OMNIBUS ORDER ON CROSS MOTIONS FOR SUMMARY JUDGMENT
THIS MATTER is before me on the Defendants’ Second Amended Motion for Summary Judgment (ECF No. 93) and Plaintiffs’ Motion for Summary Judgment (ECF No. 86). I have reviewed the arguments, the record, and the relevant legal authorities. For the reasons provided in this Order, Plaintiffs’ Motion is granted and Defendants’ Motion is granted in part.
I. Background
The parties have relied primarily on the evidence previously provided to the Court in support and in opposition to Plaintiffs’ Motion for Preliminary Injunction. Although I have already recited the facts and the evidence in my Order granting Plaintiffs’ Motion for Preliminary Injunction (ECF No. 80) (hereinafter, the “Preliminary Injunction Order”), I will restate them here by way of background.
On June 2, 2011, Governor Rick Scott signed into law “[a]n Act relating to the privacy of firearm owners” (hereinafter, the “Firearm Owners’ Privacy Act” or the “Act”). CS/CS/HB 155 (codified at Fla. Stats. §§ 790.338, 381.026, 456.072, 395.1055). The bill created Fla. Stat. § 790.338, entitled “Medical privacy concerning firearms; prohibitions; penalties; exceptions,” and amended other scattered statutes.
Pursuant to § 790.338, licensed health care practitioners or facilities (collectively, “practitioners”) may not (i) intentionally record any disclosed information concerning firearm ownership in a patient’s medical record if the practitioner knows the information is not relevant to the patient’s medical care or safely, or the safety of others (the “record-keeping provision”); (ii) ask a patient whether she owns a firearm unless the practitioner in good faith believes the information is relevant to the patient’s medical care or safety, or the safety of others (the “inquiry restriction provision”); (iii) discriminate against a patient based solely on firearm ownership (the “antidiscrimination provision”); or (iv) unnecessarily harass a patient about firearm ownership (the “anti-harassment provision”).
Pursuant to Fla. Stat. § 456.073, disciplinary proceedings may be initiated against a practitioner by the Department of Health or through a citizen’s complaint. After determining that the complaint is legally sufficient, the Department of Health refers it to a probable cause panel. The probable cause panels are exempt from the open meetings requirement in Fla. Stat. § 286.011 until ten days after the panel has found probable cause. Com
A. Legislative History and State’s Clarification of the Law
According to legislative findings, the State passed the Act at least in part as a reaction to an incident in Ocala, Florida, where a physician advised the mother of a minor patient that she had thirty days to find a new pediatrician after the mother refused to answer questions about firearms in her home. Fla. Health & Human Servs. Comm., H.R. Staff Analysis, H.R. 0155C, at 1 (Apr. 7, 2011) (ECF No. 20-3); Fla. Judiciary Comm., H.R. Staff Analysis, H.R. 0155E, at 1 (Apr. 12, 2011) (ECF No. 20-4). The House of Representatives’ Staff Analysis notes that “Florida law does not contain any provision that prohibits physicians or other medical staff from asking a patient whether he or she owns a firearm or whether there is a firearm in the patient’s home.” Fla. H.R. 0155C, at 2; Fla. H.R. 0155E, at 2. This law was presumably a means to rectify this perceived gap in Florida laws.
The legislative debates on this bill reveal that the legislature relied heavily on anecdotal information about physicians asking patients about firearm ownership, physicians misrepresenting that Medicaid would not pay out claims if the patient did not answer questions regarding firearms, or physicians refusing to conduct examinations on patients who refused to answer questions about firearm ownership. It does not appear that the Florida legislature relied on any studies, research, or statistics on physicians’ practices or patients’ experiences on this issue.
At the preliminary-injunction stage of this litigation, the State clarified that the Firearm Owners’ Privacy Law “is directed at prohibiting the forced disclosure of firearm ownership by patients during the course of the provision of medical care, as well as the prevention of harassment and discrimination by health care providers against patients based on their ownership of firearms.” (Defs.’ Resp. to Mot. for Prelim. Inj. 1). The State maintained that the “primary constitutional right at issue in this litigation” is the right to “keep arms.” (Id. at 2). According to the State, “the sole focus of the act is the protection of patients who own firearms from the compelled disclosure of the fact they are exercising the constitutional right to possess (i.e., keep) firearms.” (Id. at 4-5).
At the summary-judgment stage of litigation, the State appears to recast its reading of the Act as mainly an anti-discrimination and harassment bill. The State maintains that “Section 790.338 is a run-of-the-mill anti-discrimination law....” (Defs’ Resp. to Pis.’ Mot. for Summ. J. 1). The State notes, “Section 790.338 prohibits discriminatory or harassing conduct, but incidentally burdens speech, if at all, by limiting the type of questions a practitioner can make in the medical treatment setting in the absence of medical necessity (subsection 2) and the recording of information in the medical record where [it] is available to others who may be tempted to discriminate.” (Id. at 4).
Plaintiffs provide evidence that, as part of the practice of preventive medicine, practitioners routinely ask and counsel patients about a number of potential health and safety risks, including household chemicals, swimming pools, drugs, alcohol, tobacco, and firearms. Some practitioners use patient and parent screening questionnaires for new patients or patients scheduled for annual check-ups, in which they ask about a variety of health and safety risks, including access to firearms. (See, e.g., Schaechter Decl. ¶ 9; Wollschlaeger Decl. ¶ ¶ 6-7). Some physicians also orally inquire about risks, including firearms, during other types of patient visits. (See, e.g., Schaechter Decl. ¶ 10; Schechtman Decl. ¶ 7). Several plaintiffs and other physicians state that information about firearm safety is always relevant to a patient’s preventive care. (See, e.g., Leland Decl. ¶7; Edwards Decl. ¶ 13). Several plaintiffs and other physicians state that the law interferes in the doctor-patient relationship and has resulted in diminished efficacy of their practice of preventive medical care. (See, e.g., Schechtman Decl. ¶ 12; Leland Decl ¶ 12; Wollschlaeger Decl. ¶ 11; Sacks Decl ¶ 12; Fox-Levine Decl. ¶ 16).
The American Academy of Pediatrics (“AAP”) and its Florida chapter (“FAAP”), as well as the American Academy of Family Physicians (“AAFP”) and its Florida chapter (“FAFP”), publish practice guidelines and policy statements that recommend that physicians provide counseling and anticipatory guidance on the prevention of injuries. (Cosgrove Decl. ¶ 10; Raspa Decl. ¶¶ 7-8). Part of such counseling and guidance involves counseling patients and families on matters including diet, second-hand smoke, alcohol abuse, household chemicals, use of swimming pools, use of bicycle helmets, automotive safety, and firearms safety. (Cosgrove Decl. ¶ 14; Raspa Decl. ¶ 9). Similarly, the American College of Physicians (“ACP”) and its Florida chapter (“FACP”) advance the position that a physician has a “critical role” in providing preventive injury counseling on diet, exercise, substance abuse, domestic violence, risky recreational activities, use of swimming pools and smoke detectors, and firearms safety. (Himmelstein Decl. ¶ 8).
On June 24, 2011, Plaintiffs, physicians and physician interest groups, filed a First Amended Complaint alleging that the Firearm Owners’ Privacy Act violates the First and Fourteenth Amendments of the U.S. Constitution. (ECF No. 15). The parties have filed cross motions for summary judgment on the Act’s constitutionality.
II. Legal Standard
A court shall grant summary judgment “if the movant shows that there is no genuine dispute as to any material fact and the movant is entitled to judgment as a matter of law.” Fed.R.Civ.P. 56(a). The parties do not dispute the facts in this case; the sole issue before me is an issue of law. See Brayshaw v. City of Tallahassee, Fla.,
III. Analysis
A. Standing
Plaintiffs bear the burden of establishing standing. Lujan v. Defenders of Wildlife,
The State contends that Plaintiffs fail to establish an injury-in-fact. I agree with the State that Plaintiffs do not establish an injury-in-fact with respect to every provision of § 790.338. Plaintiffs, who consist of physicians and physician groups, have not demonstrated that the following provisions have a chilling effect on their speech: § 790.338(3), which relates to emergency medical technicians and paramedics; § 790.338(4), which provides that a patient may decline to answer or provide information about firearms and states that the Act does not alter existing law regarding a physician’s ability to choose her patients; and § 790.338(7), which applies to insurers. These provisions do not affect Plaintiffs’ free speech rights because they do not apply to practitioners, they do not proscribe practitioners’ speech, or they pertain solely to patients’ rights to refuse to answer questions.
As to § 790.338(1), (2), (5), and (6), Plaintiffs have established an injury-in-fact.
Defendants argue that Plaintiffs’ self-censorship is not objectively reasonable because they face no credible threat of enforcement of the statute. To establish a credible threat of prosecution, a plaintiff must show that: (i) “he seriously wishes to engage in expression that is at least arguably forbidden by the pertinent law”; and (ii) “there is at least some minimal probability that the challenged rules will be enforced if violated.” Harrell v. Florida Bar,
Through a series of affidavits, Plaintiffs have shown that they seriously wish to ask their patients about firearms and discuss firearm safety with their patients. The Firearm Owners’ Privacy Act at least arguably forbids this activity.
Further, there is at least some minimal probability that the State will enforce the Act. The State has not provided any evidence to show that it does not intend to enforce the law if a patient files a complaint. The Eleventh Circuit has clarified that “[i]f a challenged law or rule was recently enacted, or if the enforcing authority is defending the challenged law or rule in court, an intent to enforce the rule may be inferred.” Harrell,
Plaintiffs also meet the causation and redressability requirements for standing. The evidence establishes that Plaintiffs began self-censoring when the law went into effect in June 2011. Passage of the law caused Plaintiffs’ injury by chilling their speech. A favorable decision in this litigation in the form of a declaration that the law is unconstitutional will redress the Plaintiffs’ injury. Plaintiffs would then be free to resume the use of questionnaires including questions about firearm ownership, which would be included in the patient’s medical record, and counseling patients regarding firearm safety.
For the reasons provided, I find that Plaintiff have standing to challenge § 790.338(1), (2), (5), and (6).
B. Ripeness
The State insists that this Court should wait until a state agency charged with the Act’s enforcement has interpreted it. The doctrines of standing and ripeness “tend to converge,” particularly in cases such as this one, which involves pre-enforcement review. Elend v. Basham,
Plaintiffs’ claim is ripe for many of the same reasons that they have standing. As discussed above, Plaintiffs are currently engaging in self-censorship, even though they have a “specific, serious, and plausible and desire to engage in conduct that arguably would violate the [law].” Beaulieu v. City of Alabaster,
I do not find that further factual development of the issues is necessary and this issue is fit for review. This is a facial
In support of its position that the Act is not ripe for review, the State provides the declaration of Edward Tellechea, counsel to the Board of Medicine, who states that the Board of Medicine must still promulgate administrative rules containing disciplinary guidelines for violations of the law. (Tellechea Decl. at 1, ECF No. 93-1). Tellechea explains:
[t]he guidelines must include a meaningful range of penalties based on the severity and repetition of offenses that include minimum and maximum fines, periods of supervision and probation, conditions of probation, or other allowable penalties such as letters of concern, reprimands, suspensions and revocations .... [T]he Board of Medicine[ ] must promulgate administrative rules containing such administrative guidelines for a specific charge prior to imposing discipline upon any licensee for violating such charge.
(Tellechea Deck at 1). The disciplinary rules apparently pertain only to the level of penalty a practitioner may face if she violates the law, not to the interpretation of what constitutes a violation. The declaration does not state that the enforcement of the law is halted until the Board promulgates such rules, i.e., Tellechea does not aver that the State will not prosecute practitioners who violate the law before the disciplinary guidelines are established. Because Plaintiffs assert a facial attack on the law and there is no evidence that the State will not enforce the law, and in light of the more permissive application of the doctrine of ripeness in the First Amendment context, I find that this issue is ripe for adjudication. See Beaulieu,
The State relies heavily on Pittman v. Cole,
For the reasons provided, I find that Plaintiffs’ challenge to the Firearm Owners’ Privacy Act is ripe for adjudication.
C. Facial Challenge to the Law
1. Applicable Legal Standard
The Firearm Owners’ Privacy Act imposes content-based restrictions on practitioners’ speech. It purports to regulate practitioners’ inquiries, record-keeping, discrimination, and harassment with respect to one subject matter only — firearm ownership and possession. Under this law, for example, physicians may ask a new patient complaining of a stomachache to fill out an initial intake questionnaire that includes questions regarding household chemicals, risky recreational activities, sexual conduct, or drugs and alcohol kept in the home, but not whether the patient owns a firearm.
Despite the State’s arguments to the contrary, the anti-discrimination and anti-harassment provisions are also content-based. The State contends that these provisions are analogous to antidiscrimination provisions in Title VII of the Civil Rights Act and the Americans with Disabilities Act. In the context of anti-discrimination laws, the Supreme Court has explained:
When the basis for the content discrimination consists entirely of the very reason the entire class of speech at issue is prescribable, no significant danger of idea or viewpoint discrimination exists. Such a reason, having been adjudged neutral enough to support exclusion of the entire class of speech from First Amendment protection, is also neutral enough to form the basis of distinction within the class.
R.A.V. v. City of St. Paul, Minn.,
Finally, the Act’s legislative history reinforces the conclusion that the law places restrictions on only one subject matter— firearm ownership. The Florida legislature specifically identified policies encouraging and recommending that physicians ask about firearms as an aspect of the problem that the law would rectify, and expressed concern or disagreement with practitioners’ firearm safety message. See, e.g., State of Florida, Final Bill Analysis, CS/CS/HB 155, at 2 (ECF No. 49-1); State of Florida, H.R. Debate, 2011 Sess. (Apr. 26, 2011) (remarks of Rep. Frank Artiles) (“This is purely a political — a polit
“In light of the substantial and expansive threats to free expression posed by content-based restriction [the Supreme Court] has rejected as startling and dangerous a free floating test for First Amendment coverage based on an ad hoc balancing of relative social costs and benefits.” Alvarez,
In Sorrell v. IMS Health Inc., the Supreme Court applied strict scrutiny to a law involving commercial speech — which is normally analyzed under a less demanding standard-because it created a content-based burden on speech. — U.S. -,
Following the principles laid out in Sorrell, I applied strict scrutiny to analyze the Firearm Owners’ Privacy Act at the preliminary-injunction stage. (Prelim. Inj. Order 13-15). I also determined that the Act did not constitute a permissible regulation of professional speech or occupational conduct that imposed a mere incidental burden on speech. Such regulations govern the access or practice of a profession; they do not burden or prohibit truthful, non-misleading speech within the scope of the profession. Cf. Thompson v. W. States Med. Ctr.,
To provide a complete analysis of the issues involved here, I note that which
2. Application of Legal Standard
At the preliminary injunction stage of this litigation, the State’s asserted justification for the Firearm Owners’ Privacy Act was to prohibit practitioners from forcing patients to disclose information about firearm ownership during the provision of medical care, as well as to prevent practitioners from harassing and discriminating against patients based on their ownership or possession of firearms. The State now sets forth a somewhat revised justification of the law, maintaining that “Section 790.338 is a run-of-the-mill anti-discrimination law.” According to the State, the record-keeping provision “works in tandem ■with the prohibitions against discrimination and harassment,” and the inquiry-restriction provision “serves to protect the patieht from disclosing his or her membership in a class now protected from discrimination and harassment.” (Defs,’ Resp. to Mot. for Summ. J. 1; Defs.’ Second Am. Mot for Summ. J. 13).
What is curious about this law — and what makes it different from so many other laws involving practitioners’ speech — is that it aims to restrict a practitioner’s ability to provide truthful, non-misleading information to a patient (or record such information), whether relevant or not at the time of the consult with the patient. The purpose of preventive medicine is to discuss with a patient topics that, while perhaps not relevant to a patient’s medical safety at the time, informs the patient about general concerns that may arise in the future. Thus, a doctor might discuss the dangers of developing diabetes even with a patient who is within normal weight limits, or the dangers of children riding a bike without a helmet with the parents of an infant, or the dangers of smoking with a non-smoker so that she will not take up that habit.
Bans against truthful, non-misleading speech “usually rest solely on the offensive assumption that the public will respond ‘irrationally’ to the truth. The First Amendment directs us to be especially skeptical of regulations that seek to keep people in the dark for what the government perceives to be their own good.” Thompson,
a. The State’s AsseHed Interests
The State asserts that it has an interest in protecting the exercise of the fundamental right to keep and bear arms. I do not disagree that the government has such an interest in protecting its citizens’ fundamental rights. The Firearm Owners’ Privacy Act, however, simply does not interfere with the right to keep and bear arms. The State’s arguments rest on a legislative illusion. The Second Amendment right to keep and bear arms refers to the right to “retain,” “to have in custody,” “to hold,” and “to carry” weapons, including firearms. See District of Columbia v. Heller,
The State next contends it has an interest in protecting individuals “from barriers to the receipt of medical care arising from discrimination or harassment based on firearm ownership.” (Defs.’ Second Am. Mot for Summ. J. 12). I acknowledge that the government has a legitimate and compelling interest in protecting its citizens from some types of discrimination or harassment. Federal and state laws prohibiting discrimination based on certain protected classes or forms of speech reflect the government’s concern with protecting individuals from certain neutral classes of speech. See R.A.V.,
The State provides little more than anecdotal information, however, to support its contention that individuals are suffering harassment and discrimination on the basis of firearm ownership. There is no evidence that such alleged harassment and discrimination is widespread or pervasive. A concern for some patients who may be offended or uncomfortable by questions regarding firearm ownership is insufficient to justify this law. See Sorrell,
Additionally, the State’s interest in preventing discrimination is dubious because the State itself acknowledges that the law
The State further asserts that it has an interest in protecting individuals’ privacy rights related to firearm ownership and possession. Existing safety regulations already circumscribe the privacy protections over the limited information this law seeks to protect—the fact that a patient owns or possesses a firearm. Information regarding firearm ownership is not sacrosanct; federal and state statutes regulate firearm ownership, possession, and sale, and require firearm owners to provide personal information in certain circumstances as a condition for obtaining a firearm or certain licenses. See, e.g., Fla. Stat. Ch. 790; 18 U.S.C. § 922; cf. Jones,
Finally, the State asserts that it has an interest in the regulation of professions, such as the provision of medical care. Plaintiffs stress that the regulation at issue here restricts their provision of medical care by limiting their ability to make inquiries of their patients to determine what issues are relevant to their care and may require further consultation. Upon review of the evidence presented, I cannot conclude that the regulation of professions is a compelling state interest, although it may be a legitimate one.
b. Balancing of Interests under Gentile
Courts have recognized that the free flow of truthful, non-misleading information is critical within the doctor-patient relationship. See, e.g., Trammel v. United States,
In balancing the State’s legitimate interests in regulating inquiries regarding firearm ownership and possession against the practitioners’ free speech rights when communicating with patients in the practice of preventive medicine, I find that the inquiry restriction, record-keeping, anti-discrimination, and anti-harassment provisions cannot stand.
Although the State has a legitimate interest in protecting individuals from any existing barriers to the receipt of medical care arising from discrimination or harassment based on firearm ownership, it has not provided any evidence — beyond a handful of anecdotes — to show that any real barriers actually exist or are widespread and pervasive. Even if they were, this law does not remedy the precise type of incident (such as the one in Ocala) that the legislators apparently meant to cure— the State admits that the Act does not prevent a physician from terminating the doctor-patient relationship if a patient refuses to answer questions regarding firearm ownership.
I recognize that the State may have, in the abstract, a legitimate interest in protecting patients’ privacy regarding their firearm ownership or use. The State, however, fails to provide any evidence that the confidentiality of this information is at risk. Cf. Whalen v. Roe,
I also acknowledge that the State has a legitimate interest in regulating the medical profession. This law, however, does not have the requisite “narrow specificity.” The Act does not impose a mere incidental burden on speech. Rather, truthful, non-
This law chills practitioners’ speech in a way that impairs the provision of medical care and may ultimately harm the patient. Cf Velazquez,
c. The Act is not the Least Restrictive Means of Achieving the State’s Ends
I also find that the inquiry restriction, record-keeping, anti-discrimination, and anti-harassment provisions do not consist of the least restrictive means to accomplish the State’s ends. The non-objectionable portions of the law already adequately protect the privacy interests that the State seeks to ensure. Under § 790.338(4), a patient may decline to answer or provide any information regarding firearm ownership or possession. Under the first clause of § 790.338(2), the practitioner must respect a patient’s right to privacy. If the patient refuses to provide the information, there is nothing for the practitioner to record in the patient’s medical record. State and federal laws further protect the confidentiality of patients’ medical records. See, e.g., Health Ins. Portability and Accountability Act of 1996, 42 U.S.C. § 1320d, et seq.; Fla. Stat. § 456.057. As to the anti-harassment and anti-discrimination provisions, a content-neutral provision would be an available, effective alternative. Upon careful review of the challenged provisions of the Firearm Owners’ Privacy Act and the parties’ arguments, I find that the inquiry restriction, record-keeping, anti-discrimination, and anti-harassment provisions do not pass constitutional muster.
D. Vagueness
Plaintiffs challenge the inquiry restriction, record-keeping, anti-discrimination, and anti-harassment provisions on the ground that they are unconstitutionally vague. Plaintiffs argue that the inquiry restriction and record-keeping provisions are unconstitutionally vague because they do not define what constitutes “relevant to the patient’s medical care or safety, or the safety of others.” Plaintiffs also argue that the anti-discrimination and anti-harassment provisions are unconstitutionally vague because they fail to give practitioners sufficient notice of what constitutes
“The void-for-vagueness doctrine reflects the principle that a statute which either forbids or requires the doing of an act in terms so vague that persons of common intelligence must necessarily guess at its meaning and differ as to its application, violates the first essential of due process of law.” Harris,
The State does not respond to Plaintiffs’ arguments that the phrase “relevant to the patient’s medical care or safety, or .the safety of others,” which appears in § 790.338(1) and (2), is unconstitutionally vague. Plaintiffs contend that, in the context of preventive medicine, information about a patient’s use or possession of firearms is always relevant. However, they note, correctly, that to read the relevance standard in that way would render that clause meaningless or superfluous. See In re Davis,
As to the anti-discrimination and anti-harassment provisions, the State argues that, while not expressly defined in the Act, the terms “discriminate” and “harass” have ordinary meaning that are readily clear to persons of common intelligence. I agree. These terms are sufficiently clear to place practitioners on notice of what kind of conduct is prohibited. However, the anti-harassment provision contains an adverb that renders it vague. See Myers v. TooJay’s Mgmt. Corp.,
E. Severability
The State urges me to sever any invalid portions of the law. Severability of a state statute is a question of state law. See Coral Springs Street Sys., Inc. v. City of Sunrise,
(1) the unconstitutional provisions can be separated from the remaining valid provisions, (2) the legislativé purpose expressed in the valid provisions can be accomplished independently of those which are void, (3) the good and the bad features- are not so inseparable in substance that it can be said that the Legislature would have passed the one without the other and, (4) an act complete in itself remains after the invalid provisions are stricken.
Id. at 1348.
The Firearm Owners’ Privacy Act contains seven subsections. As I noted above, Plaintiffs do not have standing to challenge § 790.338(3), (4), and (7). These provisions can be severed from the rest of the statute.
Section 790.338(3), (4), and (7) are separable in substance from the invalid portions of the law; it cannot be said that the legislature would never have passed these subsections without the invalid portions of the law. A complete act remains even if the invalid portions of the law are stricken.
The State also argues that certain clauses in § 790.338(2) and (6) can be severed from any invalid portions of those subsections. Specifically, the State seeks to salvage § 790.338(2)’s clause that a practitioner “shall respect a patient’s right to privacy” and § 790.338(6)’s clause that a practitioner “shall respect a patient’s legal right to own or possess a firearm.” “The
I do not find, however, that a judicial nip and tuck can preserve these clauses. See Jones v. Smith,
IV. Conclusion
For the reasons provided, the Defendants’ Second Amended Motion for Summary Judgment (ECF No. 93) is GRANTED in part and DENIED in part, and the Plaintiffs’ Motion for Summary Judgment (ECF No. 86) is GRANTED.
Notes
. The law also contains provisions governing emergency medical technicians or paramedics and insurance companies, and provides that a patient may refuse to answer questions regarding firearms. See § 790.338(3), (4), (7). These provisions are not subject to the Plaintiffs’ challenge in this action, and, as noted below, Plaintiffs do not have standing to challenge them. (See Compl. ¶¶ 58-62).
. The State also argues that Plaintiffs do not have standing to challenge § 790.33 8(2)’s clause that a practitioner "shall respect a patient's right to privacy” and § 790.338(6)’s clause that a practitioner "shall respect a patient’s legal right to own or possess a firearm.” Plaintiffs challenge the entirety of each of these provisions. These clauses are intertwined with others in the same subsection. I will not separate them for purposes of determining standing.
. The State also relies on International Academy of Oral Medicine & Toxicology v. North Carolina State Board of Dental Examiners,
. In Alvarez, the Supreme Court justices disagreed on whether the case should be analyzed under strict scrutiny or intermediate scrutiny, but agreed that under either test, the result would he the same. Compare No. 11-210, slip op. at 17 (Kennedy, J., opinion) (applying strict scrutiny), with No. 11-210, slip op. at 1-2 (Breyer, J., concurring in judgment) (applying intermediate scrutiny).
. Even accepting that the State has a legitimate or compelling interests in protecting patients’ privacy interest in information about firearm ownership and possession, the State fails to provide any evidence that the confidentiality of this information is at risk. Cf. Whalen v. Roe,
. Plaintiffs have not provided any substantive argument in opposition to allowing these provisions to remain.
. I have not addressed Plaintiffs’ argument that the law is overbroad because it would not change the result in this case.
