one—which is to say, not relevant at all. Whether the Government interprets a criminal statute too broadly (as it sometimes does) or too narrowly (as the ATF used to [regarding this provision]), a court has an obligation to correct its error. Here, nothing suggests that Congress—the entity whose voice does matter—limited [the provision’s] prohibition . . . in the way [the petitioner] proposes.
Id.
(citation omitted). Thus, the Court was clear, unequivocal, and absolute in saying that it has
“never held that the Government’s reading of a criminal statute is entitled to any deference.”
Apel
,
Unless the Court was mistaken in those two cases or exaggerating for effect, that bold, absolute statement means that none of the Court’s prior cases applied Chevron deference (or any deference) to an agency’s interpretation of a criminal statute. That merits some discussion.
Start with , which was not a criminal prosecution. The Environmental Protection Agency (EPA) was the defendant; Chevron was just an intervenor. , 467 U.S. at 841 n.4. In implementing the Clean Air Act, which had created a permitting program for “stationary sources” of air pollution and delegated that program to the States, the EPA promulgated regulations “allow[ing] [the] State[s] to adopt a plantwide definition of the term ‘stationary source,’” a term the Act had used, but not defined. Id . at 840 (footnote omitted). The NRDC sued and “[t]he question presented . . . [was] whether EPA’s decision to allow States to treat all of the pollution-emitting devices within the same industrial grouping as though they were encased within a single ‘bubble’ [wa]s based on a reasonable construction of the statutory term ‘stationary source.’” Id . After creating the aforementioned “ deference,” id . at 842-45, the Court determined that the EPA’s definition was permissible within the Act’s ambiguity, describing it as “an effective reconciliation of the[] twofold ends” of “reducing air pollution [and protecting] economic growth,” id . at 866 (quotation marks, editorial marks, and citation omitted).
To be sure, the Clean Air Act contains criminal penalties for—among other things such as false reporting and tampering with monitoring devices—a permitted facility’s knowing violation of its permit requirements, but the Chevron opinion contains no reference to the Act’s criminal provisions nor did the case concern the possibility of any criminal sanction. No reasonable reading of Chevron could stand for the proposition that the government’s interpretation of a criminal statute is entitled to Chevron deference. Whether the Court intended to (silently) exclude the criminal-provision issue or merely did not consider the criminal- provision issue that was not before it, Chevron easily falls within the Court’s proclamations in Apel and Abramski that it has never held that the government’s reading of a criminal statute is entitled to deference.
The Court’s traditional approach, under the modern nondelegation doctrine, has been to allow Congress to delegate to the executive branch the responsibility for defining crimes, but only so long as it speaks “distinctly.” United States v. Grimaud , 220 U.S. 506, 519 (1911); United States v. Eaton , 144 U.S. 677, 688 (1892). “This clear-statement rule reinforces horizontal separation of powers . . . [and] compels Congress to legislate deliberately and explicitly before departing from the Constitution’s traditional distribution of authority. Carter v. Welles-Bowen Realty, Inc. , 736 F.3d 722, 733 (6th Cir. 2013) (Sutton, J., concurring). Obviously, —which applies only where there is statutory ambiguity—is the opposite of a “clear statement.”
In
Babbitt v. Sweet Home Chapter of Communities for a Great Oregon
, 515 U.S. 687,
690 (1995), the Endangered Species Act made it a crime to “take” an endangered species and the
Department of the Interior’s (DOI’s) regulation said that such “taking” included the modification
or degradation of the species’ habitat. Sweet Home sought a declaratory judgment that the
statute did not support that regulation, making the regulation facially invalid.
Id
. at 692. The
Court did not employ a full analysis, though it cited “generally” in announcing
that it did “owe some degree of deference to the [DOI]’s reasonable interpretation,” due, in part,
to the “latitude the [Act] gives to the [DOI] in enforcing the statute.”
Id
. at 703-04;
see also id.
at 708 (“When it enacted the ESA, Congress delegated broad administrative and interpretive
power to the [DOI].”). Thus, the Court appears to have been relying on the clear-statement
*13
rule’s delegation of authority to the DOI as if the DOI were Congress itself. The Court also
included a footnote addressing the “rule of lenity,” in which it emphasized that it was not
reviewing a criminal prosecution but rather a facial challenge to an administrative regulation,
which did not necessarily invoke the “rule of lenity” just because “the governing statute
authorize[d] criminal enforcement.”
Id
. at 704 n.18 (distinguishing
United States v. Thompson/
Center Arms Co.
,
In
United States v. O’Hagan
,
We are not aware of any other Supreme Court opinion that would question the
proclamation in
Apel
and
Abramski
, but there are opinions that are consistent with it. In at least
three cases, the Court has indicated that the rule of lenity—the practical opposite of
Chevron
deference—applies to ambiguous statutory provisions that have both civil and criminal
applications, thus resolving statutory ambiguities in favor of the criminal defendant rather than
the government.
See, e.g., Leocal v. Ashcroft
,
Considered altogether, if we take the Court at its word, it has never held that a court must necessarily grant Chevron deference to the government’s interpretation of an ambiguous criminal statute. More to the point for present purposes, we are aware of no Supreme Court opinion that compels us to apply deference to the ATF’s interpretation of § 5854(b) here.
C. Circuit Court Precedent
Our review of Sixth Circuit precedent reveals that we generally do not apply deference to an administering agency’s interpretation of a criminal statute, as we have explained:
The special deference required by is based on the expertise of an administrative agency in a complex field of regulation with nuances perhaps unfamiliar to the federal courts. Unlike environmental regulation or occupational safety, criminal law and the interpretation of criminal statutes is the bread and butter of the work of federal courts.
Dolfi v. Pontesso
,
To be sure, in
Esquivel-Quintana v. Lynch
,
Our reasoning in Esquivel was that “[t]he Supreme Court has said that we must follow in cases involving the Board’s interpretations of immigration laws.” Esquivel , 810 F.3d at 1024 (citations omitted). But the Supreme Court has not issued similarly on-point opinions involving the definition of “machinegun” in § 5845(b). The most analogous precedent is Thompson/Center Arms Company , 504 U.S. at 517-18 (plurality opinion), in which the Court applied the rule of lenity (not Chevron deference) to statutory definitions in the National Firearms Act, 26 U.S.C. § 5845. See also id. at 519 (Scalia, J., concurring in the judgment).
And we have never held that deference applies to an agency’s interpretation of a
purely criminal statute, such as the ban on possessing a machine gun in 18 U.S.C. § 922(o).
See
Esquivel
, 810 F.3d at 1027 (Sutton, J., concurring in part and dissenting in part) (“But all can
agree that . . . has no role to play in the interpretation of criminal statutes.”);
United
States v. One TRW, Model M14, 7.62 Caliber Rifle
, 441 F.3d 416, 420 & n.3 (6th Cir. 2006)
(considering an ATF ruling interpreting § 5845(b), finding the deference question unsettled, and
leaving it undecided, but noting that “[t]his matter is further complicated by the fact that [] we
are interpreting a criminal statute, and under the rule of lenity ambiguities are generally resolved
in favor of the party accused of violating the law, even in a civil proceeding”). Instead, we have
found that a court’s deferring to an agency’s interpretation of a criminal statute would be
*16
problematic, if not prohibited.
See United States v. Dodson
, 519 F. App’x 344, 349 (6th Cir.
2013) (“The ATF does not have the ability to redefine or create exceptions to Congressional
statutes.”);
Boettger v. Bowen
,
Since
Apel
and
Abramski
, other federal courts have split as to whether those opinions
mandate
that a court may not, or merely
permit
that it need not, defer to an agency’s
interpretation of a criminal statute.
Compare United States v. Kuzma
, 967 F.3d 959, 971 (9th
Cir. 2020),
cert. denied
,
We are not the first circuit court to review the ATF’s Final Rule on bump stocks. The
Tenth and D.C. Circuits have each concluded that an administering agency’s interpretation of a
criminal statute is entitled to
Chevron
deference, and, under that deferential standard of review,
found the ATF’s Final Rule a permissible interpretation of § 5845(b). Both of those courts found
themselves bound by circuit precedent that an agency’s interpretation of a criminal statute is
entitled to
Chevron
deference.
See Aposhian
,
D. Whether an Agency’s Interpretation of a
Criminal Statute is Entitled to
Chevron
Deference
Having found that Supreme Court and Sixth Circuit precedent neither require nor
foreclose a specific holding, we turn to the merits of the question. deference is typically
justified on two rationales: (1) an administering agency is more likely than a generalist court to
determine the best interpretation of a statute because of the agency’s specialized “expertise” in
the statute’s subject matter; and (2) by employing ambiguous terms rather than clear, specific
language when drafting a statute, Congress ostensibly was deliberately delegating its lawmaking
responsibilities to the agency.
Arangure v. Whitaker
, 911 F.3d 333, 341-42 (6th Cir. 2018).
Whatever the merits of either rationale with respect to civil statutes,
see Michigan v. EPA
,
1. Criminal Laws Reflect the Moral Judgments and “Expertise” of the Community
“[P]ractical agency expertise is one of the principal justifications behind deference.”
Pension Benefit Guar. Corp. v. LTV Corp.
, 496 U.S. 633, 651-52 (1990) (citing
, 467 U.S. at 865). The Supreme Court’s position has been that “agencies are more
likely to get the answer right, given their expertise.”
Arangure
,
Notwithstanding the ATF’s frequent reversals on major policy issues, we understand that
the Court would consider the bureaucrats at the ATF as experts in firearms technology. But that
technical knowledge is inapposite to the question of what should be criminally punished and
what should not. Criminal statutes reflect the value-laden, moral judgments of the community as
evidenced by their elected representatives’ policy decisions.
See Gregg v. Georgia
, 428 U.S.
153, 175 (1976) (“In a democratic society, legislatures, not courts, are constituted to respond to
the will and consequently the moral values of the people.” (cleaned up));
Mullaney v. Wilbur
,
Indeed, our criminal laws continue to reflect the public’s moral judgments.
See Kahler v.
Kansas
,
The training for such policy determinations does not come from a graduate school
education or decades of bureaucratic experience. Rather, one develops the expertise necessary to
make moral judgments from sources of a more humble and local origin: one’s family and
upbringing. This learning is further informed by relationships with friends and neighbors, the
practice of one’s faith, and participation in civic life. That this education is accessible to
everyone and anyone further enhances, not diminishes, the legitimacy of these community-based
judgments. That is why, from the founding, the Supreme Court has held that there can be no
federal common-law crimes аnd that only the people’s representatives in Congress may enact
federal criminal laws.
See United States v. Davis
,
Moreover, mastery of one field does not mean mastery of all. The ATF is not an expert on community morality, so the rationale of deferring to “agency expertise” on this question fails. And there is great risk if the responsibility of making moral condemnations is assigned to bureaucrats in the nation’s capital who are physically, and often culturally, distant from the rest of the country. Federal criminal laws are not administrative edicts handed down upon the masses as if the administrators were God delivering the Ten Commandments to Moses on Mount Sinai.
Whether ownership of a bump-stock device should be criminally punished is a question for our society. Indeed, the Las Vegas shooting sparked an intense national debate on the benefits and risks of bump-stock ownership. And because criminal laws are rooted in the community, the people determine for themselves—through their legislators—what is right or wrong. The executive enforces those determinations. It is not the role of the executive— particularly the unelected administrative state—to dictate to the public what is right and what is wrong.
The stakes of any determination are significant. Under the ATF’s Final Rule, every
bump-stock owner will potentially face not only a loss of liberty in the form of incarceration, but
also the stigma and hardships that accompany a felony conviction.
See McMillan v.
Pennsylvania
,
Finally, to the extent that the ATF is not determining what
the agency
thinks should be
punished but is instead merely interpreting what
Congress
has already decided should be
*21
punished, that determination also wrongfully relies on an expertise that the ATF lacks. Rather,
as we have already explained, interpreting criminal statutes falls within the expertise of the
courts.
Dolfi
, 156 F.3d at 700;
see also Alexander v. Gardner-Denver Co.
, 415 U.S. 36, 57
(1974) (“[T]he resolution of statutory or constitutional issues is a primary responsibility of
courts.”);
Zipf v. Am. Tel. and Tel. Co.
, 799 F.2d 889, 893 (3d Cir. 1986) (“[S]tatutory
interpretation is not only the obligation of the courts, it is a matter within their peculiar
expertise.”). Indeed, “we judges are experts on one thing—interpreting the law.”
Wilson v.
Safelite Grp., Inc.
,
In sum, for criminal statutes, where the primary question is what conduct should be condemned and punished, the first rationale of Chevron deference—deferring to an agency’s expertise—is unconvincing because the agency’s technical specialized knowledge does not assist in making the value-laden judgment underlying our criminal laws. That judgment is reserved to the people through their duly elected representatives in Congress.
2. Deference in the Criminal Context Violates the Separation of Powers
“The Court justified deference on the premise that a statutory ambiguity
represents an ‘implicit’ delegation to an agency to interpret a ‘statute which it administers.’”
Epic Sys. Corp. v. Lewis
,
Notwithstanding Article I’s mandate that “[a]ll legislative Powers herein granted shall be
vested in a Congress of the United States,” U.S. C ONST . art. 1, § 1., the Supreme Court has
*22
permitted Congress to delegate some of its lawmaking responsibilities to executive-branch
agencies so long as Congress provides an “intelligible principle” to which the administering
agency is directed to conform.
Mistretta v. United States
, 488 U.S. 361, 372 (1989) (quoting
J.W. Hampton, Jr., & Co. v. United States
,
Therefore, a court’s deferring to an executive-branch agency’s interpretation of a
congressional statute naturally raises separation-of-powers concerns.
See
,
e.g.
,
Arangure
,
911 F.3d at 338 (explaining that “[w]hen courts find ambiguity where none exists, they are
abdicating their judicial duty,” “impermissibly expand[ing] an already-questionable doctrine,” and “abrogat[ing the] separation of powers”) (citations omitted);
Havis
, 907 F.3d at
452 (Thapar, J., concurring) (“[D]eference [that] would allow the same agency to make the rules
and interpret the rules . . . is contrary to any notion the founders had of separation of powers.”);
Lynch
,
The “separate and distinct exercise of the different powers of government” is “essential to
the preservation of liberty.” T HE F EDERALIST N O . 51, at 268 (James Madison or Alexander
Hamilton). The separation of powers serves as “the great security against a gradual
concentration of the several powers in the same department.”
Id
. In addition to “protect[ing]
each branch of government from incursion by the others,” most importantly, “[t]he structural
principles secured by the separation of powers protect the individual as well.”
Bond v. United
States
,
Each branch’s role and responsibility with regard to criminal statutes is clear. First,
“[o]nly the people’s elected representatives in the legislature are authorized to ‘make an act a
crime.’”
Davis
, 139 S. Ct. at 2325 (quoting
Hudson
, 7 Cranch at 34). Next, the executive is
responsible for enforcing criminal statutes, and it retains “exclusive authority and absolute
discretion to decide whether to prosecute a case.”
United States v. Nixon
, 418 U.S. 683, 693
(1974) (citing
Confiscation Cases
,
Even under a well-balanced system, the power of the federal government, particularly the exeсutive branch, is formidable. No matter how well-prepared a defendant may be, his defense will pale in comparison to the resources, institutional knowledge, and personnel available to the federal government. If we defer to the federal prosecutor’s interpretation of a criminal statute, this imbalance becomes even more lopsided. Whatever separation-of-powers issues are created by the delegation of civil lawmaking, the problems are much more profound when the matter involves criminal legislation. Specifically, deferring to the executive branch’s interpretation of a criminal statute presents at least three serious separation-of-powers concerns: (1) it puts individual liberty at risk by giving one branch the power to both write the criminal law and enforce the criminal law; (2) it eliminates the judiciary’s core responsibility of determining a criminal statute’s meaning; and (3) it reduces, if not eliminates, the public’s ability to voice its *24 moral judgments because it transfers the decision-making from elected representatives in the legislature to unaccountable bureaucrats in the executive’s administrative agencies.
First, giving one branch the power to both draft and enforce criminal statutes jeopardizes the people’s right to liberty. The concern over the potential abuse of power if the executive can define crimes predates our nation’s founding. See T HE F EDERALIST N O . 47, at 251 (James Madison) (quoting Baron de Montesquieu that “[t]here can be no liberty where the legislative and executive powers are united in the same person, or body of magistrates”); 1 W ILLIAM B LACKSTONE , C OMMENTARIES *146 (1753) (“In all tyrannical governments, the supreme magistracy, or the right of both making and of enforcing the laws, is vested in one and the same man, or one and the same body of men; and wherever these two powers are united together, there can be no public liberty.”); J OHN L OCKE , S ECOND T REATISE OF C IVIL G OVERNMENT § 143, pp. 324-25 (T. Hollis ed., 1764) (1690) (“[I]t may be too great a temptation to human frailty, apt to grasp at power, for the same persons, who have the power of making laws, to have also in their hands the power to execute them, whereby they may exempt themselves from obedience to the laws they make, and suit the law, both in its making, and execution, to their own private advantage, and thereby come to have a distinct interest from the rest of the community, contrary to the end of society and government.”); Case of Proclamations , 12 Co. Rep. 74, 75 (K.B. 1611) (“[T]he King cannot change any part of the common law, nor create any offence by his proclamation, which was not an offence before, without Parliament.”).
Thе executive branch plays an important role in upholding the rule of law and making
society safer. But the immense power necessary to achieve those virtuous ends necessarily
means that that power is at risk of being abused. If the executive branch wants to prosecute
someone for something that is not yet a crime, it could use deference to interpret a
statute so as to criminalize the activity and then prosecute an individual for doing it.
See
Whitman v. United States
,
Second, it is for the judiciary to “say what the law is,”
Marbury
,
Third, because it is the public’s responsibility to determine what conduct should be
condemned,
see supra
Part III.D.1, “[o]nly the people’s elected representatives in Congress have
the power to write new federal criminal laws.”
Davis
, 139 S. Ct. at 2323. Indeed, “Congress
alone has the institutional competence, democratic legitimacy, and (most importantly)
constitutional authority to revise statutes in light of new social problems and preferences.”
Wis.
Cent. Ltd. v. United States
,
Of all the separation-of-powers concerns identified, perhaps this is the most troubling: the bureaucrats at the agency are unaccountable to the public. If the agency adopts an interpretation contrary to the will of the people, what recourse does the public have? Unlike legislators, agency bureaucrats are not subject to elections and are often further protected from *26 removal by civil-service restrictions. Even when an agency implements the will of the public correctly, that determination may still violate the separation of powers. Because the community has the right to determine what moral wrongs should be punished—a practice that predates our Constitution—that responsibility may be entrusted to only the branch most accountable to the people: the legislature. And it may not be blithely delegated away. See L OCKE , § 141, at 322 (“The legislative cannot transfer the power of making laws to any other hands: for it being but a delegated power from the people, they who have it cannot pass it over to others.”).
Because such deference in the criminal context would violate the Constitution’s separation of powers and poses a severe risk to individual liberty, we must hold that an administering agency’s interpretation of a criminal statute is not entitled to Chevron deference.
3. Fair Notice and the Rule of Lenity
We have established that the two principal justifications for deference in the
civil context—deferring to an agency’s subject-matter expertise and respecting Congress’s
delegation of its lawmaking powers—are unpersuasive in the criminal context. Nor does a third
justification for
Chevron
deference fit into this criminal context: the “background presumption”
of statutory interpretation that Congress means for federal agencies to resolve the ambiguities
that it leaves in its statutes.
City of Arlington
,
The rule of lenity instructs courts that “ambiguity concerning the ambit of criminal
statutes should be resolved in favor of lenity.”
Rewis v. United States
,
We have long accepted that deference in the criminal context conflicts with the rule of
lenity and raises serious fair-notice concerns.
See
,
e.g.
,
Lynch
,
Returning to our prior consideration of
Babbitt
, 515 U.S. at 704 n.18 (“We have never
suggested that the rule of lenity should provide the standard for reviewing facial challenges to
administrative regulations whenever the governing statute authorizes criminal enforcement.”),
we must recognize that the Supreme Court has never expressly reaffirmed that footnote and has
*28
indeed undercut it in subsequent cases.
See
,
e.g.
,
Leocal
,
E. Summary
Whatever the merits of giving deference to an agency’s interpretation of civil statutes, the principal rationales behind that policy cannot be extended to support giving deference to an agency’s interpretation of criminal statutes. Declining to grant deference to agency interpretations of criminal statutes respects the community’s responsibility to make value-laden judgments on what should be criminalized, upholds the separation of powers, complies with the rule of lenity, and avoids fair-notice concerns. Because the ATF’s *29 interpretation of § 5845(b) is not entitled to deference, we must determine the best meaning of the criminal statute and whether a bump stock falls within the statutory definition of a machine gun.
IV. Analysis: Statutory Interpretation
It is a “‘fundamental canon of statutory construction’ that words generally should be
‘interpreted as taking their ordinary, contemporary, common meaning . . . at the time Congress
enacted the statute.’”
Wis. Cent. Ltd.
, 138 S. Ct. at 2074 (quoting
Perrin v. United States
,
444 U.S. 37, 42 (1979)). The separation of powers requires that we interpret the statute “as
written,” and “we may not rewrite the statute simply to accommodate [a] policy concern.”
Henry Schein, Inc. v. Archer & White Sales, Inc.
,
Whether a bump stock falls within § 5845(b)’s definition of a machine gun is a question
of statutory interpretation, and “[t]he starting point for any question of statutory interpretation is
the language of the statute itself.”
United States v. Coss
, 677 F.3d 278, 283 (6th Cir. 2012)
(internal quotation marks and citation omitted). In determining the meaning of a statute, we have
several interpretative tools at our disposal, including contemporaneous dictionaries, the structure
and context of the rest of the statute, and descriptive canons of statutory interpretation, such as
ejusdem generis
,
expressio unius
, and
noscitur a sociis
.
See Keen v. Helson
, 930 F.3d 799,
802-04 (6th Cir. 2019);
Arangure
,
A. “Single Function of the Trigger”
The parties dispute the meaning of the phrase “single function of the trigger,” as used in
§ 5845(b). Plaintiffs-Appellants argue that the phrase “refers to the mechanical process through
which the trigger goes (what the firearm is doing)” as opposed to “what the shooter is doing.”
The ATF argues (at least at the moment) that it means “a single pull of the trigger and analogous
motions.” Final Rule,
Put differently, the question is whether “function” is referring to the mechanical process ( i.e. , the act of the trigger’s being depressed, released, and reset) or the human process ( i.e. , the shooter’s pulling, or otherwise acting upon, the trigger). [5] Under the former, a bump stock does not fundamentally change the mechanical process: in order for a single shot to be fired, the trigger must be depressed, released, and reset before another shot may be fired. Under this interpretation, the bump-stock-attached semiautomatic firearm clearly is not a machine gun as it is not capable of firing more than one shot for each depressed-released-reset cycle the trigger completes.
Under the latter interpretation, the bump stock requires that the shooter pull—as in physically bend his or her finger and apply force to pull the trigger—once. After the shooter pulls the trigger once, the bump stock enables the continuous firing cycle to begin and continue without requiring the shooter to physically move his or her finger and pull the trigger again; indeed, a bump stock is successfully operated when the shooter keeps his or her trigger finger stationary. Under this interpretation, the bump-stock-attached semiautomatic firearm would be a machine gun because the firearm shoots multiple shots despite the shooter’s pulling the trigger only once.
We have not previously addressed the meaning of the phrase “single function of the
trigger” as used in § 5845(b).
[6]
The district court concluded that both interpretations were
reasonable and, because it was operating under a -deference framework, upheld the
*31
Final Rule as a permissible interpretation.
[7]
Gun Owners of Am.
,
“When interpreting the words of a statute, contemporaneous dictionaries are the best
place to start.”
Helson
,
We next consider the phrase in the context of the rest of the statute to see if that
illuminates which meaning of “function” Congress intended when drafting § 5845(b).
See
Helson
,
First, the phrase plainly refers only to the “single function of the trigger ,” § 5845(b) (emphasis added), not “the trigger finger.” And if “function” is understood to mean “action,” then the most natural reading of § 5845(b) would not be to read “single action of the trigger” to mean “single action of the trigger finger.” Rather the best, most natural reading would be that § 5845(b) refers to the trigger itself.
Second, this interpretation is further supported by the fact that the rest of § 5845(b)’s statutory definition of a machine gun describes the firearm, not the shooter, the shooter’s body parts, or the shooter’s actions. Indeed, the entire definition focuses exclusively on the firearm’s design and capability. At no point does the definition mention the shooter or the shooter’s actions. Nothing in the statute suggests that the phrase “single function of the trigger” refers to the shooter’s pulling the trigger rather than the trigger itself.
Third, the Final Rule’s interpretation that “single function of the trigger” means “single
pull of the trigger and analogous motions,” Final Rule,
Finding that “function” refers to the mechanical process, we conclude that a bump stock
cannot be classified as a machine gun under § 5845(b). We recognize that a bump stock
increases a semiautomatic firearm’s rate of firing, possibly to a rate nearly equal to that of an
automatic weapon. With a bump stock attached to a semiautomatic firearm, however, the trigger
still must be released, reset, and pulled again before another shot may be fired. A bump stock
may change
how
the pull of the trigger is accomplished, but it does not change the fact that the
semiautomatic firearm shoots only one shot for each pull of the trigger.
Guedes
,
Indeed, to the extent that the Supreme Court has spoken on the meaning of § 5845(b), its
interpretation is supportive of the interpretation we adopt today.
See Staples v. United States
,
Given that the first bump-stock-type invention was not patented until well over a decade
after the most recent amendment to § 5845(b), it would be impossible to say definitively whether
*34
the 90th Congress in 1968 or the 99th Congress in 1986 would or would not have intended to ban
bump stocks as automatic weapons. “But the fact that Congress might have acted with greater
clarity or foresight does not give courts a
carte blanche
to redraft statutes in an effort to achieve
that which Congress is perceived to have failed to do.”
United States v. Locke
,
Congress could amend the statute tomorrow to criminalize bump-stock ownership, if it so wished; indeed, some states have done just that. See , e.g. , D EL . C ODE A NN . tit. 11 § 1444(a)(6) (2020); R.I. G EN . L AWS A NN . § 11-47-8(d) (2020); W ASH . R EV . C ODE A NN . §§ 9.41.010(3), 9.41.190, 9.41.220 (2020); N.Y. P ENAL L AW §§ 265.00(26-27); 265.10, 265.01-c (2019); N EV . R EV . S TAT . A NN . § 202.274 (2019); C AL . P ENAL C ODE §§ 16930, 32900 (2019); M D . C ODE A NN ., C RIM . L AW §§ 4-301(f), 4-305.1, 4-306 (2019); N.J. S TAT . A NN . §§ 2C:39-3(l), 39-9(j) (2019); F LA . S TAT . A NN . § 790.222 (2018); H AW . R EV . S TAT . § 134-8.5 (2018); M ASS . G EN . L AWS A NN . ch. 140, §§ 121, 131 (2018); V T . S TAT . A NN . tit. 13, § 4022 (2018).
But as judges, we cannot amend § 5845(b).
See Henson v. Santander Consumer USA
Inc.
, 137 S. Ct. 1718, 1726 (2017) (“[T]he proper role of the judiciary . . . [is] to apply, not
amend, the work of the People’s representatives.”). And neither can the ATF.
See Dodson
,
519 F. App’x at 349 (“The ATF does not have the ability to redefine or create exceptions to
Congressional statutes.”). This is because the separation of powers requires that any legislation
pass through the legislature, no matter how well-intentioned or widely supported the policy
might be.
See INS v. Chadha
,
In sum, based on the text and context of § 5845(b), and further supported by the Supreme Court’s interpretation in Staples , we conclude that the phrase “the single function of the trigger” refers to the mechanical process of the trigger, not the shooter’s pulling of the trigger. Consequently, a bump stock cannot be classified as a machine gun under § 5845(b).
B. “Automatically”
Our holding that a bump stock does not fall within the statutory definition of a machine gun because a bump stock does not cause a firearm to fire more than one shot by a single function of the trigger is sufficient to resolve this appeal. Consequently, we need not address or decide whether the ATF or Plaintiffs-Appellants have the better interpretation of “automatically” as used in 26 U.S.C. § 5845(b). [9]
V. Remaining Preliminary Injunction Factors
Having determined that Plaintiffs-Appellants are likely to prevail on the merits, we
address the three remaining factors of a preliminary injunction: (1) whether Plaintiffs-Appellants
will suffer irreparable injury without an injunction; (2) whether the issuance of a preliminary
injunction would cause substantial harm tо others; and (3) whether the issuance of a preliminary
injunction would serve the public interest.
Leary
,
However, we do not decide the scope of the injunction, except to say that the scope may
not exceed the bounds of the four states within the Sixth Circuit’s jurisdiction and, of course,
encompasses the parties themselves. Though we disagree with the ATF’s position, the ATF
prevailed before the Tenth Circuit, as well as the D.C. Circuit Court, from which decision the
Supreme Court denied certiorari.
See Guedes
,
While this will create a circuit split on the meaning of § 5845(b), there is value in having
legal issues “percolate” in the lower courts.
See CASA de Md., Inc. v. Trump
,
VI. Conclusion
Consistent with our precedent and mandated by separation-of-powers and fair-notice concerns, we hold that an administering agency’s interpretation of a criminal statute is not entitled to deference. Consequently, the district court erred by finding that the ATF’s Final Rule, which interpreted the meaning of a machine gun as defined in 26 U.S.C. § 5845(b), was entitled to deference. And because we find that “single function of the trigger” refers to the mechanical process of the trigger, we further hold that a bump stock cannot be classified as a machine gun because a bump stock does not enable a semiautomatic firearm to fire more than one shot each time the trigger is pulled. Accordingly, we find that Plaintiffs- Appellants are likely to prevail on the merits and that that their motion for an injunction should have been granted.
Therefore, we REVERSE the judgment of the district court and REMAND for proceedings consistent with this opinion.
_________________
DISSENT _________________ WHITE, Circuit Judge, dissenting. I respectfully disagree with the majority’s conclusion that Chevron never applies to laws with criminal applications. The Supreme Court has applied Chevron in the criminal context in three binding decisions— Chevron itself, Babbitt , and O’Hagan [1] —and has never purported to overrule those cases. Although comments in subsequent decisions may create tension with these cases, they remain binding. Thus, I would apply Chevron . And because the statutory phrase here is ambiguous and the ATF’s interpretation of that phrase is reasonable, it is entitled to deference under Chevron .
I. Chevron Applies
Chevron applies here. First, the ATF’s Bump-Stock Rule is the type of “legislative” rule that usually triggers Chevron ’s two-step framework. Sеcond, that framework is not waivable. Third, the framework applies even though the rule carries criminal consequences. And fourth, the majority’s normative arguments to the contrary are not persuasive.
A. The ATF’s Rule is “Legislative”
The Administrative Procedure Act draws a “central distinction” between legislative and
interpretive rules.
Azar v. Allina Health Servs.
,
Legislative rules “have the ‘force and effect of law.’”
Tenn. Hosp. Ass’n v. Azar
,
908 F.3d 1029, 1042 (6th Cir. 2018) (quoting
Perez v. Mortg. Bankers Ass’n
, 575 U.S. 92, 96
*39
(2015)). “[I]nterpretive rules do not,”
id.
, and are instead meant only “‘to advise the public of
the agency’s construction of the statutes and rules which it administers,’”
Shalala v. Guernsey
Mem’l Hosp.
,
A rule is “legislative” if it “‘intends to create new law, rights, or duties.’”
Tenn. Hosp.
,
The ATF’s rule is “legislative.”
See
Bump-Stock-Type Devices, 83 Fed. Reg. 66,514
(Dec. 26, 2018). To start, it went through formal notice-and-comment rulemaking,
id.
at 66,517,
a strong sign that the agency intended to speak with the force of law,
Encino Motorcars
, 136 S.
Ct. at 2122, 2125. It also adopted a position inconsistent with previous interpretations of
“machinegun.” From 2008 to 2017, several ATF classification letters said that certain
bump-stock devices were not “machineguns” because they “did not rely on internal springs or
similar mechanical parts to channel recoil energy.”
Further, as the D.C. Circuit recently observed, “[a]ll pertinent indicia of agency intent
confirm that the Bump-Stock Rule is a legislative rule.”
Guedes
,
Because the rule is legislative, it is the type of rule to which
Chevron
’s two-step
framework typically applies. We apply
Chevron
when “Congress delegated authority to the
agency generally to make rules carrying the force of law” and “the agency interpretation” in
question “was promulgated in the exercise of that authority.”
Mead
,
But two issues remain. First, Plaintiffs argue that the government has “waived” Chevron . Second, the majority concludes that Chevron does not apply in criminal contexts. Neither issue precludes Chevron deference because Chevron is not waivable, and the Supreme Court has applied Chevron to legislative rules with criminal applications.
B. Chevron Cannot Be Waived
The government disclaims any reliance on
Chevron
.
See
Appellees’ Br. at 15-16
(“Plaintiffs’ extended discussion of
Chevron
deference . . . likewise fails to advance their claims.
Deference is unnecessary where, as here, the Rule properly interprets the statute . . . . The
government thus does not rely on
Chevron
deference, but if this Court were to employ that
framework, plaintiffs would still not be entitled to a preliminary injunction.”). Plaintiffs argue
that the government waived
Chevron
here. The D.C. Circuit addressed a similar claim in
Guedes
,
There are several problems with concluding that
Chevron
can be waived. To start,
Chevron
is not a right or privilege that belongs to a party; it is a standard of review, as we have
repeatedly recognized.
[4]
It is well-established that a “‘party cannot waive the proper standard of
review by failing to argue it.’”
Hubbell v. FedEx SmartPost, Inc.
,
[3]
The Supreme Court has not yet addressed this issue. At least one Justice disagrees with the waiver
analysis in
Guedes
.
See Guedes v. Bureau of Alcohol, Tobacco, Firearms & Explosives
,
[4]
See, e.g.
,
Keeley v. Whitaker
, 910 F.3d 878, 885 (6th Cir. 2018) (describing as a “standard of
review”);
Nat’l Truck Equip. Ass’n v. Nat. Highway Traffic Safety Admin.
, 711 F.3d 662, 668 (6th Cir. 2013)
(same);
Estate of Gerson v. Comm’r.
,
2019) (citation omitted). “Such a determination remains for this court to make for itself.”
K&T
Enters., Inc. v. Zurich Ins. Co.
,
Allowing
Chevron
to be waived would also contravene “basic precepts of administrative
law.”
Guedes
,
A waiver regime, moreover, would allow an agency to vary the binding nature of a legislative rule merely by asserting in litigation that the rule does not carry the force of law, even though the rule speaks to the public with all the indicia of a legislative rule. Agency litigants then could effectively amend or withdraw the legal force of a rule without undergoing a new notice-and-comment rulemaking. That result would enable agencies to circumvent the Administrative Procedure Act’s requirement “that agencies use the same procedures when they amend or repeal a rule as they used to issue the rule in the first instance.” [ Perez , 575 U.S. at 101]. And an agency could attempt to secure rescission of a policy it no longer favors without complying with the Administrative Procedure Act, or perhaps could avoid the political accountability that would attend its own policy reversal by effectively inviting courts to set aside the rule instead.
Guedes
,
Thus, we must independently determine whether Chevron applies. [5]
C. Chevron and Criminal Laws
The majority concludes that Chevron never applies to laws with criminal applications. It first determines that the relevant caselaw leaves the question open and then puts forth three normative reasons why Chevron ought not apply. I disagree with the majority’s discussion of the caselaw and with its proffered rationales.
1. The Caselaw
To start,
Chevron
itself involved an agency interpretation that had criminal implications.
The issue in
Chevron
was the meaning of the term “stationary source” in the Clean Air Act.
467 U.S. at 840. Under the statutory regime, private parties in certain states had to obtain a
permit when they added a new “major stationary source” of air pollution.
Id.
The EPA issued a
regulation providing that industrial plants did not add a new “source” when they added new
pieces of pollution-emitting equipment unless the alteration increased the total emissions in the
plant.
Id
. The National Resources Defense Council sued, arguing that a new permit was needed
whenever a new pollution-emitting device emitting over 100 tons of pollutants was added.
Id
. at
841 n.3, 859. At the time, knowing violation of the permit requirement was punishable by daily
$25,000 fines and imprisonment for up to a year. 42 U.S.C. § 7502(a)(1), (b)(6) (1982);
id.
§ 7413(c)(1) (1982). Still, the Court applied deference. ,
In
United States v. O’Hagan
,
Although
Erskine
appears to voice agreement with the suggestion that
Chevron
arguments may be
forfeited, it offered no discussion on the issue. More importantly, the issue was not necessary to its holding and thus
constituted dictum.
See Freed v. Thomas
,
Neither Chevron nor O’Hagan addressed the interaction between Chevron and the rule of lenity, but the Court squarely addressed the issue in Babbitt v. Sweet Home Chapter of Cmtys. for a Great Or. , 515 U.S. 687 (1995). There, the Court reviewed a regulation interpreting the definition of the word “take” in the Endangered Species Act (ESA). Id. at 690. The ESA made it illegal to “take” certain endangered species and attached criminal penalties for knowingly doing so. Id. at 691-93, 696 n.9. Congress defined “take” to include several verbs, including “harm,” but did not define what “harm” meant. Id. at 691. The Department of Interior promulgated a regulation defining “harm” to include habitat degradation. Id. The plaintiffs challenging the regulation argued that Chevron deference was improper because the ESA included criminal penalties and, therefore, the rule of lenity should apply instead. Id. at 704 n.18. The Court rejected the argument and applied Chevron , despite the statute’s criminal penalties. Id. at 703-04, 704 n.18. [7]
Chevron
,
Babbitt
, and
O’Hagan
all involved “legislative” regulations issued through
notice-and-comment
rulemaking—i.e.,
regulations
that
trigger
Chevron
’s deferential
framework.
[8]
In two 2014 cases that did
not
involve legislative regulations, the Court made
statements that could be taken to question whether
Chevron
applies in the criminal context.
United States v. Apel
,
But Apel and Abramski never mention Chevron , Babbitt , or O’Hagan . Nor would they be expected to because neither involved agency interpretations that would trigger Chevron to begin with. Abramski involved informal agency guidance (ATF “circulars”). 573 U.S. at 183 n.8, 191; id. at 198 n.3, 202 (Scalia, J., dissenting). And Apel involved internal guidance documents (DOJ manuals and Air Force JAG opinions) that the Court expressly noted were “not intended to be binding.” 571 U.S. at 368. [9] Thus, the Court’s statements in both cases do not undermine Chevron ’s applicability here because the agency guidance documents were not P ROCEDURE § 8427 n.12 (2d ed. Oct. 2020) (describing Babbitt as “applying Chevron deference to the Secretary’s definition of ‘take’ under the Endangered Species Act”); William N. Eskridge & Lauren E. Baer, The Continuum of Deference: Supreme Court Treatment of Agency Statutory Interpretations From Chevron to Hamdan, 96 G EO . L.J. 1083, 1135-36 n.178 (2008) (listing Babbitt as an example of a “prominent Chevron case[]”); Note, Justifying the Doctrine: Insights From the Rule of Lenity , 123 H ARV . L. R EV . 2043, 2062 (2010) (“In a later case, [ Babbitt ,] the Court did grant deference to an agency interpretation of the Endangered Species Act, despite the fact that the Act could be both civilly and criminally enforced.”).
[8]
In , the regulation at issue was an EPA “final rule” promulgated after notice and comment.
[9] See id. at 368-69 (quoting portion of DOJ’s U.S. Attorneys’ Manual stating, “‘The Manual provides only internal Department of Justice guidance. It is not intended to, does not, and may not be relied upon to create any rights, substantive or procedural, enforceable at law . . . .’” (citation omitted)); id. at 369 (quoting preface to Air Force internal guidance—opinions from the Judge Advocate General—stating that the opinions “‘are good starting points but should not be cited as precedence [sic] without first verifying the validity of the conclusions by independent research.’” (alteration in original) (citation omitted)).
entitled to
Chevron
deference in the first place.
See Atrium Med. Ctr.
, 766 F.3d at 567
(“‘[I]nterpretations contained in policy statements, agency manuals, and enforcement guidelines,
all of which lack the force of law’ and were not promulgated via notice and comment
rulemaking, ‘do not warrant
Chevron
-style deference.’” (quoting
Christensen v. Harris County
,
Because the statements in Apel and Abramski “were made outside the context of a Chevron -eligible interpretation,” Guedes, 920 F.3d at 25, they do not resolve our question. Rather, Chevron , O’Hagan , and Babbitt control. Those cases demonstrate that when the Court has considered legislative rules promulgated through notice and comment, it has applied Chevron even when the rules have criminal implications. See id . (noting that in Babbitt , “[w]hen directly faced with the question of Chevron ’s applicability to an agency’s interpretation of a statute with criminal applications through a full-dress regulation, the Court adhered to .” (citation omitted)); Aposhian , 958 F.3d at 984 (“ Babbitt . . . govern[s] here, where ATF has promulgated a regulation through formal notice-and-comment proceedings.”).
The majority recognizes that in O’Hagan and Babbitt , the Supreme Court applied deference to regulations with criminal applications, Majority Op. at 12-14, but insists that neither case applied Chevron deference. As noted above, that is mistaken. See supra at 44-46 nn.6-7. [10] The majority also cites three pre-2014 cases that, it suggests, “indicated that the rule of lenity— the practical opposite of deference—applies to ambiguous statutory provisions that *48 have both civil and criminal applications.” Majority Op. at 14. However, none of those cases says that the rule of lenity trumps Chevron —a position that Babbitt expressly rejected.
For example, the majority cites United States v. Thompson/Center Arms Co. , 504 U.S. 505, 517-18 nn.9-10 (1992), which applied the rule of lenity to an ambiguous provision of the National Firearms Act. But in Thompson/Center there was no agency regulation that addressed the statutory “question presented” in the case—a point the opinion explicitly noted, id. at 518 n.9—so the Court never had to choose between Chevron and the rule of lenity. Indeed, Babbitt later distinguished Thompson/Center Arms on that very basis:
We have applied the rule of lenity in a case raising a narrow question concerning the application of a statute that contains criminal sanctions to a specific factual dispute—whether pistols with short barrels and attachable shoulder stocks are short-barreled rifles— where no regulation was present . See United States v. Thompson/Center Arms Co. , 504 U.S. 505, 517-18, and n.9 (1992). We have never suggested that the rule of lenity should provide the standard for reviewing facial challenges to administrative regulations whenever the governing statute authorizes criminal enforcement.
On its way to distinguishing Chevron , O’Hagan , and Babbitt , the majority suggests that Apel and Abramski “unequivocal[ly]” establish that the Court has never applied deference to an agency’s interpretation in the criminal context. [12] Majority Op. at 11. But as discussed, Apel and Abramski do not resolve the issue because neither involved Chevron -triggering regulations; and without such regulations, no deference is warranted. Further, because neither decision even mentioned Chevron —or Babbitt or O’Hagan —they should not be read to overrule the Court’s holdings in those cases.
The same is true of the other Supreme Court cases the majority cites. Aside from SWANCC —which did not discuss the issue presented here other than in declining to address it— none of the cited cases mentions Chevron , O’Hagan , or Babbitt . At most, their statements, like those in Apel and Abramski , create an implied tension with Chevron , Babbitt , and O’Hagan . In essence, the majority—and Plaintiffs—seem to argue that this tension allows us to disregard the earlier binding authority. [13]
But it is the Supreme Court’s prerogative, not ours, to deem one of its decisions overruled
by implication.
See Rodriguez de Quijas v. Shearson/Am. Exp., Inc.
,
We hewed to that rule in Esquivel-Quintana , 810 F.3d at 1023-24, the only published opinion from our Circuit to directly address the apparent tension between these two groups of cases. [14] See id. (noting that, despite an increasingly prominent view (based on statements from cases like Abramski ) that the rule of lenity ought to trump Chevron in the criminal context, “the Supreme Court has not made it the law,” and “[t]o the contrary, . . has reached the opposite conclusion” in Babbitt ); id. at 1024 (“[W]e do not read dicta in Leocal and subsequent cases as overruling Babbitt , or requiring that we apply the rule of lenity here . . . . As an ‘inferior’ court, our job is to adhere faithfully to the Supreme Court’s precedents.”). [15]
2. The Majority’s Independent Rationales Against Applying Chevron
Concluding that the question remains open, the majority provides three independent reasons why Chevron ought not apply in this context. I disagree with its proffered rationales.
a. The “Community Expertise” Rationale The majority first reasons that because criminal laws involve moral judgments, agency expertise is irrelevant when laws have criminal penalties. Instead, the majority asserts, the true “experts” are community members who have learned morality from their faith and families, as opposed to “bureaucrats” with graduate degrees. Majority Op. at 18-21. [16]
But there are many areas where agency expertise is relevant to laws with criminal
applications. For example, we have highly technical and complex tax, securities, and
environmental-law regimes (which sometimes carry criminal penalties), where individuals’
morality, faith, or family values do not provide the same expertise as does a technical
background in the area.
Cf. Gutierrez-Brizuela v. Lynch
,
The dispute here is highly technical: the issue is whether a firearm can only constitute a “machinegun” if it fires a rapid stream of bullets with a single depression of the trigger, or whether a firearm can also be a “machinegun” if it is equipped with a device that allows it to fire a rapid stream of bullets with a single pull of the trigger, despite involving a separate trigger depression for each bullet fired. That is a question focused on mechanics, not morals. *52 The majority never explains how this issue involves morality, other than noting in the abstract that criminal laws involve “value-laden, moral judgments.” Majority Op. at 18.
But morality cannot explain why deference is permissible in civil, but not
criminal, contexts. One could just as easily argue that all laws, criminal or civil, reflect value-
laden moral judgments.
See generally
Cass R. Sunstein & Adrian Vermeule,
The Morality of
Administrative Law
, 131 H ARV . L. R EV . 1924 (2018);
cf. Barnes v. Glen Theatre, Inc.
, 501 U.S.
560, 569 (1991) (“‘The law . . . is constantly based on notions of morality . . . .’” (citation
omitted));
Veazie v. Williams
,
b. The Separation of Powers Rationale The majority next argues that delegation in the criminal context violates the separation of powers. Majority Op. at 24-26. The Supreme Court and our Circuit have held that it does not.
The Supreme Court has recognized Congress’s delegation authority in the criminal context for over a century. For example, in United States v. Grimaud , 220 U.S. 506 (1911), Congress delegated to the Secretary of Agriculture the power to promulgate rules—with criminal penalties—to preserve certain forest reserves. Id. at 507-09. The Secrеtary issued a rule prohibiting livestock grazing near these reserves without a permit. Id. at 509. The defendants, sheep farmers, were indicted for violating this rule. Id. They argued that the rule was unconstitutional because Congress could not “mak[e] it an offense to violate rules and regulations made and promulgated by the Secretary of Agriculture,” since doing so would “delegate its legislative power to an administrative officer.” Id. at 513. The Supreme Court *53 rejected the challenge. See id. at 521 (rejecting the argument that the rules were invalid merely “because the violation thereof is punished as a public offense”).
In the ensuing decades, several Supreme Court decisions recognized that Congress may
delegate legislative authority in the criminal context.
See, e.g.
,
J.W. Hampton, Jr. & Co. v.
United States
, 276 U.S. 394, 406-07 (1928) (“The field of Congress involves all and many
varieties of legislative action, and Congress has found it necessary to use officers of the
executive branch within defined limits, to secure the exact effect intended by its acts of
legislation, by vesting discretion in such officers to make public regulations interpreting a statute
and directing the details of its execution, even to the extent of providing for penalizing a breach
of such regulations.” (citing
Grimaud
, 220 U.S. at 518) (other citations omitted));
Yakus v.
United States
,
In
Touby v. United States
,
The majority acknowledges some of these decisions, Majority Op. at 22, yet still concludes that it would violate the seрaration of powers “[i]f Congress were ‘to hand *54 responsibility for defining crimes to relatively unaccountable [public officials]’. . . . Because the community has the right to determine what moral wrongs should be punished . . . that responsibility may be entrusted to only the branch most accountable to the people: the legislature. And it may not be blithely delegated away.” Id. at 25-26 (citations omitted). [17] Whatever the merits of that view, it is not in accord with the holdings of the Supreme Court and our Circuit.
c. The Rule of Lenity and Fair Notice Rationale Finally, the majority argues that ambiguous statutes with criminal penalties ought to be subject to the rule of lenity, rather than . Majority Op. at 26-28. If we were writing on a blank slate, this argument might carry some weight. But the Supreme Court rejected it in Babbitt ; no case has purported to overrule Babbitt ; and as a subordinate court, we must follow Babbitt .
Further, I disagree with the suggestion that applying would offend the fair notice that the rule of lenity promotes. The D.C. Circuit persuasively rejected this argument: promotes fair notice about the content of criminal law. It applies only
when, at Congress’s direction, agencies have followed “relatively formal administrative procedure tending to foster the fairness and deliberation that should underlie a pronouncement of such force.” Mead ,533 U.S. at 230 . Importantly, such procedures, which generally include formal public notice and publication in the Federal Register, do not “provide such inadequate notice of potential liability as to offend the rule of lenity.” Babbitt ,515 U.S. at 704 n.18. . . . [I]f the [ATF’s] Rule is a valid legislative rule, all are on notice of what is prohibited.
Guedes , 920 F.3d at 28. The notice-and-comment process in this case clearly functioned to inform the public of the intended prohibition. The ATF received over 186,000 comments regarding the proposed rule before it went into effect. 83 Fed. Reg. at 66,519. One of the plaintiffs in this case—Gun Owners of America—submitted a comment challenging this rule *55 before it went into effect on behalf of “more than 1.5 million gun owners.” [18] Ample notice was provided by the notice-and-comment process.
In sum, I would apply Chevron . Chevron itself involved a law with criminal penalties, as did O’Hagan and Babbitt . The only way to get out from under the weight of these binding decisions is to suggest that Abramski and Apel silently overruled them. However, only the Supreme Court may do that. And we certainly may not depart from those binding precedents based on normative disagreements with them.
II. Applying Chevron
The framework consists of two steps. First, if the statute is unambiguous—i.e.,
“if ‘Congress has directly spoken to the precise . . . issue’ in the text of the statute”—we apply
the statute’s clear meaning.
Hernandez v. Whitaker
,
A statutory phrase is ambiguous when its terms “admit of two or more reasonable
ordinary usages.”
Nat’l Cable & Telecomms. Ass’n v. Brand X Internet Servs.
, 545 U.S. 967,
989 (2005);
see also All. for Cmty. Media v. F.C.C.
,
The statute defines “machinegun” as follows:
The term “machinegun” means any weapon which shoots, is designed to shoot, or can be readily restored to shoot, automatically more than one shot, without manual reloading, by a single function of the trigger. The term shall also include the frame or receiver of any such weapon, any part designed and intended solely and exclusively, or combination of parts designed and intended, for use in converting a weapon into a machinegun, and any combination of parts from which a machinegun can be assembled if such parts are in the possession or under the control of a person.
26 U.S.C. § 5845(b). As the majority observes, there are two key sources of dispute over the statute’s meaning: first, the phrase “single function of the trigger,” and second, the word “automatically.” Both are ambiguous.
“
Single Function of the Trigger
.”
I agree that the phrase “single function of the trigger”
is capable of two readings: one favoring the government (the “shooter-focused” reading), the
other favoring Plaintiffs (the “mechanical” reading). The shooter-focused reading corresponds to
a single “pull” of the trigger—i.e., a single human action upon the trigger that initiates a rapid-
fire sequence. Under this reading, a bump-stock-equipped rifle constitutes a machinegun
because a single human action—the initial “pull” of the trigger—initiates a rapid firing sequence.
The mechanical reading takes the phrase “single function of the trigger” to mean “single
depression
of the trigger.” Under this view, a bump-stock-equipped rifle is not a machinegun
because each bullet fired is initiated by a separate depression of the trigger, albeit one generated
by the weapon’s recoil.
Accord Guedes
,
Both readings are plausible. “The word ‘function’ focuses on the ‘mode of action’ . . . by
which the trigger operates. But that definition begs the question of whether ‘function’ requires
our focus upon the movement of the trigger, or the movement of the trigger finger. The statute is
silent in this regard.”
Aposhian
,
Because the statutory text is ambiguous, “the statute contains a ‘gap for the agency to
fill.’”
Guedes
,
“ Automatically. ” The word “automatically” is also ambiguous. The statute provides that a machinegun is a “weapon which shoots . . . automatically more than one shot, without manual reloading, by a single function of the trigger.” 26 U.S.C. § 5845(b) (emphasis added). Here, too, there are competing interpretations, and the text does not unambiguously foreclose either of them.
Plaintiffs argue that the phrase “automatically” must mean “‘by itself with little or no direct human control.’” Appellants’ Br. at 24 (citation omitted). They reason that since a shooter must exert constant pressure to cause a bump-stock-equipped rifle to continue firing, these devices do not create a weapon that “shoots automatically.” Id. 23-25. The government responds that “automatically” means “self-acting or self-regulating.” Appellees’ Br. at 28. In the government’s view, a bump-stock-equipped rifle is “self-acting” in the sense that once the shooter establishes the conditions necessary to begin the firing process—pulling the trigger, trigger.’ The word ‘function’ focuses our attention on the ‘mode of action’ . . . by which the trigger operates. But the text is silent on the crucial question of which perspective is relevant.” (citations omitted)).
placing a finger on the extension ledge, and applying “pressure on the barrel-shroud or fore-stock
with the other hand”—the “bump stock . . . [can] repeatedly perform its basic purpose: ‘to
eliminate the need for the shooter to manually capture, harness, or otherwise utilize th[e] [recoil]
energy to fire additional rounds.’”
Id.
at 28-29 (second and third alterations in original) (quoting
According to dictionary definitions at the time the National Firearms Act was issued, the word “automatically”—the adverbial form of the word “automatic”—means “[h]aving a self-acting or self-regulating mechanism that performs a required act at a predetermined point in an operation[.]” W EBSTER ’ S N EW I NTERNATIONAL D ICTIONARY 187 (2d ed. 1934); see also 1 O XFORD E NGLISH D ICTIONARY 574 (1933) (defining “Automatic” as “[s]elf-acting under conditions fixed for it, going of itself”). The focus on a “self-rеgulating mechanism ” cuts against the suggestion that the word “automatically” requires complete, as opposed to partial, automation, and lends support to the government’s view. Further, Plaintiffs’ argument that bump-stock-equipped weapons do not fire “automatically” because they require constant forward pressure is belied by common usage of the word “automatic.” For example, “an ‘automatic’ sewing machine still ‘requires the user to press a pedal and direct the fabric.’” Guedes , 920 F.3d at 30 (citation omitted)). And an “automatic” car shifts gears on its own, but only if the driver maintains enough constant pressure on the gas pedal to reach a speed that triggers a gear shift.
As other courts have recognized, the ultimate question is how much human input is contemplated by the word “automatically.” That is a question of degree that the statute’s text does not definitively answer. The D.C. Circuit’s explanation captures this point well:
The term “automatically” does not require that there be no human involvement to give rise to “more than one shot.” Rather, the term can be read to require only that there be limited human involvement to bring about more than one shot. See, e.g. , Webster’s New International Dictionary 157 (defining “automatically” as the adverbial form of “automatic”); id. at 156 (defining “automatic” as “self-acting or self-regulating,” especially applied to “machinery or devices which perform parts of the work formerly or usually done by hand” (emphasis added)). But how much human input in the “self-acting or self-regulating” mechanism is too much?
. . . . [T]he phrase “by a single function of the trigger” . . . can naturally be read to establish only the preconditions for setting off the “automatic” mechanism, without foreclosing some further degree of manual input such as the constant *59 forward pressure needed to engage the bump stock in the first instance. And if so, then the identified ambiguity endures. How much further input is permitted in the mechanism set in motion by the trigger? The statute does not say.
Guedes
,
B. The ATF’s Interpretation Is Reasonable
At the second step of the analysis, we ask whether “the agency’s [reading] is based on a permissible construction of the statute.” , 467 U.S. at 843. The ATF’s interpretation of both phrases—“single function of the trigger” and “automatically”—are permissible constructions, and they are reasonable.
The ATF’s shooter-focused interpretation of “single function of the trigger” is
reasonable. The ATF has viewed the phrase to mean “single
pull
of the trigger” since 2006,
when it determined that a spring-coiled bump-stock—the “Akins Accelerator”—was a
“machinegun.”
The ATF’s interpretation of “automatically” is also reasonable. It allows for some human involvement, but that “accords with the everyday understanding of the word ‘automatic.’” Id. The interpretation also fits within some of the relevant dictionary definitions that existed at the time the National Firearms Act was enacted in 1934—first defining “machinegun”—and when *60 the Gun Control Act of 1968 slightly altered that definition. [10] In 1934, Webster’s New International Dictionary defined “automatic” as “[h]aving a self-acting or self-regulating mechanism .” W EBSTER ’ S N EW I NTERNATIONAL D ICTIONARY 187 (2d ed. 1934) (emphasis added). Dictionaries from 1965 and 1967 do the same. See W EBSTER ’ S T HIRD N EW I NTERNATIONAL D ICTIONARY 148 (1965); W EBSTER ’ S S EVENTH N EW C OLLEGIATE D ICTIONARY 60 (1967). It is reasonable to read the phrase “automatically” as requiring only a partial self- regulation—i.e., a mechanism that allows for an integral part of a process to be performed autonomously.
***
In sum, Chevron deference applies to the ATF’s legislative regulation, the statute is ambiguous, and the ATF’s construction is reasonable and warrants deference. I therefore respectfully dissent.
Notes
[1] We will use the modern spelling of “machine gun” as two words unless quoting 26 U.S.C. § 5845(b), which spells “machinegun” as one word.
[2] A bump stock device is not needed to facilitate bump firing. Final Rule, 83 Fed. Reg. at 66,532-33. Rubber bands, belt loops, and even shoestrings can all facilitate bump firing and create the same continuous firing cycle that a bump-stock device creates. Id .
[3]
Plaintiffs-Appellants also argue that the ATF waived reliance on
Chevron
deference.
See Martin v. Soc.
Sec. Admin. Comm’r
,
[4] We do not hear securities cases as frequently as the D.C. and Second Circuits, and we have never reached the issue of deference to the SEC’s interpretation of a criminal statute. See , e.g. , SEC v. Mohn , 465 F.3d 647, 650 n.2 (6th Cir. 2006) (noting that the SEC conceded that “ de novo review is appropriate” in that case).
[5] We agree with both parties that a firearm’s trigger does not necessarily need to be “pulled” in order to constitute a trigger or for the firearm to constitute a machine gun. As the Final Rule aptly explains, automatic firearms can have multiple types of triggers, such as a button that is pushed or an electric switch that is flipped. Bump-Stock-Type Devices, 83 Fed. Reg. 66,534, 66,518 n.5 (Dec. 26, 2018). We employ the term “pull” because that is the most common action used to act upon a trigger. Indeed, the parties’ dispute does not center on whether “function” includes the operation of a trigger that is pulled or a trigger that is pushed; both parties agree that the term encompasses both. The question is whether the statute is referring to the mechanical action of the trigger itself or the shooter’s physical acting upon the trigger (regardless of the specific action the trigger requires in order to be acted upon).
[6]
We have interpreted other parts of § 5845(b).
See
,
e.g.
,
Dodson
,
[7]
The D.C. Circuit likewise found the ATF’s interpretation to be “permissible,” though it did not need to
decide whether the ATF’s interpretation was the
best
interpretation because the court was also operating within the
-deference framework.
See Guedes
,
[8]
We note that the Final Rule, the district court, and the D.C. Circuit all relied on dictionaries
contemporaneous with the passage of the Firearms Act of 1934.
See
Final Rule, 83 Fed. Reg. at 66,519;
Gun
Owners of Am.
,
[9]
Courts have identified varying interpretations of “automatically” as used in § 5845(b).
Compare
Aposhian
, 958 F.3d at 986-88 (finding that the term “automatically” “does not require there be
no
human
involvement”),
and Guedes
,
[1]
Chevron, U.S.A., Inc. v. Nat. Res. Def. Council, Inc.
,
[2]
As the Fourth Circuit recently put it, “[w]hen an agency’s interpretation ‘derives from notice-and-
comment rulemaking,’ it will ‘almost inevitably receive deference.’”
Sierra Club v. U.S. Army Corps of
Eng’rs
,
[5]
Our decision in
Commodity Futures Trading Comm’n v. Erskine
,
[6]
The majority suggests that
O’Hagan
did not apply
Chevron
deference, yet it also recognizes that the Court
(1) cited
Chevron
, (2) while citing
Chevron
, recognized that the agency’s legislative rule was entitled to “more than
mere deference or weight,” and (3) applied deference to the rule. Majority Op. at 13-14. The
O’Hagan
court cited
Chevron
, held that the SEC’s regulation was entitled to “controlling weight” unless it was “manifestly contrary to
the statute,” determined that the regulation was
not
contrary to the statute, and applied deference.
[7]
As with
O’Hagan
, the majority asserts that
Babbitt
did not “discuss or decide whether
Chevron
applied
nor did it analyze the challenge using
Chevron
. . . .” Majority Op. at 13. That is incorrect. The
Babbitt
Court
reversed a split decision of the D.C. Circuit and vindicated the view of the dissenting appellate judge, who applied
Chevron
.
Babbitt
, 515 U.S. at 694-95. From the start of its discussion onward—after recognizing that the ESA
failed to define the word “harm,”
id.
at 691—the Court framed the question as whether the Department of Interior’s
regulation was
reasonable
or
permissible
, a question that only makes sense if the Court was operating within
Chevron
’s domain,
see, e.g.
,
id.
at 696 n.9 (framing discussion by noting that the Court was “assessing the
reasonableness of the regulation”);
id.
at 697 (“The text . . . provides three reasons for concluding that the
Secretary’s interpretation
is reasonable
.” (emphasis added));
id.
at 699 (noting that Congressional intent “supports
the
permissibility
of the Secretary’s ‘harm’ regulation” (emphasis added));
id.
at 700 (noting that “the Secretary’s
definition of ‘harm’ is reasonable”);
id.
at 702 (stating that the regulation “permissively interprets” the word
“harm”). If any doubt was left, the Court cleared it on page 703 of the opinion, where it (1) recognized that
Congress had not “unambiguously” defined the word “harm” (
Chevron
Step One); (2) concluded that the DOI’s
interpretation was reasonable (
Chevron
Step Two); and (3) found it unnecessary to decide if the DOI’s interpretation
was the best one, because the fact that the interpretation was reasonable “suffice[d] to decide this case:”
We need not decide whether the statutory definition of “take” compels the Secretary’s
interpretation of “harm,” because our conclusions that Congress did not unambiguously manifest
its intent to adopt respondents’ view and that the Secretary’s interpretation is reasonable suffice to
decide this case.
See generally Chevron U.S.A. Inc. v. Natural Resources Defense Council, Inc.
,
[10]
Although it never fully articulates the point, the majority also appears to suggest that
O’Hagan
and
Babbitt
relied on a purported “clear-statement” rule—rather than —to apply deference. Majority Op. at
12-14. It is clear that neither
Babbitt
nor
O’Hagan
relied on any clear-statement rule to apply deference. Neither
opinion ever mentions a “clear-statement rule,” and nothing in either opinion suggests that the decision to apply
deference was based on any such rule. The majority cites nothing to support its assertion that
Babbitt
“appears to
have been relying on the clear-statement rule’s delegation of authority to the DOI as if the DOI were Congress
itself.”
Id.
at 12-13. As to
O’Hagan
, the majority cites a footnote from the opinion that says nothing about relying
on a “clear-statement rule.”
Id.
at 13-14 (citing
O’Hagan
,
[11]
See also Guedes
, 920 F.3d at 26 (“
Babbitt
later made clear that the Court in
Thompson/Center
had no
occasion to apply
Chevron
[.]. . .
Babbitt
implies that
Chevron
should apply in a case—like this one—involving an
interpretation of the National Firearms Act where a regulation
is
present.”);
Aposhian
,
[12] The majority asserts that Apel and Abramski ’s “absolute statement means that none of the Court’s prior cases applied deference (or any deference)” to an agency’s regulations in the criminal context. Majority Op. at 11. But right after making that assertion, the majority recognizes that the Court has done just that. See id. at 12-14 (recognizing that Babbitt and O’Hagan applied deference to regulations carrying criminal penalties). It is difficult to reconcile these dissonant statements, unless we assume that Apel and Abramski silently revised the historical fact that the Court applied deference in Babbitt , O’Hagan , and . As a subordinate federal court, we may not make that kind of assumption. See infra at 49-50.
[13] See Majority Op. at 12-14, 27-28 (recognizing that O’Hagan and Babbitt applied deference in criminal contexts, but later suggesting that the Supreme Court has “undercut [ Babbitt ] in subsequent cases”); Appellants’ Br. at 18 (arguing that the Guedes opinion incorrectly “relies on cases decided in the 1990’s,” while “ Apel and Abramski represent the Supreme Court’s most recent pronouncements in this area that is continually evolving further away from agency deference and towards exclusive judicial review”). The dissent in Guedes did the same. See 920 F.3d at 41 (Henderson, J., concurring in part and dissenting in part) (noting that Babbitt is not “the last word on this topic,” and adding that the Court’s “most recent decisions indicate” that it would not apply to statutes or rules with criminal sanctions).
[14]
The majority correctly notes that
Esquivel-Quintana
—reversed on other grounds—is no longer binding.
But it “continues to be entitled to (at the very least) persuasive weight.”
CIC Servs., LLC v. Internal Revenue Serv.
,
[15]
In
Dolfi v. Pontesso
,
[16] See id. at 18-19 (“[W]e understand that the [Supreme] Court would consider bureaucrats at the ATF as experts in firearms technology. But that technical knowledge is inapposite to the question of what should be criminally punished and what should not. Criminal statutes reflect the value-laden, moral judgments of the community as evidenced by their elected representatives’ policy decisions. . . . . Since our country’s founding, it has been understood that the public is both capable of and necessary to the determination of right from wrong legally and morally. . . . The training for such policy determinations does not come from a graduate school education or decades of bureaucratic experience. Rather, one develops the expertise necessary to make moral judgments from sources of a more humble and local origin: one’s family and upbringing. This learning is further informed by relationships with friends and neighbors, practicing one’s faith, and participation in civic life.”).
[17] The majority is not consistent on this point. Compare Majority Op. at 12 (“The Court’s traditional approach, under the modern nondelegation doctrine, has been to allow Congress to delegate to the executive branch the responsibility for defining crimes . . . .”) with id. at 26 (“Because the community has the right to determine what moral wrongs should be punished . . . that responsibility may be entrusted to only the branch most accountable to the people: the legislature. And it may not be blithely delegated away.”).
[18] See Gun Owners of Am., Comment Letter on the Proposed Rulemaking Entitled “Application of the Definition of Machinegun to ‘Bump Fire’ Stocks and Other Similar Devices” (received Jan. 12, 2018), https://www.regulations.gov/document?D=ATF-2018-0001-4434.
[19]
See also Guedes
,
[10] The 1968 definition dropped the word “semiautomatically” from the 1934 definition and added references to various parts that, together, could convert a firearm into a machinegun. See Majority Op. at 4.
