Lead Opinion
delivered the opinion of the Court as to Parts I, II.B.3, III and IV in which
This case arises from a governor’s threat to exercise a veto and his ultimate exercise of that veto. Whether the State can prosecute the governor for these acts depends upon (1) whether prosecuting the exercise of a veto under the “abuse of official capacity” statute is a violation of the Separation of Powers provision of the Texas Constitution, and (2) whether the relevant portion of the “coercion of a public servant” statute," being used to prosecute the threat to exercise a veto, is facially unconstitutional in violation of the First Amendment. ' Before reaching the first question, we must also decide whether the governor can raise his separation of powers complaint as an as-applied challenge in a pretrial habeas application followed by an interlocutory appeal. Answering these three questions in the affirmative, we reverse the judgment of the court of appeals with respect to count one, affirm the judgment of the court of appeals with respect
. I. Background
A. The Indictment and Pretrial Proceedings
The charges against the appellant, James Richard “Rick” Perry, arise from actions taken while he was governor of the State of Texas. A Travis County grand jury returned a two-count indictment against him. Count I alleged the offense of “abuse of official capacity,”
The offense of abuse of official capacity is committed when a public servant, with intent to harm another, intentionally or knowingly misuses government property that has come into his custody or possession by virtue of his office or employment.
On or about June 14, 2013, in the County of Travis, Texas, James Richard “Rick” Perry, with intent to harm another, to-wit, Rosemary Lehmberg and the Public Integrity Unit of the Travis County District Attorney’s Office, intentionally or knowingly misused government property by dealing with such property contrary to an agreement under which defendant held such property or contrary to the oath of office he took as a public servant, such government property being monies having a value of in excess of $200,000 which were approved and authorized by the Legislature of the State of Texas to fund the continued operation of the Public Integrity Unit of the Travis County District Attorney’s Office, and which had come into defendant’s custody or possession by virtue of the defendant’s office as a public servant, namely, Governor of the State of Texas.
The offense of coercion of a public servant is committed when a person, by means of coercion, influences or attempts to influence a public servant in the exercise of a specific performance of his official duty.
Beginning on or about June 10, 2013, and continuing through June 14, 2013,-in the County of Travis, Texas, by means of' coercion,' to-wit: threatening to veto legislation that had been approved and authorized by the Legislature of the State of Texas to provide funding for the -continued operation of the Public Integrity Unit of the Travis County District Attorney’s Office unless Travis County District Attorney Rosemary Lehmberg resigned from her official position as elected District Attorney, James Richard “Rick” Perry, intentionally or -knowingly influenced or attempted to influence Rosemary Lehmberg,- a public servant, namely, the elected District Attorney for Travis County, Texas, in the specific performance of her official duty, to-wit: the duty to continue to carry out her responsibilities as the elected District Attorney for the County of Travis, Texas through the completion of her elected term of office, and the defendant and Rosemary Lehmberg were not members of the same governing body of a governmental entity, such offense having been committed by defendant, a public servant, while acting in an official capacity as a public servant.
Governor Perry filed a motion to quash and dismiss the indictment and a pretrial application for a writ of habeas corpus. He claimed that the statutes underlying both counts were unconstitutional as applied to the charges against him. Included in his claims were allegations that the abuse-of-official-capacity statute was unconstitutional as applied because it infringed upon a governor’s absolute right under the Texas Constitution to veto items of appropriation and because it violated the Texas Constitution's Separation of Powers clause. He also attacked Count II on the basis that the relevant portion of the coercion statute was facially unconstitutional because it was overbroad in violation of the First Amendment. The motion to quash also claimed that' Count II failed to negate -the exception found in § 36.03(c).
The trial court denied Governor Perry’s motion to quash, but the court’s order contained some qualifications. The order expressed the court’s concern that Count I failed to specify what act constituted the misuse of government property: “[I]f the act of vetoing the appropriations bill funding the Public Integrity Unit is the act on which the State intends to rely ... the indictment should say so. On the other hand, if the veto is not the act of alleged misuse, then [Governor Perry] ... does not have sufficient notice of what facts support the State’s claim of misuse.” The trial court did not at that time act' on that concern because the motion to quash had not challenged the indictment’s lack of specificity. The Order did say that the filing of a motion to quash challenging the sufficiency of the indictment would be
As to Count II, the trial court agreed with Governor Perry that the indictment failed to properly negate the exception found in § 36.03(c). The trial court concluded that the language “the defendant and Rosemary Lehmberg were not members of the same governing body of a governmental entity,” which the State included in order, to' negate the exception, neither expressly nor- implicitly did so. Nevertheless, the trial court found it premature to quash Count II of the indictment and, instead,, ordered the State to amend the indictment to cure the defect.
The trial court otherwise denied the motion to quash and denied relief in the habeas action. As to the various as-applied claims, the trial court held that state law does not permit them to be raised pretrial. Regarding the facial challenge to Count II, the trial court held that neither of the statutes under which Governor Perry is being prosecuted is facially unconstitutional. :
Responding to the trial court’s suggestion that more specificity be pled in Count I and the trial court’s order that the State amend Count II, the State filed a document titled “Bill of Particulars & Amendment of Indictment.”
... and .it is further alleged that Rosemary Lehmberg was an elected district attorney in the Judicial Department (or Branch) of Texas, specifically, the District Attorney of Travis County, Texas, and the defendant was the chief officer of the Executive Department (or Branch) of Texas, specifically, the Governor of the State of Texas, and the defendant was therefore not a member of the governing body of a governmental entity, in which., Rosemary Lehmberg was a member, and the defendant’s influence and attempt to influence Rosemary Lehmberg by means of an unlawful threat to veto legislatively-approved appropriation of funds did not constitute an official action taken by the defendant as a member of a governing body.
In written objections, Governor Perry argued that a bill of particulars is not recognized' in Texas law. “It gives the appearance of notice to Governor Perry, while leaving the State free to shift strategies at trial if needed.”
Governor Perry filed an appeal in the court of appeals, claiming that the trial court erred in denying relief on the habe-as application. The court of appeals recognized that at least some as-applied challenges can be addressed pretrial. Nevertheless, that court held that none of Governor Perry’s as-applied claims were cognizable in a pretrial habeas ‘action.
The court of appeals further concluded that Governor Perry’s remaining proposed rationales for the fact that some as-applied challenges are allowed on pretrial habeas were not rooted “in any existing controlling precedent of the Court of Criminal Appeals” but in “broader ‘factors’ he identifies in what he terms the high court’s ‘evolving jurisprudence regarding cogniza-bility in pretrial habeas,’ ”
Finally, the court of appeals addressed a broader concern raised by Governor Perry and the amici who support him.
The court of appeals did, however, sustain Governor Perry’s First Amendment overbreadth challenge to Count II.
The court of appeals recited a number of hypothetical situations offered by Governor Perry to illustrate the improper reach of the statute:
• A manager could not threaten to fire or demote a government employee for poor performance.
• A judge could not threaten to sanction an attorney for the State, to declare a mistrial if jurors did not avoid misconduct, or to deny warrants that failed to contain certain information.
• An inspector general could not threaten to investigate an agency’s financial dealings.
• A prosecutor could not threaten to bring charges against another public servant.
• A public university administrator could not threaten to withdraw funding from a professor’s research program.
• A public defender could not threaten to file a motion for suppression of evidence to secure a better plea bargain for his client.28
The court agreed that the statute would indeed criminalize these acts.
The State claimed that § 36.03(a)(1) and subsection (F) do not implicate the First Amendment at all. The State argued that under Garcetti v. CebaUos,
The court of appeals acknowledged that the statutory provisions at issue would reach some threats that the State could properly proscribe criminally.
.. The court of appeals further concluded that the statute was not narrowly drawn to serve a compelling- state interest (as is required for content-based restrictions on protected expression) and that, its infringement on protected speech was therefore not justified.
The court of appeals affirmed the trial court’s denial of habeas relief as to Count I but reversed the denial of habeas relief as to Count II and ordered the trial court to dismiss Count II.
II. Count I and Separation of Powers
A. General Principles
1. Separation of Powers
Unlike the United States Constitution,- the Texas. Constitution contains an express Separation of Powers provision:
The powers of the Government of the State of Texas shall be divided into three distinct departments, each of which shall be confided-to a separate body of magistracy, to wit: Those which are Legislative to one; those which are Executive to another, and those which are Judicial- to another; ■ and no person, or collection of persons, being of one of these departments, shall exercise any power properly attached to either of the others, except in the instances herein expressly permitted.46
Our cases have given weight to this distinction: “All other things being equal, this textual difference between the United States and Texas constitutions suggésts that Texas would more aggressively enforce separation of powers between its governmental branches than would the federal government.”
*895 (1) when one branch of government assumes or is delegated a power “more properly attached” to another branch, or (2) when one branch unduly interferes with another branch so that the other branch cannot effectively exercise its constitutionally assigned powers.48
2. Cognizability
We first address whether the court of appeals was correct in holding that Governor Perry's separation óf powers claim is not cognizable on pretrial ha-beas. Pretrial habeas, followed by an interlocutory appeal, is an extraordinary remedy.
We have permitted double jeopardy and bail claims to be raised on pretrial habe-as,
The court of appeals relied on these statements to hold that Governor Perry could not litigate his as-applied claims before trial. We conclude, however, that the nature of the constitutional right at issue entitles him to raise these claims by, pretrial habeas corpus.
B. Analysis
1. Asr-Applied
Although we have said that as-applied challenges are not cognizable before trial, we allow certain- types of claims to be raised by pretrial habeas because the rights underlying those claims would be effectively undermined if not vindicated before trial.
The “effectively undermined if not vindicated prior to trial” rationale for allowing certain claims on pretrial habeas derives from the Supreme Court’s decision in Ab-ney v. United States,
Federal courts have applied Abney to issues other than double jeopardy. In Helstoski v. Meanor, the Supreme Court applied Abney’s holding to claims arising out of the United States Constitution’s Speech and Debate Clause.
Relying on Abney and Helstoski, several of the federal circuits have held that interlocutory appeal is available for some separation of powers claims in a criminal case.
We must recognize that the mere issuance of an indictment has a profound impact on the accused, whether he be in public life or not. Particularly for a member of Congress, however, publicity will' be widespread and devastating. Should an election intervene before a trial at which he is found innocent, the damage will have been done, and in all likelihood the seat lost. Even if the matter is resolved before an election, the stigma lingers and may well spell the end to a political career. Far from being hyperbolic, this evaluation of an indictment’s effect is coldly realistic. It cannot be doubted, therefore, that the mere threat of an indictment is enough to intimidate the average congressman and jeopardize his independence.74
In accordance with the rationale of Myers and federal cases, as well as Abney and Helstdski, and in light of our more aggressive enforcement of separation of powers in Texas,
2. Record Development
The State contends that another hurdle to pretrial cognizability is this Court’s past refusal to allow pretrial resolution of is
The cases that have stated that pretrial resolution is not available when factual development is necessary did not involve constitutional rights (like- double jeopardy) that include a right to avoid trial.
When the trial judge said that Count I gave Governor Perry insufficient notice of the charges against him and the judge made it clear that he would consider granting a motion to quash on that basis if one were filed, the State responded by alleging in its bill of particulars that the misuse of power was the veto. Regardless of whether a bill of particulars is a “recognized” pleading,
3. The Veto
We now turn to the merits of Governor Perry’s separation of powers claim.
In the Pocket Veto Case, the United States Supreme Court emphasized the importance of the veto as a part of our system of government and explained that Congress could not, directly or indirectly, limit the President’s power to veto bills:
The Constitution in giving the President a qualified negative over legislation— commonly called a veto — entrusts him with an authority and imposes upon him an obligation that are of the highest importance, in the execution of which it is made his duty not only to sign bills that he approves in order that they may become law, but to return bills that he disapproves, with his objections, in order that they may be reconsidered by Congress .... The power thus conferred upon the President cannot be narrowed or cut down by Congress, nor the time in which it is to be exercised lessened, directly or indirectly.90
Other state courts of last resort have held that the governor’s veto power is absolute if it is exercised in compliance with the state constitution and that courts may not examine the motives behind a veto or second-guess the validity of a veto.
Neither has this court any power over the acts of the Governor so long as he is within the law and the matter involved is one of his judgment and discretion in the performance of his duty assigned to him by the Constitution as is the matter before us. Whether or not his acts are harsh, ill advised, and arbitrary, is not a matter for this court to decide and that question so earnestly insisted upon by appellant is not given consideration. The Governor acted and he had the power to do so.94
The governor’s power to exercise a veto may not be circumscribed by the Legislar ture, by the courts, or by district attorneys (who are members of the judicial branch).
III. Count II and Overbreadth
A. Overbreadth and Statutory-Construction Principles
The First Amendment protects, among other things, the freedom of speech.
The .overbreadth,.of a, statute must be ‘‘substantial, not only in an absolute sense, but also relative to the statute’s plainly legitimate sweep.”
The first step in an over-breadth analysis is to construe the challenged statute; it is impossible to determine whether a statute reaches too far without first knowing what it covers.
Even if a narrowing construction is not feasible, a state court may cure an overbreadth problem by severing a portion of the statute.
B. Focus of the Overbreadth Challenge
The coercion-of-a-public-servant statute, Penal Code § 36.03, provides in relevant part:
(a) A person commits an offense if by means of coercion he:
(1) influences or attempts to influence a public servant in ... a specific performance of his official duty.
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(c) It is an exception to the application of Subsection (a)(1) of this section that the person who influences or attempts to influence the public servant is a member of the governing body of a governmental entity, and that the ‘action that influ-*904 enees or attempts to influence the public servant is an official action taken by the ■ member of the governing body. For the purposes of this subsection, the term “official action” includes deliberations by the governing body of a governmental entity.117
“Coercion” is not defined in § 36.03, but it is defined in § 1.07, the Penal Code’s general definition section,
The definition of “coercion” sets forth several meanings in six subsections,
A person commits an offense if by means of a threat, however communicated, to take or withhold action as a public servant, he influences or attempts to influence a public servant in a specific performance of his official duty.
It is an exception ... that the person who influences or attempts to influence the public servant is a member of the governing body of a governmental entity, and that the action that influences or attempts to influence the public servant is an official action taken by the member of the governing body. For the purposes of this subsection, the term “official action” includes deliberations by the governing body of a governmental entity-
C. Narrowing Constructions
1. “Threat”
Relying upon Olivas v. State,
This attempt to restrict the meaning of the term “threat” is misguided. The definition cited in Olivas was not intended to be a definition of the word “threat” in all possible contexts. The Olivas court was addressing the meaning of the word “threaten” in the assault statute, and the question was whether a victim had to perceive the actor’s conduct for that conduct to “threaten” the victim.
One indication that the State’s proposed definition of “threat” is too narrow is the fact that it makes the statute ungrammatical — a fact that becomes clearer if one omits the modifying phrase “however communicated.” The statute ought to make grammatical sense when the modifier is omitted, and it does if we stick with the original language: “a threat ... to ... take or withhold action as a public servant.” But with the State’s definition, the statute would read: “a communicated intent to inflict harm or loss on another or another’s property to take or withhold action'as a public servant.” '
Another indication that the State’s proposed definition is too narrow is that it conflicts with the language of the specific subsections in the statutory definition of “coercion.” Several of the subsections specify that “another” or a “person” is the victim (personally or financially) of the anticipated harm at issue:
(B) to inflict bodily injury in the future on the person threatened or another;
(C) to accuse a person of any offense;
(D) to expose a person to hatred, contempt, or ridicule;
(E) to harm the credit or business repute of any person.128
If anticipated harm to “another or another’s property” were necessarily associated with any type of threat, there would be no need to specify “another” or a “person” as the victim in these subsections. Moreover, two subsections (including the one incorporating the method of coercion at issue before us) do' not specify “another” or “a person” as the victim of the' anticipated harm:
(A) to commit an offense,
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(F) to take or withhold action, as a public seryant, or to cause a public servant to take or withhold action.129
Not all offenses are committed against persons or the property of persons: By specifying “person” in other subsections but leaving it out in subsection (A), the Legislature indicated that, any offense could be the subject of a threat, regardless
Consequently, contrary to the State’s contention, subsection (F) is broad enough to cover (for example) a trial judge’s expression of an intent to grant a mistrial or an appellate judge’s expression of an intent to write a dissenting opinion.
2. The Statutory Exception
a. Generally
The negation of any exception to the offense of coercion of a public servant is an element of that offense,
It is an exception to the application of Subsection (a)(1) of this section that the person who influences or attempts to influence the public servant is a member of the governing body of a governmental entity, and that the action that influences or attempts to influence the public servant is an official action taken by the member of the governing body. For the purposes of - this subsection, the term “official action” includes delibérations by the governing body of a governmental entity.134
To .understand the scope of .the exception, we need to know when a public servant is a member of the governing body of a governmental entity, and what constitutes official action of such a member. The terms “official action,” “governing body,” and “governmental entity” are not defined in § 36.03 or in the general definitions section of the Penal Code. The term “governmental entity” appears to be purposefully broad—including the state, counties, municipalities, the Legislature, courts, boards, commissions, departments, offices, state agencies, and other units of government—and that impression is confirmed by definitions found in other statutes.
b. “Governing Body”
The most recent version of Black’s Law Dictionary defines “governing body” as “[a] group of (esp. corporate) officers or persons having ultimate control.”
If we assume that such an unnatural and unlikely construction renders the stat
The bill analysis also contains an “other opponents say” section that maintained that the bill, in creating an exception for members of governing bodies, did not go far enough to protect all public officials.
By focusing on the need to protect county commissioners and legislators, while indicating that “stand-alone” offices would have been left unprotected by the “governing body” language, the legislative history
So, the language and the legislative history support reading “governing body” as a controlling governmental unit that consists of more than one individual. To construe the term.“governing body” to include a controlling position held by a single individual — e.g. governor, comptroller, tax assessor-collector — would broaden the meaning of that term beyond its natural import and, more to the point, beyond what .it appears that the Legislature contemplated. Given the language of the statute and the legislative history, this broadening of the term is not a construction to which the statute is reasonably susceptible, and so we cannot impose it as a narrowing construction.
c. “Official Action”
The remaining question in construing the exception is whether “official action” has a narrow meaning or a broad meaning. Some ambiguity surrounds the meaning of the term. Does the term “official action” mean only the bare exercise of an official power, or does it 'also include conduct that is performed in one’s official capacity? That is, does official action mean only the government actor’s vote, veto, or decision, or does it also include communications (e.g. threats) regarding an anticipated vote, veto, or decision?
The exception provides that official action “includes” deliberations by the governing body.
The “deliberations” language may be the reason that the State contends, both here and in its indictment, that the exception applies only when both the issuer and the recipient of the threat are members of the same governing body. ■ But “includes” is a term “of enlargement and not of limitation or exclusive enumeration” and its" use “does not create a presumption that components not' expressed are excluded.”
Further, the Fifth edition of Black’s Law Dictionary defines “official act” as “[o]ne done by an officer in his official capacity under color and by virtue of his office.”
And the legislative history settles the matter: “official action” includes cross-entity threats. The HRO bill analysis explains that the coercion-of-a:public-servant law had “recently been abused in counties where allegations of coercion have been made against members of the commissioners court for threatening’ to take actions that they are lawfully entitled to take.”
The digest of the HRO bill analysis says that the exception “would apply only if the attempt to influence a public servant was ' an official action taken as a member of the governing body.”
In light óf the definition of “official act” in Black’s Law Dictionary and the legislative history, we conclude that the term “official action” includes ’any threat by a
The exception would, for example, cover legislators, judges on appellate courts, members of commissioners courts, city council members, members of school boards, and members of various commissions. Some government officers, e.g. constitutional county judges, serve in a dual capacity, and would be exempted only for threats to take action as a member of a governing body. Other officials, notably those in the executive branch of government and other trial judges, would not be covered by the exception for their usuál duties, though the exception would apply if the individual were a member of the governing body of some other governmental entity (such as a legislatively created commission) and issued a threat to act as a member of that governing body. The exception greatly narrows the reach of the statute, but that narrowing is based on the status of the public servant making the threat rather than the nature of the threat itself. So, while the class of public servants that are subject to criminal sanctions has been narrowed (to those who do not belong.to a governing body or are not acting under the color of that governing body), the question remains whether § 36.03 penalizes a substantial amount of protected conduct with respect to the narrowed class in relation to the statute’s legitimate application to the narrowed class. '
D. Constitutional Analysis
1. The First Amendment is Implicated.
As we noted above, in its brief to thé court of appeals, the State contended, “Statements made by public officials to-other public officials are unprotected under Oarcetti and its progeny and are no more entitled to First Amendment protection than criminal threats or extortion.” The State, now represented by the State Prosecuting Attorney, has backed away from these statements. In its petition for discretionary review, the State acknowledges that it knows of “no cases applying the government speech theory to criminal prosecutions.” In its brief before us, the State acknowledges that “Garcetti was an employment law case, and arguably, when the State criminalizes speech, it is acting not as-an employer, but as a sovereign.”
The State Prosecuting Attorney is wise to back away from these earlier claims made by the attorney pro tern. When government seeks criminal punishment, it indeed acts as. sovereign
2. Legitimate Applications Are Few
The State contends that the legitimate sweep of the coercion statute includes “unprotected speech in the nature of bribery and extortion” and the solicitation of criminal activity. Referring to its brief in the court of appeals, the State argues that the statute would legitimately proscribe “a legislator’s vote or governor’s veto that punishes a police department, district attorney’s office, or judicial district, if a traffic ticket is not torn up or a prosecution is not dismissed.” In its brief in the court of appeals, the subject of the traffic ticket or prosecution in these hypotheticals'was a friend or a family member. As another example, the State suggests the statute would legitimately proscribe a threat by a district-judge to dismiss a lawsuit that a legislator filed if the legislator did not vote for judicial pay raises.
Most, if not all, of the coercive activity by government officials that a legislature might legitimately proscribe — including the activity suggested by the State — is proscribed more specifically by other statutory provisions. For instance, the State can legitimately prohibit threats that are intended to coerce someone to engage in illegal activity, but the text of § 36.03(a)(1) itself contains the alternative element “influences or attempts to influence a public servant to violate the public servant’s known legal duty.”
The State’s approach raises concerns. With legitimate applications flowing solely, or almost entirely, from conduct proscribed by other statutes, it could be said that the challenged statute has no life of its own. In City of Los Angeles v. Patel, the Supreme Court held that a statute that authorizes the police to inspect hotel records could not be upheld against a facial challenge on the basis that inspections pursuant to a warrant or exigent circumstances constitute valid applications.
At oral argument, amici for Governor Perry suggested another reason why we should take into account whether the legitimate applications of a contested statute are already proscribed by other statutes. The concern behind the substantiality requirement of an overbreadth analysis is that “overbreadth doctrine is strong medicine” that has bad side effects. One side effect might be that finding a statute unconstitutionally overbroad could take out of play a valuable law that is necessary to prevent some real harm. If that harm is already being prevented by other statutes, then finding the statute overbroad is not particularly strong medicine and that side effect is not really present.
Nevertheless, even if the State were correct as a general matter, its position is unavailing here because the legitimate sweep of the statute is still vanishingly small. Each of the “illegal threat” provisions cited above is embedded, not only within the same Penal Code section as the provision upon which the Státe relies, but within the same subsection as an alternative element. The State would like for this Court to count the activity that is specifically proscribed by these (uncharged) alternative statutory elements as legitimate
Unlike the “illegal threat” provisions, bribery is proscribed by a different statute than coercion of a public servant. But bribery is also proscribed by the Texas Constitution, which articulates the elements of that offense.
. Once we eliminate threats to do illegal acts, threats to procure illegal acts, and bribery, there does not seem tq .be much (if anything) left that would constitute a legitimate application of the eombi-nation of statutory provisions that we are focusing on in this case. The statute still criminalizes communications that are coercive, but the fact that speech is coercive does not, alone, mean that it can legitimately be proscribed: “[sjpeech does not lose its protected character ... simply because it may embarrass others or coerce them into action.”
3. Unconstitutional Applications are Many
As we have explained, public servants have a First Amendment right to engage in expression, even. threats, regarding their official duties.
• a threat by the governor to veto- a bill unless it is amended,180
• a threat by the governor to veto á bill unless a different bill he favors is also passed,181
• a 'threat by the governor to use his veto power to wield “the budget ham•mer” over a state agency to force necessary improvements,182
• a threat by the comptroller to refuse to certify the budget unless a budget shortfall is eliminated,183
• a threat by the attorney general to file a lawsuit if a government official or .entity proceeds with an undesired action or policy,184
• a threat by a public defender to file, proceed with, or appeal á ruling on a*916 motion to suppress unless a favorable plea agreement is reached,185
• A threat by a trial judge to quash an indictment unless it is amended.
Of these, the only example involving anything unusual is the one in which the comptroller actually followed through with her threat not to certify the budget. At least some of these examples, involving the governor and the attorney general, involve logrolling, part of “the ‘usual course of business’ in politics.”
Another indication of the pervasive application that the statute has to protected expression is that the last example we listed above occurred in this very case. Concluding that quashing Count II would be premature, the trial court ordered the State to amend Count II of Governor Perry’s indictment. But a trial court has no authority to order the State to amend an indictment; the State has the right to stand on its indictment and appeal any dismissal that might result from refusing to amend.
The State contends, however, that substantial overbreadth has not been shown because “there is no evidence that in the years since the coercion statute was enacted, any public servant has been chilled.”
As we have explained, the Legislature responded to these concerns with a two-pronged fix: (1) adding the “governing body” exception and (2) inserting the word “unlawfully” in the “take or withhold action” -portion of the definition of “coercion.”
Meanwhile, the Bosque County case that was pending during the legislative session made its way to the Waco Court of Appeals. The Waco' court held that the statute under which Judge Hanson was prosecuted (before the Legislature amended it) was unconstitutionally vague as applied to her conduct.
In 1994, with the overhaul of the Penal Code, the second half of the Legislature’s two-pronged solution was rescinded, but the Hanson opinion had been issued by then, and public officials had reason to believe that it would prevent prosecutions like the one against Judge Hanson. The continued existence of the. “governing body” exception could also have been rea-sonábly seen as a roadblock to such prosecutions. The ruling sought by the State today would reintroduce the very chilling effect that Hanson and earlier legislative action eliminated.
IV. Disposition
We reverse the judgment of the court of appeals as to Count I and affirm the judgment of the court of appeals as to Count II. We remand this case to the district court to dismiss the indictment.
Alcala, J., filed a concurring opinion.
Newell, J., filed a concurring opinion which was. joined by Keasler and Hervey, JJ.
. Tex. Penal Code § 39.02.
. Id. § 36.03.
. The Supreme Court has referred to a party by his title ("the President”) rather than by his party designation when the party was the President of the United States and was involved in litigation arising from acts in that capacity. See United States v. Nixon, 418 U.S. 683, 94 S.Ct. 3090, 41 L.Ed.2d 1039 (1974). Because this case arises from acts of a governor in his capacity as governor, we refer to him by his tide, and we include his last name to distinguish him from the current governor.
. The counts are out of order chronologically — the acts alleged in Count II precede the acts alleged in Count I.
. Tex. Penal Code § 39.02(a)(2), Although there are other statutory methods of committing abuse of official capacity, we focus solely on the statutory method described by the indictment’s allegations. See Curry v. State, 30 S.W.3d 394, 404 (Tex.Crim.App.2000) ("[T]he ‘law’ as 'authorized by the indictment' must be the statutory elements of the offense ... as modified by the charging instrument.”).
. Tex. Penal Code § 1.07(a)(41).
. Id. § 36.03(a)(1). Again, we focus solely on the statutory method of committing the offense that is described by the indictment's allegations.
. Id, § 1.07(a)(9)(F).
. Id. § 36.03(c).
. Id. § 2.02(b) ("The prosecuting attorney must negate the existence of an exception in the accusation charging the commission of the offense and prove beyond a reasonable doubt that the defendant or defendant’s conduct does not fall within the exception.”)
.After the trial court’s rulings denying habe-as relief and denying Governor Perry's initial motions to quash the indictment, Governor Perry filed a third motion to quash that áí-leged, among other things, that count one lacked specificity for the reasons the trial court had suggested. At a subsequent hearing, the trial court asked if the State intended to amend count one. The State’s attorney pro tem responded "possibly” but that there were “other procedural vehicles that would satisfy the notice issue that the Court raised that possibly exists,” including "a bill of particulars.”
. The bill of particulars concerning Count I malees a number of other allegations, including allegations about Governor Perry’s intent and what the State believes his duties were. Because these allegations are not relevant to the disposition of this case, we need not detail them here. The State's document also contains a bill of particulars as to Count II that we need not address.
. Emphasis in original.
. Ex parte Perry, 471 S.W.3d 63, 83-87 (Tex.App.-Austin 2015).
. Id. at 84.
. Ex parte Boetscher, 812 S.W.2d 600 (Tex.Crim.App.1991).
. Perry, 471 S.W.3d at 84-85.
. Id. at 86.
. Id.
. Id. at 87.
. Id.
. Id.
. Id.
. Id.
. Id.
. Id. at 125-26.
. Id. at 91-126.
. Id. at 103.
. Id.
. Id. at 103-04.
. 547 U.S. 410, 126 S.Ct. 1951, 164 L.Ed.2d 689 (2006).
. 544 U.S. 550, 125 S.Ct. 2055, 161 L.Ed.2d 896 (2005).
. See Perry, 471 S.W.3d at 106-10.
. Id. at 110.
. Id. at 110-13.
. Id. at 112-13.
.Id. at 116.
. Id.
. Mat 117-18.
. Mat 119-21.
. Mat 121-22.
. Id. at 122.
. 793 S.W.2d 270 (Tex.App.-Waco 1990, no pet.).
. Perry, 471 S.W.3d at 122.
. Id. at 122-25.
. Tex Const, art. II, § 1.
. State v. Rhine, 297 S.W.3d 301, 315 (Tex. Crim.App.2009) (Keller, P.J., concurring). See Meshell v. State, 739 S.W.2d 246 (Tex. Crim.App.1987) (overturning Speedy Trial Act on separation of powers grounds).
. Ex parte Lo, 424 S.W.3d 10, 28 (Tex.Crim.App.2014).
. Ex parte Ellis, 309 S.W,3d 71, 79 (Tex.Crim.App.2010).
. Ex parte Weise, 55 S.W.3d 617, 620 (Tex.Crim.App.2001).
. Ex parte Doster, 303 S.W.3d 720, 724 (Tex.Crim.App.2010).
. Weise, 55 S.W.3d at 619.
. Doster, 303 S.W.3d at 724.
. Weise, 55 S.W.3d at 620.
. Id.
. Ellis, 309 S.W.3d at 79.
. Id.
. Doster, 303 S.W.3d at 724.
. Weise, 55 S.W.3d at 619.
. Id.
. A plurality of this Court has indicated that there are occasions when a double-jeopardy claim is itself an as-applied challenge to a statute. See Ex parte Chaddock, 369 S.W.3d 880, 886 (Tex.Crim.App.2012) (plurality op.) (“To the extent that Section 71.03(3) purports to authorize successive prosecutions for engaging in organized criminal activity and for the commission of one of the lesser-included predicate offenses listed in 71.02(a), we hold that it does indeed operate unconstitutionally.”).
. 431 U.S. 651, 97 S.Ct. 2034, 52 L.Ed.2d 651 (1977).
. Id. at 659-62, 97 S.Ct. 2034.
. Id. at 661, 97 S.Ct. 2034.
. Id. (emphasis in original).
. 641 S.W.2d 552, 554-55 (Tex.Crim.App.1982) (discussing Abney). See also Ex parte Granger, 850 S.W.2d 513, 515 n. 3 (Tex.Crim.App.1993) (citing Abney).
. 442 U.S. 500, 506-07, 99 S.Ct. 2445, 61 L.Ed.2d 30 (1979).
. Id. at 507, 99 S.Ct. 2445 (quoting Abney) (emphasis in original, brackets and ellipses omitted).
. 457 U.S. 731, 742-43, 102 S.Ct. 2690, 73 L.Ed.2d 349 (1982). The Supreme Court has further extended this rationale to claims of qualified immunity, to the extent such a claim turns on an issue of law. Mitchell v. Forsyth, 472 U.S. 511, 524-30, 105 S.Ct. 2806, 86 L.Ed.2d 411 (1985).
. United States v. Myers, 635 F.2d 932, 935-36 (2d Cir.1980); United States v. Claiborne, 727 F.2d 842, 844-45 (9th Cir.1984); United States v. Hastings, 681 F.2d 706, 708-09 (11th Cir.1982); United States v. Durenberger, 48 F.3d 1239, 1241-42 (D.C.Cir.1995). See also United States v. Levine, 658 F.2d 113, 125 (3d Cir.1981) (observing extension of Helstoski rationale employed by Second Circuit to separation of powers issue); United States v. Bird, 709 F.3d 388, 391 n. 13 (5th Cir.2013) (noting Second Circuit’s treatment of separation of powers issue).
. Some federal circuit courts have dismissed attempted interlocutory appeals when a separation of powers claim asserted an infringement of another person’s or entity’s official powers. See United States v. Wampler, 624 F.3d 1330, 1338-39 (10th Cir.2010) (defendants contended that district court improperly usurped the Executive's prosecutorial function); United States v. Cisneros, 169 F.3d 763, (D.C.Cir.1999) (prospective nominee for cabinet position could not rely on. alleged infringement of President’s power to establish jurisdiction for an interlocutory appeal — "The immunity, if any, is the President’s alone.”) (distinguishing Durenberger and Rostenkow-ski).
. Myers, 635 F.2d at 935-36.
. Id. at 936.
. United States v. Helstoski, 635 F.2d 200, 205 (3d Cir.1980). Although the claim in Helstoski was based on the Speech and Debate Clause rather than separation of powers,
. See also Durenberger, 48 F.3d at 1242; United States v. Rostenkowski, 59 F.3d 1291, 1297 (D.C.Cir.1995).
. See Claiborne, 727 F.2d at 844; Hastings, 681 F.2d at 708.
. See Rhine, 297 S.W.3d at 315 (Keller, P.J., concurring); Meshell, 739 S.W.2d 246.
. The court of appeals suggested that some of the same concerns behind allowing pretrial resolution of Governor Perry’s claims were also present in the Ellis and DeLay cases. See Perry, 471 S.W.3d at 87 & n.102. This is understandable given the allegations of a politically motivated prosecution. However, neither of those cases involved a separation of powers claim, and the charges were based upon election activities and not upon the public official's performance of his duties. See DeLay v. State, 465 S.W.3d 232 (Tex.Crim.App.2014); Ellis, 309 S.W.3d 71.
. Governor Perry’s brief identifies some “key considerations” that he says are taken into account in determining whether a claim is cognizable on pretrial habeas, including; (1) whether the right at stake would be effectively undermined if the issue were not resolved pretrial, and (2) whether judicial economy would be best served by deciding the issue’ pretrial.' These two considerations reflect our statement in Weise that the remedy of pretrial habeas is reserved "for situations in which the protection of the applicant’s substantive rights or the conservation of judicial resources would be better served by interlocutory review.” See 55 S.W.3d at 620. Of these two considerations, the first — focusing on the- nature of the right at stake — is the one that .more obviously compels pretrial review. Judicial economy may sometimes favor pretrial review, but the nature of the right at stake can compel it. Moreover, pretrial habe-as enhances judicial economy only if the ha-beas applicant wins; it actually hinders judicial economy if the habeas applicant loses. For these reasons, an appellate court ought to first consider whether the right at stake provides a basis for cognizability and only secondarily address whether judicial economy favors pretrial review. Consequently, because Governor Perry has raised a claim involving a right tbat compels pretrial review, we resolve cognizability on that basis and leave for another day the impact that judicial economy considerations may have on the cognizability of certain types of claims.. See Perry, 471 S.W.3d at 81-85 (discussing unanswered questions regarding the continued viability and significance of the Boetscher case).
. See State ex rel. Lykos v. Fine, 330 S.W.3d 904, 909-10 (Tex.Crim.App.2011) (challenge to punishment provision of capital-murder scheme); Doster, 303 S.W.3d at 724-27 (speedy-disposition claim under the IAD with this Court concluding' that the IAD speedy-disposition right was “much more like the right to a speedy trial than the right against Double Jeopardy”); Gillenwaters v. State, 205 S.W.3d 534, 536-37 (Tex.Crim.App.2006) (claim that statute was unconstitutionally vague as applied); Ex parte Smith, 185 S.W.3d 887, 893 (Tex.Crim.App.2006) (in pari materia claim).
. See Ex parte Coleman, 940 S.W.2d 96, 97-98 (Tex.Crim.App.1996); (considering testimony from prosecutor that the prior case and the pending case involved theft of the same items); May v. State, 726 S.W.2d 573, 574, 576 n.6, 576-77 (Tex.Crim.App.1987) (styled (correctly) in the court of appeals as Ex parte May, 682 S.W.2d 326 (Tex.App.-Dallas 1984)) (considering the testimony of the prosecutor from the prior case and the prosecutor from the pending case that showed the same instance of driving was involved in the two cases); Ex parte Rathmell, 717 S.W.2d 33, 34 (Tex.Crim.App.1986) (considering parties' stipulation that the same automobile accident was involved in the priqr case and the pending case and agreeing that the claim was cognizable on pretrial. habeas). The State contends that modem double jeopardy law requires only a comparison of the chárging ' instruments, but’ that is hot always true 'because "allowable unit of prosecution” issues sometimes require an examination ' of ‘evidence beyond the' pleadings. Ex parte Benson, 459 S.W.3d 67, 74 (Tex.Crim.App.2015); see also Maldonado v. State, 461 S.W.3d 144, 149-50 (Tex.Crim.App.2015) (looking beyond the pleadings at evidence of separate instances of sexual contact)!
. By providing that the indictment is the "primary pleading in a criminal action,” the Code of ‘Criminal Procedure indicates by inference “that other/ ancillary pleadings by the State' aré possible,” including those that convey notice of intent to seek a deadly weapon finding or notice' of intent to seek enhance- ■ ment of punishment -through the use of a prior conviction. Brooks v. State, 957 S.W.2d 30, 32 (Tex.Crim.App.1997) (quoting Tex.Code Crím. Proc. art. 27.01, emphasis in Brooks).
. See supra n.81.
. We need not address what circumstances would permit the State to abandon a pretrial admission, but at least two factors would seem to weigh against permitting an abandonment here. First, the State’s bill of particulars was made in response to a danger that the charges would otherwise be dismissed for lack of notice. The State specifically represented to the trial court that the bill of particulars was an available method of satisfying the notice concerns that Governor Perry and the trial court had expressed. See supra n.ll. And second, given the separation of powers purpose of protecting against undue interference with the exercise of official power, one would expect the State to already have (at the time of indictment) a factual basis for prosecution that does not violate separation of powers. Using an indictment as a mechanism for engaging in a fishing expedition for such a factual basis would be the sort of harassment that the separation of powers protection is designed to prevent. See supra parts II.A.l and II.B.l.
. We agree with the Supreme Court’s sentiments, when faced with a separation-of-powers-immunity type issue in Nixon, that we need not remand this case to the court of appeals for resolution. See Nixon, 457 U.S. at 743 n.23, 102 S.Ct. 2690. Several factors— the importance of the interests protected by the Separation of Powers clause, the purely legal nature of the issue before us, and concerns of judicial economy that are amplified by the need to speedily resolve the type of issue before us — all counsel in favor of us addressing the merits of the separation of power claim now. See id.
. Tex. Const, art. IV, § 14.
. Id.
. Id.; Jessen Assoc. v. Bullock, 531 S.W.2d 593, 596 (Tex.1975),
. Tex. Const, art. IV, § 14.
. 279 U.S. 655, 677-78, 49 S.Ct. 463, 73 L.Ed. 894 (1929).
. Tex. Penal Code § 39.01(2)(A).
. Although we are holding that the present prosecution violates separation of powers, we need not decide whether the abuse-of-official-capacity statute itself violates separation of powers by infringing on Governor Perry’s veto power. Governor Perry raised a number of other substantial challenges to the indictment. There are serious questions about whether the State could prove the existence of an agreement that Governor Perry could have acted contrary to, whether a veto could ever be a violation of his oath of office, whether the Governor could be said to exercise custody or possession of funds appropriated by the Legislature to a different gove'mment entity, and whether the Governor could be said to exercise custody or possession of funds authorized in a portion of a bill that (because of the veto) never became law. We need not address these questions. It is enough to say here that, if the statute criminalizes the charged conduct, as the State claims, it would unconstitutionally infringe on the Governor’s veto power.
. Johnson v. Carlson, 507 N.W.2d 232, 235 (Minn.1993) (“It is not for this court to judge the wisdom of a veto, or the motives behind it, so long as the veto meets the constitutional test.”); Barnes v. Secretary of Administration, 411 Mass. 822, 828, 586 N.E.2d 958, 961 (1992) ("We have never inquired into a Governor’s motives in the use of the line item veto power. • The language of the constitutional amendment clearly authorizes the Governor’s reduction; his action was wholly lawful, and our inquiry ends there.”),
. Ex parte Ferdin, 147 Tex.Crim. 590, 593, 183 S.W.2d 466, 467-68 (1944).
. See Tex. Const, art. V, §§ 21, 30.
. A governor could be prosecuted for bribery if he accepted money, or agreed to accept money, in exchange for a promise to veto certain legislation, and a governor might be subject to prosecution for some other offense that involves a veto. But the illegal conduct is not the veto; it is the agreement to take money in exchange for the promise. See Mutscher v. State, 514 S.W.2d 905, 914-15
. U.S. Const.' amend. I (‘‘Congress shall make ' no law .. abridging the freedom of speech.”).
. West Virginia Board of Education v. Barnette, 319 U.S. 624, 638-39, 63 S.Ct. 1178, 87 L.Ed. 1628 (1943).
. United States v. Stevens, 559 U.S. 460, 473, 130 S.Ct. 1577, 176 L.Ed.2d 435 (2010); Sabri v. United States, 541 U.S. 600, 609-10, 124 S.Ct. 1941, 158 L.Ed.2d 891 (2004).
. Ex parte Thompson, 442 S,W.3d 325, 333, 342 n.91, 349 (Tex.Crim.App.2014).
. United States v. Williams, 553 U.S. 285, 292, 128, S.Ct. 1830, 170 L.Ed.2d 650 (2008).
. Ashcroft v. Free Speech Coalition, 535 U.S. 234, 244, 122 S.Ct. 1389, 152 L.Ed.2d 403 (2002); Thompson, 442 S.W.3d at 349-50.
. Regan v. Time, 468 U.S. 641, 651 n.8, 104 S.Ct. 3262, 82 L.Ed.2d 487 (1984); Thompson, 442 S.W.3d at 350.
. See Stevens, 559 U.S. at 485, 130 S.Ct. 1577 (Alito, J., dissenting) (citing Williams, 553 U.S. at 301-02, 128 S.Ct. 1830).
. New York State Club Ass’n v. City of New York, 487 U.S. 1, 14, 108 S.Ct. 2225, 101 L.Ed.2d 1 (1988).
. Williams, 553 U.S. at 293, 128 S.Ct. 1830.
. Thompson, 442 S.W.3d at 340; Boykin v. State, 818 S.W.2d 782, 785 (Tex.Crim.App.1991).
. Lopez v. State, 253 S.W.3d 680, 685 (Tex.Crim.App.2008).
. Yazdchi v. State, 428 S.W.3d 831, 837 (Tex.Crim.App.2014).
. Chase v. State, 448 S.W.3d 6, 11 (Tex.Crim.App.2014).
. Thompson, 442 S.W.3d at 339; Long v. State, 931 S.W.2d 285, 295 (Tex.Crim.App.1996). See also Stevens, 559 U.S. at 481, 130 S.Ct. 1577.
. New York v. Berber, 458 U.S. 747, 769 n.24, 102 S.Ct. 3348, 73 L.Ed.2d 1113 (1982).
. Ellis, 309 S.W.3d at 71, 80-81 (considering the facial validity of a portion of the definition of "funds" in the money-laundering statute).
. See Ferber, 458 U.S. at 769 n.24, 102 S.Ct. 3348.
. See Acosta v. City of Costa Mesa, 718 F.3d 800, 821 (9th Cir.2013). See also Alaska Airlines v. Brock, 480 U.S. 678, 684-85, 107 S.Ct. 1476, 94 L.Ed.2d 661 (1987) ("The standard for determining the severability of an unconstitutional provision is well established: ‘Unless it is evident that the Legislature would not have enacted those provisions which are within its power, independently of that which is not, the invalid part may be dropped if what is left is fully operative as a law’.... The more relevant inquiry in evaluating sever-ability is whether the statute will function in & manner consistent with the intent of Congress.”) (internal quotation marks omitted, emphasis in original).
. See People v. Tate, 352 P.3d 959, 975 (Colo.2015); Conseco Fin. Servicing Corp. v. Mo. Dep't of Revenue, 98 S.W.3d 540, 546 (Mo.2003).
. Tex. Penal Code § 36.03(a)(1), (c).
. ⅛ § 1.07(a)(9).
. See id. §§ 20A.01(2), 20A.02(a)(3), 31.01(3)(A), 33.01(12)(A), 38.12(d)(2)(E).
. Tex. Penal Code § 1.07(a)(9)(A)-(F).
. Id. § 1.07(a)(9)(F). The court of appeals observed that Governor Perry’s arguments were directed entirely at the above-quoted portion material, constituting the first half of subsection (F), so that the court had no occasion to resolve the constitutional implications of the second half of subsection (F) ("a threat, however communicated ... to cause a public servant to take or withhold action”). Perry, 471 S.W.3d at 95 n.149.
. We assume, arguendo, that the State is correct in claiming that the coercion statute does not cover a manager’s threat to discipline a subordinate because the manager in that situation does not act “as a public servant” but, instead, as an employer. See Garcetti, 547 U.S. at 422, 126 S.Ct. 1951 (referring to "the emphasis in our precedents on affording government employers sufficient discretion to manage their operations”).
. 203 S.W.3d 341 (Tex.Crim.App.2006).
. See id. at 346 (quoting Threat, Black’s Law Dictionary (7th ed.2000)).
. Id. at 345.
. Threat, Webster’s II New College Dictionary (1999).
. Threat, Random House' Dictionary of the English Language (2d ed. [unabridged] 1987).
. Tex. Penal Code § 1.07(a)(9)(B)-(E) (emphasis added).
. Id. § 1.07(a)(9)(A), (F).
. But, as we shall see below, the appellate judge would be exempt from prosecution under ' the “governing body” exception in ■ § 36.03(c).
. See.supra note 119.
. ' Thompson, 442 S.W.3d at 340-41.
. Tex. Penal Code § 1.07(a)(22)(D); Martinez v. State, 879 S.W.2d 54, 55 n. 4 (Tex.Crim.App.1994). See also Tex. Penal Code § 2.02.
. Tex. Penal Code § 36.03(c).
. See e.g. Tex. Gov’t Code §§ 572.056(c),
. Governing Body, Black’s Law Dictionary (10th ed.2014).
. Governing Body, Black's Law Dictionary (5th ed. 1979).
. Herald Co. v. City of Bay City, 463 Mich. 111, 129, 614 N.W.2d 873, 882 (2000) (“The statutory. terms used illustratively to define ‘public body’ — ‘legislative body and governing body’ — do not encompass individuals.”); Kagan v. Caroselli, 30 N.J. 371, 379-80, 153 A.2d 17, 23 (1959) ("To recapitulate, the Legislature provided that the appointment shall be made by the ‘governing body.’ The natural meaning of the term is the board of commissioners. For the reasons stated, there is no incongruity with the provisions of the Walsh Act relating to the distribution .of the powers possessed by local government and hence no basis for denying ‘governing body’ its normal meaning. There is no apparent reason why the Legislature would have intended but one of the directors to exercise the power.”). See also Roach v. Springfield Clinic, 157 Ill.2d 29, 42, 191 Ill.Dec. 1, 623 N.E.2d 246, 252 (1993) ("a ‘committee’ is comprised of a body or •group of persons, not just a single individual”).
. See Body, Webster’s New World College Dictionary , (4th ed.2000) (noun definition 6, examples: "a body of soldiers’,’ and "an advisory body”).
. See Tex. Penal Code § 36.03(c).
. See e.g. Tex. Educ.Code § 12.026 (referring to “members of the governing body” of a school district);- Tex. Elec.Code § 2.051(b) (referring to “members of the political subdivision’s governing body’’); Tex. Gov’t- Code §§ 306.007 (referring to minutes of "meetings of the agency’s governing body”), 418.1102(b)(2) (referring to exemption from quorum requirements for "a majority of members of the governing body” of a local government entity), 651.008(a)(1) (referring to a "governing body” composed of "an even number of voting members”), 651.009(a) (requiring appointing authority to ensure, to the extent possible, for the governing bpdy of a statewide entity that "the membership of the governing body reflects the racial, ethnic, and geographic diversity of this state”), 660.002(2) (“ ‘Boárd’ means a-board, commission, com- . mittee, council, governing body, or, similar entity in the executive', legislative, or judicial branch of staté government that' is composed of two or more members.”); Tex. Local Gov’t Code § 22.010 ("If for,-any reason a single vacancy exists on the governing body of the municipality, a majority of the remaining members, excluding the mayor, may fill the vacancy by appointment .unless an election to fill the vacancy is required by Article XI, Section.il, of the Texas Constitution.”).
. Fla. Stat. § 192.001(7) (general taxation provisions); -Id. § 383.302(5) (maternal and infant care); La. R.S. § 37:1301(A)(1) (nonprofit hospitals; discrimination prohibited); N.M. Stat. Ann. § 10-7E-4(B) (public employee bargaining); NY CLS Pub Health § 206-a(ll)(a) (discrimination in hospital staff appointments and privileges prohibited); R.I. Gen. Laws § 23-20.9-4(3) (smoking in schools); but see Fla. Stat. § 343.91 (relating to regional transportation authorities: " ‘Members means the individuals constituting the governing body of the authority”).
. House Research Organization, 71st Leg., Bill Analysis, H.B. 594 (March 14, 1989) (SUPPORTERS SAY paragraph one).
. Id. (SUPPORTERS SAY paragraph five).
. Rep. Wolens, 71st Leg., House floor, H.B. 594, 2nd reading (March 14, 1989).
. HRO Bill Analysis (OTHER OPPONENTS SAY paragraph one).
. Id. (emphasis in original).
. See Rep. Parker, 71st Leg., House floor, H.B. 594, 2nd reading (March 14, 1989) (stating that the amendment would add language from the Model Penal Code); Acts 1989, 71st Leg., ch. 67, § 2. See also Model Penal Code § 212.5(1) ("A person is guilty of criminal coercion if, with purpose unlawfully to restrict another’s freedom of action to his detriment, he threatens to ....") (emphasis added). The "other opponents” also recommended a conforming change (adding “unlawfully”) to the then-identical definition of "coercion” applicable to theft offenses, then Penal Code § 31.01(1)(F), see HRO Bill Analysis (OTHER OPPONENTS SAY paragraph two), but that recommendation was not adopted. See Tex. Penal Code § 31.01(1) (West 1990).
.See Acts 1993, 73rd Leg., ch. 900, § 1.01, eff. Sept. 1, 1994. This definition was identical to the one previously contained in the theft statute. See Tex. Penal Code § 31.01(1) (West 1990).
. See Thompson, 442 S.W.3d at 342 ("[C]ourts should be circumspect about using a ‘narrowing construction’ that actually broadens the meaning of a term.”).
. Tex. Penal Code § 36.03(c).
. Tex. Gov’t Code § 311.005(13); Ellis, 309 S.W.3d at 81 & n.51.
. Official (official act), Black’s Law Dictionary 978 (5th ed.1979). The tenth edition does not contain a definition of ‘‘official act.” See Black’s Law Dictionary (10th ed.2014).
. HRO Bill Analysis (SUPPORTERS SAY paragraph two).
. Id.
. See State v. Hanson, 793 S.W.2d 270 (Tex.Crim.App.1990).
. Id. at 271. The district judges of a county appoint the county auditor. See Tex. Local Gov't Code § 84.002.,
. See Te& Const, art. V, § 18(b).
. See HRO Bill Analysis (SUPPORTERS SAY paragraph five).
. HRO Bill Analysis (DIGEST).
. See Tec. Const, art. V, §. 18(b) (county judge is presiding officer of county commissioners court).
. See id. § 16.
. See Oregon v. Ice, 555 U.S. 160, 170, 129 S.Ct. 711, 172 L.Ed.2d 517 (2009) ("[T]he authority of States over the administration of their criminal justice systems lies at the core of their sovereign, status.”); Pasquantina v. United States, 544 U.S. 349, 362, 125 S.Ct. 1766, 161 L.Ed.2d 619 (2005) (“This is a criminal prosecution brought by the United States in its sovereign capacity >to punish domestic criminal conduct.”).
. See Dep't of Hous. v. Rucker, 535 U.S. 125, 135, 122 S.Ct. 1230, 152 L.Ed.2d 258 (2002) ("But both of these cases deal with the acts of government as sovereign. In Scales, •
. Tex. Penal Code § 36.03(a)(1).
. Id. § 1.07(a)(9)(A).
. See id. §§ 39.01, 39.02.
. A person is guilty of bribery if, among other things, he "intentionally or knowingly ... solicits ... from another ... any benefit as consideration for the recipients ... exercise of discretion as a public servant.” Id. § 36.02(a)(1). The term "solicit” is broad, requiring "no particular degree of importunity, entreaty, imploration, or supplication.” Solicit, Black's Law Dictionary (5th ed.1979). "Benefit" has a specialized meaning under the bribery statute and is defined to mean “anything reasonably regarded as pecuniary gain or pecuniary advantage, including benefit to any other person in whose welfare the beneficiary has a direct and substantial interest.” Tex. Penal Code § 36.01(3). Coercive behavior designed to obtain a personal benefit may also fall under the theft statute. See Tex. Penal Code §§ 31.01(3)(A) ("Consent is not
. 424 S.W.3d 10 (Tex.Crim.App.2013).
. 475 S.W.3d 860 (Tex.Crim.App.2015).
. - U.S. -, 135 S.Ct. 2443, 2451, 192 L.Ed.2d 435 (2015).
. Id.
. Id. Whether a warrant may issue may itself be a matter of statutory authorization. See Tex.Code Crim. Proc. art. 18.02.
. Tex. Const, art. 16, § 41 (“Any person who' shall, directly or indirectly, offer, give, or promise, any money or thing of value, ‘ testimonial, privilege or personal advantage, to any executive or judicial officer or member of the Legislature to influence him in the performance of any of his public or official duties, shall be guilty of bribery, and be pun-
. See id.
. NAACP v. Claiborne Hardware Co., 458 U.S. 886, 910, 102 S.Ct. 3409, 73 L.Ed.2d 1215 (1982).
. United States v. Blagojevich, 794 F.3d 729, 735 (7th Cir.2015).
. Id. at 736.
. See supra part III.D.l and nn. 176-78 and accompanying text.
. See Mike Ward, Abbott Tells House, Senate: Cut Business Tea, Houston Chronicle, Bl, (April 16, 2015) (3 star edition) (“This much is clear about all the tax talk at the Texas Capitol: Gov. - Greg Abbott is not backing off one bit on his demand to reduce business taxes or his pledge to veto any budget that does not include- such a cut-.... ‘With regard to the veto word, I don’t want to go throwing that out there loosely,’ he told reporters. 'I’ve thrown down ,my one veto threat. I’ll leave it at that,right now.’”); Jason Embry, Texas’ Longest-Serving Governor Has Expanded Office’s Power, Austin American-Statesman, A5 (February 10, 2010) (final edition) ("Some lawmakers, such as Watson, say Perry is disengaged during much of the legislative session, until it comes time for him to kill legislation with vetoes. Others take a more favorable view. 'He can and does share his opinion early on of issues he would support and not support,’ said -Sen. Dan Patrick, a Houston Republican and one of Perry’s most outspoken legislative allies. ‘If I were governor, I would use the veto threat, absolutely, to push the legislation and agenda I wanted pushed.’ ”); Liberal Arts Instructional Technology Services, University of Texas at Austin, Texas Politics, §5.1, http:// www.laits.utexas.edu/txp_media/html/exec/ 0501.html (December 17, 2015) ("A skillful governor can use the threat of the veto to influence legislation during the session.”).
. See Rural-Chiefs.Have Leverage in Fights Over Choice, Education Week, vol. 26, no. 13, p. 17. (November 29, 2006) ("While some rural, Republican states are fighting [school] choice plans, some states with Democrats, in power are accepting laws that expand it. The reasons range from the influence of the Roman Catholic Church to the horse-trading that goes on between governors and legislators of different parties, analysts say.”); Richard Sammon, So Now What? Bush Must Adapt to Democratic Gains, Kiplinger Business Forecasts, Vol.2006, No. 1.110 (November 8, 2006) ("Bush's history as governor of Texas suggests that he can work with .a Democratic ' legislature, horse-trading to’ get at least part ■ of what he wants.”); How Dubya Did at School, The Economist (April 1, 2000) (U.S.edition) (“There was some useful horsetrading: Paul Sadler, a Democrat who at the time chaired the Texan lower house’s Public Education Committee, emphasised more money for education in general, and Mr. Bush pushed -for tougher penalties for bad schools.”).
. See supra n.144 (referring to legislators wielding the budget hammer).
. See Pete Slover, Strayhorn’s Budget Rejection Becomes Historic Decision, Dallas Morning News, A16 (June 20, 2003) (second edition) ‘ ("Ms. Strayhorn is the first comptroller to employ the ultimate leverage of not certifying ■ the spending plan. But, she and her recent predecessors have a practically uninterrupted history of nudging the budget with the threat of rejection.”); April Castro, Comptroller Rejects Two Year, $185.9 Million State Budget, AP, 101-02 (June 19, 2003), (Thursday,. BC cycle) (" ‘We need a certifiable “pay as you go” budget by mid-July or :lhe -schools won’t open in September,’ .Strayhorn said.”).
. See Kiah Collier; Paxton Asks EPA to Halt Global Warming Plan, The Texas Tribune, , http://www.texastribune.org/2015/08/20/ paxton-asks-epa-stay/ (August 20, 2015) ("Renewing his vow to sue if the answer is no,
. See Marsh v. State, 444 S.W.3d 654, 660 (Tex.Crim.App.2014) (defendant waived right to appeal motion to suppress as part of plea • agreement).
. Blagojevich, 794 F.3d at 736.
. State v. Plambeck, 182 S.W.3d 365, 370-71 (Tex.Crim.App.2005) (“Rather, it is the State’s right to stand on its charging instrument and have an appellate court pass on whether the trial court’s reasons for dismissal were sufficient.”); State v. Moreno, 807 S.W.2d 327, 333-34 (Tex.Crim.App.1991) ("The fact that the State has appealed the decision of the trial court should be sufficient indication to the Court of Appeals that the State is unwilling to alter the indictment or information and that for all practical purposes, the prosecution in the trial court has ‘terminated.’ ”).
. See Tex. Penal Code § 1.07(a)(9).
. See City of Houston v. Hill, 482 U.S. 451, 466-67, 107 S.Ct. 2502, 96 L.Ed.2d 398 (1987) (finding an ordinance to be substantially overbroad when its "plain language is admittedly violated scores of times daily" but only some individuals are prosecuted in the discretion of the police).
. Rep. Wolens, 71st Leg., Committee on State Affairs, H.B. 594 (February 20, 1989).
. HRO Bill Analysis (SUPPORTERS SAY paragraphs two and three).
. Jim Allison, 71st Leg., Committee on State Affairs, H.B. 594 (February 20, 1989).
. Id.
. See 71st Leg., H.B. 594, introduced version (January 24, .1989); supra n.148 and accompanying text.
.HRO Bill Analysis (OTHER OPPONENTS SAY paragraph one) (emphasis in original).
. Acts 1989, 71st Leg., ch. 67, § 1, 2. The Legislature' also added ' another method of committing coercion of a public servant: to influence or attempt to influence “a public servant to violate the public servant’s known legal duty.” Id. § 3.
. Hanson, 793 S.W.2d at 273.
. Id.
. See Johnson, 475 S.W.3d at 882.
. We need not address the State’s complaint that the court of appeals conflated the tests for overbreadth and content-based restrictions, The unconstitutional applications of the statute are substantial in relation to the statute’s legitimate sweep regardless of what level of scrutiny is employed. Nor are we called upon to address the substantial question of whether a threat designed to induce a public servant to resign constitutes an attempt to influence the specific performance of the public servant’s official duty under the coercion statute.
. In Ex parte Weise, this Court held that as-applied challenges were not cognizable in a pretrial writ. Ex Parte Weise, 55 S.W.3d 617, 618 (Tex.Crim.App.2001). In Weise, this-Court considered “whether a pretrial writ of habeas corpus may issue on the ground that a penal statute is being unconstitutionally applied because of the allegations in the indictment or information," and the Court concluded that “it may not;” Id. In rejecting Weise’s as-applied constitutional claim as non-cognizable at- a pretrial stage, this Court stated,
Weise has not claimed" that the illegal dumping statute is unconstitutional on its face. Nor has Weise alleged any deficiencies in the information that we have recognized as cognizable on a pretrial writ for habeas corpus. We find that the issue of whether the illegal dumping statute requires a culpable mental state is. not yet ripe for review.
Id. at 621.
. Aside from the twenty-five year old Boetscher case, see id. which had permitted the as-applied constitutional challenge through a pretrial writ, all of the more recent precedent in the last fifteen years has uniformly held that as-applied constitutional challenges are not a proper matter for consideration in a pretrial writ application. Relying on this more recent precedent, the trial court and court of appeals below held that appellant’s claim was not cognizable. See Ex parte Perry, 471 S.W.3d 63, 69 (Tex.App.-Austin 2015) ("[W]e reach the .same conclusion that the district court did — under the Court of Criminal Appeals's binding precedents, Perry cannot bring his 'as applied’ constitutional challenges through pretrial habeas corpus.”); see also id. at 84 ("As the district court concluded, these precedents would appear to make 'crystal clear’ that Perry’s ‘as-appliedito-the-indictment’ claims are not cognizable in pretrial habeas.”). Because they relied on this Court’s more recent precedent, which they considered to be binding, I believe that it is inappropriate to criticize the analysis or the conclusion reached by the trial court or the court of appeals. I conclude that the errors in this case resulted from this Court’s failure to set forth a clear and workable standard for pretrial habeas cognizability.
Concurrence Opinion
CONCURRING OPINION
filed a concurring opinion.
I join, in its entirety, the lead opinion by Presiding Judge Keller that renders a judgment in favor of James Richard "Rick” Perry, appellant. I write separately to explain why. I believe that, with respect to the cognizability question in Count I, the approach taken by the lead opinion is the one that lower courts should follow in determining which claims áre cognizable through pretrial habeas corpus. As the numerous opinions issued today demonstrate, our case law in this area is in need of clarification in light of the fair criticism that it has been “somewhat difficult to extract from the case law any general •principles indicating what issues are properly raised pretrial by means of the writ.” George E. Dix and John M. Schmolesky, 43 Tex. Criminal PRAgtice and PROCEDURE, § 35.16 (3d ed.2011); see also id. (opining that “case law concerning the cognizability of matters in pretrial habeas corpus is in need of development”). Given that our decisions in this' area have been less than clear in providing a workable framework for determining the cognizability of matters in pretrial habeas corpus, the Court’s splintered resolution of the cognizability question in this case does little to clarify matters. I nonetheless support the approach taken by the lead opinion and would urge this Court to< adopt that approach going forward as the governing framework for analyzing pretrial cogniza-bility questions.
In setting forth the pretrial-cognizability standard-that should apply to this case, the lead opinion suggests that certain types of as-applied challenges are cognizable on pretrial habeas when “the rights underlying those claims would' be effectively undermined if not vindicated before trial.” More broadly, the lead opinion seeks to clarify that, in assessing whether an as-applied challenge is cognizable on pretrial habeas, courts should not engage in a subjective evaluation of whether review at that stage would be better or more efficient, but rather must conduct an objective legal inquiry into whether pretrial review is necessary in order to protect “the applicant’s substantive rights,” or, stated differently, whether “the nature of the constitutional right at issue entitles [the defendant] to raise [his] claims by pretrial habeas corpus.” By indicating
In general, I disagree with this Court’s past inconsistent and unclear approach in resolving' questions of pretrial habeas eog-nizability. This Court’s precedent has employed a category-of-the-elaim approach that has also included consideration of certain factors, but this approach has failed to provide a clear standard for pretrial cog-nizability. The -category-of-the-claim approach appears to be based on the theory that pretrial cognizability should depend on whether a particular type of claim has historically been permitted for pretrial ha-beas review. The problem with this approach is that it has failed to provide guidance to lower courts with respect to novel claims for which this Court has never ’before addressed questions of pretrial cog-nizability. Furthermore, historically, this Court has been inconsistent in deciding whether to permit pretrial habeas relief for as-applied constitutional challenges. On the one hand, this Court has consistently held in the past fifteen years that as-applied constitutional challenges; as a group, were impermissible for pretrial ha-beas relief in Ex parte Weise,
In addition to consideration of the category of the claim, this • Court historically has discussed various factors that were considered to be relevant to determining pretrial habeas cognizability, but this approach is also unclear, and I conclude that it has failed to set forth a workable , standard that lower courts can follow. Although I agree that some of the considerations in the various Weise factors are
I conclude that, by basing its cognizability determination in this case on the nature of the constitutional right at stake without considering judicial economy, the lead opinion implicitly determines that judicial economy need not be considered when a defendant’s substantive rights are at stake. I agree with this- analysis. I, however, would go a step further by more broadly holding that judicial-economy' considerations- may never play a proper role in determining matters of pretrial cognizability. In Weise, this Court suggested that pretrial habeas should be reserved for “situations in which ... the conservation of judicial resources would be better served by interlocutory review,” or in which claims would be “better addressed by a post-conviction appeal,” but I disagree. See id. at 620. An applicant’s claim should either be deemed cognizable at a pretrial stage based on a substantive legal assessment that the right at issue compels review at that stage, or it should be deemed non-cognizable on the basis that the type of right at issue caii be vindicated' on direct appeal and, thus, the applicant has an adequate remedy by appeal that renders pretrial review unnecessary.' Introducing judicial-economy considerations into the analysis presents the possibility that courts will make ' such 'determinations based on a subjective assessment of whether a particular claim is better suited to pretrial review, or whether it would be more efficient or easier for the court to delay review until some later stage of the proceedings. But, as the lead opinion indicates, the primary consideration in determining questions of pretrial cognizability must be an objective assessment of whether a defendant’s constitutional rights would be unduly infringed upon by the lack of pretrial review. In light of this fact, I cannot see how subjective considerations of judicial econqmy could ever properly influence a court’s pretrial-cognizability analysis. _ .
Along these same lines, I also disagree with Weise ⅛ suggestion that courts might base a pretrial-cognizability analysis on consideration of whether an issue would be “better addressed by a post-conviction ap
Having determined that the category-of-the-claim approach and that certain Weise factors are inappropriate tools for deciding matters of pretrial cognizability, I agree with the lead opinion’s continued application of the remaining Weise factors, although- I would further clarify that these are not “factors” at all. Rather, there are certain principles that must underlie any decision to grant pretrial habeas relief, and it is these principles.that must b.e the sole focus of any pretrial-cognizability determination. Here, as in double-jeopardy claims in general, the substantive right at issue “would be effectively undermined” if the claim were not cognizable at a pretrial stage. Id. at 619-20. In other types of claims, however, pretrial consideration of a claim might be appropriate when “the alleged defect would bring into question the trial court’s power to proceed.” See id. And it is further possible that situations will arise that do not precisely fall within any of the existing Weise factors, but which nevertheless compel pretrial review in light of the purpose of habeas corpus. See Blackledge, 431 U.S. at 71, 97 S.Ct. 1621. In any case, it is the underlying principles that should guide the analysis about whether pretrial habeas relief is appropriate, rather than the category of the claim ór a consideration of exclusive factors that, as this case demonstrates, may not be relevant to the analysis in any way.
With these comments, I join the lead opinion.
. In Ex parte Ellis, this Court held that as-applied challenges were not cognizable in a pretrial writ. Ex parte Ellis, 309 S.W.3d 71, 79, 82 (Tex.Crim.App.2010). This Court explained that the applicants' pretrial habeas claim was disguised as a facial challenge and that it was instead an “as applied” challenge that was not cognizable on pretrial habeas. Id. at 81. This Court did not attempt to set forth a definitive general test for. cognizability of pretrial habeas, but instead more narrowly described categories of cases that were not available for pretrial habeas review, such as cases testing the sufficiency of the charging instrument, those construing the meaning and application of the statute defining the offense charged, and those advancing an “as, applied” challenge, but this Court further clarified that pretrial habeas could be used to bring a facial challenge to the constitutionality of the statute that defines the offense. Id. at 79. Ellis, therefore, appears to stand for the broad proposition that an "as applied” challenge is not cognizable on pretrial habeas. See id. Ellis definitively said, "Pretrial habeas can be used to bring a facial challenge to the constitutionality of the statute that defines the offense but may not be used to advancfe an ‘as applied’ challenge.” Id.
.In State ex rel. Lykos v. Fine, this Court held " that as-applied challenges were not cognizable in a pretrial writ. State ex rel. Lykos v. Fine, 330 S.W.3d 904, 910 (Tex.Crim.App.2011). This Court rejected a capital-murder
. In Ex parte Boetscher, 812 S.W.2d 600 (Tex.Crim.App.1991), this. Court held that an .as-applied challenge was cognizable in a pretrial writ, and it granted relief. In that case, the . Court considered, a defendant's claim that his prosecution for felony non-support of his minor children violated equal protection, based on the. statutory provision that elevated his offense to a felony based solely on the fact that he was a resident of another state. Id, at 603. Reaching the merits of Boetscher's .claim,' this Court held that the "equal protection clause of the Fourteenth Amendment prohibits the application of [the felony nonsupport provision] to appellant under this indictment.” Id. at 604.
Concurrence Opinion
filed a concurring opinion in which Keasler, and Hervey, JJ., joined.
Come at the king, you best not miss.
-r-Omar Little, The Wire (HBO 2002)
I join the Court’s majority opinion holding that prosecuting the appellant for exercising his absolute right to veto legislation violates the separation of powers under the Texas Constitution. And I agree that prosecuting the . appellant for merely threatening to veto legislation violates the First Amendment. I write separately because it appears to me that everyone is making this case more complicated than it is because of who it involves.
As the majority sets out, the appellant was charged under a two count indictment. In the first count' óf the indictment, the special prosecutor alleged that the appellant had committed the offense of “abuse of official capacity” by misusing government property. Tex. Penal Code § 39.02. Count two alleged that the appellant had committed the offense of “coercion of a public servant” by threatening to veto legislation to pr'ovide funding for the continued operation of the Public Integrity Unit of the Travis County District Attorney’s Office. Tex, Penal Code § 36.03.
The appellant challenged both counts in a motion to quash the indictment as well as a pretrial application for a writ of habeas corpus. The trial court did not quash the indictment, but did note that the first count failed to provide sufficient notice of the act constituting the offense. The appellant had not yet challenged the first count of the indictment on that basis, so the special prosecutor filed with the trial court a document titled “Bill of Particulars & Amendment of Indictment.” In this informal amendment to the indictment, the special prosecutor specifically identified the appellant’s actual veto as the act that amounted to an. abuse of the appellant’s official capacity. The appellant objected, saying that the- “bill of particulars” left the
This Court has granted a pretrial writ of habeas corpus in Ex parte Boetscher because it was apparent from the face of the pleadings that a prosecution for felony non-support of two minor children violated a defendant’s right to equal protection under the Fourteenth Amendment. 812 S.W.2d 600, 603 (Tex.Crim.App.1991). The appellant relied upon Ex parte Boetscher to argue that the trial court had the authority to grant the. pretrial writ of habeas corpus without factual development.
As a matter of due process, a defendant is entitled to know precisely what he is charged with so that he may prepare an adequate defense. State v. Moff, 154 S.W.3d 599, 603 (Tex.Crim.App.2004). Moreover, we have made clear that this due process requirement may be satisfied by meatts other than the language in the charging instrument. Id.; see also Kellar v. State, 108 S.W.3d 311, 313-14 (Tex.Crim.App.2003) (holding,' in a theft case involving numerous transactions, that the State’s filing of an itemized list containing the dates, check numbers, and amounts of each transaction provided the defendant with sufficient notice to prepare his defense). But the State cannot have it both ways; it cannot avoid a due process 'challenge to a deficient charging instrument by submitting an informal pleading rather than formally amending the indictment and then claiih that it is not bound by those allegations because they are not contained in the indictment.
Having specified the veto of the funds for the Public Integrity Unit as the act he intended to rely upon to prove the appellant committed the offense of abuse of official capacity, the special prosecutor placed the State in the same position the prosecutors did in Boetscher. It became apparent from the face of the pleadings that the prosecution of the appellant vio
Perhaps there is a circumstance where a prosecution should be allowed to proceed to verdict even though the pleadings themselves reveal that a statute is being unconstitutionally applied to a particular defendant. But surely it would be an exceedingly rare occurrence that should be treated as an exception rather than the rule itself. Judge Meyers correctly observes that we have repeatedly explained that an “as-applied” challenge depends upon the particular facts and circumstances of the case. See e.g. State ex. rel. Lykos v. Fine, 330 S.W.3d 904, 910 (Tex.Crim.App.2011). Allowing such claims to proceed even where factual development is necessary would run afoul of another oft-stated holding from this Court, that habeas corpus is generally not available prior to trial to test the sufficiency of the complaint, information, or indictment. Yet that concern is not present when the pleadings themselves set out a constitutional violation, and none of our cogniza-bility cases excluding an “as applied” challenge from cognizability dealt with situations where the unconstitutional application of the - statute was apparent from the pleadings ' themselves. Lykos, 330 S.W.3d at 910 (pretrial habeas cannot be used to get pretrial declaratory judgment that the State is not entitled to proceed with its capital-murder indictment because challenge is not ripe until after conviction); Ex parte Ellis, 309 S.W.3d 71, 80 (Tex.Crim.App.2010) (pretrial habeas cannot be used to construe the meaning and application of money laundering statute); Ex parte Weise, 55 S.W.3d 617, 620-21 (Tex.Crim.App.2001) (pretrial ha-beas cannot be used to construe the meaning and application of illegal dumping statute). And in contrast,' we have held that purely statutory claims that are apparent from the face of the pleadings
As for the second count in the indictment, I agree with the majority that the court of appeals properly held that the statutory definition of “coercion” at issue in this case is facially unconstitutional because it criminalizes a substantial amount of protected First Amendment speech. It is not entirely clear to me why we do not simply adopt the reasoning of the court of appeals in affirming..the court of appeals’ decision. However,, I join the majority on this issue because I agree that the legitimate applications of the definition of “coercion” at issue in this case are vanishingly small compared to wide variety of unconstitutional applications detailed by both the majority and the court of appeals.
At the risk of falling back on a hoary adage, bad facts make bad law. Presiding Judge Keller’s opinion.does an effective job streamlining our cognizability jurisprudence. I write separately because applying Boetscher to address appellant’s claims regarding the first count in the indictment does a better job of hitting the intended target. With these thoughts I concur.
. Even, though the statute at issue in Boetscher facially discriminated between in-state and out-of-state defendants, it was still incumbent upon the defendant to prove that he was treated differently than other similarly situated parties because he was an out-of-state defendant to prevail on his equal protection claim. See e.g. State v. Dinur, 383 S.W.3d 695, 701 (Tex.App.-Houston [14th Dist.] 2012, no pet.) ("Generally, to assert an equal protection claim, the deprived party must establish two elements: (1) that he or she was treated differently than other similarly situated parties; and (2) that he or she was treated differently without a reasonable basis.”). But in Boetscher, we relied upon the pleadings themselves to establish that the defendant was from Michigan, a fact necessary to prove his equal protection claim. Boetscher, 812 S.W.2d at 603 (“Appellant argues that § 25.05(g)(2), as ápplied to the unusual circumstances of this case, denies him equal protection because it makes his alleged conduct a felony, rather than a misdemeanor, ‘solely because he is not a resident of Texas.’ ”).
. Section 14 of Article 4 of the Texas Constitution sets out in great detail how a Governor’s veto is supposed to work. Notably, however, the plain text of this section places . no limitations on the Governor’s veto power based on the reason for the veto, only procedural limitations such as the need for the Governor to register his or her disapproval within ten days of a bill’s presentment to his or her office. Tex. Const. art. IV, § 14. Neither does it assign authority to the legislature to limit the exercise of veto power on substantive grounds. Cf. Meshell v. State, 739 S.W.2d 246, 252 (Tex.Crim.App.1987) (noting that the Texas Constitution explicitly grants the Legislature authority over judicial "administration”). As explained by the majority, legislation that criminalizes appellant's exercise of his constitutional veto power on substantive grounds prevents appellant’s effective exercise of constitutionally assigned powers, namely his veto authority. Armadillo Bail Bonds v. State, 802 S.W.2d 237, 239 (Tex.Crim.App.1990) (explaining that a separation of powers violation occurs when one branch of government unduly interferes with another branch so that the other branch cannot effectively exercise its constitutionally assigned powers).
Dissenting Opinion
DISSENTING OPINION
filed a dissenting opinion.
• After reading the majority’s opinion, it seems clear to me that it has decided to employ any means necessary in order to vacate the two felony counts against Governor Rick Perry. The majority opinion has repealed more statutes and made more new law than Governor Perry did in the last session of the legislature when he tried to muscle out the elected Travis County District Attorney.' I do not agree with eith'er of the majority’s resolutions to both ' the Appellant’s' and State’s claims.
COUNT I
Today, for the- first time, the majority holds that, when a government official alleges an as-applied separation-of-powers claim, it is an exception to cognizability and pretrial habeas 'is available in order to resolve the claim before trial. As-applied challenges depend on the particular facts and circumstances of a case to determine if a law is being unconstitutionally applied to an individual. State ex rel. Lykos v. Fine, 330 S.W.3d 904, 910 (Tex.Crim.App.2011). Because the resolution would be aided by the development of evidence at trial, these claims do not have pretrial cognizability. Ex parte Doster, 303 S.W.3d 720, 724 (Tex.Crim.App.2010). The-majority, however, believes that “pretrial resolution of this type of separation of powers claim is necessary to ensure that public officials can effectively perform their duties.” Ex parte Perry, No. PD-1067-15, at *18. But this - situation is- not comparable- to those presented by other pretrial habeas exceptions, like double jeopardy, that would truly be undermined if not considered pretrial. The majority is simply making a special exception for public officials in order to reach its desired outcome in this case. I do not find the majority’s arguments supporting its holding to be valid and I do not believe this type of claim should be able to be considered in pretrial habeas.
First, a bill of particulars is not a pleading and the admissions made within one can be abandoned or amended and, therefore, should not be considered in pretrial habeas. Rather, we should always rely upon what is stated in the indictment, and the indictment in this case does not specify what the act of “misuse” by Governor Perry was. Therefore, I do not believe that we can hold that, the prosecution in this . case violates separation of powers because we do not have the information that is necessary to make that conclusion. .We should allow this case to go to trial in order to- see what evidence the State presents to substantiate its allegations in the indictment.
Second, even if the bill of particulars could be construed as a pleading and the veto is the alleged act of misuse, there is still no violation of the separation of powers clause. A strict examination of the language explaining when a separation of powers violation occurs does not prohibit the prosecution in this case as the judicial branch never prevented Governor Perry from exercising his constitutionally assigned veto power. See id. The majority’s conclusion that the governor’s power cannot be limited by the Legislature, courts, or district attorneys • is not supported by its reference to the Texas Constitution. The sections the majority cites merely indicate the duties, elections, and terms of county judges and attorneys and district attorneys. Tex. Const, art. V, §§ 21, 30. These sections in no way indicate that the present prosecution violates the separation of powers clause. See id: at art. II § 1. Further, this issue has never been brought before our courts before and I do not believe it should be summarily determined pretrial.
The majority also incorrectly concludes that because Governor Perry had the constitutional right to veto, his actions cannot be criminalized. It is’clear that Governor ■Perry tied his* power to veto State funds to the demand for ’Lehmberg’s resignation, there by misusing his right. The Legislature has indicated that the misuse of even a Constitutional right may be criminalized — the misuse of the constitutional right to vote is criminalized by the voter fraud statute. See id. at art. VI § 2; Tex.Elec. Code § 64.012; Jenkins v. State, 468 S.W.3d 656 (Tex.App.-Houston [14th Dist.] 2015, pet. granted).
COUNT II
I also disagree with the majority’s conclusion that the coercion-of-a-public-serv■ant statute is facially unconstitutional because it'is overbroad. The only way the majority can get to this conclusion is by employing the ‘overly broad definition of “threat” that it does. But this strategy ignores both common sense and the requirement to utilize reasonable narrowing constructions.
As suggested by the State, the most natural and logical definition of threat to employ in this analysis is the one put forth
Once one employs the correct definition of threat, it becomes clear that the majority’s argument about the “many” unconstitutional applications of the statute is no longer valid. Each of. the examples that the majority provides of “normal functioning of government” that is criminalized by the statute would not be susceptible to prosecution when using the logical' and narrower Black’s definition of threat. None of these examples are crimes that actually need overbreadth protection.
■ Because the statute is not overbroad, it should be that, where an individual is concerned that his prosecution under this statute is not supported by the evidence, it becomes an issue to be considered once the case has been tried and a conviction occurs. The narrower and more natural Black’s definition of threat should be used in the sufficiency analyses on appeal, and whether there is evidence in each individual case to show a communicated intent to inflict harm or loss will determine that conviction’s validity. .
For the foregoing reasons, I believe we should adopt the Black’s definition of threat and hold -that this statute is not unconstitutionally overbroad.
CONCLUSION
While the majority has inaccurately concluded that the prosecution in this case is politically motivated, it, in turn, has not shown any compunction in scripting an opinion that establishes entirely new precedent solely in order to vacate the indictment against the former governor. Obviously it has traded the repercussions of a challenge in the political arena for the embarrassment of manufacturing an opinion that is not based on either law or fact. And, unfortunately, the concurring opinions only go on to further support the fairytale authored by the majority.
The real shame of today’s decision is that while ordinary applicants’ requests to this Court for writs of habeas corpus are often unfairly rejected or their paths to relief narrowed, the majority has decided, for the second time in the last two years, to give special treatment to a government official. See Delay v. State, 465 S.W.3d 232, 234 (Tex. Crim. App. 2014). For example, in our last session, this Court decid
In addition to reaching an incorrect conclusion in this case, the majority also fails to grant the appropriate remedy for a pretrial habeas issue such as this. We have no authority to instruct the district court to dismiss the indictment on remand, rather we should allow the trial court to decide how to proceed based on our- opinion.
Because I do not agree with the majority’s conclusion as to either issue before us and would affirm the judgment of the court of appeals as to Count I and reverse its judgment as to Count II, I respectfully dissent.
. In enacting a statute, it is presumed that compliance with the constitutions of Tesxas and the United States is intended. Tex. Gov’t Code § 311.021 (2015).
. The majority does not show that the conduct in any of these examples, if prosecuted, would be protected by the First Amendment and thus the argument that the statute has overbroad application to protected expression is baseless speculation.
Dissenting Opinion
DISSENTING OPINION
filed a dissenting opinion.
The opinion of the Court stretches constitution, case law, and statute beyond where I am willing to follow. This case does not involve separation of .powers, many of the examples set out are inappo-site, and the language used as to appellant differs from all other writ opinions.,
“The powers of the Government of the State of Texas shall be divided-into three distinct departments, each of which shall be confided to a separate body of magistracy, .... ” Tex. Const, art. II, § 1. As the opinion of the Court states, in relevant part, the separation-of-powers provision is violated “when "one branch unduly interferes with another branch so that the other branch cannot effectively exercise its constitutionally assigned powers.” But the language of the Texas Constitution makes it clear that it specifically affects only the “Government of the State of Texas,” and we are bound by the plain language of that provision.
As with statutory construction, when we construe a provision of the Texas Constitution, we are principally guided by the language of the intent of the framers who drafted it and the citizenry who adopted it. But if that language is less than plain and admits of ambiguity, we may resort to extra-textual factors, including the likely adverse consequences of a particular construction.
Johnson v. Tenth Judicial Dist. Ct. Of Appeals at Waco, 280 S.W.3d 866, 872 (Tex. Crim. App. 2008) (footnotes omitted).
Turning to the rules of constitutional construction, it is observed that constitutional provisions which are not atnbiguous and are not open to more than one construction or interpretation must be given their full effect without regard to the consequences.
Gallagher v. State, 690 S.W.2d 587, 591 (Tex.Crim.App.1985). See also Boykin v. State, 818 S.W.2d 782, 785-86 (Tex.Crim.App.1991).
In this case, it is alleged that a branch of state government, the executive branch, interfered with another branch of government, but the branch that was allegedly interfered with is not a branch of- state government; it is a branch of county government. I find nothing in the plain meaning of the Texas Constitution that permits the executive branch of the state to interfere, in the affairs of a different sovereign and then claim the protection of the state doctrine of separation of powers, which is intended to keep one branch of state government from interfering with the powers assigned to either of the other two state branches.
Part of the problem with the listed examples is the loose usage of the word “threaten.” My faithful dictionary
Finally, as Judge Newell has noted, this case has been greatly affected by who it involves. In no other appeal I have read during the seventeen years that I have served on this Court has appellant been called anything other than “appellant.” The constant references to “Governor Perry” could well be seen by the public as an inference that appellant’s position in life entitles him to special privileges and special treatment by this Court that others might be denied.
I dissent.
. https://www.tdcj .state.tx.us/divisions/oig/
. Webster’s Encyclopedic Unabridged Dictionary of the English Language 1478 (Gramer-cy Books 1989).
.The majority cites to United States v. Nixon, 418 U.S. 683, 94 S.Ct. 3090, 41 L.Ed.2d 1039 (1974), in support of its use of appellant's given name, however, I note that, at the time of that decision (July 24, 1974), Nixon was still President (until August 9, 1974), the claim raised was a president’s privilege of
In this case the President challenges a subpoena' served on him as a third party requiring the production of materials for use in a criminal prosecution; he does so on the claim that -he has a privilege against disclosure of confidential communications. He does hot place his claim of privilege on the ground they are military or diplomatic secrets. As to these areas of Art. II duties the courts, have traditionally shown the utmost deference to Presidential responsibilities. In C. & S. Air Lines v. Waterman S.S. Corp., 333 U.S. 103, 111, 68 S.Ct. 431, 92 L.Ed. 568 (1948), dealing with Presidential authority involving foreign policy considerations, the Court said:
The President, both as Commander-in-Chief and as the Nation's organ for foreign affairs, has available intelligence services whose reports are not and ought not to be published to the world. It would be intolerable that courts, without the relevant information, should review and perhaps nullify actions of the Executive taken on information properly held secret. In United States v. Reynolds, 345 U.S. 1, 73 S.Ct. 528, 97 L.Ed. 727 (1953), dealing with a claimant's demand for evidence in a Tort Claims Act case against the Government, the Court said:
It -may be possible to satisfy the court) front all the circumstances of the case, that there is a reasonable danger that compulsion of the evidence will expose military matters which, in the interest of national security, should not be divulged. When this is the case, the occasion for the privilege is appropriate, and the court should not jeopardize the security which the privilege‘is meant to protect by insisting upon an examination of the evidence, even by the judge- alone, in chambers. Id. at 10, 73 S.Ct. .528,
No case of the Court, however, has extended this high degree of deference tó a President’s generalized interest in confidentiality. Nowhere in the ■ Constitution, as we have noted earlier, is there any explicit reference to a privilege of confidentiality, yet to the extent this interest relates to the effective discharge of a President’s powers, it is constitutionally based.
Id. at 710-11, 94 S.Ct. 3090.
