ORDER
This case is before the Court on Plaintiffs’ Motion for a Preliminary and a Permanent Injunction and for Declaratory Judgment [14], Defendants’ Motion to Dismiss [16], and Intervenor’s Motion to Dismiss [19]. This Court has jurisdiction pursuant to 28 U.S.C. § 1331.
See also Roudebush v. Hartke,
BACKGROUND
On November 3, 1992, the State of Georgia conducted a general election. Among the races on the ballot was one for the office of United States Senator. The incumbent, Wyche Fowler, received a plurality of the votes: 1,108,416 votes, or 49.22% of the total votes cast. His Republican opponent, Paul Coverdell, received 1,073,-282 votes, or 47.66% of the total votes cast. Libertarian candidate Jim Hudson received 69,878 votes, or 3.1% of the total votes cast.
Because no candidate received a majority of the votes, Defendant Secretary of State Max Cleland (“Cleland” or the “Secretary”), acting pursuant to O.C.G.A. § 21-2-501
(1987)
1
,
set a run-off election between Mr. Fowler and Mr. Coverdell for November 24, 1992. Coverdell received a majority of the votes cast in the run-off election,
On December 4, 1992, the Secretary presented the tabulated results of the November 24, 1992 run-off election to the Governor pursuant to O.C.G.A. § 21-2-502(b)(1) 2 . On December 8, 1992, the Governor certified Mr. Coverdell’s election to the President of the United States Senate pursuant to 2 U.S.C. § la. The President of the United States Senate must administer the oath of office to a newly elected Senator before that Senator-elect may take his seat in the Senate. 2 U.S.C. § 21. The President of the Senate may not administer the oath to a newly elected member, however, until he has received certification of that person’s election from the governor of the state from which the new member was elected.
Plaintiffs in this suit are Public Citizen— a consumer organization with members in the state of Georgia — and four Georgia residents, each of whom voted for Fowler in both the general and run-off elections. Defendants are the Governor of Georgia— Zell Miller, and Georgia’s Secretary of State — Max Cleland. Plaintiffs claim that the November 24,1992 run-off election was a nullity because Article I, Section 4, Clause 1 of the United States Constitution, and Sections 1 and 7 of Title 2 of the United States Code combine to restrict the State of Georgia from having held its most recent general election for the office of United States Senator on any day other than November 3, 1992 (“count one”).
Plaintiffs also claim that O.C.G.A. § 21-1-501 and § 21-2-502(b)(l) violate the United States Constitution to the extent they require that United States Senators be elected by a majority of those voting in an election, because they add a qualification for the office that is not contained in the exclusive list of qualifications found in Ar-tide I, Section 3, Clause 3 of the United States Constitution (“count two”).
Finally, Plaintiffs claim that the majority vote statute violates the Voting Rights Act, 42 U.S.C. § 1973 et seq., and the First, Thirteenth, Fourteenth and Fifteenth Amendments to the United States Constitution because the Georgia legislature enacted the statute in 1964 for the purpose of abridging the voting rights of black Georgia voters on account of their race or color, and the statute had this intended effect in the election at issue (“count three”).
In their Amended Complaint, filed on December 16, 1992, Plaintiffs requested the following relief: (1) a declaratory judgment that the November 24,1992 run-off election was and is null and void; that the November 3, 1992 election was the one and only valid election; and that Wyche Fowler, as the recipient of the plurality of votes cast in the general election, was the winner of Georgia’s election for the office of United States Senator; (2) a declaratory judgment that O.C.G.A. § 21-2-501 and § 21-2-502(b)(1) are unconstitutional to the extent they seek to impose a majority vote requirement on candidates for the office of United States Senator; (3) a preliminary and permanent injunction directing Governor Miller and Secretary of State Cleland to rescind their certificate declaring Paul Coverdell as the winner of the 1992 Georgia election for the office of United States Senator; (4) a preliminary and permanent injunction directing Governor Miller and Secretary of State Cleland to certify Wyche Fowler as the winner of the 1992 Georgia election for the office of United States Senator, and to issue to him a commission of said office; (5) costs and attorneys fees; and (6) such further relief the Court deems to be proper. Amended Complaint, pp. 14-15 [14],
The Court held a hearing on December 3, 1992 on Plaintiffs’ earlier Motion for a
DISCUSSION
As a preliminary matter, the Court defines the scope of the task before it. Plaintiffs amended their Complaint to include count three after the Court had ordered expedited briefings on counts one and two. The Court has not extended its expedition order to count three, and will not address count three at this time. Instead, the Court ORDERS both parties to appear before it on January 19, 1993 at 3:00 p.m. to address whether the Court should consolidate Plaintiffs’ count three into Brooks v. Harris, No. 90-1001 (N.D.Ga. filed May 8, 1990) (Freeman, J.) 4 — a case already pending before the Northern District of Georgia concerning the same claim.
Plaintiffs do not request the Court to compel action from anyone but the named defendants, nor has Mr. Fowler moved to intervene in this case. Thus, the Court will limit its Order to the narrow issues raised by Plaintiffs’ motion for declaratory judgment and injunctive relief as it relates to counts one and two. This will require the Court to analyze the operative sections of Title 2 of the United States Code, and Article I, Sections 3 and 4 of the United States Constitution. Finally, the Court must interpret those sections of the Georgia Code at issue, and evaluate them for constitutional infirmity or federal preemption.
I. Jurisdiction.
This Court has jurisdiction over Plaintiffs’ claims pursuant to 28 U.S.C. § 1331. The Court is also empowered to issue a declaratory judgment, should it find such relief warranted, pursuant to 28 U.S.C. § 2201.
See also Corey v. Jones,
II. Standing.
Defendants and Intervenor assert that Plaintiff Public Citizen lacks standing to assert its own alleged rights or the alleged rights of its members because, as an organizational entity, it has no connection with the State of Georgia, and as a representative of its members, it seeks to represent third parties who would themselves lack standing. Defendants also assert that the individual named-plaintiffs lack standing because they have plead no more than a generalized grievance which they share with all other Georgia voters.
To have standing before a federal court, a plaintiff must assert a sufficiently concrete and individualized injury rather than a mere “ ‘generalized grievance[ ]’ about the conduct of government.”
Schlesinger v. Reservists Comm, to Stop the War,
A plaintiff must also suffer a real and immediate injury in fact to obtain standing before a federal court.
City of Los Angeles v. Lyons,
An organization may also obtain standing on behalf of its members. In order to do so, the organization must meet three basic requirements: “(a) its members would-' otherwise have standing to sue in their own right; (b) the interests it seeks to protect are germane to the organization’s purpose; and (c) neither the claim asserted nor the relief requested requires the participation of individual members in the lawsuit.”
Hunt v. Washington State Apple Advertising Comm’n.,
Finally, if the Court finds that one of the named plaintiffs has standing to pursue all of the asserted claims, it need not find that the other plaintiffs also have standing for those plaintiffs to remain in the suit.
Watt v. Energy Action Educational Foundation,
In
Schlesinger
the Supreme Court found that the plaintiffs did not have standing because the allegedly violative government action “would adversely affect only the generalized interest of all citizens in constitutional governance, and that is an abstract injury.”
Id.
The Court finds that each of the individu-. ally named plaintiffs in the instant case has standing to bring counts one and two of this suit, and that it, therefore, need not determine whether Public Citizen also has standing.
III. Failure to Join an Indispensable Party.
The Court finds that the parties have not sufficiently briefed the question of whether Mr. Fowler is an indispensable party as to counts one and two. The issue is mooted, however, by the Court’s decision to grant Defendants’ and Intervenor’s motions to dismiss.
IV. Laches.
Defendants argue that Plaintiffs’ claims should be barred by laches because they waited to challenge the majority vote statute until months after a non-majority outcome in the November 3 election appeared likely, and more than four weeks after Mr. Fowler was denied a victory despite his receipt of a plurality of the votes cast on November 3.
“Laches requires proof of (1) lack of diligence by the party against whom the defense is asserted, and (2) prejudice to the party asserting the defense.”
Costello v. United States,
V. Plaintiffs’ Motion for Preliminary and Permanent Injunctions, and Declaratory Judgments, and Defendants’ and Intervenor’s Motions to Dismiss.-
A party seeking a preliminary injunction must demonstrate that (1) there is a substantial likelihood of success on the merits, (2) he will suffer irreparable injury unless the injunction issues, (3) the threatened injury to the movant outweighs whatever damage the proposed injunction may cause the opposing party, and (4) the injunction, if issued, would not be adverse to the public interest.
Zardui-Quintana v. Richard,
The Court, in consideration of a Rule 12(b)(6) motion, may look only at the pleadings.
See
Fed.R.Civ.P. 12(b). The Rule allows dismissal of a complaint which fails “to state a claim upon which relief can be granted.”
Id.
When faced with a motion to dismiss under Rule 12(b)(6), the Court construes the complaint broadly, accepting all facts pleaded therein as true and viewing all inferences in a light most favorable to the plaintiff.
Cooyer v. Pate,
A. Count One: Times, Places and Manner.
Article I, Section 4, Clause 1 of the United States Constitution provides:
The Times, Places and Manner of holding Elections for Senators and Representatives, shall be prescribed in each.State by the Legislature thereof; but the Congress may at any time by Law make or alter such Regulations, except as to the Places of chusing Senators.
Both Congress and the States retain broad authority to regulate elections under the Times, Places and Manner Clause:
Unless Congress acts, Art. I, § 4, empowers the States to regulate the conduct of senatorial elections, [footnote omitted] This Court has recognized the breadth of those powers: ‘It cannot be doubted that these comprehensive words embrace authority to provide a complete code for congressional elections, not only as to times and places, but in relation to notices, registration, supervision of voting, protection of voters, prevention of fraud and corrupt practices, counting of votes, prevention of fraud and corrupt practices, counting of votes, duties of inspectors and canvassers, and making and publication of election returns; in short, to enact the numerous requirements as to procedure and safeguards .which experience shows are necessary in order to enforce the fundamental right involved.’ Smiley v. Holm,285 U.S. 355 , 366 [52 S.Ct. 397 , 399,76 L.Ed. 795 ] (1932).
Roudebush v. Hartke,
Congress has regulated the timing of elections for United States Senators 7 , and, according to its formula, elections in 1992 for United States Senators were to be held on November 3, 1992.
Plaintiffs assert that the run-off election on November 24 was and is a nullity because it was held on a day other than the allegedly exclusive day established by federal law for holding elections for the United States Senate (i.e., November 3, 1992). Accordingly, Plaintiffs argue, the person who obtained the most votes in the November 3 election (i.e., Mr. Fowler) is the legal victor.
Defendants offer a number of interrelated responses to Plaintiffs’ arguments. First, Defendants assert that federal law allows exceptions to the formula set forth in 2 U.S.C. §§ 1 and 7 in certain circumstances, and that Georgia’s run-off election was such an exception. Second, Defendants assert that although November 3 is the legally prescribed day for elections, it is not the
exclusive
day for elections, and
Defendants cite 2 U.S.C. § 8 and
Busbee v. Smith,
The time for holding elections in any State ... for a Representative or Delegate to fill a vacancy, whether such vacancy is caused by a failure to elect at the time prescribed by law, or by the death, resignation, or incapacity of a person elected, may be prescribed by the laws of the several States____ 8
Defendants claim that because the majority vote statute requires a majority vote to win, and because no candidate received a majority of the votes in the November 3 general election, Georgia experienced a “failure to elect at the time prescribed by law,” entitling it to establish a different time for holding the election.
The meaning of the term “failure to elect” was explored by the District Court for the District of Columbia in
Busbee.
In 1982, the State of Georgia sought a declaratory judgment in federal court that its reapportionment plan complied with the requirements of the Voting Rights Act.
The state of Georgia subsequently challenged the court’s power to set the general election for a day other than the first Tuesday after the first Monday in November. Georgia argued that 2 U.S.C. § 7 “absolutely require[d] that the general election be held on November 2.” Id. at 522. The court rejected Georgia’s objection and found that rescheduling the general election pursuant to section 5 of the Voting Rights Act did not violate 2 U.S.C.' § 7. Id. at 523. The court noted that both Section 5 of the Voting Rights Act and 2 U.S.C. § 8 were enacted by the United States Congress, that Congress enacted section 5 more than one hundred years after it enacted section 7, and that the general rule of statutory construction held that “the subsequent enactment governs.” Id. (citation omitted). The court also found that the effect of delaying the election pursuant to section 5 would not impede realization of section 7’s underlying purposes. ■ Id. at 524.
The court in Busbee acknowledged that 2 U.S.-C. § 8 allows states, under certain circumstances, to hold elections at times other than those prescribed by section 7. Id. at 524-25. In addition to the circumstances it specifically enumerates — death, resignation, personal incapacity — section 8 allows states to reschedule elections “where exigent circumstances arising prior to or on the date established by section 7 preclude holding an election on that date.” Id. at 525 (emphasis added). The court offered natural disasters, and the parties to the instant suit offer fraud and a tie vote as examples of ‘exigent’ circumstances warranting state rescheduling.
A carefully crafted law that, by.its sole design, invents a ‘failure to elect’ cannot be thought to create an .‘exigent’ circumstance. This would unreasonably contort the word’s definition, and allow any state to premeditate a complete avoidance of section 7’s dictates merely by passing a law pursuant to which a general election must be held on a different day, thus resulting in a ‘failure to elect’ on the federally-mandated day. Congress, in passing section 8, could not have intended such emasculation of section 7 at a state’s whim.
The majority vote statute, however, does not prescribe a bald departure from section 7’s instructions. The statute respects section 7’s formula for determining the date for general elections, and does not permit the state to circumvent holding an authentic, general election on that date. Furthermore, the results of that election are fully binding upon the state. It is the interpretation of those results, however, that is influenced by the statute. The statute ensures that elections held on the federally-mandated days put into effect'the will of the majority of voters. Accordingly, the statue deems an election resulting in a mere plurality not to be a completed election. To remedy such incompletion, the statute requires that the election continue into a run-off. Although the run-off takes place on a separate day, it does not negate section 7’s effect.' The run-off does not reschedule the earlier general election, nor does it negate that election’s outcome. The results of the general election combine with the majority vote statute to cause a winnowing of the field of candidates which is then binding upon the run-off election.
A state’s decision to interpret a plurality result as being inconclusive is not itself unconstitutional. Many states prescribe such an approach in primary elections (though states have always had greater autonomy in conducting primary elections). See, e.g., Ark.Code Ann. § 7-7-304 (1987); Fla.Stat. § 100.061 (1991); Ga.Code Ann. § 21-2-501 (1987); Miss.Code Ann. § 23-15-191 (1991); N.C.Gen.Stat. § 163-111 (1992); Okla.Stat. tit. 26, § 1-103 (1991); S.C.Code Ann. § 7-17-600 (1991); S.D. Codified Laws Ann. § 12-6-51.1 (1992); Tex. Elec.Code Ann. § 172.003 (1992). Section 7’s timing regulation does not deprive states of the power to construe a mere plurality vote as an inconclusive vote. Because Georgia did just this, it legitimately ‘failed to elect’ a United States Senator on November 3, 1992. Then, pursuant to section 8, Georgia prescribed the time for holding its election for the United States Senate as ‘continuing’ through the run-off election on November 24, 1992.
Georgia’s ‘failure to elect’ falls within the scope of such failures covered by section 8. A plurality outcome in the general election is similar to an election postponed due to natural disaster or voided due to fraud in that each is contemplated, yet beyond the state’s ability to produce. It is this common element that makes their occurrence an ‘exigent’ circumstance. This is not changed by the fact that a plurality outcome results in a failure to elect only because the state so declares. A failure to elect due to a plurality outcome is no more a state construct than is a failure to elect due to state common law fraud.
In contrast to an emasculating statute, Georgia does not use section 8 to circumvent holding an election on November 3, or honoring its results. Although section 8, as discussed above, would probably not permit such a premeditated wholesale circumvention, it does permit states to prescribe different times for elections when they experience a legitimate failure to elect due to exigent circumstances after making an honest attempt to do so. This is what occurred here.
Georgia’s majority vote statute, thus, does not effect an unconstitutional regulation of the timing for elections of United States Senators. The Court finds that Plaintiffs have failed to state a claim in count one, and, therefore, the Court grants Defendants’ and Intervenor’s Motions to Dismiss as to Plaintiffs’ count one, and denies Plaintiffs’ motion as to count one.
B. Count Two: Qualifications.
' Article I, Section 3, Clause 3 of the United States Constitution (hereinafter the “Qualifications Clause”) states:
No Person shall be a Senator who shall not have attained to the Age of thirty Years, and been nine Years a Citizen of the United States, and who shall not, when elected, be an Inhabitant of that State for which he shall be chosen. ■
In
Powell v. McCormack,
Plaintiffs argue that the majority vote statute is an unconstitutional infringement on the Qualifications Clause’s exclusivity because it adds as a qualification for the office of United States Senator that a candidate receive a majority of the votes east. Plaintiffs assert that Georgia has, thus, “impermissibly limited the class of persons eligible to be elected.” Plaintiffs’ Reply, p. 15. Defendants respond that the Qualifications Clause sets forth requirements that rebate to the ‘personal qualifications’ of a candidate, and that the majority vote statute, in contrast, regulates .the ‘manner’ in which Georgia chooses among those ‘qualified’ .candidates. In addition, Defendants argue that this District has already determined that the majority vote statute does not violate the Qualifications Clause.
In
Bond v. Fortson,
this District heard a challenge to the majority vote statute on the grounds that,
inter alia,
it violated the Qualifications Clause.
The case currently before the Court does not lack for justiciability, and the Court, thus, gains little guidance from the Bond court’s holding. The Bond court, however, did state, in dicta, that it believed the majority vote statute does not violate the Constitution:
This case does not involve a statute unconstitutional on its face: there is no constitutional provision expressly providing for election of Congressmen by plurality vote or in terms prohibiting the states from requiring election by a majority vote. The broad grant of power given the state legislatures under Art.-1 § 4, cl. 1 [footnote omitted] would indicate that either is permissible in the absence of specific Congressional action.
Id. at 1193. This dicta, free from any detailed analysis in which the court would have engaged had it based its ruling on the statute’s constitutionality, does not bind this Court.
' The Supreme Court has never directly commented on how to distinguish additional ‘qualifications’ from mere regulations of elections. The First Circuit, however; has addressed this issue, and concluded that “the test to determine whether or not the ‘restriction’ amounts to a ‘qualification’ within the meaning of Article I, Section 3, is whether the candidate ‘could be elected if his name were written in by a sufficient number of electors.’ ”
Hopfmann v. Connolly,
In
Hopfmann,
the plaintiff’s name was excluded from the ballot in the Massachusetts Democratic Primary election for United States Senator because he failed to receive at least 15% of the vote on any ballot at the Democratic Party’s convention.
According to the First Circuit’s analysis, the -majority vote statute does not wholly disqualify a candidate from obtaining the office of United States Senator any more than would a requirement that a candidate receive a plurality of the votes cast to be elected. In Georgia, a candidate who wins a plurality but not a majority of the votes cast in the general election is by no means precluded from obtaining the office he sought. He is merely forced into a run-off against the person receiving the second-highest vote count. Thus, he continues to be a viable candidate for the office, free even from the ‘strong practical deterrent’ of having to collect his majority through write-in votes alone.
As for the run-off election, the requirement that a candidate receive a majority of the vote is merely a restatement of the truism that in a race between two people,
One may argue that the actual effect of the majority vote statute .was to bar Mr. Fowler from obtaining the office of United States Senator because he failed to win a majority of the vote on November 3, and that the statute, therefore, acted as a ‘qualification’ for the office. This argument would be misguided, however, because Mr. Fowler’s failure to gather a majority of the votes on November 3, did not incapacitate or disqualify him from obtaining the office, it merely required that he participate in the run-off election.
There are five things that could have disqualified Mr. Fowler from obtaining the office of United States Senator: (1) he could have been less than thirty years old, (2) he could have been a United States citizen for less than nine -years, (3) he could have been an inhabitant of a state other than Georgia, (4) he could have finished third or below in the November 3 election, and (5) he could have received less than fifty percent of the vote in the November 24 run-off. The first three disqualifiers derive from the Constitution. The last two derive from the truism that a state may exclude a candidate who receives fewer votes than an opposing candidate from obtaining the office that he sought. Plaintiffs wisely do not challenge this final truism as an unconstitutional qualification.
The above analysis demonstrates why, even without using the First Circuit’s approach, this Court must find that the majority vote statute does not unconstitutionally add to the Constitution’s exclusive list of qualifications for the office of United States Senator. Defendants may overstate their case in arguing that the Qualifications Clause is an exclusive list only of candidates’ ‘personal’ qualifications,
see Newberry v. United States,
CONCLUSION
The Court GRANTS Defendants’ and Intervenor’s Motions to Dismiss counts one
So ORDERED.
POSTSCRIPT
On March 1, 1993, Plaintiffs moved the Court for leave to strike count three from their complaint, and moved for entry of final judgment. The Court granted both motions.
Notes
. O.C.G.A. § 21-2-501 (the "majority vote statute” or the "statute") provides, in part:
(a) Except as otherwise provided in this Code section, no candidate shall be ... elected to public office in any election unless such candidate shall have received a majority of the votes cast to fill such ... public office.... In instances where no candidate receives a majority of the votes cast, a run-off ... election between the candidates receiving the two highest numbers of votes shall be held____ [S]uch run-off ... election shall be held on the twenty-first day after the day of holding the preceding ... election.'... The candidate receiving the highest number of the votes cast in such run-off ... election ... shall be declared the winner____ The ... run-off election shall be a continuation of the ... election for the particular office concerned ... and only those votes cast for the persons designated as candidates in such ... run-off election shall be counted in the tabulation and canvass of the votes cast.
. O.C.G.A. § 21 — 2—502(b)(1), in pertinent part, provides: "Upon completing the tabulation of any election for United States Senator ... the Secretary of State shall lay the same before the Governor, who shall immediately issue commissions ... to the candidate[ ] receiving a majority of the votes for the officef ].”
Hereinafter, for purposes of discussing count two, the Court will use the term "majority vote statute” to refer to O.C.G.A. § 21-2-501 and § 21-2-502(b)(l) together to the extent they require that United States Senators be elected by a majority of those voting in an election.
. Hereinafter, the Court will refer to arguments made by both Defendants and Intervenor as having been made by "Defendants."
. Brooks is a consolidated case including United States v. Georgia, No. 90-1749 (N.D.Ga. filed August 9, 1990) (Freeman, J.).
. Intervenor asserts that Plaintiff Public Citizen may not maintain this suit because it has not obtained a certificate of authority to transact business in Georgia as required by O.C.G.A. § 14-3-1502. This statute does not apply to federal courts in the state of Georgia when exercising federal question jurisdiction, and, therefore, does not prevent Public Citizen from bringing this action before this Court.
. Intervenor argues that the Eleventh Circuit has established two other requirements that a plaintiff must satisfy in order to have standing to assert a third party’s interests.
See Planned Parenthood Ass’n of the Atlanta Area, Inc. v. Miller,
. 2 U.S.C. § 1 prescribes the time for the election of United States Senators as follows:
At the regular election held in any State next preceding the expiration of the term for which any Senator was elected to represent such State in Congress, at which election a Representative to Congress is regularly by law to be chosen, a United States Senator from sáid státe shall be elected by the people thereof for the term commencing on the 3d day of January next thereafter.
The time for election of United States Representative's is prescribed by 2 U.S.C. § 7 which provides:
The Tuesday next after the 1st Monday in November, in every even numbered year, is established as the day for the election, in each of the States and Territories of the United States, of Representatives and Delegates to the Congress commencing on the 3d day of January next thereafter.
Taken together, 2 U.S.C. §§ 1 and 7 require that . Senators be elected on the first Tuesday following the-first Monday in the November preceding the expiration of the incumbent Senator’s term.
. The United States Congress enacted 2 U.S.C. § 8 in 1872, 41 years before the ratification of the Seventeenth Amendment which provides for the popular election of United States Senators. Because the election of Senators is governed by the same timing restriction as is the election of Representatives in 2 U.S.C. § 7, this Court is convinced that section 8 applies equally to Senators and Representatives.
. Plaintiffs assert that count two is dependent, at least in part, on certain factual allegations that cannot be resolved without a hearing. Plaintiffs’ Reply, p. 29[17]. Plaintiffs base this assertion on the fact that in count two of their Amended Complaint they alleged that the majority vote statute “serves as a screening mechanism to prevent black candidates and candidates supported by blacks voting in a block from winning election as United States Senators.” Amended Complaint, ¶34[14]. Plaintiffs' count two alleges that O.C.G.A. § 21-2-501 and § 21-2-502(b)(l) violate the Qualifications Clause to the extent they require that United States Senators be elected by a majority of those voting in an election. Neither discriminatory motive nor discriminatory effect is an element of an infraction of the exclusivity of the qualifications listed in the Qualifications Clause. Thus, the Court need not consider either in determining whether to grant Defendants’ and Intervenor’s Motions to Dismiss with respect to count two.
