Lead Opinion
The State of Utah seeks review of a ruling by the Court of Appeals for the Tenth Circuit which declared invalid a provision of Utah law regulating abortions “[a]fter 20 weeks gestational age.” Utah Code Ann. §76-7-302(3) (1995).
Utah law, as amended by legislation enacted in 1991, establishes two regimes of 'regulation for abortion, based on the term of the pregnancy. With respect to pregnancies 20 weeks old or less, § 302(2) permits abortions only under five enumerated circumstances, Utah Code Ann. §76-7-302(2) (1995). With respect to pregnancies of more than 20 weeks, §302(3) permits abortions under only three of the five circumstances specified in §302(2). § 76-7-302(3).
Severability is of course a matter of state law. In Utah, as the Court of Appeals acknowledged, the matter “is determined first and foremost by answering the following question: Would the legislature have passed the statute without the unconstitutional section?” Id., at 1497 (citing Stewart v. Utah Public Service Comm’n,
“If any one or more provision, section, subsection, sentence, clause, phrase or word of this part or the application thereof to any person or circumstance is found to be unconstitutional, the same is hereby declared to be*140 severable and the balance of this part shall remain effective notwithstanding such unconstitutionality. The legislature hereby declares that it would have passed this part, and each provision, section, subsection, sentence, clause, phrase or word thereof, irrespective of the fact that any one or more provision, section, subsection, sentence, clause, phrase, or word be declared unconstitutional.” Utah Code Ann. §76-7-317 (1995) (emphasis added).
In the face of this statement by the Utah Legislature of its own intent in enacting regulations of abortion, the Court of Appeals nonetheless concluded that §§302(2) and 302(3) were not severable because the Utah Legislature did not intend them to be so. The Court of Appeals' opinion not only did not regard the explicit language of §317 as determinative — it did not even use it as the point of departure for addressing the severability question. It understood Utah law as instructing courts to “subordinate severability clauses, which evince the legislature’s intent regarding the structure of the statute, to the legislature’s overarching substantive intentions.”
The dichotomy between “structural” and “substantive” intents is nowhere to be found in the Utah cases cited as authority by the Court of Appeals. Indeed, none of those cases even speaks in terms of “conflicts among legislative intentions,” id., at 1498. The cases do support the proposition that, “even where a savings clause exist[s], where the provisions of the statute are interrelated, it is not within the scope of th[e] court’s function to select the valid portions of
But even if the Court of Appeals were correct in treating § 317 like an ordinary saving clause; even if it were right in believing that there existed the “interrelationship” between §§302(2) and 302(3) that would permit an ordinary saving clause to be disregarded; and even if it had not invented the notion of “structural-substantive” dichotomy; the reasoning by which it concluded that the “substantive” intent of the Utah Legislature was to forgo all regulation of abortion unless it could obtain total regulation is flawed. The court reasoned that, because the intent of the 1991 amendments was “to prohibit all abortions, regardless of when they occur during the pregnancy, except in the few specified circumstances,”
This mode of analysis, if carried out in every case, would operate to defeat every claim of severability. Every legislature that adopts, in a single enactment, provision A plus provision B intends (A+B); and that enactment, which reads (A+B), is invariably a “unified expression of that intent,” so that taking away A from (A+B), leaving only B, will invariably “clearly undermine the legislative purpose” to enact (A+B). But the fallacy in applying this reasoning to the sev-erability question is that it is not the severing that will take away A from (A+B) and thus foil the legislature’s intent; it is the invalidation of A (in this case, because of its unconstitutionality) which does so — an invalidation that occurs whether or not the two provisions are severed. The relevant question, in other words, is not whether the legislature would prefer (A+B) to B, because by reason of the invalidation of A that choice is no longer available. The relevant question is whether the legislature would prefer not to have B if it could not have A as well. Here, the Court of Appeals in effect said yes. It determined that a legislature bent
* * *
We have summarily set aside unsupportable judgments in cases involving only individual claims, see, e. g., Board of Ed. of Rogers v. McCluskey,
Finally, the dissent’s appeal to the supposed greater expertise of courts of appeals regarding state law is particularly weak (if not indeed counterindicative) where a Court of Appeals panel consisting of judges from Oklahoma, Colorado, and Kansas has reversed the District Court of Utah on a point of Utah law. If, as we have said, the courts of appeals owe no deference to district court adjudications of state law, see Salve Regina College v. Russell,
It is so ordered.
Notes
The two subsections state:
“(2) An abortion may be performed in this state only under the following circumstances:
“(a) in the professional judgment of the pregnant woman’s attending physician, the abortion is necessary to save the pregnant woman’s life;
“(b) the pregnancy is the result of rape or rape of a child . . . that was reported to a law enforcement agency prior to the abortion;
“(e) the pregnancy is the result of incest... and the incident was reported to a law enforcement agency prior to the abortion;
“(e) in the professional judgment of the pregnant woman’s attending physician, to prevent the birth of a child that would be born with grave defects.
“(3) After 20 weeks gestational age, measured from the date of conception, an abortion may be performed only for those purposes and circumstances described in Subsections (2)(a), (d), and (e).” Utah Code Ann. §76-7-302 (1995).
In none of the Utah eases relied upon by the Court of Appeals was there a legislative statement of this sort. In both Salt Lake City v. International Assn. of Firefighters,
Compare International Assn. of Firefighters, supra, at 791 (“The [invalidated] provisions . .. are an integral part of the act. . . . The concept of binding arbitration is wholly interdependent with the other provisions of the act”); Carter, supra, at 441-442 (“[T]he separability clause ... is ineffective, because of the dependency of the remaining sections upon the provisions declared inoperative”) (emphases added).
The Court of Appeals also adverted to Utah Code Ann. § 76-7-317.2 (1995), which it interpreted as “making an exception to the general sever-ability clause specifically for section 302.” Jane L. v. Bangerter,
The dissent says that our review in Wichita Royalty Co. “was plainly motivated by a concern to give effect to [the] new mandate” of Erie R. Co. v. Tompkins,
Dissenting Opinion
with whom Justice Souter, Justice Ginsburg, and Justice Breyer join, dissenting.
The severability issue discussed in the Court’s per curiam opinion is purely a question of Utah law. It is contrary to our settled practice to grant a petition for certiorari for the sole purpose of deciding a state-law question ruled upon by a federal court of appeals. The justifications for that practice are well established: The courts of appeals are more familiar with and thus better qualified than we to interpret the laws of the States within their Circuits; the decision of a federal court (even this Court) on a question of state law is not binding on state tribunals; and a decision of a state-law issue by a court of appeals, whether right or wrong, does not have the kind of national significance that is the typical predicate for the exercise of our certiorari jurisdiction.
The underlying substantive issue in this case generates what Justice Holmes once described as a kind of “hydraulic pressure” that motivates ad hoc decisionmaking. Northern Securities Co. v. United States,
That leaves the single example of Steele v. General Mills, Inc.,
However irregular such grants were in the past, they are now virtually unheard of. Indeed, in 1980 we codified our already longstanding practice by eliminating as a consideration for deciding whether to review a case the fact that “a court of appeals has .. . decided an important state or territorial question in a way in conflict with applicable state or territorial law.” Compare this Court’s Rule 19(l)(b) (1970) with this Court’s Rule 17.1 (1980). That deletion — the only deletion of an entire category of cases — was intended to communicate our view that errors in the application of state law are not a sound reason for granting certiorari, except in the most extraordinary cases. Tellingly, the majority does not cite a single example during the past 16 years in which we
Accordingly, I respectfully dissent from the decision to grant the petition.
The majority finds deference to the Court of Appeals “counter-indicative” because it reversed the District Court for the District of Utah on a point of Utah law. Ante, at 145. But courts of appeals owe district courts no deference on state-law questions; they review such matters de novo. See Salve Regina College v. Russell,
