Case Information
Argued and submitted March 4, at Lewis & Clark Law School, Portland, Oregon; decision of Court of Appeals reversed, order of Board of Parole and Post-Prison Supervision reversed, and case remanded to Board of Parole and Post-Prison Supervision for further proceedings October 24, 2019
PRENTICE PENN, Petitioner on Review, v.
BOARD OF PAROLE AND POST-PRISON SUPERVISION, Respondent on Review.
(CA A162458) (SC S065950)
When petitioner was released from prison to post-prison supervision, the Board of Parole and Post-Prison Supervision included a special condition in its supervision order requiring that petitioner not enter into or participate in any intimate relationship or encounters with any person without prior written permission from his supervising officer. Petitioner requested review of the spe cial condition by the board, arguing that it was unconstitutionally vague and overbroad and that the board lacked authority under the relevant statute, ORS 144.102(4)(a), to impose it. After those arguments were rejected by both the board and the Court of Appeals, petitioner sought and obtained judicial review by the Oregon Supreme Court. While that review was still pending, petitioner was released from post-prison supervision, and the board moved to dismiss the review as moot. Petitioner argued, however, that, although moot, his case was reviewable under ORS 14.175, because he was challenging an act of a public body that is capable of repetition but likely to evade judicial review in the future. The court took the reviewability issue under advisement. Held : Petitioner’s challenge to the special condition was reviewable under ORS 14.175, and the court would exercise its discretion under that statute to decide it despite its mootness. On the merits, the board acted outside of its statutory authority under ORS 144.102(4)(a) by imposing the special condition on petitioner. The decision of the Court of Appeals and the order of the Board of Parole and Post-Prison Supervision are reversed, and the case is remanded to the Board of Parole and Post-Prison Supervision for further proceedings.
En Banc
On review from the Court of Appeals.* Anna Belais, Deputy Public Defender, Office of Public Defense Services, Salem, argued the cause and filed the ______________ * Judicial review of a final order of the Board of Parole and Post-Prison
Supervision.
Christopher Page, Assistant Attorney General, Salem, argued the cause and filed the brief for respondent on review. Also on the brief were Ellen F. Rosenblum, Attorney General, and Benjamin Gutman, Solicitor General.
NAKAMOTO, J.
The decision of the Court of Appeals is reversed. The order of the Board of Parole and Post-Prison Supervision is reversed, and the case is remanded to the Board of Parole and Post-Prison Supervision for further proceedings. NAKAMOTO, J.
When petitioner was released from prison to post- prison supervision, the Board of Parole and Post-Prison Supervision included a special condition in its supervision order requiring that petitioner not “enter into or participate in any intimate relationship or intimate encounters with any person (male or female) without the prior written permis sion” of his supervising officer. On review, petitioner raises two issues: first, whether the board lacked statutory author ity to impose the condition and, second, whether the condi- tion is unconstitutional under the Due Process Clause of the Fourteenth Amendment because it is vague or overbroad.
Preliminarily, reviewability is also at issue. After petitioner filed his opening brief, the board moved to dis miss based on mootness. The board noted that petitioner had completed his term of post-prison supervision and no longer was subject to the challenged condition; therefore, the board argued, a decision would no longer have a prac- tical effect on petitioner’s rights and the case should be dis- missed. Petitioner opposed dismissal, noting cases in which *3 the board has imposed that special condition on other people under post-prison supervision, in accordance with its deci- sion at a 2012 public meeting that it may impose the condi- tion in the future. We took the motion under advisement.
We now hold that, although petitioner’s appeal is moot, it is one that can and should be decided under ORS 14.175, which provides an exception to the general rule— that moot cases should be dismissed—for cases in which a party alleges that an act, policy, or practice of a public body is contrary to law. On the merits of petitioner’s appeal, we hold that the board exceeded the scope of its statutory authority in imposing the special condition on petitioner.
I. BACKGROUND
The facts that are relevant to our review are not in dispute and are taken from the board’s final order. In 2010, petitioner was charged with crimes after he violently assaulted and threatened a woman he had been dating, using weapons, to compel her to perform a sex act. The incident was just one of several similar incidents that had occurred during petitioner’s longstanding relationship with her. Petitioner ultimately pleaded no contest to two of the charges—attempted first-degree kidnapping constituting domestic violence and attempted second-degree assault con- stituting domestic violence. The trial court entered a judg- ment of conviction on those charges and sentenced petitioner to 84 months in prison, to be followed by 36 months of post- prison supervision.
Upon his release from prison, petitioner received an order listing the conditions of his post-prison supervision, as required by ORS 144.102(1). Although the board ultimately was responsible for setting the conditions of petitioner’s post-prison supervision, they were the product of a statu- torily required process that began with the Department of Corrections. Under ORS 144.096(1)(a), the department must prepare a proposed release plan for an inmate and submit it to the board. The proposed release plan must include “recom mended conditions of post-prison supervision,” “[a]ny other conditions and requirements as may be necessary to pro- mote public safety,” and “[a]ny conditions necessary to assist the reformation of the inmate.” ORS 144.096(3)(b), (d), (f). Then the board must approve the proposed release plan, or a revised version of it, before the inmate’s release, ORS 144.096(1)(b), (c), and must provide a copy of the conditions imposed through the release plan to the inmate upon his or her release, ORS 144.102(1).
The conditions imposed “may” include any of a specified list of general conditions set out in ORS 144.102(2), and for certain sex offenders, specified conditions set out in ORS 144.102(3) and ORS 144.102(4)(b) must be imposed. Additionally, the board is authorized under ORS 144.102 (4)(a) to “establish special conditions that the board * * * con siders necessary because of the individual circumstances of the person on post-prison supervision.”
The board-approved supervision conditions in the order that petitioner received included the general condi- tions set out in ORS 144.102(2) and several special condi - tions, including the one at issue that regulates petitioner’s “intimate” relationships and encounters. With the assis - tance of legal counsel, petitioner requested review of the order. He argued that that special condition, identified in the order as Supervisory Condition 10 (SC 10), could not lawfully be imposed and should be stricken. Petitioner con- tended that SC 10 was outside the board’s statutory grant of discretion, was not supported by substantial evidence in the record, and was “an unconstitutional violation of the right to privacy” and “vague and overbroad.”
In the ensuing administrative review, petitioner submitted an affidavit, written by his fiancée, who was the mother of his two sons, for the board’s consideration. In that affidavit, his fiancée averred that petitioner had never assaulted her or their sons and that her relationship with him was based on “clear boundaries” and “appropriate ver bal, physical and sexual behavior.” She further averred that, if SC 10 were to remain in effect, it would prevent her and petitioner from having a healthy and functional marriage and would prevent petitioner from fulfilling his roles as hus band and father.
The board denied the requested relief in a final administrative order. After describing in detail the “vicious assault” petitioner had perpetrated against “a woman you had been dating and with whom you shared an intimate relationship,” the board concluded that it was
“in the interest of public safety and your reformation for your supervising officer to monitor any intimate relation ships and/or intimate encounters. It was these individual circumstances that led the board to impose [SC 10].” The board further noted that the condition was not an abso- lute prohibition on petitioner engaging in intimate relation- ships; rather, it allowed petitioner’s supervising officer to “monitor and evaluate each situation to determine whether [the] association is appropriate for your rehabilitation and is consistent with public safety.” The board’s order concluded by advising petitioner that he had exhausted his adminis- trative remedies and could petition the Court of Appeals for judicial review of the order.
Petitioner timely sought judicial review in the Court of Appeals, raising the same arguments that he had raised before the board. The Court of Appeals affirmed without opinion. Petitioner then petitioned for review in this court, arguing (1) that SC 10 was outside the range of discretion delegated to the board by statute and (2) that SC 10 is unconstitutionally vague and overbroad. This court allowed the petition.
Midway through the proceedings before this court, petitioner was discharged from post-prison supervision and filed a notice informing the court of that fact and of his understanding that the discharge likely had rendered his appeal moot. Petitioner suggested, however, that the case could and should be decided without regard to its mootness, as permitted by ORS 14.175. That statute provides that a court may decide a challenge to the lawfulness of an act, policy, or practice of a public body, even one that no longer has a practical effect on the party bringing the challenge, as long as (1) that party had standing to commence the action; (2) the challenged act “is capable of repetition” or the policy or practice continues in effect; and (3) the policy, practice, or similar acts “are likely to evade judicial review in the future.”
The board subsequently moved to dismiss peti- tioner’s appeal. The board argued that its imposition of the challenged condition was not an act that was “capable of repetition” but “likely to evade judicial review” within the meaning of ORS 14.175 and that the appeal did not other- wise meet the prudential requirements for reviewing a moot action. We took the board’s motion for dismissal under advisement, to be decided before consideration of the par- ties’ arguments on the merits. We turn to that motion now.
II. MOTION TO DISMISS
Petitioner acknowledges, and we agree, that, given
that petitioner no longer is subject to the supervisory condi-
tion that he challenges, a decision by this court in the matter
will not have a practical effect on his rights—in other words,
his appeal is moot.
See Eastern Oregon Mining Association
v. DEQ
,
At least initially, then, the issue regarding dismissal of petitioner’s appeal boils down to two questions: (1) Does the appeal satisfy the requirements of ORS 14.175? (2) If so, should the court exercise its discretion to decide the appeal? [2] We answer both questions in the affirmative and deny the motion.
A. ORS 14.175
The text of ORS 14.175 is the necessary starting
point for answering the first question.
State v. Gaines
, 346
Or 160, 171,
“In any action in which a party alleges that
an act, pol-
icy or practice of a public body
, as defined in ORS 174.109, or
Atkins Couey v.
cases that meet the requirements of ORS 14.175 have been resolved by run afoul of the limitations on “judicial power” conferred on the courts in Article
held that ORS 14.175 does not
Couey
,
“(3) The challenged policy or practice, or similar acts, are likely to evade judicial review in the future .” (Emphases added.)
There is no dispute over the first requirement set out in the statute: When petitioner commenced the present action, he was subject to SC 10 and had standing to chal- lenge its lawfulness. Neither is there any argument that the statute’s overarching requirement—that the action be one in which “a party alleges that an act, policy or practice of a public body * * * is unconstitutional or contrary to law”—is not satisfied. Rather, the dispute centers on the require- ments at ORS 14.175(2) and (3) that the challenged act be “capable of repetition” and that “similar acts” likely will *7 “evade judicial review.”
1.
Act “capable of repetition”
The board contends that its “act” of imposing SC 10
on petitioner is not “capable of repetition” or “likely to evade
January 26, 2012, public meeting stating that the board “unanimously agreed to
response to the board’s motion to dismiss, he provides minutes from the board’s
ness of a “policy” or “practice” of the board, in addition to an “act.” In petitioner’s
cases involving domestic violence conditions,” it contends that the minutes do not
safety.” Though the board “does not dispute that it has imposed” SC 10 in “other
convictions, assaults or any other case where they feel it is necessary for public
add back into Special Condition #10” the wording of SC 10 “for domestic violence
reflect its policy or practice but instead reflect the adoption of wording for the
board’s use in exercising its discretion. The board further argues that petitioner
has never challenged a board policy or practice in imposing SC 10. Because we
decide this case based on the board’s imposition of SC 10 as an act capable of
repetition, we do not resolve petitioner’s “policy or practice” issue.
disagree about whether petitioner is challenging the lawful-
The parties
[3]
do
judicial review” within the meaning of ORS 14.175(2) and (3).
The board argues that, when the legislature enacted ORS
14.175, it “borrowed and codified” the common-law “capable
of repetition” doctrine first recognized and developed in fed -
eral cases,
see Couey
,
Under most of the federal cases that define the doc trine, the board observes, an act is deemed to be “capable
of repetition” only if there is a “reasonable expectation that
the same complaining party would be subjected to the same
action again.”
Weinstein v. Bradford
, 423 US 147, 149, 96
S Ct 347,
Los Angeles v. Lyons
,
Applying those principles from the federal cases to the present circumstances, the board asserts that any expectation that petitioner himself would again be subjected to a condition like SC 10 must rest on a string of assump- tions the likes of which the federal courts consider specula- tive: that petitioner will commit and be convicted of another crime, that he will receive a sentence that includes a period of post-prison supervision, and that the board will use its discretionary authority under ORS 144.102(4)(a) to impose a special condition that is the same or similar to SC 10. In such circumstances, the board concludes, there can thus be no “reasonable expectation” that the “same complaining party” will again be subject to the objectionable supervision condition. Thus, the board argues, assuming that the mean- ing of ORS 14.175 is informed by the federal doctrine thus explicated, the imposition of SC 10 as a condition of peti- tioner’s post-prison supervision is not “capable of repetition” in the sense required by ORS 14.175(2).
Petitioner accepts the board’s broader point that, in
enacting ORS 14.175, the legislature borrowed the “capable
of repetition yet evading review” doctrine. But he argues
that that does not resolve precisely which formulation of
the doctrine that the legislature intended to adopt. In fact,
petitioner observes, the words that the legislature chose in
enacting ORS 14.175—the “best evidence” of what the leg islature intended,
State v. Walker
, 356 Or 4, 13, 333 P3d
316 (2014)—are at odds with the judicial formulation of the
doctrine that the board offers; therefore, he argues, the leg-
islature did
not
intend to adhere to that formulation.
As an initial matter, this court’s statements in
*9
Couey
about the legislative history of ORS 14.175 do not sup-
port a singular focus on the federal formulation of the doc-
trine. To be sure,
Couey
described how the legislature “bor rowed and codified a judicially created doctrine” and stated
that, when the legislature borrows such a judicially created
doctrine, “that case law is highly persuasive evidence of
the legislature’s intentions.”
Reviewing the text and context of ORS 14.175(2), we conclude that the meanings of words and phrases in that subsection are not controlled by the board’s cited fed- eral cases. Our conclusion is driven by context, specifically (1) the existence of doctrinal variations concerning the meaning and application of the “capable of repetition” con cept when the legislature enacted the statute and (2) other wording in ORS 14.175.
First, the formulation of the doctrine set out in the
cases that the board cites is not—and was not at the time
the legislature enacted ORS 14.175—universally accepted
or applied by state courts. Some state courts have defined
the “capable of repetition” aspect of the doctrine in a dif ferent and less restrictive way. Some state courts do not
require a showing that the same party will be subjected to
the challenged action in the future.
See, e.g.
,
Byrd v. Irmo
High School
, 321 SC 426, 431-32, 468 SE 2d 861 (1996)
(dispensing with the requirement that there be a reason-
able expectation that the “same complaining party” would
be subject to the challenged action again);
Loisel v. Rowe
,
And even the federal courts do not adhere in every case to all the particulars of the doctrine as articulated in the cases cited by the board. More than one commentator has observed that the United States Supreme Court some- times ignores the “same complaining party” element of *10 the federal formulation and focuses on the fact that other similarly situated persons will continue to be affected by the challenged conduct. See, e.g. , Honig , 484 US at 335-36 (Scalia, J., dissenting) (suggesting that tendency to omit “same complaining party” element was limited to cases involving abortion and election deadlines); Matthew I. Hall, The Partially Prudential Doctrine of Mootness , 77 Geo Wash L Rev 562, 590-93 (2009) (noting that federal courts have regularly omitted “same complaining party” element in abortion, election, residency requirement, and other cases).
Second, bearing in mind the doctrinal variation
that existed when the legislature “borrowed and codified a
judicially created doctrine,”
Couey
,
Those stark differences between ORS 14.175 and the federal common law doctrine of “capable of repetition yet evading review,” as articulated and developed in Murphy , Wisconsin Right to Life , and other cases cited by the board, undermine the argument that the legislature intended to strictly enact the federal doctrine as articulated by the board. Although those cases may be persuasive evidence of the legislature’s intention regarding the general under- pinning of ORS 14.175 (as we suggested in Couey ), they are significantly less persuasive when it comes to the meaning *11 and scope of words and phrases in ORS 14.175 that are not part of the federal formulation noted by the board. What that ultimately means is that we decide what the legislature intended by “an act challenged by the party” being “capable of repetition,” for purposes of ORS 14.175(2), in accordance with our usual interpretive paradigm, without following in lockstep the federal cases analyzing and applying the fed- eral doctrine that the board cites.
Under our interpretive paradigm, the words that
the legislature used in the enactment are the best evidence
of the legislature’s intention. Here, the phrase “capable of
repetition” in ORS 14.175(2) is a term of art that hearkens
back to the numerous federal and state cases, starting
with
Southern Pacific Terminal Co. v. Interstate Commerce
Comm
.,
Although, as we have discussed, those cases do not unanimously describe the doctrine, they share a common feature: At the very least, the party seeking relief must establish that it is reasonable to believe that the person or entity whose act is being challenged will repeat the act or continue it in a way that will similarly affect someone. See, e.g. , Southern Pacific Terminal , 219 US at 515 (“The question involved in the orders of the Interstate Commerce Commission are usually continuing * * *, and these consid- erations ought not to be, as they might be, defeated by short term orders, capable of repetition, yet evading review, and at one time the government, and at another time the carriers , have their rights determined by the commission with- out a chance of redress.” (Emphasis added.)). That broad idea—that there is a reasonable potential that the act will recur to a similar effect—seems to be what the legislature intended to convey by the phrase an “act” that is “capable of repetition.”
Other parts of ORS 14.175 provide context and sug- gest that the legislature did not intend the requirement that the “act” be “capable of repetition” to be so strict that it would demand a showing of the potential for a recurrence to the same party and in identical circumstances. First, insofar as ORS 14.175(2) provides the same exception when a person’s challenge to a “policy or practice [that] continues in effect” becomes moot, the focus appears to be on the continuing con- duct of the public body, rather than the identity of the person affected. As noted, the statutory focus on actions, policies, or practices of a public body is consistent with this court’s historic case law permitting adjudication of “public action” cases that are moot. Additionally, the fact that ORS 14.175(3) refers to “the challenged policy, practice or similar acts” evading review suggests that the legislature understood that variation in the particulars of the public body’s act as it might recur should not stand in the way of review.
Legislative history confirms that understanding. During one of the public hearings on House Bill 2324 (2007), which created ORS 14.175, an attorney involved in consti- tutional cases expressed support for the bill and explained that the bill would provide courts with authority to decide cases such as those involving student journalists or issues related to elections. Audio Recording, House Committee on Judiciary, HB 2324, Apr 19, 2007, at 1:04:06 (state- ment of Charles Hinkle), http://records.sos.state.or.us/ ORSOSWebDrawer/Record/4211424# (accessed Oct 17, 2019). Special Counsel to the Attorney General, Philip Schradle, appearing on behalf of the Department of Justice, followed. He suggested that the committee make changes to the bill, including, among other things, adding a requirement that the challenged act and resulting injury to the party be “capable of repetition as to that party .” Id. at 1:20:10 (state- ment of Philip Schradle). He explained that the statutory requirement then would hew more closely to the federal requirements for hearing moot cases. Id. at 1:23:00.
But Representative Gregory Macpherson, who was the bill’s carrier, responded that the suggested change would “significantly blunt the effect that we’re trying to get here.” He explained that the reason that the bill had come up in the first place was to protect the constitutional rights of student journalists; thus, it would need to apply to students who had graduated and who would not themselves suffer the problem again. Id. at 1:22:25 (statement of Gregory Macpherson).
The exchange between Schradle and Representative Macpherson was followed by additional remarks from a representative from the American Civil Liberties Union of Oregon, Hinkle, and Representative Bonamici about why a requirement of repeated injury to the “same party” would foreclose decisions on important cases and would be a bad idea. Id. at 1:25:10 (statements of Andrea Meyer, Charles Hinkle, and Suzanne Bonamici). Hinkle further noted that even the United States Supreme Court had not consistently applied the “same party” requirement that the Department of Justice was proposing. Id. at 1:28:14. The phrase proposed by the Department of Justice and opposed by others at the hearing—“as to that party”—was not added to the bill. Thus, it appears from the legislative history that the legisla- ture made a deliberate decision to reject the federal “capable of repetition” doctrine that the state advances in this case and to permit courts to decide cases in which there was no *13 chance that the particular party would be affected again.
We conclude that ORS 14.175(2) requires that the act of the public body that no longer is affecting the plaintiff or complaining party be reasonably susceptible to repetition as to someone. Nothing in the case law that has interpreted or applied ORS 14.175 is to the contrary. And though there are statements to the contrary in cases discussing the com- mon law “capable of repetition” doctrine as it has developed in the federal courts, for the reasons set out above, we con- clude that those cases are not controlling, or even particu- larly persuasive, with respect to the meaning of words and phrases in ORS 14.175(2).
Applying ORS 14.175(2) in this case, the challenged act—the board’s imposition of a condition of post-prison supervision requiring a supervised person to obtain his or her supervising officer’s written permission before enter ing into an “intimate” relationship or encounter—is rea sonably susceptible to repetition. The board acknowledges that it has imposed SC 10 in “other cases involving domes tic violence conditions.” And evidence submitted by peti- tioner shows that, at a 2012 meeting, the board discussed a “Special Condition 10,” with wording that is identical to SC 10 at issue here, “for domestic violence convictions, assaults or any other case where they feel it is necessary for public safety.” Whether or not that is evidence of a “policy” of the board, within the meaning of ORS 14.175(2), it shows that the board has agreed that the condition may be applied when a supervised person has been convicted of a certain category of common crimes. That agreement suggests a sig- nificant potential that the board’s “act” of imposing SC 10 as a condition of post-prison supervision will be repeated.
2.
“Likely to evade judicial review”
The board also argues that the present circumstances
do not satisfy the requirement set out in ORS 14.175(3) that
the challenged act or similar acts will be “likely to evade
judicial review in the future.” The board begins by observ-
ing that an act of a public body generally will “evade review”
because it is too short in duration to be fully litigated before
it ceases or expires. It then points to two appellate cases in
which a supervised person’s challenge to the board’s author-
ity to impose a special condition of supervision was fully lit-
igated before the person was discharged from supervision
(and the challenged condition) as evidence that challenges of
that nature can be fully litigated while the person is subject
to supervision.
See Martin v. Board of Parole
, 327 Or 147,
As the board acknowledges, other reported cases
concerning a petitioner’s special condition of post-prison
*14
supervision have been rendered moot when the petitioner
completed his or her term of supervision before a judicial
decision was rendered.
See, e.g.
,
State v. Fries
, 212 Or App
220, 230,
,
B. Exercise of Discretion
Although the board suggests that the issues in this case are not ones that merit an exercise of the court’s dis- cretion under ORS 14.175 because they arise in the context of “a specific exercise of the board’s discretion to impose spe cial conditions in light of the specific factual circumstances presented by petitioner’s criminal hitory,” we are persuaded that a decision will have broader relevance. Petitioner raises a serious challenge to the statutory authority of the board and the constitutionality of the board’s imposition of SC 10. Additionally, the issues have great importance to many peo- ple, including many present and future supervised persons and persons who wish to have or continue intimate relations with them. We conclude that this case is a proper one for an exercise of discretion. Although a decision on the mer- its no longer will have any practical effect on petitioner himself, the court nevertheless will decide the case on its merits.
III. THE MERITS
As discussed, petitioner challenges the board’s impo- sition of SC 10 as a condition of his post-prison supervision on two grounds: (1) the board lacked statutory authority to impose the condition and (2) the condition is unconstitution *15 ally vague and overbroad. We begin and end with the first ground, concluding that the board exceeded its authority in imposing SC 10.
issues over three years after the board imposed the challenged condition in that case. The board’s authority to impose conditions of post- prison supervision on a person who will be under its super- visory authority is set out in ORS 144.102. Certain general conditions that “may” be imposed on any such person are set out in subsection (2), and conditions that “shall” be imposed on groups of supervised persons required to report as sex offenders or convicted of certain crimes are set out, respec- tively, in subsection (3) and paragraphs (4)(b), (c), and (d). Paragraph (4)(a), the relevant provision in this case, pro - vides the board with authority to impose “special” conditions based on the supervised person’s individual circumstances:
“The board * * * may establish special conditions that the board * * * considers necessary because of the individual circumstances of the person on post-prison supervision.” (Emphasis added.)
While acknowledging that paragraph (4)(a) invests
the board with authority to impose special conditions, peti-
tioner notes that the board’s authority is limited by the
requirement that the conditions be ones that the board “con siders necessary” because of the supervised person’s indi-
vidual circumstances. What is more, petitioner adds, the
“necessity” that limits the board’s authority must be deter mined by reference to two goals—the promotion of public
safety and assisting in the reformation of the supervised
person—that are identified in another post-prison supervi sion statute, ORS 144.096(3).
[7]
See Weems/Roberts v. Board
of Parole
,
“(d) Any other conditions and requirements as may be necessary to promote public safety ; “* * * * *
“(f) Any conditions necessary to assist the reformation of the inmate. ” (Emphases added.)
144.102(4)(a), “the ‘necessity’ of special conditions must be determined in reference to the statutory objectives * * *, namely, the protection of public safety and the reformation of the offender”).
Thus far, petitioner’s explanation of the board’s authority under ORS 144.102(4)(a) to impose special condi - tions does not differ substantially from the explanations in this court’s own cases. However, petitioner argues that the term “necessary” has additional significance, not evident in those cases: He contends that, by using the term, the leg- islature limited the board’s authority to impose only those conditions that the board reasonably could consider “logi cally necessary, essential, or indispensable” to the goals of reforming the offender and protecting public safety.
As a result, petitioner argues, the board erred in two respects when it refused to remove SC 10 from his order of post-prison supervision. First, he argues that the board misinterpreted the term “necessary” to mean something akin to having any “logical nexus” between a special con dition and the statutorily recognized goals of reformation and public safety, rather than logical necessity. He points out that, in its final order rejecting petitioner’s challenge to SC 10, the board stated only that the condition was “in the interest” of the statutory goals of public safety and offender reformation. He concludes that the board went beyond the bounds of its authority to impose special conditions under ORS 144.102(4)(a).
Second, petitioner argues that the board could not reasonably have considered SC 10 indispensable or essen- tial to the statute’s public safety and reformation goals. Petitioner suggests that the term “necessary” requires a special condition to be narrowly tailored or proportional to the specific risk that it seeks to address. In regard to the risk that he supposedly presents, petitioner assumes that the board concluded that petitioner might commit acts sim- ilar to those that resulted in his convictions in the context of some future intimate relationships or encounters. But, in his view, completely regulating all his “intimate” affairs, as SC 10 does, goes beyond what would be adequate to mitigate that risk.
Both of petitioner’s arguments ultimately assume that the term “necessary” in ORS 144.102(4)(a) has the meaning that he assigns to it—logically required, essential, or indispensable—but which the board disputes. The par- ties also are at odds over a precursory issue: this court’s authority to determine the term’s meaning. While petitioner asserts that, in this context, “necessary” is an inexact stat utory term, the meaning of which is a determination for the courts, the board contends that, when read in the context of the phrase “the board * * * considers necessary,” the term *17 reflects a delegation of policymaking authority to the board, leaving the courts with only one task: to determine whether the board’s actions fall within the general scope of the legis- lature’s delegation.
A. Inexact or Delegative Terms
In arguing over the nature of this court’s review of the board’s order, the parties allude to the framework, first announced in Springfield Education Assn. v. Springfield School Dist. No. 19 , 290 Or 217, 621 P2d 547 (1980), for determining the role that a court plays in reviewing an administrative agency’s actions under a statute that the agency is required to administer. In Springfield , this court identified three categories of terms that might appear in such statutes, each of which requires a different approach to the agency’s understanding and application of the stat- ute. Two are at issue in this case. “Inexact” terms embody a complete expression of the legislature’s intentions, but those intentions are not evident, and it is for the courts to inter- pret them and the legislative policy they convey, and then to decide whether the agency action conforms to that policy. Id. at 224-28. “Delegative” terms “express non-completed legislation which the agency is given delegated authority to complete.” Id. at 228-29. The only role of appellate courts with respect to such delegative terms is to ensure that the agency exercises the authority delegated to it “within the range of discretion allowed by the more general policy of the statute.” Id. at 229.
application and courts will only review the agency’s vey a complete policy choice by the legislature. They require no interpretation, of the statute to determine The third category, “exact” terms, are terms that unambiguously con Petitioner contends that the term “necessary” in ORS 144.102(4)(a) is inexact and was intended by the legis lature as a limitation on the kind of special condition that the board may impose. The board contends that the term is delegative. According to the board, by authorizing it to impose special conditions that it “considers necessary,” the legislature was delegating to the board the task of deter- mining how best to use special conditions to further public safety and offender reformation. In light of that delegation, the board argues, this court must defer to the standard that the board has chosen to apply in choosing special conditions, which is that such conditions need only be rationally related to the noted objectives.
The question whether the term “necessary” is inex act or delegative in this context is one of legislative intent, and we address it as we would any other question of stat- utory construction. OR-OSHA v. CBI Services Inc. , 356 Or 577, 588, 341 P3d 701 (2014). In OR-OSHA , we identified a number of considerations that are helpful in determin- ing whether a given statutory term expresses an incom- plete legislative meaning and, thus, is delegative, including (1) whether the court has concluded that the term, or one like it, is delegative in another context; (2) whether the term is defined by statute or, on the other hand, susceptible to many different interpretations; (3) whether the term is one that *18 invites a value or policy judgment; and (4) whether other, related provisions suggest a legislative intent that the term be considered a delegation. Id. at 590.
With respect to the first consideration, both par -
ties identify cases in which this court has placed the term
“necessary” in the category they believe to be the correct
one. The board points to
Diack v. City of Portland
, 306 Or
287, 299,
The differing outcomes in
Diack
and
Simplot
sug-
gest that it is important to look, not just at whether a word
has been deemed in other cases to be inexact or delegative
in other contexts, but at the underlying analysis. If we apply
that suggestion to
Diack
, all we can say is that the case is
relatively devoid of explanation as to why the “necessary for
* * * uses” phrase was deemed delegative.
See Diack
, 306 Or
at 299.
Simplot
, on the other hand, persuasively explains
why “reasonably necessary to cover [costs]” expresses an
inexact but complete policy choice. Specifically, the court in
Simplot
explained that the statute at issue set out a com-
plete policy objective (that the agency’s inspection program
be self-funding) and used the phrase “reasonably
necessary
to cover [costs]” to specify the relationship that must exist
between that complete legislative policy and the vehicle
identified by the legislature for pursuing the policy,
i.e.
, fees.
That explanation from
Simplot
seems to be relevant to
the context in which “necessary” is used in ORS 144.102(4)(a), namely, the phrase “the board * * * considers necessary.” As
noted above,
Turning to the second consideration enumerated in OR-OHSA , regarding the specificity of the term’s defini tion, we note that the term “necessary” is not defined for purposes of ORS 144.102(4)(a). And though the term may be “susceptible” to many interpretations depending on the circumstances, as the board suggests, it is not a term that in itself has a broad range of meanings in ordinary parlance. [9]
As to the third consideration set out in OR-OSHA , the word “necessary” does not call for a value judgment or policy judgment in this context. The only policy judgment that is relevant has already been made—completely—by the legislature, as expressed in the goals of promoting public safety and assisting in reformation and in the identification of special conditions as a vehicle for achieving those goals. And though the board contends that the word “considers” turns the phrase “considers necessary” into one calling for a value judgment, we are not persuaded: ORS 144.102(4)(a) does not ask for the board’s considered opinion as to whether a condition is fair, reasonable, or desirable—the kind of con- siderations that would involve value judgments, OR-OSHA , 356 Or at 590—but instead whether it is “necessary” for specific objectives.
Finally, with respect to the fourth consideration
from
OR-OSHA
(whether related provisions suggest that
the legislature intended a delegation), the board offers the
whole of ORS 144.102 as evidence of a legislative intent to
delegate authority to the board to devise any special condi-
tion it believed would be helpful. Boiled down to its essence,
the board’s argument is that, given the list of specific con ditions that may or shall be imposed, subsection (4)(a) must
be understood as a “backstop in the statutory framework to
ensure that the board may impose conditions [that account]
for a particular offender’s circumstances.” Yet it does not
follow that the legislature placed no limitations on that
See below,
*20 “backstop” authority. Instead, there are recognized stat - utory objectives for which, in the board’s consideration, a condition must be necessary. We see nothing in the other paragraphs of ORS 144.102, or any other related provision, that indicates a legislative intent that ORS 144.102(4)(a) be understood as a delegation of policy-making authority.
Based on our examination of the four considerations identified in OR-OSHA , we conclude that, in the context of ORS 144.102(4)(a), the word “necessary” is not a delega tive term that grants authority to the board to complete an incomplete legislative policy. Rather, it is an inexact term, the intended meaning of which is for this court to determine. B. What the Legislature Intended by the Phrase “considers
necessary”
The board argues that the term “necessary,” even if it is an inexact rather than a delegative term, still has a broad range of meanings and, in the phrase “considers necessary,” simply means “useful” or “convenient.” Thus, the board contends that any condition that it considers useful to, or as having a rational nexus to, the statutory objec- tives of public safety and reformation of criminal offenders is permissible. Petitioner maintains that ORS 144.102(4)(a) authorizes only special conditions that, in light of the super- vised person’s individual circumstances, a reasonable board would consider indispensable or essential to the statutory objectives. In his view, that means that any restriction in a special condition must be proportionate to the specific risk of harm that the offender purportedly poses. Although we agree with petitioner that the board proffers an understand- ing of the statute that is contrary to the ordinary meaning of the term “necessary,” we also reject petitioner’s construc tion of the statute.
The term “necessary” is undefined in the statute,
and there is no reason to think that the legislature had any-
thing other than the ordinary meaning of that word in mind.
See PGE v. Bureau of Labor and Industries
,
The board’s suggestion to the contrary is based on the definition of “necessary” in Black’s Law Dictionary 1029 (6th ed 1990):
“The word [(necessary)] must be considered in the connec tion in which it is used, as it is a word susceptible to var- ious meanings. It may import absolute physical necessity *21 or inevitability, or it may import that which is only conve- nient, useful, appropriate, suitable, proper, or conducive to the end sought.”
That definition quotes a passage from an early Oklahoma case, Kay County Excise Board v. Atchison , 185 Ok 327, 91 P2d 1087 (1939), and relies on the importance of context rather than what “necessary,” by itself, means in ordinary parlance. If the board hopes to show that the term, as used in the statute, is so stripped of its ordinary meaning that “having a rational nexus to” is an adequate substitute, then it must identify specific contextual cues that point in that direction.
In that respect, the board makes three context-based arguments. First, the board returns to its previous argu- ment that, considering the context of ORS 144.102 as a whole, paragraph (4)(a) functions as a backstop to allow the board to account for an individual offender’s circumstances “necessary” as follows: Webster’s Third New Int’l Dictionary [10] 1510 (unabridged ed 2002) defines “ 1 a : that must be by reason of the nature of things : that cannot be otherwise by reason of inherent qualities : that is or exists or comes to be by reason of the nature of being and that cannot be or exist or come to be in any other way : that is determined and fixed and inevitable * * * b : of, relating to, or having the character of something that is logically required or logically inevitable or that cannot be denied without involving contradiction * * * : that cannot be done without : that must be done or had : absolutely required : ESSENTIAL, INDISPENSABLE.” and must be read to give the board the broadest possible discretion. However, as we already have stated, there is no necessary incompatibility between the board’s authority to impose special conditions, “backstop” or not, and limiting the board to special conditions that have something more than a rational nexus to the goals that the statute references.
Second, the board notes that the statute looks to whether the board “considers” the special condition to be “necessary.” In its view, the fact that the board considers whether conditions are necessary implies a mere “rational nexus” review.
And third, the board relies on two of this court’s cases to support its construction of ORS 144.102(4)(a). From Weems/Roberts , the board quotes the court’s explanation, in upholding the board’s imposition of certain special con- ditions, that the conditions were “a logical way for the board to further the safety of the public, as well as the offender’s reformation and ‘reintegration into the community.’ ” 347 Or at 600. And in Martin , the board observes, this court ‘s explanation for upholding the special condition at issue (a bar on entering a large portion of the state where there was a chance, albeit a low one, that the offender might encoun- ter his victim) seemed to look at whether the condition was a reasonable response to the risk of an accidental meeting, which appeared to be the board’s primary concern. 327 Or at 159-60.
We agree with the board that the word “considers” plays an important role in understanding what the legis- *22 lature intended through ORS 144.102(4)(a). The statute authorizes conditions that “the board * * * considers neces- sary.” As relevant to the present usage, “consider” means “to think of : come to view, judge, or classify.” Webster’s at 483. Thus, using the ordinary meanings of “necessary” and “considers,” a court would not review whether the condition in fact is logically required or essential to promote one or both of the statutory objectives (“to promote public safety” and “to assist the reformation of the inmate,” ORS 144.096 (3)(d), (f)); rather, ORS 144.102(4)(a) is premised on the board viewing the condition that way. The board does not contend that we should review SC 10 solely for whether the board in fact applied the standard and considered the condition to be necessary, nor do we consider the statute to imply such a minimal standard of review. That presents the question of the extent to which the legislature intended a reviewing court to defer to the board’s view.
For several reasons, we decline to read the statute as the board does, that is, as a grant of discretion to impose special conditions that is so broad that it calls for a court to review an imposed condition for what amounts to review for any rational basis. First, the legislature did not expressly describe the board’s authority as a broad grant of discretion, as it did in ORS 144.101(3) (providing that, upon request of person who challenges a local supervisory authority’s impo- sition of conditions of supervision or sanctions for violating those conditions, the board “shall review the request and may, at its discretion, review the conditions and sanctions, under rules adopted by the board”). Second, the legislature used “necessary”—not “advisable,” “useful,” “helpful,” “suit able,” or similar imprecise standards suggesting a broader range of choices—for the board’s imposition of a special condition. Considering the ordinary meanings of the word “necessary”—such as “logically required,” “essential,” and “indispensable,” we doubt that the legislature intended a court to review the imposition of a condition for a rational nexus or basis. Instead, the plain meaning of the text sug- gests that a court should review whether the board met the statutory standard in imposing a special condition by con- sidering whether the board did and reasonably could view it as essential to promote public safety or assist in offender reformation.
At the same time, we reject the stringent, identified-
risk standard that petitioner advocates. First, petitioner’s
proposed standard implies that the board must make spe-
cific findings and must expressly state the risk of harm to
be addressed by the condition in its order, but this court in
Martin
rejected that position, which the supervised person
also had argued.
See
We conclude that ORS 144.102(4)(a) authorizes the
board to impose any condition that, in light of the super-
vised person’s individual circumstances, the board reason-
ably could view as essential to or required for one or both of
its broad objectives of “promoting” public safety and “assist ing” in an offender’s reformation. The standard that we
adopt both follows closely from the text of ORS 144.102(4)(a)
and the objectives stated in ORS 144.096(3)(d) and (f) and
is consistent with the outcomes in the
Weems/Roberts
and
Martin
cases. As noted, the board may consider and impose
special conditions that promote or assist the statutory objec-
tives, which is different from accomplishing the objectives.
This court in
Weems/Roberts
alluded to that point, empha-
sizing the words “to promote” and “to assist” in the descrip tion of the statutory objectives when it rejected a petitioner’s
proposal that special conditions must be tailored to address
only “certain or immediate risks to public safety or offender
reformation,” as reflected in evidence of “recent, significant
conduct.”
C. Application to Petitioner’s Statutory Challenge
Having articulated the board’s undertaking when it considers the imposition of special conditions under ORS 144.102(4)(a), we turn to petitioner’s statutory challenge to the board’s imposition of SC 10. In view of our holding, we consider whether the board did and reasonably could view imposition of SC 10—a condition that requires petitioner to obtain his supervising officer’s permission before entering into any “intimate” relationship or encounter—to be essen tial in petitioner’s case to advance or promote one or both of the goals of public safety and offender reformation.
The board contends that, in the context of SC 10, “intimate” means only “sexual” and, assuming that limited meaning, that the condition imposes a necessary restric- tion. With respect to the public safety objective, the board explains that, because petitioner had established a pattern, in the context of a sexual relationship, of using physical abuse and threats to force the other person in the relation- ship to perform sexual acts, it reasonably was concerned that petitioner would repeat the same behavior in another sexual relationship or encounter. By requiring petitioner to obtain permission from his supervising officer before entering into a sexual relationship or encounter, the board believed that the supervising officer could evaluate and monitor those contacts and ensure that petitioner was not harming other sexual partners. With respect to the objec- tive of offender reformation, the board similarly points to the abusive pattern that petitioner had formed within the context of a sexual relationship and then explains that, by requiring petitioner to obtain his supervising officer’s per mission before entering into the sexual “environment” in which the impulse to act abusively might recur, the board hoped to spark reflection in petitioner about such impulses as well as dialogue between petitioner and his supervising officer about his conduct that might guide him along a path toward reformation.
Though it might be reasonable for the board to con- sider a restriction on petitioner’s sexual relationships and encounters as essential to advance the board’s public safety and reformatory goals, the word “intimate” in SC 10 is not limited to that meaning. The central feature of SC 10 as writ- ten is the breadth of the restriction it places on petitioner. The ordinary meaning of “intimate” is broad—essentially, to be “marked by a very close physical, mental or social asso ciation, connection, or contact.” Webster’s at 1184. As that definition reflects, a relationship that is “intimate” could just as easily be describing a familial one, such as between a parent and child; a close friendship; or a sexual relation- ship. In short, the category of human contact that SC 10 purports to regulate reasonably could be interpreted to include any ongoing or short-lived contact with a person with whom petitioner shares a close emotional, social, or *25 physical connection.
Although petitioner raised the breadth of the phrase “intimate relationships or intimate encounters” in his ini - tial administrative challenge to SC 10, the board declined to modify the phrase in response to that concern and only now maintains that it pertains exclusively to sexual rela- tionships and encounters. In the absence of additional word- ing or context that establishes unambiguously that the senses, four of which seem to pertain to relationships with other people: The definition of “intimate” is further explicated with 10 different sub - “ e : showing or fostering close personal interests and relations rather than those colder and more distant, formal, or routine : suggesting or further- ing easy unreserved personal expression, feeling, or relationships through smallness, exclusiveness, limitation, or privacy * * *” “ f : marked by or appropriate to very close personal relationships : marked by or befitting a relationship of love, warm or ardent liking, deep friendship, or mutual cherishing <always ~ relations between a mother and her young child –Edward Westermarck> * * *” “ g : of, relating to, or befitting deeply personal (as emotional, familial, or sexual) matters or matters usu. kept private or discreet * * *” “ h : engaged in or marked by sexual relations : sexual , marital * * * [.]” Webster’s at 1184.
narrower meaning—“sexual”—is intended, a person of ordi nary intelligence will not know, with any degree of certainty, whether the condition extends to close social and mental relationships and other close physical relationships as well as sexual ones.
On review, the board has not argued that petitioner should be precluded in advance from living with or engag- ing in a close relationship with his children, other relatives, and friends, and it has not asserted that a broad condition, as we and petitioner read SC 10, legitimately advances the board’s statutory goals. Indeed, we can think of no reason why requiring a supervising officer’s permission before peti tioner engages in all such contacts or relationships would be essential to advancing the board’s goals of assisting in peti- tioner’s reformation or promoting public safety.
Accordingly, we conclude that the board could not reasonably consider the imposition of SC 10 as a condition of petitioner’s post-prison supervision to be essential to its broad objectives of public safety and offender reformation as they apply to petitioner’s particular circumstances. It fol- lows that, in imposing SC 10 on petitioner, the board acted beyond the statutory authority it has with respect to impos- ing special conditions of post-prison supervision.
IV. CONCLUSION
We conclude that, although the board enjoys sig- nificant authority under ORS 144.102(4)(a) to impose spe cial conditions of post-prison supervision, it acted outside of that statutory authority by including SC 10 in its order of post-prison supervision with respect to petitioner. Thus, the board erred in denying petitioner’s request for relief from SC 10, and the Court of Appeals erred in affirming that denial. In light of our holding, we do not reach petitioner’s arguments that SC 10 is unconstitutionally overbroad and vague.
may have vastly different ideas of what would mark a relationship or encounter the condition could have little certainty as to whether a contemplated relation- as “close” or “intimate.” The result is that a supervised person who is subject to ship or encounter is one that must be authorized in advance by the supervising officer, while a supervising officer charged with enforcing the condition could apply it arbitrarily or in a way that was not intended. We also note that the term is inherently subjective: Different individuals The decision of the Court of Appeals is reversed. The order of the Board of Parole and Post-Prison Supervision is reversed, and the case is remanded to the Board of Parole and Post-Prison Supervision for further proceedings.
