EOIR – IJ Benchbook – Bond Guide

I. OVERVIEW

A. APPLICATION BEFORE AN IMMIGRATION JUDGE

The controlling provisions for bond/custody redetermination
hearings before an Immigration Judge are found at INA § 236;
8 C.F.R. §§ 1003.19 and 1236.1 (2006). The bond hearing
is separate and apart from, and shall form no part of the removal
hearings. 8 C.F.R. § 1003.19(d) (2006). The application for a
bond redetermination hearing is made to one of the following offices,
in the following order prescribed at 8 C.F.R. § 1003.19 (2006):

1. If the alien is detained, to the Immigration Court
that has jurisdiction over the place of detention. Note: the filing
of a charging document is not a prerequisite to bond hearing jurisdiction.
See Matter of Sanchez, 20 I&N Dec. 223, 225 (BIA 1990);

2. To the Immigration Court that has administrative
control over the case. See 8 C.F.R. § 1003.13 (2006); or,

3. To the Office of the Chief Immigration Judge (OCIJ)
for designation of the appropriate Immigration Court to accept and
hear the application.

B. TIME

1. After the DHS makes its initial custody determination,
and

2. Before an administratively final order of deportation
or removal. 8 C.F.R. §§ 1236.1, 1003.19 (2006); Matter of
Valles, 21 I&N Dec. 769, 771 (BIA 1997); Matter of Uluocha, 20
I&N Dec. 133, 134 (BIA 1989); Matter of Sio, 18 I&N Dec. 176,
177 (BIA 1981); Matter of Vea, 18 I&N Dec. 171, 173 (BIA 1981).

C. SUBSEQUENT HEARING

The Immigration Judge may conduct a subsequent custody
hearing so long as the request is made in writing and based on a showing
that the alien’s circumstances have changed materially since the initial
bond redetermination hearing. 8 C.F.R. § 1003.19(e) (2006); Matter
of Uluocha, 20 I&N Dec. 133 (BIA 1989).

D. WHILE A BOND APPEAL IS PENDING

When appropriate, an Immigration Judge may entertain
a bond redetermination request, even when a previous bond redetermination
by the Immigration Judge has been appealed to the Board of Immigration
Appeals (BIA). Matter of Valles, 21 I&N Dec. 769 (BIA 1997). If
a bond redetermination request is granted by an Immigration Judge
while a bond appeal is pending with the BIA, the appeal is rendered
moot. Id. If an Immigration Judge declines to change the amount or
conditions of bond, the DHS must notify the BIA in writing, with proof
of service on the opposing party, within 30 days, if it wishes to
pursue its original bond appeal. Id.

E. NON-MANDATORY CUSTODY ALIENS

1. Neither section 236(a) of the Act nor the applicable
regulations confer on the alien the right to release on bond. In re
D-J-, 23 I&N Dec. 572 (A.G. 2003). The denial of a respondent’s
release on bond does not violate international law. Id.

2. For non-mandatory custody aliens, Immigration
Judges can: (1) continue to detain; or (2) release on bond of not
less than $1,500.00. INA § 236(a). Note: Immigration Judges do
not have authority to consider or review DHS parole decisions.

3. Section 236(a) of the Act does not provide for
the release of an alien on the alien’s own recognizance.

4. Under BIA case law addressing general bond provisions
of prior law, an alien ordinarily would not be detained unless he
or she presented a threat to national security or a risk of flight.
See Matter of Patel, 15 I&N Dec. 666 (BIA 1976). By virtue of
8 C.F.R. § 1236.1(c)(8) (2006), a criminal alien must demonstrate
that he is not a threat to the national security, that his release
would not pose a danger to property or persons, and that he is likely
to appear for any future proceedings. Matter of Guerra, 24 I&N
Dec. 37 (BIA 2006); Matter of Adeniji, 22 I&N Dec. 1102 (BIA 1999).
But see In re D-J-, 23 I&N Dec. 572 (A.G. 2003).

5. Juveniles (i.e., under 18) have special conditions
of release. See 8 C.F.R. § 1236.3 (2006).

a. Juveniles, in addition to having monetary bond,
will have conditions of release in that they can only be released,
in order of preference, to :

i. a parent,

ii legal guardian, or

iii. adult relative.

b. The regulation governing juvenile conditions of
release is quite detailed and specific. There is no authority for
the Immigration Judge to fashion independent conditions of release.
See also In Re Mejia-Andino, 23 I&N Dec. 533 (BIA 2002); Matter
of Amaya, 21 I&N Dec. 583 (BIA 1996).

F. MANDATORY CUSTODY ALIENS

1. The Immigration Court has no bond/custody redetermination
authority over those aliens defined in section 236(c)(1) of the Act
unless it falls within the enumerated exception. The exception provides
that the alien may be released if it is necessary to provide protection
to a witness, a potential witness, a person cooperating with an investigation
into major criminal activity, or to protect an immediate family member
of such witness. The alien must satisfy the Attorney General that
he or she will not pose a danger to the safety of other persons or
of property and is likely to appear for hearings.

2. However, an alien may request a hearing before
an Immigration Judge to contest the INS determination that he or she
is subject to mandatory detention under section 236(c)(1) of the Act.
See 8 C.F.R. §§ 1003.19(h)(1)(ii), 1003.19(h)(2)(ii) (2006).

3. An alien is not subject to mandatory detention
under section 236(c) of the Act if he was released from his non-Service
custodial setting on or before October 1998, the expiration date of
the Transition Period Custody Rules. Matter of Adeniji, 22 I&N
Dec. 1102 (BIA 1999).

4. Section 236(c)(1) of the Act provides that the
Attorney General shall take into custody any alien when the alien
is released, without regard to whether the alien is released on parole,
supervised release, or probation, and without regard to whether the
alien may be arrested or imprisoned again for the same offense, who-

a. Is inadmissible by reason of having committed
any offense covered in section 212(a)(2) of the Act. This includes:

Conviction or sufficient admission of CIMT

Conviction of controlled substance violation

Multiple criminal convictions with aggregate sentences
of 5 years

Controlled substance traffickers and certain immediate
relatives

Prostitution and commercialized vice

Certain aliens involved in serious criminal activity
who have asserted immunity from prosecution

Foreign government officials who have engaged in
particularly severe violations of religious freedom.

b. Is deportable by reason of having committed any
offense in section 237(a)(2)(A)(ii) [two or more CIMTs], (A)(iii)
[Conviction of aggravated felony], (B) [Conviction of controlled substance
violation; drug abusers and addicts], (C) [Conviction of firearms
offense], or (D) [Certain enumerated convictions].

c. Is deportable under section 237(a)(2)(A)(i) [CIMT]
on the basis of an offense for which the alien has been sentenced
to a term of imprisonment of at least 1 year, or

d. Is inadmissible under section 212(a)(3)(B) of
the Act or deportable under section 237(a)(4)(B) of the Act [Terrorist
activity].

5. Where the District Director has denied the alien’s
request for release or has set a bond of $10,000 or more, any order
of the Immigration Judge authorizing release shall be stayed upon
the Service’s filing of Form EOIR-43 with the Immigration Court on
the day the order is issued, and the decision shall be held in abeyance
pending decision on the appeal by the BIA. 8 C.F.R. § 1003.19(i)(2)
(2006); Matter of Joseph, 22 I&N Dec. 660 (BIA 1999), clarified,
Matter of Joseph, 22 I&N Dec. 799 (BIA 1999).

G. WHEN AN IMMIGRATION JUDGE MAY NOT REDETERMINE
CUSTODY STATUS:

1. On the Judge’s own motion. Matter of P-C-M-, 20
I&N Dec. 432 (BIA 1991). The application must be made by the alien
or the alien’s counsel or representative. 8 C.F.R. § 1003.19(b)
(2006).

2. If the alien is not in DHS custody (e.g., alien
is in state custody). Matter of Sanchez, 20 I&N Dec. 223 (BIA
1990).

3. If more than 7 days have elapsed since the alien
was released from DHS custody. 8 C.F.R. § 1236.1(d) (2006); Matter
of Valles, 21 I&N Dec. 769 (BIA 1997); Matter of Daryoush, 18
I&N Dec. 352 (BIA 1982); Matter of Sio, 18 I&N Dec. 176, 177
(BIA 1981); Matter of Vea, 18 I&N Dec. 171, 173 (BIA 1981). After
the expiration of the 7-day period the respondent may request review
by the District Director. 8 C.F.R. § 1236.1(d)(2) (2006).

4. The following aliens have no recourse to the Immigration
Court for bond hearing:

a. The arriving alien in removal proceedings, including
aliens paroled after arrival under section 212(d)(5) of the Act;

b. The alien in claimed status proceedings;

c. The alien in credible fear proceedings;

d. The alien in exclusion proceedings;

e. The alien in summary removal proceedings.

f. An aggravated felon alien in expedited removal
proceedings under section 238 of the Act.

5. Neither an Immigration Judge nor the BIA has authority
to adjudicate parole matters. Matter of Oseiwusu, 22 I&N Dec.
19 (BIA 1998); Matter of Matelot, 18 I&N Dec. 334, 336 (BIA 1982);
Matter of Castellon, 17 I&N Dec. 616 (1981). A returning permanent
resident alien is regarded as an "arriving alien" seeking
admission if he falls within one of the following categories of section
101(a)(13)(C) of the Act:

a. has abandoned or relinquished that status;

b. has been absent from the United States for a continuous
period in excess of 180 days;

c. has engaged in illegal activity after having departed
the United States;

d. has departed from the United States while under
legal process seeking removal of the alien from the United States,
including removal proceedings under the INA and extradition proceedings;

e. has committed an offense identified in section
212(a)(2) of the Act, unless since such offense the alien has been
granted relief under sections 212(h) or 240A(a) of the Act, or;

f. is attempting to enter at a time or place other
than as designated by immigration officers or has not been admitted
to the United States after inspection and authorization by an immigration
officer.

6. If the alien has an administratively final order
of removal or deportation. INA § 241; 8 C.F.R. § 1236.1(d)(1)
(2006); Matter of Valles, 21 I&N Dec. 769, 771 (BIA 1997); Matter
of Uluocha, 20 I&N Dec. 133, 134 (BIA 1989); Matter of Sio, 18
I&N Dec. 176, 177 (BIA 1981); Matter of Vea, 18 I&N Dec. 171,
173 (BIA 1981). After an order becomes administratively final, the
respondent may seek BIA review of the District Director’s or Immigration
Judge’s custody determination. 8 C.F.R. § 1236.1(d)(3)
(2006).

 

 

H. SIGNIFICANT FACTORS IN A BOND DETERMINATION

1. Fixed address in the United States. Matter of
Guerra, 24 I&N Dec. 37 (BIA 2006); Matter of Patel, 15 I&N
Dec. 666 (BIA 1979).

2. Length of residence in the United States. Matter
of Guerra, 24 I&N Dec. 37 (BIA 2006); Matter of Andrade, 19 I&N
Dec.488 (BIA 1987); Matter of Shaw, 17 I&N Dec. 177 (BIA 1979).

3. Family ties in the United States, particularly
those who can confer immigration benefits on the alien. Matter of
Guerra, 24 I&N Dec. 37 (BIA 2006); Matter of Andrade, 19 I&N
Dec.488 (BIA 1987); Matter of Shaw, 17 I&N Dec. 177 (BIA 1979);
Matter of Patel, 15 I&N Dec. 666 (BIA 1979).

4. Employment history in the United States, including
length and stability. Matter of Guerra, 24 I&N Dec. 37 (BIA 2006);
Matter of Andrade, 19 I&N Dec.488 (BIA 1987); Matter of Shaw,
17 I&N Dec. 177 (BIA 1979); Matter of Patel, 15 I&N Dec. 666
(BIA 1979).

5. Immigration Record. Matter of Guerra, 24 I&N
Dec. 37 (BIA 2006); Matter of Andrade, 19 I&N Dec.488 (BIA 1987);
Matter of Shaw, 17 I&N Dec. 177 (BIA 1979); Matter of San Martin,
15 I&N Dec. 167 (BIA 1974); Matter of Moise, 12 I&N Dec. 102
(BIA 1967).

6. Attempts to escape from authorities or other flight
to avoid prosecution. Matter of Guerra, 24 I&N Dec. 37 (BIA 2006);
Matter of Patel, 15 I&N Dec. 666 (BIA 1979); Matter of San Martin,
15 I&N Dec. 167 (BIA 1974).

 

7. Prior failures to appear for scheduled court proceedings.
Matter of Guerra, 24 I&N Dec. 37 (BIA 2006); Matter of Andrade,
19 I&N Dec.488 (BIA 1987); Matter of Shaw, 17 I&N Dec. 177
(BIA 1979); Matter of Patel, 15 I&N Dec. 666 (BIA 1979); Matter
of San Martin, 15 I&N Dec. 167 (BIA 1974).

8. Criminal record, including extensiveness and recency,
indicating consistent disrespect for the law and ineligibility for
relief from deportation/removal. Matter of Guerra, 24 I&N Dec.
37 (BIA 2006); Matter of Andrade, 19 I&N Dec. 488 (BIA 1987).

I. LESS SIGNIFICANT FACTORS IN A BOND DETERMINATION

1. Early release from prison, parole, or low bond
in related criminal proceedings. Matter of Andrade, 19 I&N Dec.
488 (BIA 1987); Matter of Shaw, I&N Dec. 177 (BIA 1979).

2. Ability to pay is not dispositive.

3. DHS difficulties in executing a final order of
deportation. Matter of P-C-M, 20 I&N Dec. 432 (BIA 1991).

II CASE CITATIONS–QUICK REFERENCE

 

Matter of Kotliar, 24 I& N Dec. 124 (BIA 2007).
An alien who has been apprehended at home while on probation for criminal
convictions is subject to mandatory detention under section 236 (c)(1)
of the Act, regardless of the reason for the most recent criminal
custody. The only proviso is that it must be ascertained that the
alien was released from custody after October 8, 1998, which was the
expiration date of the Transitional Period Custody Rules. An alien
need not be charged with a ground that provides for mandatory detention.

Matter of Guerra, 24 I&N Dec. 37 (BIA 2006).
In a custody redetermination under section 236(a) of the Act, where
an alien must establish to the satisfaction of the IJ that the alien
does not present a danger to others, a threat to national security,
or a flight risk, the IJ has wide discretion in deciding the factors
that may be considered. In deciding whether an alien is a danger to
others, the IJ may consider evidence that the alien was criminally
charged in an alleged controlled substance trafficking scheme, even
if the alien was not convicted of a criminal offense.

Matter of X-K, 23 I&N Dec. 731 (BIA 2005). An
alien who is initially screened for expedited removal under section
235(b)(1)(A) of the Act as a member of the class of aliens designated
pursuant to the authority in section 235(b)(1)(A0(iii) of the Act,
but who is subsequently placed in removal proceedings under section
240 of the Act following a positive credible fear determination, is
eligible for a custody redetermination hearing before an IJ unless
the alien is a member of any of the listed classes of aliens who are
specifically excluded from the custody jurisdiction of IJs pursuant
to federal regulation.

Matter of D-J-, 23 I&N Dec. 572 (A.G. 2003).
Neither section 236(a) of the Act nor the applicable regulations confer
on an alien the right to release on bond. In determining whether to
release on bond undocumented migrants who arrive in the U.S. by sea
seeking to evade inspection, it is appropriate to consider national
security interests implicated by the encouragement of further unlawful
mass migrations and the release of undocumented alien migrants into
the U.S. without adequate screening. In bond proceedings involving
aliens seeking to enter the U.S. illegally, where the Government offers
evidence from sources in the Executive Branch with relevant expertise
establishing that significant national security interests are implicated,
IJs and the BIA shall consider such interests. Considering national
security grounds applicable to a category of aliens in denying an
unadmitted alien’s request for release on bond dues not violate
any due process right to an individualized determination in bond proceedings
under section 236(a) of the Act.

Matter of Rojas, 23 I&N Dec. 117 (BIA 2001).
A criminal alien who is released from criminal custody after the expiration
of the Transition Period Custody Rules is subject to mandatory detention
pursuant to section 236(c) of the Act even if the alien is not immediately
taken into custody by INS or DHS authorities when released from incarceration.

Matter of West, 22 I&N Dec. 1405 (BIA 2000).
The mandatory detention provisions of section 236(c) of the Act do
not apply to an alien who was convicted after the expiration of the
Transition Period Custody Rules (“Transition Rules”),
but who was last released from the physical custody of state authorities
prior to the expiration of the Transition Rules and who was not physically
confined or restrained as a result of that conviction.

Matter of Saelee, 22 I&N Dec. 1258 (BIA 1999).
The BIA has jurisdiction over an appeal from a district director’s
custody determination that was made after the entry of a final order
of deportation or removal under 8 C.F.R. § 236.1 (1999). An alien
subject to a final order of deportation based on a conviction for
an aggravated felony, who is unable to be deported, may be eligible
for release from detention after the expiration of the removal period
pursuant to section 241(a)(6) of the Act.

Matter of Adeniji, 22 I&N Dec. 1102 (BIA 1999).
Section 236(c) of the Act does not apply to aliens whose most recent
release from non-Service custody occurred prior to October 9, 1998.
A criminal alien seeking custody redetermination under section 236(a)
of the Act must show he or she does not present a danger to property
or persons. It is the responsibility of the Immigration Judge and
parties to ensure the bond record establishes the nature and substance
of the specific factual information considered in reaching the bond
determination.

Matter of Joseph, 22 I&N Dec. 799 (BIA 1999).
The requisite "reason to believe" that allows the INS to
claim a respondent is subject to the mandatory detention for purposes
of the automatic stay is not sufficient for the merits of the bond
appeal. Matter of Joseph, 22 I&N Dec. 660 (BIA 1999), clarified.
For purposes of determining the custody conditions of a lawful permanent
resident under section 236(c) of the Act, a lawful permanent resident
will not be considered "properly included" in a mandatory
detention category when an Immigration Judge or the BIA finds it is
substantially unlikely that the INS will prevail on a charge of removability
specified under section 236(c)(1) of Act.

Matter of Joseph, 22 I&N Dec. 660 (BIA 1999).
The filing of a Form EOIR-43 (Notice of Intent to Appeal Custody Redetermination)
provides an automatic stay of an IJ’s order releasing an alien
who is charged with removal under one of the mandatory detention grounds
set forth in section 236(c)(1) of the Act, even where the IJ has determined
that an alien is not subject to section 236(c)(1) of the Act and has
terminated the removal proceedings on that charge. The filing of an
appeal from an Immigration Judge’s merits decision terminating removal
proceedings does not operate to stay the Judge’s release order in
related bond proceedings. Matter of Valles, 21 I&N Dec. 769 (BIA
1997), modified.

Matter of Oseiwusu, 22 I&N Dec. 19 (BIA 1998).
An Immigration Judge has no authority over the apprehension, custody,
and detention of arriving aliens and is therefore without authority
to consider the bond request of an alien returning pursuant to a grant
of advance parole.

Matter of Collado, 21 I&N Dec. 1061 (BIA 1998).
A returning lawful permanent resident cannot use the Fleuti doctrine
to seek admission to the United States. The alien must be admissible
to the United States. Matter of Ellis, 20 I&N Dec. 641 (1993),
distinguished.

Matter of Melo, 21 I&N Dec. 883 (BIA 1997). In
bond proceedings under the Transition Period Custody Rules, the standards
set forth in Matter of Drysdale, 20 I&N Dec. 815 (BIA 1994), apply
to the determinations of whether the alien’s release pending deportation
proceedings will pose a danger to the safety of persons or of property
and whether he or she is likely to appear for any scheduled proceeding.
The "in deportable" language as used in the Transition Period
Custody Rules does not require that an alien have been charged and
found deportable on that deportation ground.

Matter of Valles, 21 I&N Dec. 769 (BIA 1997).
An Immigration Judge maintains continuing jurisdiction to entertain
bond redetermination requests by an alien even after the timely filing
of an appeal with the BIA from a previous bond redetermination request.

Matter of Valdez, 21 I&N Dec. 703 (BIA 1997).
The Transition Period Custody Rules invoked October 9, 1996, govern
bond redeterminations of aliens falling within the nonaggravated felony
criminal grounds of deportation covered in those rules, regardless
of when the criminal offenses and convictions occurred. The Transition
Period Custody Rules govern bond redetermination appeals of otherwise
covered criminal aliens who are not now in custody by virtue of immigration
bond rulings rendered prior to the October 9, invocation of those
rules.

Matter of Noble, 21 I&N Dec. 672 (BIA 1997).
Bond redeterminations of detained deportable aliens convicted of an
aggravated felony are governed by the Transition Period Custody Rules
irrespective of how or when the alien came into immigration custody.

Matter of Khalifah, 21 I&N Dec. 107 (BIA 1995).
An alien subject to criminal proceedings for alleged terrorist activities
in the country to which the INS seeks to deport him is appropriately
ordered detained without bond as a poor bail risk.

Matter of Drysdale, 20 I&N Dec. 815 (BIA 1994).
An aggravated felon must pass a two-step analysis for an aggravated
felon to overcome the rebuttable presumption against his release.
One, that he is not a threat to the community, and two, that he is
not likely to abscond.

Matter of Ellis, 20 I&N Dec. 641 (BIA 1993).
In bond proceedings governed by section 242(a)(2)(B) of the Act, the
alien bears the burden of showing that he is lawfully admitted to
the United States, not a threat to the community, and likely to appear
before any scheduled hearings.

Matter of P-C-M-, 20 I&N Dec. 432 (BIA 1991).
An Immigration Judge may not redetermine custody status on his own
motion, only upon application by respondent or his representative.

Matter of De la Cruz, 20 I&N Dec. 346 (BIA 1991),
modified, Matter of Ellis, 20 I&N Dec. 641 (BIA 1993). There is
a presumption against the release of any alien from Service custody
convicted of an aggravated felony unless the alien demonstrates certain
factors. See also Matter of Yeung, 21 I&N Dec. 610 (BIA 1996).

Matter of Sanchez, 20 I&N Dec. 223 (BIA 1990).
It is not proper for an Immigration Judge to make a custody determination
under 8 C.F.R. § 242.2(c) (1990) unless INS has custody of the
respondent. A respondent who is in the custody of a state or agency
other than the INS is not in the custody of INS.

Matter of Eden, 20 I&N Dec. 209 (BIA 1990). An
alien convicted of an aggravated felony is subject to detention under
section 242(a)(2) of the Act upon completion of the incarceration
or confinement ordered by the court for such conviction.

Matter of Uluocha, 20 I&N Dec. 133 (BIA 1989)
Immigration Judges may further consider requests to modify bonds by
detained aliens without a formal motion to reopen. Such requests should
be considered on the merits. However, if there are no changed circumstances
shown, the Immigration Judge may decline to change the prior bond
decision.

Matter of Andrade, 19 I&N Dec. 488 (BIA 1987).
Case includes factors to consider and effect of early releases on
parole.

Matter of Sugay, 17 I&N Dec. 637 (BIA 1981).
Factors to consider when analyzing a bond case include employment
history; length of residence in community; family ties; record of
nonappearance; criminal violations; immigration violations; and eligibility
for relief.

Matter of Shaw, 17 I&N Dec. 177 (BIA 1979). Factors
to consider in a bond case include the manner of entering; community
ties; criminal arrest and characteristics; state criminal bond amount;
and family ties.

Matter of Chirinos, 16 I&N Dec. 276 (BIA 1977).
A bond hearing is a hearing separate and apart from other proceedings.
The hearing is informal and there is no right to a transcript. The
record may contain any information in addition to the memorandum of
decision and other EOIR forms.

 

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A_______-_______-_______
Before:_____________ Immigration Judge Date: _______-_______-_______

Language: English Spanish ________________ Interpreter: _____________________

DHS Atty: _______________ R. Counsel: _____________________
Pro se

Initial Bond: $______________; No Bond

Age: _______ Marital Status: Single Common law relationship
Legal Marriage Separated/Divorced

Family Ties & Family Immigration Status:
Spouse Mother Brother(s)
______Child(ren) Father Sister(s)
Aunts, Uncles, Cousins ___________________ ___________________

Immigration History:
Entered: ______________ Status: _____________________________________________________
______________________________________________________________________________________

Criminal Record:
___-___-___ : ___________________________ – sentenced __________; served __________ (Admit/Deny)
___-___-___ : ___________________________ – sentenced __________; served __________ (Admit/Deny)
___-___-___ : ___________________________ – sentenced __________; served __________ (Admit/Deny)
___-___-___ : ___________________________ – sentenced __________; served __________ (Admit/Deny)
______________________________________________________________________________________
______________________________________________________________________________________
Prison ? INS; Release date: ____________________

Education & Employment History:

______________________________ ( ) _____________________________ ( ) ______________________________ ( ) _____________________________ ( )

Will reside: w/ _____ at __________________________________________________________________

DHS Requests: $__________________; No Bond R. Requests: $____________________

Relief: COR/LPR COR/NLPR Pre-VR Post VR
Asylum Withholding Torture 209
Registry Adjustment Termination 212(c)/_______

Bond Decision: No Bond (Mandatory/Danger/Flight) O.R. $__________ & _________
Appeal: Waived by Both Reserved by A/I/B Due: ______-______-______

Next Hearing: Master Calendar Group Hearing Individual Calendar Con’t. Bond

for _______-_______-_______ at ______:__________ a.m./p.m.

____________________________________________________________________________________________

A_______-_______-_______

Before:_____________ Immigration Judge Date: _______-_______-_______

Language: English Spanish ________________ Interpreter: _____________________

DHS Atty: _______________ R. Counsel: _____________________

Pro se

Initial Bond: $______________; No Bond

Age: _______ Marital Status: Single Common law relationship

Legal Marriage Separated/Divorced

Family Ties & Family Immigration Status:

Spouse Mother Brother(s)

______Child(ren) Father Sister(s)

Aunts, Uncles, Cousins ___________________ ___________________

Immigration History:

Entered: ______________ Status: _____________________________________________________

______________________________________________________________________________________

Criminal Record:

___-___-___ : ___________________________ – sentenced __________; served __________ (Admit/Deny)

___-___-___ : ___________________________ – sentenced __________; served __________ (Admit/Deny)

___-___-___ : ___________________________ – sentenced __________; served __________ (Admit/Deny)

___-___-___ : ___________________________ – sentenced __________; served __________ (Admit/Deny)

______________________________________________________________________________________

______________________________________________________________________________________

Prison ? INS; Release date: ____________________

Education & Employment History:

______________________________ ( ) _____________________________ ( ) ______________________________ ( ) _____________________________ ( )

Will reside: w/ _____ at __________________________________________________________________

DHS Requests: $__________________; No Bond R. Requests: $____________________

Relief: COR/LPR COR/NLPR Pre-VR Post VR

Asylum Withholding Torture 209

Registry Adjustment Termination 212(c)/_______

Bond Decision: No Bond (Mandatory/Danger/Flight) O.R. $__________ & _________

Appeal: Waived by Both Reserved by A/I/B Due: ______-______-______

Next Hearing: Master Calendar Group Hearing Individual Calendar Con’t. Bond

for _______-_______-_______ at ______:__________ a.m./p.m.

______________________________________________________________________________________________
IMMIGRATION COURT

________________________ DETENTION FACILITY

CUSTODY REDETERMINATION QUESTIONNAIRE

BRING COMPLETED QUESTIONNAIRE TO COURT

Date:_________________

A#______________ ALIEN’S NAME___________________ AGE:_____ CURRENT STATUS_________

ATTORNEY/WAIVED:________________________________ T/A____________________________________

BOND REQUESTED:_______________FIRST ENTRY DATE________________ LAST ENTRY DATE__________________

BONDED ADDRESS/OWNER:_______________________________________________________________________________ __________________________________________________________________________________________________________

MARITAL STATUS:____________ SPOUSE’S VISA STATUS:___________

FAMILY IN THE U.S./STATUS:______________________________________________________________________________

___________________________________________________________________________________________________________

LEVEL OF EDUCATION:____________________________________________________________________________________

LAST U.S. EMPLOYMENT & DATES:________________________________________________________________________

PRIOR U.S. EMPLOYMENT & DATES:________________________________________________________________________

DOES RESPONDENT HAVE AUTHORIZATION TO WORK IN THE U.S. (YES/NO) ______________________

PROPERTY OWNED:________________________________________________________________________________________

ARRESTS/CONVICTIONS & DATES:_________________________________________________________________________

___________________________________________________________________________________________________________

DATE RELEASED FROM MOST RECENT CRIMINAL CUSTODY: _______________________________________________

DATE AND MANNER CAME INTO INS CUSTODY:____________________________________________________________

PRIOR INS HISTORY:______________________________________________________________________________________

PRIOR APPEARANCE/BOND HISTORY:_____________________________________________________________________

__________________________________________________________________________________________________________

POSSIBLE WAIVERS:______________________________________________________________________________________

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NOTES:

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CA7 Holds §212(h) Waiver Available to Petitioner Who Adjusted to LPR Status in the U.S.-Papazoglou v. Holder

7th Circuit Joins 3rd, 4th, 5th, and 11th regarding 212(h) and readjustment-Papazoglou v. Holder. August 6, 2013, Decided. The court joined four other circuits in holding that §212(h) precludes a waiver only for those persons who were LPRs at the time they lawfully entered the U.S., but ultimately upheld the BIA’s denial of the waiver as a matter of discretion.

By its plain language, § 212(h) waiver, 8 U.S.C.S. § 1182(h), is precluded only when the person was a lawful permanent resident at the time of his or her lawful entry into the United States.

Section 212(h) of the INA is an important waiver of crimes-based grounds of inadmissibility. Since 1997, § 212(h) has provided that at least some lawful permanent residents (LPR’s) cannot apply for the waiver if they (a) have been convicted of an aggravated felony since a certain type of admission or (b) have failed to accrue seven years of lawful continuous residence before service of a Notice to Appear initiating removal proceedings. Not all LPRs are subject to these bars, however. All federal courts that have addressed the issue have held that because of the particular statutory language of the bars, they are triggered when a person is admitted at a U.S. port of entry as an LPR, but are not triggered when a person adjusts status to LPR. The BIA disagrees. See Matter of Rodriguez, 25 I&N Dec. 784 (BIA 2012) and Matter of Koljenovic, 25 I&N Dec. 218 (BIA 2010).

The last paragraph of INA § 212(h), 8 USC § 1182(h) provides that the waiver is not available to certain permanent residents:

“No waiver shall be granted under this subsection in the case of an alien who has previously been admitted to the United States as an alien lawfully admitted for permanent residence if either since the date of such admission the alien has been convicted of an aggravated felony or the alien has not lawfully resided continuously in the United States for a period of not less than 7 years immediately preceding the date of initiation of proceedings to remove the alien from the United States.”

Petitioner Dimitrios Papazoglou (“Papazoglou”) is a native and citizen of Greece who entered the United States on a B-2 visitor’s visa on July 19, 1986. A little over a year later, in September 1987, he married a U.S. citizen, Hariklia Papazoglou (“Hariklia”), and based on that marriage he adjusted his status to lawful permanent resident on July 16, 1990. He has four children: a U.S. citizen stepson, Alex; a permanent resident daughter, Eleni; a U.S. citizen son Konstandinos; and a U.S. citizen son Mehalis.

On April 4, 2008, Papazoglou pled guilty to third-degree sexual assault under Wis. Stat. § 940.225(3) and physical abuse of a child in violation of Wis. Stat. § 948.03(3)(b). He was sentenced to 2 1/2 years’ imprisonment and 4 1/2 years probation.

Based on his conviction of an aggravated felony, the Department of Homeland Security (DHS) charged Papazoglou with removability under the Immigration and Nationality Act (INA) § 237(a)(2), 8 U.S.C.A. § 1227(a)(2)(A)(iii). Before the Immigration Judge (“IJ”), Papazoglou filed a Form I-485 application for adjustment of status pursuant to INA § 245(a) based on his marriage to a United States citizen, 8 U.S.C. § 1255(a), and in conjunction with that he filed a Form I-601 application for waiver of grounds of inadmissibility under INA § 212(h), which would allow him to obtain a waiver of the inadmissibility arising from that aggravated felony conviction. 8 U.S.C. § 1182(h). The IJ granted the waiver and the adjustment of status, and the government appealed that decision to the Board of Immigration Review (the “Board”). Reviewing the IJ’s decision de novo, the Board agreed with the government that Papazoglou was statutorily ineligible for the waiver. The Board also held that even if Papazoglou were eligible for the waiver, he would not be entitled to it as a matter of discretion. Papazoglou has appealed that determination to the Seventh Circuit Court.

HOLDINGS: [1]-By its plain language, 8 U.S.C.S. § 1182(h) waiver was precluded only when the person was a lawful permanent resident at the time of his or her lawful entry into the United States, and because the immigrant entered the United States on a visitor’s visa and was not a lawful permanent resident at that time, he was not precluded from consideration for the waiver; [2]-The holding was discretionary determination over which the appellate court lacked jurisdiction.

In a challenge to the denial of a § 212(h) waiver, the court lacks jurisdiction to review the Attorney General’s discretionary determination, but may review questions of law presented by the Board of Immigration Review’s construction of § 212(h).

Section 212(h) gives the Attorney General the discretion to allow noncitizens to enter or remain in the United States despite their commission of certain crimes. Prior to 1996, the only aliens categorically barred from receiving § 212(h) waivers were aliens who had been convicted of murder or criminal acts involving torture, or the attempt or conspiracy to commit such crimes. The Immigration Reform and Immigrant Responsibility Act of 1996, (IIRIRA) created a new category of ineligible aliens in § 212(h), providing that no waiver shall be granted under this subsection in the case of an alien who has previously been admitted to the United States as an alien lawfully admitted for permanent residence if since the date of such admission the alien has been convicted of an aggravated felony, 8 U.S.C.S. § 1182(h).

The appellate court determines whether to grant deference to the Board of Immigration Review’s (Board) interpretation by applying a two-part test. First, if the statute is unambiguous and has spoken directly to the precise issue such that the intent is clear, the appellate court simply gives effect to that intent. The plain language of the statute is the most instructive and reliable indicator of that Congressional intent. Where the intent is not clear and Congress has not directly addressed the precise question, courts will consider whether the agency construction of the statute is a permissible one. If the language of § 212(h), 8 U.S.C.S. § 1182(h), is plain and the intent is clear, the appellate court will apply that intent; if, however, the language of § 212(h) ambiguous, the appellate court will consider the Board’s interpretation and defer to it if that construction is a permissible one.

“Admitted” and “admission” are defined as with respect to an alien, the lawful entry of the alien into the United States after inspection and authorization by an immigration officer, 8 U.S.C.S. § 1101(a)(13)(A). That provision therefore encompasses the action of an entry into the United States, accompanied by an inspection or authorization. The subsequent term, “lawfully admitted for permanent residence,” is the status of having been lawfully accorded the privilege of residing permanently in the United States. Under 8 U.S.C.S. § 1255(b), the Attorney General shall record the alien’s lawful admission for permanent residence as of the date the order of the Attorney General approving the application for adjustment of status is made. Section 212(h) precludes a waiver only for those persons who, at the time they lawfully entered into the United States, had attained the status of lawful permanent residents.

The holdings of the circuits means that where a noncitizen: 1. initially entered the U.S. without inspection or on a nonimmigrant visa or other status (i.e. parole); 2. then adjusted his or her status within the U.S. to become a lawful permanent resident; and 3. then is convicted of an offense constituting an aggravated felony, he may apply for adjustment of status based on a new visa petition with a 212(h) waiver for the specified categories of crimes (i.e. crimes involving moral turpitude, prostitution).

For those in the 8th Circuit, that circuit court has held that a noncitizen who entered as a refugee, adjusted his status under INA 209(a), and then was convicted of an aggravated felony is ineligible for a waiver under INA 212(h) because the adjustment under INA 209(a) is an “admission.” *Spacek v. Holder*, 688 F.3d 536 (8th Cir. 2012). This is an issue to be litigated further.

Cases within the Third, Fourth, Fifth, Seventh and Eleventh Circuit Courts of Appeal. These courts held that the § 212(h) bars apply only to a person who was admitted to the United States as a lawful permanent resident at a port of entry (i.e. the border or its equivalent such as an airport). They found that the plain meaning of the § 212(h) phrase “previously been admitted to the United States” is to incorporate the statutory definition of “admission” at INA § 101(a)(13)(A), which is “the lawful entry of the alien into the United States after inspection and authorization by an immigration officer.” Adjusting status to permanent residency does not come within that definition, and therefore does not trigger the bars. See Martinez v. Mukasey, 519 F.3d 532 (5th Cir. 2008); Lanier v. United States AG, 631 F.3d 1361 (11th Cir. 2011); Bracamontes v. Holder, 675 F.3d 380 (4th Cir. 2012), Hanif v. Holder, –F.3d– (3rd Cir. September 14, 2012).

The courts based this holding on the plain language of the statute, which means they determined that they need not give Chevron deference to the BIA’s contrary interpretation on this point. Also, while these cases concerned the LPR bar based on conviction of an aggravated felony, the same standard would apply to the LPR bar based on lack of seven years lawful continuous residence.
_________________________________________________________________________________________________
In the United States Court of Appeals For the Seventh Circuit

No. 12-2372

DIMITRIOS PAPAZOGLOU, Petitioner,

v.

ERIC H. HOLDER, JR., Attorney General of the United States,

Respondent.

On Petition For Review of an Order of the Board of Immigration Appeals. No. A070-422-780

ARGUED NOVEMBER 30, 2012 — DECIDED AUGUST 6, 2013

Before BAUER, ROVNER, and WILLIAMS, Circuit Judges.

ROVNER, Circuit Judge. Petitioner Dimitrios Papazoglou (“Papazoglou”) is a native and citizen of Greece who entered the United States on a B-2 visitor’s visa on July 19, 1986. A little over a year later, in September 1987, he married a U.S. citizen, Hariklia Papazoglou (“Hariklia”), and based on that marriage he adjusted his status to lawful permanent resident on July 16, 1990. He has four children: a U.S. citizen stepson, Alex; a permanent resident daughter, Eleni; a U.S. citizen son Konstandinos; and a U.S. citizen son Mehalis.

On April 4, 2008, Papazoglou pled guilty to third-degree sexual assault under Wis. Stat. § 940.225(3) and physical abuse of a child in violation of Wis. Stat. § 948.03(3)(b). He was sentenced to 2 ½ years’ imprisonment and 4 ½ years probation.

Based on his conviction of an aggravated felony, the Department of Homeland Security (DHS) charged Papazoglou with removability under the Immigration and Nationality Act (INA) § 237(a)(2), 8 U.S.C.A. § 1227(a)(2)(A)(iii). Before the Immigration Judge (“IJ”), Papazoglou filed a Form I-485 application for adjustment of status pursuant to INA § 245(s) based on his marriage to a United States citizen, 8 U.S.C. § 1255(a), and in conjunction with that he filed a Form I-601 application for waiver of grounds of inadmissibility under INA § 212(h), which would allow him to obtain a waiver of the inadmissibility arising from that aggravated felony conviction. 8 U.S.C. § 1182(h). The IJ granted the waiver and the adjustment of status, and the government appealed that decision to the Board of Immigration Review (the “Board”).Reviewing the IJ’s decision de novo, the Board agreed with the government that Papazoglou was statutorily ineligible for the waiver. The Board also held that even if Papazoglou were eligible for the waiver, he would not be entitled to it as a matter of discretion. Papazoglou has appealed that determination to this court.

Our jurisdiction to review such decisions of the Board is limited. The Board held that Papazoglou was removable based on his commission of an aggravated felony, 8 U.S.C. § 1227(a)(2)(A)(iii), and the INA, as amended by the Illegal Immigration Reform and Immigrant Responsibility Act of 1996, precludes judicial review of such removal decisions. 8 U.S.C. § 1252(a)(2)(C); Vaca-Tellez v. Mukasey, 540 F.3d 665, 668 (7th Cir. 2008). The REAL ID Act of 2005 provides, however, that judicial review is available for constitutional claims or questions of law presented in a petition for review, and therefore we are precluded only from considering challenges that do not fall within those categories such as the Board’s discretionary determinations. Id. at 668-69; 8 U.S.C. § 1252(a)(2)(D); Hanif v. Atty. General of the United States, 694 F.3d 479, 483 (3d Cir. 2012). Therefore, in a challenge to the denial of a § 212(h) waiver, the court lacks jurisdiction to review the Attorney General’s discretionary determination, but may review questions of law presented by the Board’s construction of § 212(h). Vaca-Tellez, 540 F.3d at 669; Martinez v. Mukasey, 519 F.3d 532, 541 (5th Cir. 2008).

Papazoglou raises two arguments here. The first is that the Board erred in determining that he was statutorily ineligible for the § 212(h) waiver. Papazoglou argues that the Board improperly interpreted the statutory language, and that he was eligible for a § 212(h) waiver under the language of that statutory provision. That challenge is a legal one, which we review de novo. Klementanovsky v. Gonzales, 501 F.3d 788, 791 (7th Cir. 2007).

Papazoglou also contests the Board’s decision that it would not grant the waiver as a matter of discretion. Because we lack jurisdiction to review discretionary decisions, Papazoglou attempts to recharacterize that argument, contending that the Board erred as a matter of law in that it failed to defer to the IJ’s fact findings and it did not properly consider the evidence in the record. Accordingly, Papazoglou maintains that we have jurisdiction to review that legal error.

Section 212(h) gives the Attorney General the discretion to allow noncitizens to enter or remain in the United States despite their commission of certain crimes. Prior to 1996, the only aliens categorically barred from receiving § 212(h) waivers were aliens who had been convicted of murder or criminal acts involving torture, or the attempt or conspiracy to commit such crimes. Leiba v. Holder, 699 F.3d 346, 348-49 (4th Cir. 2012); Jankowski-Burczyk v. INS, 291 F.3d 172, 175 (2d Cir. 2002). The Immigration Reform and Immigrant Responsibility Act of 1996, (IIRIRA) created a new category of ineligible aliens in § 212(h), providing that “[n]o waiver shall be granted under this subsection in the case of an alien who has previously been admitted to the United States as an alien lawfully admitted for permanent residence if … since the date of such admission the alien has been convicted of an aggravated felony … .” 8 U.S.C. § 1182(h); . Leiba, 699 F.3d at 348-39; Jankowski-Burczyk, 291 F.3d at 175 -76. Under Chevron U.S.A. Inc. v. NRDC, Inc., 467 U.S. 837, 842-44 (1984), in considering the scope of that provision, we determine whether to grant deference to the Board’s interpretation by applying a two-part test. EEOC v. Thrivent Financial for Lutherans, 700 F.3d 1044, 1049 (7th Cir. 2012); Arnett v. C.I.R., 473 F.3d 790, 793 (7th Cir. 2007); Leiba, 699 F.3d at 348; Martinez, 519 F.3d at 542-43; Hanif, 694 F.3d at 483. First, if the statute is unambiguous and has spoken directly to the precise issue such that the intent is clear, we simply give effect to that intent. Id. The plain language of the statute is the most instructive and reliable indicator of that Congressional intent. Thrivent Financial, 700 F.3d at 1049; Martinez, 519 F.3d at 543. Where the intent is not clear and Congress has not directly addressed the precise question, courts will consider whether the agency construction of the statute is a permissible one. Id. As applied here, if the language of § 212(h) is plain and the intent is clear, we will apply that intent; if, however, the language of § 212(h) ambiguous, we will consider the Board’s interpretation and defer to it if that construction is a permissible one.

The first issue in this case is whether Papazoglou is “an alien who has previously been admitted to the United States as an alien lawfully admitted for permanent residence” as used in § 212(h). That rather tortured language has been interpreted by a number of circuits, all of which have agreed as to its meaning. See Hanif v. Atty. General of the United States, 694 F.3d 479, 483 (3d Cir. 2012); Bracamontes v. Holder, 675 F.3d 380, 386–87 (4th Cir. 2012); Lanier v. U.S. Atty Gen., 631 F.3d 1363, 1366–67 (11th Cir. 2011); Martinez v. Mukasey, 519 F.3d 532, 546 (5th Cir. 2008); see also Hing Sum v. Holder, 602 F.3d 1092, 1097 (9th Cir. 2010). Those circuits look to the definitions of “admitted” and “admission,” and the term “lawfully admitted for permanent residence,” in the INA. “Admitted” and “admission” are defined as “with respect to an alien, the lawful entry of the alien into the United States after inspection and authorization by an immigration officer.” 8 U.S.C § 1101(a)(13)(A); Leiba, 699 F.3d at 349 . That provision therefore encompasses the action of an entry into the United States, accompanied by an inspection or authorization. The subsequent term, “lawfully admitted for permanent residence,” is the status of having been lawfully accorded the privilege of residing permanently in the United States. Hanif, 694 F.3d at 485; Leiba, 699 F.3d at 350. Under 8 U.S.C. § 1255(b), the Attorney General “shall record the alien’s lawful admission for permanent residence as of the date the order of the Attorney General approving the application for adjustment of status is made.” Hanif, 694 F.3d at 485. Applying those definitions, the circuit courts of appeal have held that § 212(h) precludes a waiver only for those persons who, at the time they lawfully entered into the United States, had attained the status of lawful permanent residents. Hanif, 694 F.3d at 487; Bracamontes, 675 F.3d at 386–87; Lanier, 631 F.3d at 1366–67; Martinez, 519 F.3d at 546.

The Board has refused to follow those circuits, and applies a different interpretation in all circuits but the ones which have specifically addressed the issue and held otherwise. Urging us to follow the lead of the Board rather than the other circuits, the government argues that the definition of “admitted” is not dispositive here, because the INA also provides that when a person’s status is adjusted, that person is “lawfully admitted for permanent residence” as ofthat date of adjustment and that date constitutes the date of admission. Relying on that statutory provision, the government argues that a person is “admitted to the United States as an alien lawfully admitted for permanent residence” as of the date at which the person attains permanent resident status, because that constitutes a date of admission. That argument, however, would render irrelevant the first part of that § 212(h) provision. The provision does not preclude waiver for any person who was lawfully admitted for permanent residence; instead, it precludes waiver only for those persons who had “previously been admitted to the United States as a person lawfully admitted for permanent residence.” [emphasis added] The government’s interpretation would conflate the two requirements, and preclude waiver whenever a person was lawfully admitted for permanent residence. We will not interpret a statute in a manner that renders part of it irrelevant, particularly where, as here, the statute has an unambiguous meaning if we simply apply the definition provided in the statute itself. We agree with the other circuits that have held that by its plain language, § 212(h) waiver is precluded only when the person was a lawful permanent resident at the time of his or her lawful entry into the United States. Because Papazoglou entered the United States on a visitor’s visa and was not a lawful permanent resident at that time, he does not fall within that language and therefore is not precluded from consideration for the waiver.

That does not end our inquiry, however, because the Board held that even if Papazoglou were eligible for the waiver, it would decline to grant him a waiver as a matter of discretion. That holding is a discretionary determination over which we lack jurisdiction. Vaca-Tellez, 540 F.3d at 668. Papazoglou does not in fact dispute that we lack jurisdiction to consider discretionary determinations, and forswears any such challenge. Instead, he attempts to avoid the clear application of that jurisdictional principle here by contending that the Board based its decision not on a valid exercise of its discretion, but on an error of law as to what factors had to be considered and without the proper deference to the factual findings of the IJ. A review of Papazoglou’s claims, however, reveals that the Board applied the appropriate legal standards, and that his challenge ultimately constitutes a disagreement with the Board’s exercise of discretion in refusing to grant the waiver.

Papazoglou asserts that although the Board claimed to have left the IJ’s factual findings undisturbed, the decision of the Board reveals that the Board exceeded the scope of its authority by essentially failing to properly consider all of the relevant facts as found by the IJ. According to Papazoglou, the Board erred in that it did not respect the role of the IJ in the factfinding process, and reached new conclusions in the absence of clear error by the IJ. Papazoglou asserts that the role of the Board is a limited one, and that it may not reweigh the evidence and substitute its own evidence absent clear error.

In support of this contention, Papazoglou maintains that the Board explicitly acknowledged only two harms to Papazoglou’s qualifying relatives that would be caused by his removal: that his wife and children would suffer emotional hardship and that they would experience financial harm. According to Papazoglou, in characterizing the impact as “emotional hardship” without elaborating, the Board effectively overruled sub silentio the IJ’s finding that Papazoglou’s family would suffer severe psychiatric consequences. Papazoglou points to evidence presented that Papazoglou’s family members could experience depression and suicidal ideation as a result of his removal. In addition, Papazoglou argues that the Board merely noted the serious health conditions faced by Papazoglou’s wife, but did not analyze how those conditions would be affected by Papazoglou’s departure. Finally, Papazoglou asserts that the Board failed to discuss the IJ’s conclusions that Papazoglou presented a low risk of reoffending and that he had taken positive steps toward rehabilitation, instead stating merely that Papazoglou had developed a plan for engaging in rehabilitative services.

Those contentions unfairly characterize the Board’s decision, and do not in fact present a legal challenge. The Board explicitly referenced the findings of facts made by the IJ, stating that those factual findings were not challenged by either party on appeal and that it found no clear error as to those findings. The Board then proceeded to discuss the areas of hardship asserted by Papazoglou. Given its statement that the IJ’s determination of facts was unchallenged on appeal, the Board was not required to restate those facts in explicit detail where a shorthand reference would make clear that those facts were considered. The Board made it clear that it had reviewed and considered the facts relating to the impact on the family in terms of emotional and physical health, and the rehabilitative efforts by Papazoglou. The Board need not use the precise language of the IJ in order for us to determine that the Board properly reviewed the IJ’s fact findings, particularly where the Board has explicitly noted that there was no dispute as to those fact findings and no clear error. There is, in short, nothing here to indicate that the Board applied an improper legal standard.

Nor did the Board err in applying the law to those facts. Papazoglou repeatedly asserts that the Board selectively focused on the “bad” facts while ignoring or diminishing the “positive” facts. In fact, Papazoglou goes so far as to characterize the Board’s decision as employing a per se rule that no amount of positive equities could have allowed for a grant of relief for Papazoglou’s particular conviction, which he contends is a violation of the due process clause. That once again is an effort to recharacterize a discretionary determination as a legal or constitutional challenge, in order to shoehorn the appeal into our limited jurisdictional window. The Board held that notwithstanding the positive equities, the serious and recent criminal conviction involving sexual assault of a minor outweighed the favorable factors presented. That is a proper weighing of the factors. The Board never indicates that no amount of positive factors could outweigh such a conviction, just that in this case the balance is not favorable to Papazoglou. The Board may consider such a conviction, involving the sexual abuse of a ten year old child, to be so serious a matter that it can not easily be outweighed in determining whether a discretionary waiver is appropriate. That is not problematic. In fact, the Board declared that it did not need to determine whether the hardship rose to the level of exceptional and extremely unusual hardship under 8 CFR § 1212.7(d), choosing instead to operate from the premise that the relevant hardship standard was met and determining whether to exercise its discretion given those facts. Papazoglou’s real dispute is with the Board’s conclusion as to whether the waiver should be granted as a matter of discretion given those fact findings, but we lack jurisdiction to review that discretionary determination. Because his legal challenges are unsupported by the record, his claims are without merit and the decision of the Board is AFFIRMED.

Posted in 212(h), 212(h) and readjustment, 212(h) waiver, 7th Circuit, 7th Circuit Cases- Aliens, 8 U.S.C.S. § 1182(h), CA7 Holds §212(h) Waiver Available to Petitioner Who Adjusted to LPR Status in the U.S. | Tagged | Leave a comment

CA7 Margulis v Holder: “stand-alone” waiver of inadmissibility under section 212(h) in removal proceedings

Margulis embarked on a business trip to Canada but was stopped by Canadian immigration officers just inside Canadian territory. They refused to allow him to “enter” Canada (of course he was in Canada when they told him this). So he turned his car around and drove back across the border. He had to clear U.S. customs. The immigration officers at the customs station conducted database inquiries and discovered that Margulis had a criminal record in the United States. They allowed him to return to his home in Illinois—but also placed him in removal proceedings under section 1227(a)(2) on the basis of his criminal record, which made him removable even though his crimes had not been so serious (they had resulted in only 30 days of jail time for him) as to make him ineligible for the waiver, were he deemed readmitted to the United States. Arguing that as an arriving alien he should be eligible for the 212(h) waiver, Margulis asked that the removal proceedings be terminated and that he be placed in admissibility proceedings instead.

The Board ruled that Margulis “was not an arriving alien because he was never lawfully admitted to another country, and therefore never effected a departure from the United States.” Margulis had never “entered” Canada and so could not have returned to the U.S. Margulis was statutorily ineligible for the waiver because he was neither an arriving alien seeking to waive a ground of inadmissibility nor one seeking to waive inadmissibility in conjunction with an application for adjustment of status. See section 212(h) of the Act; 8 C.F.R. § 1245.1(f) (2013) (providing that an adjustment of status application is “the sole method of requesting the exercise of discretion under [section 212(h)] of the Act, as [it relates] to the inadmissibility of an alien in the United States”). A section 212(h) “stand-alone” waiver is not available to an alien in removal proceedings.

The Seventh Circuit remanded, reasoning that immigration officers did not treat Margulis as a lawful entrant, but deemed him already present in the U.S.; if they had thought he was seeking admission they would have placed him in admissibility proceedings rather than removal proceedings. The definition of “entry” has been repealed, yet the Board has failed to explain why the meaning of “entry” nevertheless controls Margulis’s case. “The Board has deemed applicants eligible for nunc pro tunc relief under section 212(h). See Lawal v. U.S. Attorney General, 710 F.3d 1288, 1292–93 and n. 7 (11th Cir. 2013) (per curiam). When relief is granted nunc pro tunc, it dates back to when the alien returned from a foreign trip, at which time he would have been placed in admissibility proceedings, as opposed to being admitted into the United States and placed in removal proceedings. That would have been Margulis’s situation had he been “caught” returning from one of his previous foreign trips and placed in admissibility proceedings. Sanchez would entitle him to seek in his current removal proceeding the waiver of inadmissibility that he could have sought in an admissibility proceeding upon return from one of those earlier trips.”

“The Board can reexamine, and if it wants overrule, a precedent, but it didn’t do that in this case. It ignored it. This is not permissible. An agency must give reasons for abandoning a precedent. … The citation of the case by the Board is incomprehensible, and the government’s argument in its brief that Klementanovsky displaces Sanchez is nonsense. The Board has not provided a rational basis for its decision. The petition for review is therefore granted and the case returned to the Board for further proceedings.”

“In Matter of Sanchez, 17 I. & N. Dec. 218, 223 (BIA 1980), the Board had held, quoting Matter of Tanori, 15 I. & N. Dec. 566, 568 (BIA 1976), that “a waiver of the ground of inadmissibility may be granted in a deportation proceeding when, at the time of the alien’s last entry, he was inadmissible because of the same facts which form the basis of his deportability.” That describes this case.”

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_____________________________________________________________

In the United States Court of Appeals For the Seventh Circuit

No. 12‐3611 VLADISLAV MARGULIS,

Petitioner,

v.

ERIC H. HOLDER, JR., Attorney General of the United States, Respondent.

Petition to Review Order of the Board of Immigration Appeals. No. A070‐233‐197.

ARGUED MAY 21, 2013—DECIDED AUGUST 5, 2013

Before POSNER, MANION, and ROVNER, Circuit Judges.

POSNER, Circuit Judge. A lawful permanent resident of the United States who is not a citizen is deportable (“removable,” in the current terminology) if he commits nontrivial crimes in the United States. 8 U.S.C. § 1227(a)(2). If he then leaves the United States he cannot be readmitted for at least five years (the length depends on various factors, including the ground or grounds of deportability and whether he had been ordered deported or had self‐deported, a term we take up later). See 8 U.S.C. §§ 1182(a)(9), (a)(9)(B). But the immigration authorities can waive inadmissibility if the crimes that make the alien deportable are minor. 8 U.S.C. § 1182(h) (section 212(h) of the Immigration and Nationality Act). The effect of admission is presumably to wipe the slate clean—to make him no longer deportable on the basis of the crimes he’d committed. Otherwise what would be the point of the waiver?

The alien in this case, Margulis, embarked on a business trip to Canada but was stopped by Canadian immigration officers just inside Canadian territory. They refused to allow him to “enter” Canada (of course he was in Canada when they told him this). So he turned his car around and drove back across the border. He had to clear U.S. customs. The immigration officers at the customs station conducted database inquiries and discovered that Margulis had a criminal record in the United States. They allowed him to return to his home in Illinois—but also placed him in removal proceedings under section 1227(a)(2) on the basis of his criminal record, which made him removable even though his crimes had not been so serious (they had resulted in only 30 days of jail time for him) as to make him ineligible for the waiver we mentioned, were he deemed readmitted to the United States.

Arguing that as an arriving alien he should be eligible for the waiver, Margulis asked that the removal proceedings be terminated and that he be placed in admissibility proceedings instead. The Board of Immigration Appeals refused, precipitating this petition for review. The Board ruled that Margulis had never “entered” Canada and so could not have returned to the United States.

Yet Margulis had entered Canada when he crossed the border and had returned to the United States when he recrossed the border in the other direction. Canada may if it wants call his entry into that country something else (just as Russia deems its international airport transit zones not to be Russian territory), but why should such Aesopian nomenclature bind, or for that matter influence, the U.S. immigration authorities?

One possible answer, though not mentioned by the Board and therefore unavailable to support its ruling, is that the purpose of making a criminal record that is grounds for removal forgivable in the case of a deportable alien returning to the United States is to encourage self‐deportation (that is, voluntary deportation). Klementanovsky v. Gonzales, 501 F.3d 788, 792–93 (7th Cir. 2007); Poveda v. U.S. Attorney General, 692 F.3d 1168, 1177–78 (11th Cir. 2012); Cabral v. Holder, 632 F.3d 886, 893 (5th Cir. 2011). Self‐deportation reduces the burden on the immigration authorities of dealing with illegal aliens, because it is easier for the immigration authorities to block an alien at the border from returning than it is to find and deport him once he’s back inside. The waiver is a bonus for and thus inducement to self‐deportation because it gives the self‐deporting alien a shot at becoming a lawful permanent resident of the United States.

The Board ruled that Margulis “was not an arriving alien because he was never lawfully admitted to another country, and therefore never effected a departure from the United States.” The “therefore” is hard to fathom. Suppose Margulis had made a secret trip to another country to visit a dying relative, and he had made the trip in secret because he was persona non grata in that country. Suppose he remained there for six months, until the relative died, and then returned to the United States. The Board apparently would say that he had “never effected a departure from the United States.” That sounds absurd. And the “therefore” contradicts a regulation of the Department of Homeland Security that states that “the term depart from the United States means depart by land, water, or air: (1) From the United States for any foreign place.” 8 C.F.R. § 215.1(h). That’s an exact description of what Margulis did. Even if he didn’t enter Canada, he departed “from the United States for … [a] foreign place,” just as a person who boards a plane in Chicago for a flight to Ulan Bator would say that he was departing from the United States for Ulan Bator.

For authority the Board cited, though did not discuss, its 58‐year‐old decision in Matter of T‐, 6 I. & N. Dec. 638 (BIA 1955). A lawful permanent resident of the United States boarded a ship for Germany, but was not permitted to debark there because, as he was checking his travel documents preparatory to debarking, a gust of wind swept them out of his hands and into the water. No other foreign country would let him debark either. So back he came to the United States, never having left the ship, and the Board held that this was not a new entry because he had not been admitted to any foreign country. He had entered German territorial waters, and to that extent the case is comparable to the present one. At the time, however, the immigration statute defined “entry” as (so far as related to the case) coming from “a foreign port,” 8 U.S.C. § 1101(a)(13) (repealed in 1996), and the Board thought that since the alien had been “refused entry at foreign ports” he had not entered the United States from a foreign port. 6 I. & N. Dec. at 640. The ship had docked at the port, but he had not entered the port and so could not come from it. The definition of “entry” has been repealed, yet the Board has failed to explain why Matter of T, which turned on the meaning of “entry,” nevertheless controls Margulis’s case.

There is a further wrinkle. Margulis’s abortive visit to Canada was not his first departure from the United States. Twice before he had traveled to Canada without incident, and he had also traveled to Venezuela without incident. All three trips had occurred after he had become deportable. Had the immigration authorities been on their toes, they would upon his return from one or another of these trips have placed him in proceedings to determine his admissibility, and he would have sought the waiver he sought unsuccessfully in this case; for on all three occasions he had been allowed to “enter” the foreign country, and thus when he came back to the United States he was uncontroversially a returning alien eligible for the waiver. In Matter of Sanchez, 17 I. & N. Dec. 218, 223 (BIA 1980), the Board had held, quoting Matter of Tanori, 15 I. & N. Dec. 566, 568 (BIA 1976), that “a waiver of the ground of inadmissibility may be granted in a deportation proceeding when, at the time of the alien’s last entry, he was inadmissible because of the same facts which form the basis of his deportability.” That describes this case.

The Board mentioned the Sanchez case in its opinion denying Margulis’s motion for reconsideration of its earlier decision, but said that a regulation promulgated by the Attorney General had overruled Sanchez so far as “nunc pro tunc” waivers of inadmissibility were concerned. (“Nunc pro tunc” is Latin for “now for then”; in law it means allowing retroactive correction of errors. INS v. St. Cyr, 533 U.S. 289, 294 n. 3 (2001); Gonzalez‐Balderas v. Holder, 597 F.3d 869, 870 (7th Cir. 2010).) The regulation provides, so far as bears on this case, that an application for adjustment of status “shall be the sole method of requesting the exercise of discretion under…[a list of sections of the immigration statute that includes section 212(h)], as they relate to the inadmissibility of an alien in the United States.” 8 C.F.R. § 1245.1(f).

The Board’s reliance on this regulation is very strange, since materially identical language has appeared in regulations since at least 1964, see 29 Fed. Reg. 11493 (Aug. 11, 1964)—more than fifteen years before the Sanchez decision, and before other decisions as well in which the Board has deemed applicants eligible for nunc pro tunc relief under section 212(h). See Lawal v. U.S. Attorney General, 710 F.3d 1288, 1292–93 and n. 7 (11th Cir. 2013) (per curiam). When relief is granted nunc pro tunc, it dates back to when the alien returned from a foreign trip, at which time he would have been placed in admissibility proceedings, as opposed to being admitted into the United States and placed in removal proceedings. That would have been Margulis’s situation had he been “caught” returning from one of his previous foreign trips and placed in admissibility proceedings. Sanchez would entitle him to seek in his current removal proceeding the waiver of inadmissibility that he could have sought in an admissibility proceeding upon return from one of those earlier trips.

The Board can reexamine, and if it wants overrule, a precedent, but it didn’t do that in this case. It ignored it. This is not permissible. An agency must give reasons for abandoning a precedent. National Cable & Telecommunications Ass’n v. Brand X Internet Services, 545 U.S. 967, 981–82 (2005); Motor Vehicle Mfrs. Ass’n v. State Farm Mutual Automobile Ins. Co., 463 U.S. 29, 42 (1983).

The Board cited our decision in Klementanovsky v. Gonzales, supra, for the proposition that “because [Margulis] is properly charged as a deportable alien rather than an alien seeking admission, he is not eligible for a waiver of inadmissibility nunc pro tunc under section 212(h).” This is a throwback to the Board’s discussion of “entry.” Not having “departed” from the United States (in the Board’s view), Margulis could not be “admitted” to the United States and therefore could not ask for the waiver. But Klementanovsky is not about nunc pro tunc, and though it does note that “a waiver of inadmissibility under § 212(h) may be granted nunc pro tunc to retroactively cure grounds of inadmissibility at the time of entry,” 501 F.3d at 790, Klementanovsky himself had not, so far as appears, ever left the United States after first entering it. He was not claiming to be a returning alien. The citation of the case by the Board is incomprehensible, and the government’s argument in its brief that Klementanovsky displaces Sanchez is nonsense.

The Board has not provided a rational basis for its decision. The petition for review is therefore granted and the case returned to the Board for further proceedings.

But we should note that our reference to “further proceedings” is of more than ordinary importance. Our grant of the petition for review is not a ruling that the petitioner is entitled to the waiver that he’s seeking. That remains to be seen. After the case was argued to us, the Board, in Matter of Rivas, 26 I. & N. Dec. 130 (BIA 2013), overruled Sanchez, holding that “granting a [212(h)] waiver nunc pro tunc would violate the plain language of the statute and the intent of Congress.” Id. at 134. As the overruling was based on a statutory interpretation, there may be room for argument to a reviewing court that the Rivas decision is erroneous. There is also the unanswered question whether the Board would or should apply the decision retroactively. These are matters for the Board to decide in the first instance on remand.

Moreover, although the Board did not explain the basis for its ruling that the petitioner had not “departed” from the United States and therefore had not been seeking admission to this country (a prequisite to waiver) when he returned from his blink‐of‐the‐eye visit to Canada, there may be an explanation that the Board could offer. We noted that when Congress eliminated “entry” it left untouched a regulation that defined “depart” broadly enough to encompass Margulis’s abortive trip to Canada. But the statute did more than just eliminate entry; it substituted admission. So now a petitioner in Margulis’s situation, re‐entering the United States when before departing he had committed a crime that had made him deportable, must to qualify for the waiver obtain “admission” to the United States, defined as “lawful entry … after inspection and authorization by an immigration officer.” 8 U.S.C. § 1101(a)(13)(A); see id., § 1101(a)(13)(C)(v). The immigration officers did not treat Margulis as a lawful entrant, for they placed him immediately in removal proceedings—which is to say they deemed him already present in the United States, since if they had thought he was seeking admission they would have placed him in admissibility proceedings rather than in removal proceedings. He had departed from the United States, but by not qualifying for admission was deemed ineligible for a waiver that was conditioned on his returning as a lawful entrant.

In re R‐D‐, 24 I. & N. Dec. 221 (BIA 2007), supports this approach, but only in dictum. The Board’s opinion in this case cites R‐D‐but prefaces the citation by “compare,” leaving unclear what weight the Board meant to give to that decision. Whether the Board meant to embrace the reasoning sketched above cannot be determined from its cryptic reference to R‐D‐and Matter of T‐.

PETITION FOR REVIEW GRANTED, CASE REMANDED.
__________________________________________________________________________
Matter of Rivas, 26 I. & N. Dec. 130 (BIA 2013): cof the Immigration and Nationality Act, 8 U.S.C. § 1182(h) (2006), is not available on a “stand-alone” basis to an alien in removal proceedings without a concurrently filed application for adjustment of status, and a waiver may not be granted nunc pro tunc to avoid the requirement that the alien must establish eligibility for adjustment.

Matter of Sanchez, 17 I. & N. Dec. 218, 223 (BIA 1980)
(1) A crime committed within 5 years of any entry made by an alien can form the basis for deportation under section 241(a)(4) of the Immigration and Nationality Act, 8 U.S.C. 1251(a)(4).

(2) An alien who entered the United States frequently as a commuter between 1970 and 1976, and whose mail fraud began at an unknown date and continued to July 1976, committed the crime within 5 years after entry, and when given a suspended sentence of over 1 year was deportable under section 241(a)(4).

(3) While an alien coming into the United States under custody did not make an entry, as he was not “free from actual or constructive restraint,” an entry was made at the time he was released from custody.

(4) In order for an alien to establish “domicile” in the United States for section 212(c) purposes ( 8 U.S.C. 1182(c)), he must have the intention of making the United States his home for the indefinite future; that an alien is a lawful permanent resident does not necessarily mean he is domiciled in the United States.

(5) Where for 6 years a lawful permanent resident commuted to work in the United States, but had no home here and lived for all that time with his family in Mexico, he was unable to satisfy the 7 years lawful unrelinquished domicile requirement to section 212(c), despite paying taxes here, having a California driver’s license, and registering for the Selective Service.

(6) Relief under section 212(h) of the Act may be granted nunc pro tunc in deportation proceedings in order to cure a ground of inadmissibility at the time of entry.

(7) The fact that an alien is charged with deportability under section 241(a)(4) of the Act, rather than under 241(a)(1) with an underlying basis of 212(a)(9) does not bar him from qualifying for a waiver under section 212(h).

(8) Where respondent’s child, who was born out of wedlock, may have lived with the respondent and his parents in California prior to the child’s eighteenth birthday, case is remanded for determination of the child’s possible legitimation. If the child was properly legitimated, then the respondent has established prima facie eligibility for a section 212(h) waiver.

Posted in 212(h), 212(h) waiver, 7th Circuit, 7th Circuit Cases- Aliens, arriving alien, entry, inadmissibility, nunc pro tunc relief, reentry, stand-alone waiver of inadmissibility under section 212(h), Waivers of Inadmissibility | Leave a comment

Zambrano v Holder CA7, illegal reentry bars Motion to Reopen and 212 (c) discretionary relief

Reyes, a citizen of Mexico, entered the U.S. in 1979 and was granted lawful permanent resident status in 1989. In 1993, he pled guilty to two felony counts of aggravated sexual abuse of a minor. He was sentenced to six months in prison and four years of probation. As a result, he was ordered removed in 2000. He later reentered unlawfully. In 2011, he was arrested and the 2000 removal order was reinstated. He asked the Board of Immigration Appeals to reopen his removal proceeding, arguing that his initial removal was in error because he was prevented from seeking discretionary relief from removal in 2000, but intervening Supreme Court decisions show that discretionary relief should have been available at that time. The Board denied the motion, finding it untimely and that the 90-day statutory deadline should not be equitably tolled. The Board also found that the discretionary relief he sought was not available to him, despite changes in the law, because he had reentered the country unlawfully. CA7 denied a petition for review, citing 8 U.S.C. 1231(a)(5); Reyes is barred from section 212(c) discretionary relief and his removal proceedings may not be reopened because of his illegal reentry.

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United States Court of Appeals For the Seventh Circuit

No. 12-2882

JOSE M. ZAMBRANO-REYES, also known as JOSE MANUEL ZAMBRANOREYES,

Petitioner,

v.

ERIC H. HOLDER, JR., Attorney General of the United States,

Respondent.

Petition for Review of an Order of the Board of Immigration Appeals. No. A090-933-006

ARGUED FEBRUARY 15, 2013 — DECIDED AUGUST 2, 2013

Before FLAUM, WOOD, and HAMILTON, Circuit Judges.

HAMILTON, Circuit Judge. This petition for judicial review presents questions affecting aliens who were lawful permanent residents and were removed because of criminal conduct, and especially those who then reentered the United States unlawfully. Petitioner Jose Zambrano-Reyes was a lawful permanent resident of the United States, but he was ordered removed in 2000 on account of two felony convictions. Shortly after his removal, he reentered the United States unlawfully. In 2011, he was arrested by immigration officers and his removal order from 2000 was reinstated. He then asked the Board of Immigration Appeals to reopen his original removal proceedings. He argued that his initial removal was in error because he was prevented from seeking discretionary relief from removal in 2000, while intervening Supreme Court decisions show that discretionary relief should have been available to him back in 2000.

The Board denied his motion to reopen, finding that it was untimely and that the 90-day statutory deadline should not be equitably tolled to permit Zambrano-Reyes to reopen his removal eleven years later. The Board also found that the discretionary relief he sought was not available to him, despite the changes in the law, because he had reentered the country unlawfully. Zambrano-Reyes seeks review of the denial of his motion to reopen. We have jurisdiction to review his petition under 8 U.S.C. § 1252(a)(2)(D), but we agree with the Board that Zambrano-Reyes’s unlawful reentry means he is not eligible for the relief he seeks. See 8 U.S.C. § 1231(a)(5) (barring reopening of removal proceedings); 8 C.F.R. § 1003.44(k)(2) (barring discretionary relief from removal).

I. Factual, Legal, and Procedural Background

Zambrano-Reyes is a citizen of Mexico who entered the United States in 1979 and was granted lawful permanent resident status in 1989. In 1993, he pled guilty to two felony counts of aggravated sexual abuse of a minor. He was sentenced to six months in prison and four years of probation. These convictions set the stage for the legal troubles that followed.

A. Relevant Legal Background

To understand the legal issues Zambrano-Reyes presents, we must begin with a brief history of the discretionary relief from removal that he seeks. Under section 212(c) of the Immigration and Nationality Act of 1952 (INA), if a lawful permanent resident left the United States and would have been excluded from reentering the country on one of the grounds listed in the statute, he or she could seek discretionary relief from that exclusion from the Attorney General. Pub. L. No. 82414, § 212(c), 66 Stat. 163, 187. The Board of Immigration Appeals made that discretionary relief available to lawful permanent residents who were subject to being deported, in addition to those subject to exclusion. See Matter of S—, 6 I. & N. Dec. 392, 396 (BIA 1954); Matter of Silva, 16 I. & N. Dec. 26, 27 (BIA 1976).1

In 1996 Congress twice amended the relevant portions of the INA. The first amendment barred discretionary relief under section 212(c) for those who had committed certain criminal offenses. See Antiterrorism and Effective Death Penalty Act of 1 Under immigration law, an alien is “excludable” or “inadmissible” if the government may prevent him or her from entering or reentering the United States. Both terms are also used to describe an alien who is removable because he or she is present in the United States without having been lawfully admitted. See 8 U.S.C. § 1182(a) (setting forth the grounds of inadmissibility). “Deportation” or “removal” refers to the removal of an alien who falls into any of the classes of “deportable aliens” under 8 U.S.C. § 1227(a).

1996 (AEDPA), Pub. L. No. 104-132, § 440(d), 110 Stat. 1214, 1277. Congress then eliminated section 212(c) relief altogether, replacing it with another form of discretionary relief—“cancellation of removal”—which is not available to permanent residents who have been convicted of an “aggravated felony.” Illegal Immigration Reform and Immigrant Responsibility Act of 1996 (IIRIRA), Pub. L. No. 104-208, § 304(a), 110 Stat. 3009-546, -594; cancellation of removal codified at 8 U.S.C. § 1229b(a).

AEDPA and IIRIRA did not specify whether or how their new bars to discretionary relief under section 212(c) would apply to someone in Zambrano-Reyes’s position—permanent residents who were convicted of disqualifying felonies before the new laws took effect. The Attorney General issued an opinion in 1997 stating that discretionary relief under former section 212(c) was not available in any removal proceedings occurring after AEDPA became effective. Matter of Soriano, 21 Op. OLC 1 (Op. Att’y Gen. 1997). Under the Attorney General’s view in Soriano, even if a permanent resident had pled guilty to a disqualifying crime before AEDPA was passed, as Zambrano-Reyes had done, he was ineligible for section 212(c) discretionary relief. Id. at 6.

In 2000, though, five weeks before the Board affirmed the order to remove Zambrano-Reyes, we issued an opinion that departed from the Attorney General’s view. We held that a permanent resident who had pled guilty to crimes in reliance upon the old section 212(c) discretionary relief could not be barred from that relief. Jideonwo v. I.N.S., 224 F.3d 692, 700 (7th Cir. 2000). The next year, after Zambrano-Reyes had been removed and then returned illegally, the Supreme Court similarly held that section 212(c) relief was available to permanent residents who pled guilty to crimes before AEDPA and IIRIRA that would have disqualified them from such relief under those new laws. I.N.S. v. St. Cyr, 533 U.S. 289, 326 (2001). Thus, St. Cyr meant that permanent residents who were removable on account of certain crimes could still seek discretionary relief if they pled guilty to the relevant crimes before AEDPA and IIRIRA became effective.

In evaluating such applications for relief in the wake of St. Cyr, the Board faced a further question. Though the text of the original section 212(c) applied only as relief from exclusion but not from deportation, it had been applied to both. Yet exclusion and deportation have separate statutory lists of grounds for those respective consequences. Compare 8 U.S.C. § 1182(a) with § 1227(a). The Board needed a way to determine if a permanent resident subject to deportation on grounds listed in that statute section could be eligible for relief under the exclusion statute.

As we explained in the companion criminal case, United States v. Zambrano-Reyes, No. 12-1524, — F.3d —, 2013 WL 3871002 (7th Cir. July 29, 2013), in 2005 the Board decided that section 212(c) discretionary relief would be available to a permanent resident subject to removal only if the statutory ground of removal with which the permanent resident was charged comprised a range of offenses that was “substantially equivalent” to the range of offenses covered by a statutory ground of exclusion. See In re Blake, 23 I. & N. Dec. 722, 728 (BIA 2005); In re Brieva-Perez, 23 I. & N. Dec. 766, 772-73 (BIA 2005). We affirmed this approach, known as the “comparable grounds” rule. See, e.g., Frederick v. Holder, 644 F.3d 357, 363 (7th Cir. 2011); Zamora-Mallari v. Mukasey, 514 F.3d 679, 692-93 (7th Cir. 2008). But in 2011, after the Board had reinstated Zambrano-Reyes’s removal order and after he had pled guilty to a new 2011 indictment for unlawful reentry under 8 U.S.C. § 1326(a), the Supreme Court rejected the “comparable grounds” rule as arbitrary and capricious and effectively overruled those decisions. Judulang v. Holder, 132 S. Ct. 476, 490 (2011).

In sum, only after St. Cyr was it settled that discretionary relief from removal was available to a permanent resident like Zambrano-Reyes who had pled guilty to certain criminal offenses that made him removable prior to AEDPA and IIRIRA, and only after Judulang was the path to seeking discretionary relief clear for a permanent resident whose criminal offenses rendered him removable based on a category that did not have a “comparable ground” in the list of grounds for exclusion.

B. Zambrano-Reyes’s Case

In November 1997, immigration authorities issued Zambrano-Reyes a Notice to Appear for removal proceedings and charged him as removable for having been convicted of an aggravated felony under 8 U.S.C. § 1227(a)(2)(A)(iii). He hired an attorney to represent him. At his removal hearing on June 23, 1998, the immigration judge determined that Zambrano-Reyes was removable because of his convictions for sexual abuse of a minor. The judge also ruled that, in light of the Attorney General’s Soriano opinion, Zambrano-Reyes was not eligible for the discretionary relief from removal that would have been available to him under section 212(c) prior to enactment of AEDPA and IIRIRA. Zambrano-Reyes appealed and the Board affirmed without opinion on September 29, 2000. Zambrano-Reyes did not seek judicial review, and he was removed to Mexico on November 13, 2000. He returned to the United States unlawfully sometime in January 2001. And as we explain below, that unlawful reentry has decisive consequences here.

Zambrano-Reyes apparently avoided detection for years, but he was arrested by immigration officers in June 2011. The Department of Homeland Security reinstated his original removal order that was affirmed by the Board in 2000. AR 1922. He did not contest his removability. On July 19, 2011, he was also indicted for illegal reentry in violation of 8 U.S.C. § 1326. Zambrano-Reyes pled guilty to the illegal reentry charge.

After Judulang was decided, and before he was sentenced in his criminal case, Zambrano-Reyes filed a motion to withdraw his guilty plea and challenged the legality of the 2000 removal order. He argued that he was wrongly deprived of the opportunity to seek discretionary relief under section 212(c) in his removal proceedings in 1998 because St. Cyr later overruled the Board and held that such discretionary relief was available to someone in his position. He also argued that, since his ground for removability did not have a counterpart in the statutory grounds for exclusion, he was still barred from seeking such relief until Judulang rejected the comparable grounds rule in 2011. He argued that only after Judulang was the path clear for him to seek discretionary relief. The district court denied the motion. Zambrano-Reyes appealed, and we affirmed. See United States v. Zambrano-Reyes, No. 12-1524,— F.3d —, 2013 WL 3871002 (7th Cir. July 29, 2013).

On May 14, 2012, Zambrano-Reyes filed a motion with the Board to reopen his removal proceedings. He argued that his prior immigrationattorney had provided ineffective assistance by failing to request explicitly a section 212(c) waiver during his removal proceedings and by failing to advise him that such relief might be available to him. Alternatively, he urged the Board to reopen his removal proceedings sua sponte in light of St. Cyr and Judulang. He also filed an emergency motion to stay his removal. The Board denied the motion, though, and Zambrano-Reyes was removed to Mexico on May 22, 2012.

On July 16, 2012 the Board denied the motion to reopen. The Board found that Zambrano-Reyes’smotion to reopen was untimely. It was filed more than eleven years after his original removal order was entered, long past the statutory 90-day deadline for moving to reopen removal proceedings. See 8 U.S.C. § 1229a(c)(7)(C)(i). The Board declined to apply equitable tolling to that deadline, which it may do when the petitioner has exercised due diligence, meaning that a reasonable person in that position would not have been aware of the possibility that he or she had suffered an injury and could not reasonably have been expected to file earlier. App. 4, citing Patel v. Gonzales, 442 F.3d 1011, 1016 (7th Cir. 2006) (equitable tolling “requires a showing of due diligence”); Pervaiz v. Gonzales, 405 F.3d 488, 490 (7th Cir. 2005) (the test for equitable tolling “is whether the claimant could reasonably have been expected to have filed earlier”). The Board found that Zambrano-Reyes did not exercise due diligence and could reasonably have been expected to file sooner because he indicated that he thought at the time of his representation that his attorney was not satisfactory, and thus he should have known to move to reopen at that time. In the alternative, the Board found that Zambrano-Reyes’s attorney was not ineffective, stating that it could not “conclude that the respondent’s former attorney acted ineffectively by not advising the respondent to pursue this form of relief.” Id. The Board also declined to reopen his removal order sua sponte, finding that even with the changes from St. Cyr and Judulang, Zambrano-Reyes would not be eligible for reopening or discretionary relief because of his unlawful reentry into the United States. See 8 U.S.C. § 1231(a)(5); 8 C.F.R. § 1003.44(k)(2). Zambrano-Reyes now petitions for review of the Board’s denial of his motion to reopen his removal proceedings.

II. Analysis

A. Jurisdiction

We have jurisdiction to review the Board’s denial of Zambrano-Reyes’s motion to reopen, though that conclusion takes a bit of an explanation. To summarize, we have jurisdiction to review a denial of a motion to reopen so long as we would have jurisdiction to review the underlying order. We would have jurisdiction over Zambrano-Reyes’s original removal order because he claims that it involved constitutional and legal error. Our jurisdiction does not mean, however, that relief on the merits could be available.

Appellate courts ordinarily have jurisdiction to review the Board’s denial of a motion to reopen. See Kucana v. Holder, 558 U.S. 233, 248-54 (2010) (courts have jurisdiction over motion to reopen where Board’s decision on the motion is committed to agency discretion by regulation rather than by statute); see also Tapia-Lemos v. Holder, 696 F.3d 687, 689 (7th Cir. 2012) (“Denial of a bona fide motion to reopen is reviewable under 8 U.S.C. § 1252(a).”). But Kucana left open the question “whether review of a reopening denial would be precluded if the court would lack jurisdiction over the alien’s underlying claim for relief.” Kucana, 558 U.S. at 250 n.17. In this circuit, the default answer is that “we do not have jurisdiction over the motions to reopen or reconsider if we lack jurisdiction over the underlying order.” See Cruz-Mayaho v. Holder, 698 F.3d 574, 577 (7th Cir. 2012). Thus, we have jurisdiction to review the Board’s denial of Zambrano-Reyes’s motion to reopen his removal order only if we would have jurisdiction to review the Board’s 2000 removal order itself.2

Our jurisdiction extends to Zambrano-Reyes’s original removal order to the extent that he argues on judicial review that it involved constitutional or legal error. Section 1252(a)(2)(D) of Title 8 of the U.S. Code provides that “Nothing in subparagraph (B) or (C), or in any other provision of this chapter (other than this section) which limits or eliminates judicial review, shall be construed as precluding review of constitutional claims or questions of law raised upon a petition for review … .” 8 U.S.C. § 1252(a)(2)(D). This exception applies to nearly all limits on jurisdiction in the INA, including two that would otherwise apply to Zambrano-Reyes. First, it expressly applies to section 1252(a)(2)(C), which would otherwise bar our review of Zambrano-Reyes’s removal order because it was on account of an aggravated felony. See Alvarado-Fonseca v. Holder, 631 F.3d 385, 389 (7th Cir. 2011) (section 1252(a)(2)(D) allowed jurisdiction to review order removing alien convicted of committing an aggravated felony despite section 1252(a)(2)(C)).

2 There is an exception to our default rule. Judicial review of procedural motions “is foreclosed only if the agency’s rationale for denying the procedural request also establishes the petitioner’s inability to prevail on the merits of his underlying claim.” See Cruz-Mayaho, 698 F.3d at 576–77 (internal quotations omitted), citing Calma v. Holder, 663 F.3d 868, 876 (7th Cir. 2011). But we held in Moral-Salazar v. Holder, 708 F.3d 957, 961–62 (7th Cir. 2013), that the Calma exception did not apply where the underlying order was a removal order that would be barred from review because it was entered on account of an aggravated felony. Zambrano-Reyes’s was such a removal order, so the Calma exception does not give us jurisdiction here.

Second, section 1252(a)(2)(D) also applies to our jurisdiction despite 8 U.S.C. § 1231(a)(5), which provides that if an alien who was removed reenters the United States illegally, as Zambrano-Reyes did, the order of removal “is not subject to being reopened or reviewed.” 8 U.S.C. § 1231(a)(5). Section 1252(a)(2)(D) applies to all “other provision[s] of this chapter (other than this section),” which includes section 1231(a)(5). 8 U.S.C. § 1252(a)(2)(D).

3 Other circuits have found that section 1252(a)(2)(D) can override section 1231(a)(5) to the extent the latter might otherwise bar appellate jurisdiction. See, e.g., Villegas de la Paz v. Holder, 640 F.3d 650, 656 (6th Cir. 2010) (collecting cases and stating on direct review of reinstatement proceedings that “the circuit courts that have considered the interplay between § 1252(a)(2)(D) and § 1231(a)(5) have held that § 1252(a)(2)(D) re-vests the circuit courts with jurisdiction over constitutional claims or questions of law raised in the context of reinstatement proceedings;”) (quotations omitted). Although these cases addressed jurisdiction to review an underlying removal order as a challenge to the order’s reinstatement, (…continued) section 1252(a)(2)(D)’s broad language should also apply to a motion to reopen a reinstated order. Some of the circuit cases cited by Villegas de la Paz endorsed (but did not actually apply) a “gross miscarriage of justice” exception to section 1231(a)(5). See, e.g., Garcia de Rincon v. Dep’t of Homeland Sec., 539 F.3d 1133, 1138 (9th Cir. 2008). We need not and do not endorse that standard for the purposes of this opinion. As we explain below, the potential availability of appellate jurisdiction does not mean that the Board or other immigration authorities could actually grant the relief that section 1231(a)(5) bars on the merits.

Zambrano-Reyes has raised constitutional and legal claims in his petition for review of the denial of his motion to reopen. He argues that he was denied due process in his original removal proceeding because he received ineffective assistance of counsel and that the Board erred in determining that his counsel was not ineffective. Although aliens in immigration proceedings do not have a Sixth Amendment right to the effective assistance of counsel, see Pervaiz v. Gonzales, 405 F.3d 488, 489–90 (7th Cir. 2005), they do “have a due-process right to a fair hearing.” Solis-Chavez v. Holder, 662 F.3d 462, 466 (7th Cir. 2011), citing Kay v. Ashcroft, 387 F.3d 664, 676 (7th Cir. 2004) (in removal proceedings, “counsel’s ineffectiveness may rise to the level of a due process violation if the alleged errors likely affected the outcome of the proceeding”). In holding as much, we have relied on the Board’s “body of caselaw holding that an alien’s due-process rights can be violated by his attorney’s ineffective assistance in removal proceedings.” Solis-Chavez, 662 F.3d at 466, citing Matter of Lozada, 19 I. & N. Dec. 637, 638 (BIA 1988) (“Ineffective assistance of counsel in a deportation proceeding is a denial of due process only if the proceeding was so fundamentally unfair that the alien was prevented from reasonably presenting his case.”), overruling vacated by Matter of Compean, 25 I. & N. Dec. 1 (BIA 2009).

This is true even though an alien may not have a protected liberty interest in discretionary relief. “An alien resisting removal, which would deprive him of his liberty to remain in the United States, is entitled to due process, which comprehends the right to present a defense.” Jezierski v. Mukasey, 543 F.3d 886, 889–90 (7th Cir. 2008) (internal citations omitted) (also acknowledging that there is no “entitlement to reopen on the basis of ineffective assistance of counsel,” but finding that the complexity of an immigration case “in a particular removal proceeding might be so great that forcing the alien to proceed without the assistance of a competent lawyer would deny him due process of law”). But we have declined to find jurisdiction under section 1252(a)(2)(D) over petitions raising ineffective assistance of counsel claims where we found that the Board’s denial of reopening rested on a finding that any ineffectiveness in counsel did not actually prejudice the petitioner. We have treated the question of prejudice as factual rather than legal or constitutional. Jezierski, 543 F.3d at 891 (finding no jurisdiction because Board’s prejudice determination was factual, not legal, and petitioner did not allege infringement of constitutional right).

In this case, the Board determined that Zambrano-Reyes’s counsel was not ineffective, which is a legal determination. It required analyzing the relevant controlling law on the retroactivity of AEDPA and IIRIRA at the time of Zambrano-Reyes’s removal proceedings, a task requiring legal analysis.4 And to the extent that the Board also determined that any ineffective assistance did not prejudice Zambrano-Reyes, that finding would need to be reconsidered if the Board’s initial legal determination was erroneous and thus does not defeat our jurisdiction. See Sanchez v. Keisler, 505 F.3d 641, 647-50 (7th Cir. 2007) (where discretionary determinations rested on Board’s erroneous initial determination that counsel was not ineffective, no jurisdictional bar despite Board’s alternate discretionary holdings).

We conclude that our jurisdiction extends to ZambranoReyes’s removal order because he raises a constitutional claim or legal question with regard to his underlying order of removal. Under Kucana and our default rule, we thus have jurisdiction to review the Board’s denial of his motion to reopen that order of removal. Because he raises constitutionaland legal claims, our jurisdiction also extends to the Board’s refusal to reopen Zambrano-Reyes’ removal proceedings sua sponte. See Anaya-Aguilar v. Holder, 697 F.3d 1189 (7th Cir. 2012) (bar on review of motions to reopen sua sponte does not apply where petitioner raises constitutional or legal claims), denying reh’g of 683 F.3d 369 (7th Cir. 2012). The potential obstacles to our jurisdiction here do not overcome the “strong presumption in favor of judicial review of administrative action.” St. Cyr, 533 U.S. at 298 & n.9 (collecting cases).

4 In denying Zambrano-Reyes’s motion to reopen, the Board overlooked a significant legal development in our circuit shortly before its original affirmance of his removal order in 2000. The Board wrote in 2012: “At the time of the respondent’s hearings before the Immigration Judge and during the pendency of his appeal to this Board, the controlling law indicated that he was not eligible for a section 212(c) waiver.” App. 4, citing Matter of Soriano, 21 Op. OLC 1 (Op. Att’y Gen. 1997); Turkham v. Perryman, 188 F.3d 814 (7th Cir. 1999). As noted above, over a month before the Board’s order affirming Zambrano-Reyes’s order of removal on September 29, 2000, we held in Jideonwo that “where specific facts demonstrate that an alien pled guilty to an aggravated felony before the enactment of AEDPA and relied, at least in part, on the availability of § 212(c) relief in making his decision to so plead, AEDPA’s § 440(d) cannot be applied retroactively to bar that alien from receiving a discretionary waiver under INA § 212(c).” 224 F.3d at 700. As we noted in the companion case, United States v. Zambrano-Reyes,— F.3d —, No. 12-1524, 2013 WL 3871002, slip op. at 8–9 (7th Cir. July 29, 2013), this would have been a strong argument for a motion to reopen at the time. But Zambrano-Reyes’s decision to reenter the United States illegally had the effect of blocking any relief he might have sought on this basis.

B. Merits of the Denial of the Motion to Reopen

Although we have jurisdiction, we must deny ZambranoReyes’s petition on the merits. The Board gave three reasons for denying Zambrano-Reyes’s motion to reopen: first, that he was not entitled to equitable tolling of the deadline of his motion to reopen; second, that he did not show that his former attorney was so ineffective as to impinge on the fundamental fairness of his proceedings; and third, that his case did not involve “exceptional circumstances” such that the Board would reopen his proceedings sua sponte. The Board’s reasoning on the third point is sufficient to deny Zambrano-Reyes’s petition on all grounds. Because of his unlawful reentry after his removal, Zambrano-Reyes is simply barred as a matter of law from the discretionary relief and the reopening of his removal proceedings that he seeks.

5 In Moral-Salazar v. Holder, 708 F.3d 957, 961-62 (7th Cir. 2013), we declined to extend “Kucana to removal orders where an alien has been convicted of a crime covered by the jurisdictional bar in subsection (C),” and we interpreted the phrase “final order of removal” in subsection (C) to “encompass not only the actual removal order, but all decisions closely related to the proceeding”). But Moral-Salazar did not reject the application of section1252(a)(2)(D)’s exception to subsection (C)’s jurisdictional bar. We noted that “[n]otwithstanding subsection (C)’s jurisdictional bar, we would have jurisdiction to review any legal and constitutional issues that Moral raises,” but found that he had raised none. Id. at 962.

The Board found that, even though St. Cyr and Judulang cleared two obstacles to Zambrano-Reyes seeking section 212(c) discretionary relief, one obstacle remained that could not be overcome: his illegal reentry. A regulation establishes procedures for former permanent residents such as Zambrano-Reyes, who were subject to removal on account of guilty pleas to crimes prior to the enactment of AEDPA and IIRIRA, to seek section 212(c) discretionary relief in light of St. Cyr. 8 C.F.R. § 1003.44. Under this regulation, aliens who have been “issued a final order of deportation or removal who then illegally returned to the United States” are not eligible to apply for such relief. 8 C.F.R. § 1003.44(k)(2). In denying Zambrano-Reyes’s motion to reopen, the Board cited this regulation and concluded that even when the law changed under St. Cyr, Zambrano-Reyes “was not entitled to reopening of his proceedings because he had returned to this country illegally.” That provision of the regulation implements 8 U.S.C. § 1231(a)(5), which provides that a prior order of removal “is not subject to being reopened or reviewed” if the alien has reentered the United States illegally. See 69 Fed. Reg. 57826-01, 57827 (Sept. 28, 2004) (final rule); 67 Fed. Reg. 52627, 52629 (Aug. 13, 2002) (proposed rule).

We agree with the Board that 8 C.F.R. § 1003.44(k)(2) bars Zambrano-Reyes from seeking section 212(c) discretionary relief because of his illegal reentry, despite the later developments in St. Cyr and Judulang. In publishing the rule, the Department of Justice commented that “the decision to preclude aliens under a deportation or removal order from obtaining section 212(c) relief is grounded in Congress’s intent to limit its availability to those not under deportation orders.” 69 Fed. Reg. at 57828. The Sixth Circuit has held that 8 C.F.R. § 1003.44(k)(2) barred a permanent resident from seeking section 212(c) relief where he was subject to a final order of removal and his reentry into the United States was only for the purpose of standing trial. See Mansour v. Gonzales, 470 F.3d 1194, 1200 (6th Cir. 2006). Here, there is no question that Zambrano-Reyes entered the country unlawfully after having been removed pursuant to a final order of removal. Under 8 C.F.R. § 1003.44(k)(2), even if the Board were to reopen Zambrano-Reyes’s removal proceedings, the discretionary relief he seeks would still not be available to him.

The Board correctly stated that Zambrano-Reyes is “not entitled to reopening of his proceedings because he had returned to this country illegally.” The Board cited section 1003.44(k)(2) for this proposition. To be precise, the regulation itself does not expressly state that illegal reentry bars reopening, but it clearly has that consequence. The statute that the regulation implements specifically bars review or reopening after illegal reentry: if an “alien has reentered the United States illegally after having been removed … the prior order of removal is reinstated from its original date and is not subject to being reopened or reviewed.” 8 U.S.C. § 1231(a)(5) (emphasis added).

Thus, although section 1231(a)(5) does not bar jurisdiction over Zambrano-Reyes’s petition for judicial review, it shows on the merits that his removal proceeding cannot be reopened. Any remand would be futile. The Board could not reopen his proceeding, and he is ineligible for the relief he seeks. “We need not remand an immigration case where doing so would prove futile.” Marin-Garcia v. Holder, 647 F.3d 666, 672 (7th Cir. 2011).

III. Conclusion

Regardless of St. Cyr and Judulang, Zambrano-Reyes is barred from section 212(c) discretionary relief and his removal proceedings may not be reopened because of his illegal reentry. We need not reach his other arguments against the Board’s decision. The petition is denied.

Posted in 212(c), 7th Circuit, 7th Circuit Cases- Aliens, illegal re-entry, illegal reentry, Motion to Reopen, Reinstatement removal order | Leave a comment

CA7 Holds Aggravated Felony Definition Does Not Apply to Pre-1988 Convictions: Zivkovic v. Holder

Zivkovic, a Serbian, was admitted to the U.S. as a lawful permanent resident in 1966. In 1976, he pleaded guilty to burglary and received a sentence of two to six years. In 1978, he was convicted of attempted rape and was sentenced to four to 12 years. In 2010, he was convicted of criminal trespass to a residence with a person present and of aggravated battery, where the aggravating factor was the victim’s age. In 2004 Zivkovic was charged as removable as an alien convicted of an aggravated felony as defined in 8 U.S.C. 1101(a)(43)(G); for attempt or conspiracy to commit a crime defined in 8 U.S.C. 1101(a)(43)(A) (murder, rape, or sexual abuse of a minor); and under 8 U.S.C. 1227(a)(2)(A)(ii), as an alien convicted of two crimes. The BIA ordered removal because he had committed three aggravated felonies and was not eligible for special relief under 8 U.S.C. 1182(c). The Seventh Circuit granted Zivkovic’s petition, reasoning that two of his convictions are more than 35 years old and that the law has not remained static. The statutes are ambiguous and presumptions against retroactivity and implied repeal require remand. The court noted that even one of the convictions would guarantee near-automatic removal, 8 U.S.C. 1227(a)(2)(A)(iii). CA7 held that the BIA erred by characterizing the 2010 Illinois residential trespass crime as a “crime of violence” for purposes of the aggravated felony provision of the INA. The residential trespass crime that Zivkovic committed requires only entry or remaining in a house, with the knowledge that another person is present; it says nothing about “breaking” or any other force. It did not necessarily involve the intentional violation of the will of the property owner. Neither his 1976 nor his 1978 conviction (each of which now falls within the definition of “aggravated felony”) may form the predicate for removal, because the commission of an aggravated felony did not become a ground for removal until 1988. The Board did not consider his removability for moral turpitude, but that ground remains in the record, and the Board may wish to remand to an IJ for further proceedings on that or other points that the government has properly preserved.

“We conclude that the statutes are wholly unclear on the point whether Section 7344 survives both the 1990 Act and IIRIRA. As we have just pointed out, judges addressing this issue have taken four distinct and often contradictory approaches: (1) deference to Lettman (Eleventh and Fourth Circuits plus Ninth Circuit dissent); (2) no deference to Lettman, but reliance on Section 602(d) of the 1990 Act (Second Circuit); (3) the IIRIRA amendments to 8 U.S.C. § 1101(a)(43) (dissenting judge in this case); and (4) no retroactive consequences of expanded definition for removability (Ninth Circuit majority). This level of ambiguity cannot overcome the presumptions against implied repeal and retroactivity. As the Supreme Court reminded us in Vartelas, because “[s]everal provisions of the Constitution . . . embrace the doctrine” against retroactivity, we need a clear statement of intent from Congress before we will take such an important step. 132 S. Ct. at 1486. Because Zivkovic’s aggravated felony convictions were more than a decade old before the 1988 statute took effect, they cannot be used as a ground for removal (although they can be used for many other purposes under the statute). Before closing, we state the obvious: we are only construing the law as it now stands. Congress has broad powers in this area, and it may change the rules in the future, either prospectively or, with the necessary clear statement, retrospectively.”

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724 F.3d 894 (2013)
Milija ZIVKOVIC, Petitioner,
v.
Eric H. HOLDER, Jr., Attorney General of the United States, Respondent.
No. 12-2143.

United States Court of Appeals, Seventh Circuit.
Argued September 26, 2012.
Decided July 31, 2013.

Before EASTERBROOK, Chief Judge, and WOOD and WILLIAMS, Circuit Judges.

WOOD, Circuit Judge.

Milija Zivkovic, a Serbian who has been in the United States since 1966, has petitioned for review of an order of the Board of Immigration Appeals ordering him removed from the United States. The Board found that Zivkovic was removable because he had committed three aggravated felonies and that he was not eligible for the special relief provided by Section 212(c) of the Immigration and Nationality Act (INA), 8 U.S.C. § 1182(c). Before this court, Zivkovic argues that none of the three felony convictions on which the Board relied can support its removal order. Even if one or more was properly counted, he continues, the Board erred when it rejected his eligibility for Section 212(c) relief. Finally, he complains that the Immigration Judge (IJ) should not have consulted certain conviction records that had been submitted for purposes of his bond proceeding when the IJ was considering his immigration petition.

Resolution of Zivkovic’s petition might have been straightforward, but for the fact that two of his convictions are 35+ years old, and the immigration laws have not remained static over that time. Zivkovic realizes that he must knock out all three of the aggravated felonies before his argument about Section 212(c) makes any difference, because a conviction on one alone would be enough to guarantee near-automatic removal. See Immigration and Nationality Act § 237(a)(2)(A)(iii), 8 U.S.C. § 1227(a)(2)(A)(iii). But he believes that he can do so. Our assessment of his argument requires us to delve deeply into the history of the governing provisions of the immigration laws, and in addition to consider what level of deference we owe to the Board’s effort to disentangle both the meaning of those statutes and Congress’s intent over the years to make various changes retroactive. We conclude that the statutes are ambiguous and that the twin presumptions against retroactivity and implied repeal require us to grant Zivkovic’s petition and to remand for further proceedings.

I

Zivkovic was admitted to the United States as a lawful permanent resident in 1966. Ten years later, on October 25, 1976, he pleaded guilty to the Illinois crime of burglary, now codified at 720 ILCS 5/19-1, and received a sentence of two to six years. In 1978, following a jury trial, he was convicted of attempted rape, see 720 ILCS 5/8-4 (current law defining crime of attempt); 720 ILCS 5/11-1.20 (current law defining criminal sexual assault), and was sentenced to 4 to 12 years in prison. Years later, on November 16, 2010, he was convicted under 720 ILCS 5/19-4(a)(2) for criminal trespass to a residence with a person present; for that crime, he received a three-year sentence of imprisonment. On the same day, he was convicted of aggravated battery, where the aggravating factor was the victim’s age (over 60 years), and received a five-year sentence.

In 2004 Zivkovic received a Notice to Appear from the Department of Homeland Security (DHS). The Notice charged that he was removable on several grounds: first, pursuant to 8 U.S.C. § 1227(a)(2)(A)(iii), as an alien who has been convicted of an aggravated felony as defined in 8 U.S.C. § 1101(a)(43)(G); second, for the attempt or conspiracy to commit a crime defined in 8 U.S.C. § 1101(a)(43)(A) (murder, rape, or sexual abuse of a minor); and third, under 8 U.S.C. § 1227(a)(2)(A)(ii), as an alien who has been convicted of two crimes involving moral turpitude not arising out of a single incident. DHS temporarily closed his case in 2005 to await the conclusion of criminal proceedings in Illinois state court.

On February 22, 2011, with the state case resolved, DHS restored Zivkovic’s immigration case to the calendar. This time DHS charged that Zivkovic’s 2010 residential trespass conviction was also a basis for his removability because it qualified as a “crime of violence” under the INA; DHS continued to assert that his 1976 and 1978 convictions for the aggravated felonies of burglary and attempted rape supported his removal. On November 17, 2011, the IJ determined that residential trespass is a crime of violence because, like burglary, it involves a substantial risk that physical force may be used. The IJ also concluded that Zivkovic’s 1976 and 1978 convictions counted as aggravated felonies because they are so defined in the Illegal Immigrant Reform and Immigrant Responsibility Act of 1996 (IIRIRA). In reaching this conclusion, the IJ relied on a decision of the BIA holding that the Immigration Act of 1990 made “any alien who has been convicted of a crime defined as an aggravated felony, and who was placed in deportation proceedings on or after March 1, 1991, [] deportable regardless of when the conviction occurred.” Matter of Lettman, 22 I. & N. Dec. 365, 366 (BIA 1998) (en banc). The IJ found that Zivkovic was not eligible for discretionary waiver of removal because he went to trial rather than pleading guilty to the 1978 crime, and thus he cannot demonstrate that reliance on discretionary waiver from removal changed his response to those criminal charges.

On appeal, the BIA affirmed the IJ’s determinations. Although at one point along the way, DHS had argued that Zivkovic was also removable because he had committed two crimes of moral turpitude, see 8 U.S.C. § 1227(a)(2)(A)(ii), the IJ did not specifically address that charge in his written decision. The Board also found it unnecessary to address that point; it explicitly commented that it was not reaching the moral turpitude ground and instead was affirming solely because of the aggravated felonies and ineligibility for Section 212(c) relief.

II

Because the standard of review that governs Zivkovic’s petition is central to this case, we begin by reviewing the governing principles. To the extent that his petition raises questions of law, our review is generally de novo. Alvarado-Fonseca v. Holder, 631 F.3d 385, 389 (7th Cir.2011). Nevertheless, we use the qualifier “generally” because the BIA is an expert agency. In I.N.S. v. Aguirre-Aguirre, the Supreme Court held that when a court of appeals confronts questions implicating the Board’s “construction of the statute which it administers” — here, the INA — “the court should … appl[y] the principles of deference described in Chevron U.S.A. Inc. v. Natural Resources Defense Council, Inc., 467 U.S. 837, 842, 104 S.Ct. 2778, 81 L.Ed.2d 694 (1984).” 526 U.S. 415, 424, 119 S.Ct. 1439, 143 L.Ed.2d 590 (1999).

This does not mean, however, that Chevron applies to every issue that arises in an immigration case, for the simple reason that some questions of law do not depend on agency expertise for their resolution. The first preliminary question we must address is whether the question before us — what counts as a “crime of violence” for purposes of INA § 101(a)(43)(F), 8 U.S.C. § 1101(a)(43)(F) — is one for which Chevron deference is required. (For convenience, in the remainder of this opinion we omit the parallel citations to the INA and use only the citation found in Title 8.) Section 1101(a)(43)(F) says that “a crime of violence (as defined in section 16 of Title 18, but not including a purely political offense) for which the term of imprisonment [is] at least one year.” Id. (emphasis added). Section 16 of Title 18, which addresses Crimes and Criminal Procedure, is one of the “general provisions” collected in Chapter 1 of the Code. No one thinks that the Board of Immigration Appeals has the authority to set the boundaries of the term “crime of violence” for every criminal prosecution in the United States; the great majority of these cases are entirely unrelated to immigration law. Nor is there any hint that Congress intended the Board to craft a particularized definition of this general statute for use exclusively in immigration proceedings. Instead, Congress elected to refer the Board to the general definition of “crime of violence” when that becomes important for immigration purposes. In these circumstances, one cannot say that the Board exercises any delegated power to interpret the governing statute — 18 U.S.C. § 16 — and thus Chevron deference does not apply to that aspect of the Board’s reasoning. See Flores v. Ashcroft, 350 F.3d 666, 671 (7th Cir.2003).

The second preliminary question is whether we owe Chevron deference to the Board’s decision about the retroactivity of a newly added provision of the immigration laws. At first glance, this might appear to be a closer question: after all, retroactivity (or the lack of retroactivity) is central to the determination of the content of the law at any given time. But in this case we have the benefit of a Supreme Court decision that is directly on point. In I.N.S. v. St. Cyr, 533 U.S. 289, 121 S.Ct. 2271, 150 L.Ed.2d 347 (2001), the Court addressed the question whether certain amendments to the INA should be applied retroactively. The respondent, Enrico St. Cyr, pleaded guilty to a controlled-substance offense; he entered his plea just before the effective date of the Antiterrorism and Effective Death Penalty Act of 1996 (AEDPA), 110 Stat. 1214, which was quickly amended by IIRIRA, 110 Stat. 3009-546. The specific question before the Court was whether the provisions of AEDPA and IIRIRA eliminating waivers of deportation under INA § 212(c) applied retroactively to a person in St. Cyr’s position. Importantly for present purposes, the Immigration and Naturalization Service (DHS’s predecessor) had taken the position that the new provisions were retroactive and thus that St. Cyr was ineligible for the 212(c) waiver. Among other things, the agency argued that the Court should extend Chevron deference to “the BIA’s interpretation of IIRIRA as applying to all deportation proceedings initiated after IIRIRA’s effective date [as St. Cyr’s was].” 533 U.S. at 320 n. 45, 121 S.Ct. 2271. The Supreme Court dismissed that argument with the following comment:

We only defer, however, to agency interpretations of statutes that, applying the normal “tools of statutory construction,” are ambiguous. [Chevron, 467 U.S.] at 843, n. 9 [104 S.Ct. 2778]; INS v. Cardoza-Fonseca, [480 U.S. 421, 447-48, 107 S.Ct. 1207, 94 L.Ed.2d 434 (1987)]. Because a statute that is ambiguous with respect to retroactive application is construed under our precedent to be unambiguously prospective, Landgraf [v. USI Film Products, 511 U.S. 244, 264, 114 S.Ct. 1483, 128 L.Ed.2d 229 (1994)], there is, for Chevron purposes, no ambiguity in such a statute for an agency to resolve.

533 U.S. at 320 n. 45, 121 S.Ct. 2271. Landgraf recognized that Congress has the power to make a statute retroactive, but it stressed that “a requirement that Congress first make its intention clear helps ensure that Congress itself has determined that the benefits of retroactivity outweigh the potential for disruption or unfairness.” 511 U.S. at 268, 114 S.Ct. 1483.

In Vartelas v. Holder, ___ U.S. ___, 132 S.Ct. 1479, 182 L.Ed.2d 473 (2012), the Supreme Court was again confronted with the question whether a provision of the immigration laws operated retroactively. It was a question, as the Court noted, “not addressed by Congress: As to a lawful permanent resident convicted of a crime before the effective date of IIRIRA, which regime governs, the one in force at the time of the conviction, or IIRIRA?” Id. at 1483. Noting that Congress did “not expressly prescribe the temporal reach of the IIRIRA provision in question, 8 U.S.C. § 1101(a)(13),” id. at 1487, the Court turned directly to Landgraf, with no mention of Chevron, to answer the question. It observed that the restraint added by IIRIRA ranked as a “new disability” for lawful permanent resident aliens, rejecting the dissent’s argument that this was not the case because the legislature had attached no disability to past conduct. Id. at 1487-88. It then reiterated that “[t]he operative presumption … is that Congress intends its laws to govern prospectively only.” Id. at 1491. As in St. Cyr, the alien had in all likelihood relied on the law that existed at the time of his plea of guilty (before IIRIRA). This independent assessment resulted in a finding of no retroactivity.

Interestingly, the government’s brief in Vartelas conceded that the Second Circuit “reviews the retroactive application of statutes de novo, without Chevron deference.” Brief for the Respondent at *9 [2009 WL 7498491], Vartelas v. Holder, 620 F.3d 108 (2d Cir.2009). The Second Circuit reiterated this rule in its Vartelas opinion, stating that it “consider[s] the issue of retroactivity de novo, without giving deference to the opinion of the BIA, as the question … does not concern the sort of statutory gap that Congress has designated the BIA to fill, nor a matter in which the BIA has particular expertise.” 620 F.3d at 117-18 (internal quotation marks omitted). Although the dissenting Justices in Vartelas disagreed on the merits, they did not question the majority’s use of Landgraf as the governing standard for analyzing the retroactivity question. To the contrary, the dissent said that “the Court is correct that this case is governed by our longstanding interpretive principle that, in the absence of a contrary indication, a statute will not be construed to have retroactive application,” citing Landgraf. See Vartelas, 132 S.Ct. at 1492-93 (dissenting opinion of Scalia, J.).

Unlike our dissenting colleague, we see nothing in the Court’s recent decision in Arlington v. Federal Communications Commission, ___ U.S. ___, 133 S.Ct. 1863, ___ L.Ed.2d ___ (2013), that undermines this analysis. Arlington reaffirms the general principle that a court must defer to an agency’s reasonable interpretation of the scope of its own authority, regardless of whether that issue concerns the agency’s jurisdiction or any other interpretation of its enabling statute. Id. at 1868 (“No matter how it is framed, the question a court faces when confronted with an agency’s interpretation of a statute it administers is always, simply, whether the agency has stayed within the bounds of its statutory authority.”) (Emphasis in original). Nothing in Arlington instructs courts to skip the first step of the Chevron process — that is, the assessment whether there is any ambiguity to be addressed after applying the ordinary tools of statutory construction. If those tools of statutory construction point clearly to a finding of no retroactivity, that is the end of it: the agency’s views never come into play. Because the Supreme Court itself has provided an unambiguous legal rule for retroactivity questions, and we have no issue before us pertaining to the boundaries of the agency’s authority, we conclude that Arlington does not drive our analysis here.

We conclude that this is not a situation in which any ambiguity (which if present would trigger deference to the agency) remains after applying the ordinary tools of statutory construction. St. Cyr tells us that Congress is the master here, and it essentially eliminates ambiguity from the picture by classifying all statutes as prospective except those that Congress has clearly designated as retroactive. Our sister circuits have come to the same conclusion. See Martinez v. I.N.S., 523 F.3d 365, 372-73 (2d Cir.2008); Camins v. Gonzales, 500 F.3d 872, 880 (9th Cir.2007); Hem v. Maurer, 458 F.3d 1185, 1189 (10th Cir.2006); Dinnall v. Gonzales, 421 F.3d 247, 251 (3d Cir.2005); Sarmiento Cisneros v. U.S. Att’y Gen., 381 F.3d 1277, 1280 (11th Cir.2004); Arevalo v. Ashcroft, 344 F.3d 1, 9-10 (1st Cir.2003); Ojeda-Terrazas v. Ashcroft, 290 F.3d 292, 300 n. 53 (5th Cir.2002); Bejjani v. I.N.S., 271 F.3d 670, 679-80 (6th Cir.2001), abrogated on other grounds by Fernandez-Vargas v. Gonzales, 548 U.S. 30, 126 S.Ct. 2422, 165 L.Ed.2d 323 (2006); Velasquez-Gabriel v. Crocetti, 263 F.3d 102, 106 n. 2 (4th Cir. 2001). The question whether Zivkovic’s crime qualified under Section 1101(a)(43)(F) as a “crime of violence,” and the questions whether and to what extent certain amendments to the immigration laws apply retroactively, are all issues of law that this court must review de novo, without the use of Chevron deference.

III

We turn now to a detailed look at the governing law, which has changed over the years. The INA itself was passed in 1952 (Act of June 27, 1952, c. 477, Title I, § 101, 66 Stat. 166); it has been amended many times since then. The first such amendment that we must consider appeared in the Anti-Drug Abuse Act of 1988, Pub.L. No. 100-690, 102 Stat. 4181. Section 7342 of that statute added the term “aggravated felony” to the definitions found in 8 U.S.C. § 1101(a) through the following new paragraph:

(43) The term “aggravated felony” means murder, any drug trafficking crime as defined in section 942(c)(2) of title 18, United States Code, or any illicit trafficking in any firearms or destructive devices as defined in section 921 of such title, or any attempt or conspiracy to commit any such act, committed within the United States.

Section 7343 of the Anti-Drug Abuse Act set out rules for the retention in custody of aliens who had committed aggravated felonies and specified that they were ineligible for voluntary departure. Section 7344 read as follows:

(a) IN GENERAL. — Section 241(a)(4) (8 U.S.C. 1251(a)(4)) is amended —

(2) [sic] by inserting after the semicolon the following: “or (B) is convicted of an aggravated felony at any time after entry;”.

(b) APPLICABILITY. — The amendments made by subsection (a) “8 U.S.C. 1251 note” shall apply to any alien who has been convicted, on or after the date of the enactment of this Act, of an aggravated felony.

(Section 1251 was later transferred to 8 U.S.C. § 1227, which is now the section of the law describing which aliens are “deportable.”)

It is worth noting in passing that Zivkovic did not become deportable as of November 18, 1988 (the effective date of the Anti-Drug Abuse Act) based on his 1974 and 1976 offenses. That is so for two independent reasons. First is the age of the offenses: both convictions pre-dated the “date of the enactment” of that Act, and they were therefore excluded by Section 7344(B). Second, his crimes of burglary and attempted rape did not fall within the definition of “aggravated felony” provided by Section 7342 of the Anti-Drug Abuse Act.

In 1990, Congress passed another law amending the INA; it called this simply the Immigration Act of 1990, Pub.L. No. 101-649, 104 Stat. 4978. Among many other things, the 1990 Act (as we shall call it, in an effort to minimize confusing acronyms) changed the definition of “aggravated felony” and revised the grounds for deportation. It broadened the definition of “aggravated felony” in a variety of ways. Section 501(a) of the 1990 Act sets out the changes to the definition:

(a) IN GENERAL. — Paragraph (43) of section 101(a) (8 U.S.C. 1101(a)) is amended —

* * *

(2) by inserting “any illicit trafficking in any controlled substance (as defined in section 102 of the Controlled Substances Act), including” after “murder,”,

(3) by inserting after “such title,” the following: “any offense described in section 1956 of title 18, United States Code (relating to money laundering), or any crime of violence (as defined in section 16 of title 18, United States Code, not including a purely political offense) for which the term of imprisonment imposed (regardless of any suspension of such imprisonment) is at least 5 years,”,

(4) by striking “committed within the United States”,

(5) by adding at the end the following: “Such term applies to offenses described in the previous sentence whether in violation of Federal or State law.”, and

(6) by inserting before the period of the sentence added by paragraph (5) the following: “and also applies to offenses described in the previous sentence in violation of foreign law for which the term of imprisonment was completed within the previous 15 years”.

Section 501(b) specified the effective date of these changes, stating that

[t]he amendments made by subsection (a) shall apply to offenses committed on or after the date of the enactment of this Act, except that the amendments made by paragraphs (2) and (5) of subsection (a) shall be effective as if included in the enactment of section 7342 of the Anti-Drug Abuse Act of 1988.

Interestingly, although the controlled substance amendments and the clarification with respect to state-law offenses relate back to the Anti-Drug Abuse Act, subpart (3) of the 1990 Act, which adds crimes of violence to the definition, applies only from the date of enactment (November 29, 1990) of the new statute.

Section 602(a) of the 1990 Act amended the law (then 8 U.S.C. § 1251, now § 1227) to restate the criminal offenses that provided grounds for deportation. As amended, Section 1251(a)(2)(A)(iii) provided that “[a]ny alien who is convicted of an aggravated felony at any time after entry is deportable.” Section 602(c) (which is central to our analysis below) sets forth a rather opaque set of rules for effective dates:

(c) SAVINGS PROVISION. — Notwithstanding the amendments made by this section, any alien who was deportable because of a conviction (before the date of the enactment of this Act) of an offense referred to in paragraph (15), (16), (17), or (18) of section 241(a) of the Immigration and Nationality Act, as in effect before the date of the enactment of this Act [a series of offenses related to alien registration and wartime crimes], shall be considered to remain so deportable. Except as otherwise specifically provided in such section and subsection (d), the provisions of such section, as amended by this section, shall apply to all aliens described in subsection (a) thereof notwithstanding that (1) any such alien entered the United States before the date of the enactment of this Act, or (2) the facts, by reason of which an alien is described in such subsection, occurred before the date of the enactment of this Act.

Even though the last eight lines of this “savings provision” might be read to make the changes retroactive, the new definition of “aggravated felony” applied only prospectively, according to Section 501(d) of the 1990 Act. Thus, the 1990 Act did not authorize Zivkovic’s deportation based on his 1976 and 1978 offenses, since they did not count as aggravated felonies thanks to Section 501(d).

The next material changes that Congress made to the treatment of aggravated felonies appear in IIRIRA, Pub.L. No. 104, Div. C, 110 Stat. 3009-546 (Sept. 30, 1996). IIRIRA did several things relevant to Zivkovic’s case. First, it expanded the definition of “aggravated felony” to include rape and burglary punishable by more than one year imprisonment. Second — and this is the language on which the dissent primarily rests — it includes two statements that bear on retroactivity. The first one says:

The amendments made by this section shall apply to action taken on or after the date of enactment of this Act regardless of when the conviction occurred.

The second appears in the hanging paragraph at the end of Section 1101(a)(43), and says:

Notwithstanding any other provision of law (including any effective date), the term [aggravated felony] applies regardless of whether a conviction was entered before, on, or after September 30, 1996 [i.e., the date of IIRIRA’s enactment].

IIRIRA also repealed Section 212(c) of the INA, which had given the Attorney General discretion to waive removal of aliens who had resided in the U.S. for at least seven years. In St. Cyr, the Supreme Court held that the repeal of Section 212(c) operated only prospectively.

We address the effect of IIRIRA on the earlier statutes in more detail below, as we consider Zivkovic’s specific arguments. In short, however, Zivkovic can avoid removal only if he either can demonstrate that none of the three convictions on which DHS relied can serve as the basis of its removal order, or, failing that, he can seek relief from removal under Section 212(c).

IV

We begin by clearing away two issues that appear relatively straightforward to us: Zivkovic’s eligibility for Section 212(c) relief, and the use of his 2010 conviction for criminal trespass to a residence as a basis for his removal as an aggravated felon. We then turn to the more difficult question, common to the 1976 and 1978 convictions, whether they can support the Board’s decision.

A. Section 212(c)

We take up this point first simply to emphasize the importance of the legal effect of Zivkovic’s three crimes. Because he is not eligible for Section 212(c) relief under this circuit’s law, his case turns exclusively on the proper treatment of those crimes.

Although the Supreme Court found in St. Cyr that IIRIRA’s repeal of Section 212(c) relief was not retroactive, its opinion was not unqualified. Instead, the Court distinguished the situation of “people who entered into plea agreements with the expectation that they would be eligible” for that relief. St. Cyr, 533 U.S. at 321, 121 S.Ct. 2271. It noted that plea agreements “involve a quid pro quo between a criminal defendant and the government.” Id. We have understood St. Cyr to require a demonstration that the defendant affirmatively abandoned rights or admitted guilt in reliance on a chance of obtaining Section 212(c) relief. See Khodja v. Holder, 666 F.3d 415, 420 (7th Cir.2011) (applying St. Cyr to petitioner who affirmatively abandoned his right to pursue a judicial recommendation against deportation).

The Court’s later decision in Vartelas, however, cautioned against placing too much weight on actual reliance. In Vartelas, the Court had to rule on the retroactivity of a provision of IIRIRA limiting the right of a permanent resident alien who had been convicted of a felony to travel outside the United States and then return as a matter of right. It decided against retroactivity. The loss of the right to leave the country briefly and then return, it concluded, imposed a new disability on this class of persons. As the Court noted, “neither [Vartelas’s] sentence, nor the immigration law in effect when he was convicted and sentenced, blocked him from occasional visits to his parents in Greece.” 132 S.Ct. at 1487. Where a finding of retroactivity would saddle the petitioner with new consequences from an old conviction, the affected person need not also demonstrate that he relied on the absence of those new consequences. This did not mean, however, that reliance had to be disregarded entirely; to the contrary, the Court observed that “[w]hile the presumption against retroactive application of statutes does not require a showing of detrimental reliance, reasonable reliance has been noted among the `familiar considerations’ animating the presumption.” Id. at 1491 (quotations and citations omitted).

Based on Vartelas, the Fifth Circuit has concluded that even people who have rejected a plea agreement and gone to trial may take advantage of St. Cyr’s ruling. Carranza-De Salinas v. Holder, 700 F.3d 768 (5th Cir.2012). The petitioner there had delayed appealing her conviction so that she could build a record showing rehabilitation, and then the law changed to eliminate Section 212(c) relief. St. Cyr’s general holding about the nonretroactivity of the repeal of Section 212(c), along with petitioner’s demonstrated “likelihood of reliance on prior law,” were enough to convince the Fifth Circuit to hold that the petitioner was entitled to pursue Section 212(c) relief. Id. at 773-74. Zivkovic does not point to a similar record, and so we are inclined to save for another day the question whether we should revisit the role that reliance has played in this court’s law. We focus instead on the point that was central to Vartelas — the fact that retroactive application of the travel restrictions would have imposed a significant new legal disability on the petitioner entirely apart from the consequences of a criminal conviction on a person’s eligibility for relief under Section 212(c). In Zivkovic’s case, the only disabilities on the table are the criminal convictions themselves, not a right to travel, to work, or the like. It is true that IIRIRA, by adding his offenses to the ranks of “aggravated felonies,” changed the consequences for removability, but we do not understand that to be the kind of additional legal disability that Vartelas was addressing.

To the extent that reliance remains relevant, we note as well that there is no way that Zivkovic could have relied on Section 212(c) when either his 1976 or his 1978 criminal cases were adjudicated, for the simple reason that the law did not provide for removal based on those felonies at all. Thus, unlike St. Cyr, who prevailed on a retroactivity challenge because of the loss of a chance to avoid removal based on an offense that had supported removal since 1988 (sale of a controlled substance), Zivkovic presents a case in which the underlying offenses were not even on the aggravated felony list until 18 and 20 years after his convictions for them. He is thus in the strange position of seeking relief under Section 212(c) based on offenses that did not become aggravated felonies until the passage of the very statute that repealed Section 212(c).

We conclude that Section 212(c) relief is not available in this unusual situation. We do so both because Zivkovic did not incur a new legal disability in the sense that Vartelas used, nor did he rely on the availability of Section 212(c) relief. The Board thus correctly found that Zivkovic is ineligible as a matter of law for relief under Section 212(c). This means that his petition for review can be granted only if none of the three convictions on which the Board relied could support his removal as an aggravated felon.

B. The 2010 Conviction: Residential Trespass

As it reads today, the INA provides that “[a]ny alien who is convicted of an aggravated felony at any time after admission is deportable.” 8 U.S.C. § 1227(a)(2)(A)(iii). Turning back to the
definitions section of the Act, 8 U.S.C. § 1101, we find an extensive list of crimes that Congress has identified as aggravated felonies. Id. § 1101(a)(43)(A) through (U). The only one that applies to Zivkovic is subpart (F), which (as we already have noted) identifies “a crime of violence (as defined in section 16 of Title 18, but not including a purely political offense) for which the term of imprisonment [is] at least one year.” Title 18, section 16, provides that

The term “crime of violence” means —

(a) an offense that has as an element the use, attempted use, or threatened use of physical force against the person or property of another, or

(b) any other offense that is a felony and that, by its nature, involves a substantial risk that physical force against the person or property of another may be used in the course of committing the offense.

18 U.S.C. § 16. This is a familiar test: subpart (a) relies on the formal elements of the offense, while subpart (b) turns on the existence of a substantial risk of physical force.

The Illinois felony of residential trespass found in 720 ILCS 5/19-4(a)(2) is committed

when, without authority, [the person] knowingly enters the residence of another and knows or has reason to know that one or more persons is present or he or she knowingly enters the residence of another and remains in the residence after he or she knows or has reason to know that one or more persons is present.

Id. All parties agree that this crime does not include as an element the attempted or threatened use of physical force against the person or property of another. It therefore does not qualify as a crime of violence under 18 U.S.C. § 16(a). The more difficult question is whether residential trespass is a crime involving a substantial risk that physical force will be used against the person or property of another for purposes of 18 U.S.C. § 16(b).

In construing Section 16(b) in an immigration case, the Supreme Court has taken a categorical approach. See Leocal v. Ashcroft, 543 U.S. 1, 125 S.Ct. 377, 160 L.Ed.2d 271 (2004). We know this because the underlying facts in Leocal left no doubt that physical force actually had been used against another: the petitioner there was convicted of driving under the influence of alcohol, and the underlying facts showed that he had crashed and caused serious injury to someone. The Court confirmed that the language of Section 16 “requires us to look to the elements and the nature of the offense of conviction, rather than to the particular facts relating to petitioner’s crime.” Id. at 7, 125 S.Ct. 377. See Jimenez-Gonzalez v. Mukasey, 548 F.3d 557, 561 (7th Cir.2008). Applying that test, it explained that even though driving under the influence of alcohol is physically dangerous, that is not enough. Section 16(b) does not encompass all negligent misconduct, nor does it cover all offenses that create a substantial risk that injury will result from the person’s conduct. 543 U.S. at 10, 125 S.Ct. 377. A mens rea higher than “the merely accidental or negligent conduct involved in a DUI offense” is necessary. Id. at 11, 125 S.Ct. 377. “[R]eckless disregard in § 16(b),” the Court explained, “relates not to the general conduct or to the possibility that harm will result from a person’s conduct, but to the risk that the use of physical force against another might be required in committing a crime.” Id. at 10, 125 S.Ct. 377 (first emphasis in original, second emphasis added). The Court added that the phrase “crime of violence” suggests “a category of violent, active crimes,” and cautioned against blurring the distinction between the “violent crimes Congress sought to distinguish for heightened punishment and other crimes.” Id. at 11, 125 S.Ct. 377.

In Zivkovic’s case, the BIA began appropriately by applying Leocal’s “categorical approach.” In determining that “residential trespass” is a violent crime, it analogized that crime to burglary, which the Supreme Court has recognized as a “classic” example of a crime meeting the requirements of Section 16(b). Id. at 10, 125 S.Ct. 377. The BIA also relied on this court’s ruling that “residential entry” is a crime of violence under Section 4B1.2 of the U.S. Sentencing Guidelines; that section calls for enhanced penalties for offenses “involv[ing] conduct that presents a serious potential risk of physical injury to another.” U.S.S.G. § 4B1.2(a)(2); see United States v. Gardner, 397 F.3d 1021, 1023 (7th Cir.2005) (emphasis added). In Gardner, the relevant statute said that “[a] person who knowingly or intentionally breaks and enters the dwelling of another person commits residential entry, a Class D felony.” Ind.Code § 35-43-2-1.5 (1993). Id. at 1023. That crime, we concluded, qualifies as a crime of violence under Section 4B1.2 of the Guidelines and perhaps even 18 U.S.C. § 16(b), on which the government had relied by analogy. Id. at 1023-24. In the course of breaking and entering, there is a “serious risk that an occupant could be injured.” Id. at 1024 (emphasis added).

Gardner differs from the present case, however, in ways that the BIA failed to recognize. First, the definition of “crime of violence” under Section 4B1.2 of the sentencing guidelines is significantly different from the one found in Section 16(b). The guidelines require only a “potential risk of physical injury,” while Section 16(b) requires a “substantial risk that physical force” may be used. (Emphasis added.) The level of risk is therefore different. In addition, a risk of “physical injury” (Section 4B1.2) is not the same as the risk that the offender will apply “physical force” (Section 16(b)) to the victim. Physical force may or may not result in injury, depending on how severe it is. Cf. Johnson v. United States, 559 U.S. 133, 140, 130 S.Ct. 1265, 1270-71, 176 L.Ed.2d 1 (2010) (holding that the term “physical force” in 18 U.S.C. § 924(e)(2)(B)(i) “means violent force — that is, force capable of causing physical pain or injury to another person”) (emphasis in original). The Court’s analysis in Leocal illustrates the difference between these two standards. Driving under the influence presents a “risk of physical injury,” but the Court found that this was not the same as the intentional, active “use of physical force” described in Section 16(b). In Gardner, the crime of “residential entry” required knowing or intentional breaking and entering the dwelling of another. Gardner, 397 F.3d at 1023. This kind of breaking and entry offense closely resembles burglary, and it is logical to assume that there is a substantial risk that physical force at least against the property of another will be used in the commission of the offense.

We recognize that since Gardner, the Supreme Court has concluded that attempted burglary qualifies as a crime of violence under the Armed Career Criminal Act (ACCA), 18 U.S.C. § 924(e). See James v. United States, 550 U.S. 192, 127 S.Ct. 1586, 167 L.Ed.2d 532 (2007). In our view, however, James does not undermine Leocal’s holding; indeed, the majority did not even cite Leocal. James involved ACCA, which like the guidelines defines a crime of violence as an offense “involv[ing] conduct that presents a serious potential risk of physical injury to another.” § 924(e)(2)(B). The standard under ACCA thus differs materially from the one under 18 U.S.C. § 16(b): the latter requires active use of physical force, while the former looks only for potential risk of physical injury.

The residential trespass crime that Zivkovic committed requires only entry or remaining in a house, with the knowledge that another person is present; it says nothing about “breaking” or any other force. It thus is quite different from the crimes in Gardner and James, where the offenses necessarily involved the intentional violation of the will of the property owner. In contrast, the Illinois statute that Zivkovic violated says that the entry (or remaining) must be “without authority”; it does not say that the person had to know that the entry (or act of remaining) was unauthorized. A person could commit residential trespass by walking through a neighbor’s open door under the mistaken belief that she is hosting an open house, a party, or a garage sale. People v. Davis, 360 Ill.Dec. 189, 968 N.E.2d 682, 685-86 (Ill.App.Ct.2012) (holding that the “without authority” element of Section 19-4(a)(2) need not be knowing). Importantly, Illinois has a crime of “home invasion” that is more serious than residential trespass but less serious than burglary. “Home invasion” is residential trespass plus either physical injury, use of force, or threats to use force. 720 ILCS 5/19-6(a)(4). This crime, which does contemplate the use of force, is closer to the Indiana crime of residential entry at issue in Gardner or to the generic crime of burglary. We conclude that the BIA erred by characterizing the Illinois residential trespass crime as a “crime of violence” for purposes of the aggravated felony provision of the INA.

C. The 1976 and 1978 Convictions

There is no question that Zivkovic’s old convictions meet the current definition of a “crime of violence” under 18 U.S.C. § 16, and thus under the INA, 8 U.S.C. § 1101(a)(43)(F). The 1976 conviction was for burglary, and the 1978 conviction was for attempted rape, and Zivkovic received substantial sentences for each one (two to six years and four to twelve years). The issue here is retroactivity: does the net effect of the changes in the INA that we described in Part III of this opinion allow the Board to rely on those convictions to support removal?

Our dissenting colleague believes that this is a simple question to answer. He points to the language in the hanging paragraph to 8 U.S.C. § 1101(a)(43), which as we noted above provides that “[n]otwithstanding any other provision of law (including any effective date), the term [aggravated felony] applies regardless of whether a conviction was entered before, on, or after [IIRIRA’s effective date].” (Emphasis added.) We agree with him that this clearly makes the new definition applicable to all prior convictions. But it is one thing to define conduct as an aggravated felony, and a distinct thing to conclude that the sections of the statute prescribing grounds for removal have also been amended.

We are not the first to make this observation. Both the Supreme Court and the BIA have consistently distinguished between definitions and consequences. See 8 C.F.R. § 316.10(b)(1); St. Cyr; and Matter of A-A-, 20 I. & N. Dec. 492 (BIA 1992). Recognizing that distinction here does not deprive either the amended definition of “aggravated felony” or the hanging paragraph of force. To the contrary, there are many immigration consequences from being an aggravated felon other than removability, and no one has argued that IIRIRA does not apply with full force to most of them. For example, someone defined as an aggravated felon pursuant to IIRIRA is ineligible for any discretionary waiver of removal (either the cancellation of removal otherwise possible for legal permanent residents or a discretionary waiver of inadmissibility for those guilty of a crime of moral turpitude); he is ineligible for any discretionary immigration benefit that requires a showing of good moral character, such as seeking U.S. citizenship; he may not seek asylum or withholding of removal based on the threat of persecution in the country of removal; if removed on other grounds, an aggravated felon may not reenter the country legally without a special waiver; and an aggravated felon is ineligible for voluntary departure. See generally IMMIGRATION POLICY CENTER, Aggravated Felonies: An Overview, http://www.immigrationpolicy.org/just-facts/aggravated-felonies-overview (last visited July 26, 2013). The point is that each consequence must be evaluated independently, to see if Congress intended to import the new definition (reaching all aggravated felonies, no matter when committed) into that part of the statute.

The Board has taken the position that the 1990 Act created a comprehensive new statutory framework, which consolidated the grounds for deportation and repealed by implication a variety of earlier scattered statutory provisions, including Section 7344(b) of the Anti-Drug Abuse Act of 1988. See Matter of Lettman, 22 I. & N. Dec. 365 (BIA 1998) (en banc). In Lettman, a majority of the Board permitted use of a pre-1988 conviction for murder (a crime defined as an aggravated felony in the Anti-Drug Abuse Act of 1988) to support the alien’s removal. It did so despite the fact that the Anti-Drug Abuse Act, which had added for the first time the term “aggravated felony,” also highlighted the prospective nature of this change in Section 7344(b). The Board relied on the language providing that the amendments “shall apply to any alien who has been convicted, on or after the date of the enactment of this Act, of an aggravated felony.” Three members of the Board dissented.

Initially, the Eleventh Circuit ruled that the Board had erred in Lettman, see Lettman v. Reno, 168 F.3d 463 (11th Cir.1999), but upon reconsideration the court decided to give Chevron deference to the Board’s understanding of the effective date of the changes made by the 1990 Act. 207 F.3d 1368, 1370 (11th Cir.2000). The court did so in reliance on I.N.S. v. Aguirre-Aguirre, 526 U.S. 415, 119 S.Ct. 1439, 143 L.Ed.2d 590 (1999), which had commanded such deference to the Board’s interpretation of the term “serious nonpolitical crime” for purposes of 8 U.S.C. § 1253(h)(2)(C). But the Eleventh Circuit failed to note that the question of retroactivity before it is quite different from the question how to interpret a particular phrase unique to the immigration laws. We have already explained why we do not believe, in light of St. Cyr and Vartelas, that Chevron deference applies to retroactivity determinations, even though it does apply to run-of-the-mill questions of interpretation that are unique to the immigration statutes and thus within the Board’s expertise, such as the one in Aguirre-Aguirre.

The absence of Chevron deference does not mean that we must disregard the Eleventh Circuit’s underlying reasons for upholding the result in Lettman; it means only that we evaluate the Board’s position in Lettman with an open mind, bearing in mind the more flexible principles of Skidmore v. Swift & Co., 323 U.S. 134, 65 S.Ct. 161, 89 L.Ed. 124 (1944), and United States v. Mead Corp., 533 U.S. 218, 121 S.Ct. 2164, 150 L.Ed.2d 292 (2001). In reviewing the Board, the Eleventh Circuit began with the proposition that the 1990 Act redesignated the aggravated felony ground but did not expressly either enact or re-enact any corresponding date restriction. The only help with respect to dates comes from Section 602(c) of the 1990 Act, set forth above. Unfortunately, the second sentence of that provision is practically indecipherable:

Except as otherwise specifically provided in such section and subsection (d), the provisions of such section, as amended by this section, shall apply to all aliens described in subsection (a) thereof notwithstanding either that the alien entered the United States before the 1990 Act took effect or that the grounds for deportation occurred before the date of the enactment of this Act.

(Emphasis added.) The Board recognized that it is difficult at best to know what Congress was talking about when it said “such section” twice. Does this passage apply to the aggravated felony ground in the form that it originally had in 1988 — date restriction and all? If so, that particular ground (which was new to the law in 1988) would remain prospective as of 1988. (No one is arguing for any earlier starting point, and so we disregard that possibility.) Or does “such section” mean the 1988 aggravated felony ground without the date restriction? In that case, the date restriction on the underlying acts would disappear and the 1990 Act would be fully retroactive on this point. This is, as the Eleventh Circuit recognized, purely a question of statutory construction. As the Supreme Court held in Mulcahey v. Catalanotte, 353 U.S. 692, 77 S.Ct. 1025, 1 L.Ed.2d 1127 (1957), Congress has the authority to pass a law requiring deportation regardless of when the supporting facts took place. The question is only what did it do in the set of statutes we are considering.

The Eleventh Circuit was persuaded by several of the reasons that the BIA offered when it chose the second of those interpretations — that is, full retroactivity. It thought that full retroactivity better reflected Congress’s desire in 1990 to simplify the immigration laws, because this reading eliminated the need to check earlier versions. In addition, the Eleventh Circuit had already adopted this reading as it related to the former firearms ground for deportation (which appears in a different part of the Anti-Drug Abuse Act). See Lopez-Amaro v. INS, 25 F.3d 986 (11th Cir.1994); see also Lewis v. INS, 194 F.3d 539, 545-46 (4th Cir.1999) (also deferring to the Board’s Lettman decision). The Eleventh Circuit rejected Lettman’s argument that the firearms ground was materially different because it was amended substantively in the 1990 Act, while the aggravated felony ground was carried forward unchanged and was merely re-codified.

In Bell v. Reno, 218 F.3d 86 (2d Cir. 2000), the Second Circuit took a different approach to Lettman. It found that Chevron deference to the Board’s view was not appropriate, writing that the Board’s interpretation was “not sustainable because it runs afoul of the longstanding presumption against the retroactive application of ambiguous statutory provisions.” Id. at 93 (citing Landgraf, 511 U.S. at 265, 114 S.Ct. 1483). The court pointed out that in Lettman the Board had not conducted a retroactivity analysis under Landgraf. Had it done so, the court said, “it would have been compelled to conclude that § 602(c) cannot be construed to apply to convictions that pre-date the [Anti-Drug Abuse Act],” since both the majority and the dissent in Lettman acknowledge that the provision is ambiguous. Id. at 94. The Second Circuit turned instead to the effective date provision of the 1990 Act, Section 602(d), which states that the amended definition of “aggravated felony” should apply only to deportation proceedings initiated after March 1, 1991. The court understood that language to mean that it should apply the deportation consequences to any aggravated felon no matter when the qualifying felony was committed, so long as the proceeding itself was initiated after March 1, 1991. Id. at 94-96.

In Ledezma-Galicia v. Holder, 636 F.3d 1059 (9th Cir.2010), the Ninth Circuit rejected the approaches of both the Eleventh Circuit and the Second Circuit. There, petitioner Ledezma-Galicia was a lawful permanent resident alien. He was convicted in September 1988 of sodomy, for sexually assaulting a minor. That crime is now defined as an aggravated felony by 8 U.S.C. § 1101(a)(43)(A), and thus (putting retroactivity to one side) it currently is a ground for removal under 8 U.S.C. § 1227(a)(2)(A)(iii). But at the time Ledezma-Galicia was convicted of his state crime, he could not have been removed for that or any other aggravated felony, because this was before November 18, 1988, when the Anti-Drug Abuse Act added the category of “aggravated felony” to the INA.

The Ninth Circuit focused on two central questions: “First, did § 602 of the 1990[Act] preserve or override [the Anti-Drug Abuse Act] § 7344(b), the [Anti-Drug Abuse Act’s] temporal limitation on aggravated felony deportations? Second, if [the Anti-Drug Abuse Act] § 7344(b) survived the [1990 Act], did IIRIRA in 1996 eliminate its temporal limitation?” 636 F.3d at 1066. Like us, the Ninth Circuit recognized that Chevron deference does not apply to the question whether a statute should be applied retroactively. Turning to the Board’s Lettman decision, the Ninth Circuit concluded that the Board “took a fundamentally wrong turn in its analysis” when it decided to concentrate on the “except” clause of the 1990 Act, Section 602(c). Id. at 1068. In the Ninth Circuit’s view, whether the “except” clause referred to the pre-1990 Act or post-1990 Act version of INA Section 241(a) was of no importance. That is because Section 7344(b) (part of the Anti-Drug Abuse Act of 1988) was never part of Section 241 to begin with; only Section 7344(a) amended Section 241. That meant, the court reasoned, that Section 7344(b) “was always an entirely free-standing temporal limitation provision.” Id. at 1069. Because Section 7344(b) was never part of 241, it was unaffected by Section 602(c)’s references to “such section.” Finally, the Ninth Circuit concluded that nothing in the 1990 Act (or any other legislation) has repealed Section 7344(b), either explicitly or by implication. Indeed, the court found, repeal of Section 7344(b) would have produced odd results. Id. at 1072. Like the Anti-Drug Abuse Act, the 1990 Act treated the definition of aggravated felony as something distinct from the aggravated-felony ground for deportation. This made sense, because otherwise why would Section 501 of the 1990 Act have separately specified the temporal reach of the new definitions? If Section 7344(b) had been impliedly repealed by the 1990 Act, the provision in the 1990 Act itself specifying that certain of the amendments in Section 501(a) would be effective from the date of the 1988 Anti-Drug Abuse Act would have been pointless. Id. at 1073. The court was also influenced in its decision by the presumptions against retroactivity and implied repeals.

IIRIRA did not affect the Board’s decision in Lettman, because those proceedings began well before the statute’s 1996 date of enactment. In Ledezma-Galicia, however, the Ninth Circuit had to consider its impact, because it was IIRIRA that added “sexual abuse of a minor” to the list of aggravated felonies in the INA. IIRIRA also made its amended definition applicable to all aliens, regardless of their date of conviction. As it had done earlier, the court rejected the argument that the definition automatically dictated the immigration consequences. Instead, the court found it necessary to look at the particular consequence (removal) and see if it should be applied retroactively. The court concluded that Ledezma-Galicia was not removable by reason of being an aggravated felon, because the removal provision of the statute does not apply to convictions that occurred prior to November 18, 1988.

Judge Bybee dissented from the majority’s opinion, but his opening line makes a telling point. He wrote: “There is no polite way to say this: The statutory scheme we are required to parse in this case is a mess. It is a model of ambiguity and misdirection.” 636 F.3d at 1080. That said, he would have deferred to the BIA’s understanding of the interactions among all of these statutes and would have denied the petition for review. But Judge Bybee’s statement illustrates the exact problem that the St. Cyr Court identified as precluding any such deference in light of the Landgraf presumption against retroactivity — where the statute is admittedly “a model of ambiguity,” Congress has not made the necessary clear statement of retroactive intent.

Where, then, does all of this leave Zivkovic? If we were to follow Ledezma-Galicia, the conclusion would be that neither his 1976 nor his 1978 conviction (each of which now falls within the definition of “aggravated felony”) may form the predicate for removal, because the commission of an aggravated felony did not become a ground for removal until 1988. If, on the other hand, we were to follow the Eleventh and Fourth Circuits (which followed the Board’s reasoning in Lettman), the result would be to say that Section 602(c) of the 1990 Act not only placed the definition of aggravated felony in a different part of the statute, but it also cryptically wiped away any temporal limitations on use of such a conviction for purposes of removal. Were we to follow the Second Circuit, we would permit the use of Zivkovic’s two old felonies not because we would be deferring to the Board, but because his removal proceedings were initiated after March 1, 1991. Finally, our dissenting colleague proposes yet another approach, bypassing the 1990 Act as ambiguous but instead finding a clear rule for retroactive removability in IIRIRA.

It appears to be common ground that neither the 1990 Act nor any other statute passed after the Anti-Drug Abuse Act of 1988 has expressly repealed Section 7344(b), the provision stating that the deportation consequences of the newly defined group of aggravated felonies operate prospectively as of the effective date of the 1988 Act. A finding of retroactivity would thus need to rest on implied repeal, a topic on which the Supreme Court provided useful guidance in National Association of Home Builders v. Defenders of Wildlife, 551 U.S. 644, 127 S.Ct. 2518, 168 L.Ed.2d 467 (2007):

While a later enacted statute (such as the [Endangered Species Act]) can sometimes operate to amend or even repeal an earlier statutory provision (such as the [Clean Water Act]), “repeals by implication are not favored” and will not be presumed unless the “intention of the legislature to repeal [is] clear and manifest.” Watt v. Alaska, 451 U.S. 259, 267 [101 S.Ct. 1673, 68 L.Ed.2d 80] (1981) (internal quotation marks omitted). We will not infer a statutory repeal “unless the later statute `expressly contradict[s] the original act'” or unless such a construction “is absolutely necessary … in order that [the] words [of the later statute] shall have any meaning at all.”

Id. at 662, 127 S.Ct. 2518 (some internal quotations omitted). We do not find any irreconcilable conflict among the Anti-Drug Abuse Act, the 1990 Act, and IIRIRA, nor did either of the later statutes comprehensively replace the underlying INA. See Radzanower v. Touche Ross & Co., 426 U.S. 148, 154, 96 S.Ct. 1989, 48 L.Ed.2d 540 (1976). Instead, what we find is the confusion that Judge Bybee described. Out of that mess, we can extract a number of observations.

• Section 7344(b) of the 1988 Anti-Drug Abuse Act applies only to one of many categories of deportable criminal offenses listed in the 1990 Act, which sets out thirty grounds for deportation and fourteen categories of deportable criminal offenses.

• There is no clear signal in the text of the 1990 Act indicating that it is repealing Section 7344(b) of the 1988 statute.

• When Section 7344(b) was enacted, the INA already contained a provision nearly identical to the one in the 1990 Act — that is, one that applied the INA’s grounds for deportation regardless of when the facts occurred. This means that the Anti-Drug Abuse Act was creating an exception to an understood rule.

• The 1990 Act added several new crimes to the definition of “aggravated felony.” It provided that three of these crimes would be grounds for deportation only if they were based on post-1990 Act convictions; the other two would be “effective as if included” in Section 7342 of the 1988 Act.

• IIRIRA also did no more than to expand the definition of aggravated felony. The new grounds it provided for deportation are of no importance to Zivkovic’s case.

We conclude that the statutes are wholly unclear on the point whether Section 7344 survives both the 1990 Act and IIRIRA. As we have just pointed out, judges addressing this issue have taken four distinct and often contradictory approaches: (1) deference to Lettman (Eleventh and Fourth Circuits plus Ninth Circuit dissent); (2) no deference to Lettman, but reliance on Section 602(d) of the 1990 Act (Second Circuit); (3) the IIRIRA amendments to 8 U.S.C. § 1101(a)(43) (dissenting judge in this case); and (4) no retroactive consequences of expanded definition for removability (Ninth Circuit majority). This level of ambiguity cannot overcome the presumptions against implied repeal and retroactivity. As the Supreme Court reminded us in Vartelas, because “[s]everal provisions of the Constitution … embrace the doctrine” against retroactivity, we need a clear statement of intent from Congress before we will take such an important step. 132 S.Ct. at 1486. Because Zivkovic’s aggravated felony convictions were more than a decade old before the 1988 statute took effect, they cannot be used as a ground for removal (although they can be used for many other purposes under the statute). Before closing, we state the obvious: we are only construing the law as it now stands. Congress has broad powers in this area, and it may change the rules in the future, either prospectively or, with the necessary clear statement, retrospectively.

V

This leaves two loose ends to tie up, one of which is relatively unimportant and the other of which is significant. Zivkovic argued that the IJ should not have considered evidence from his bond proceedings during the removal proceedings, because the judges are supposed to maintain separate records for the two types of cases. We find no merit in this argument. The IJ is quite able to keep separate records while at the same time taking into account relevant evidence that arises in either proceeding. Zivkovic’s conviction documents would have been admitted in a flash in each set of proceedings if the government had introduced them separately. We have no desire to make the system even more inefficient than it already is.

The other question relates to the proper disposition of Zivkovic’s case. We are granting his petition for review, but that means only that the case will be returned to the Board for further proceedings. Earlier, the Board had no occasion to consider his removability for moral turpitude, but that ground remains in the record, and the Board may wish to remand to an IJ for further proceedings on that or other points that the government has properly preserved.

The petition for review is GRANTED and the case is returned to the Board for further proceedings consistent with this opinion.

EASTERBROOK, Chief Judge, dissenting.

My colleagues have written a complex opinion in a simple case. Zivkovic wants a waiver of inadmissibility under 8 U.S.C. § 1182(c). He is ineligible if even one of his convictions is an “aggravated felony” as defined in 8 U.S.C. § 1101(a)(43). I disregard Zivkovic’s conviction for residential trespass. It is enough if either burglary or attempted rape is an “aggravated felony.”

Section 1101(a)(43)(G) says that burglary is an aggravated felony if the sentence was a year or more, as Zivkovic’s was. Section 1101(a)(43)(A) says that rape is an aggravated felony, and § 1101(a)(43)(U) adds that “an attempt or conspiracy to commit an offense described in this paragraph” likewise is an aggravated felony. (“[T]his paragraph” refers to all of (a)(43): lettered parts of a section are “subsections” and the numbered parts of subsections are “paragraphs.” See Office of the Legislative Counsel, United States Senate, Legislative Drafting Manual § 112 (1997).) This leaves only the question whether § 1101(a)(43) applies to convictions rendered during the 1970s. The answer is yes. The final, hanging sentence of § 1101(a)(43) reads: “Notwithstanding any other provision of law (including any effective date), the term [aggravated felony] applies regardless of whether the conviction was entered before, on, or after September 30, 1996.”

A plainer declaration of retroactivity is hard to imagine — and the Supreme Court said exactly this in INS v. St. Cyr, 533 U.S. 289, 295 & n. 4, 121 S.Ct. 2271, 150 L.Ed.2d 347 (2001), when stating that the definition of aggravated felonies in § 1101(a)(43) applies “without regard to how long ago they were committed.” To drive the point home, the Court repeated this observation, quoting from the hanging sentence, 533 U.S. at 319 & n. 43, 121 S.Ct. 2271, and adding that this shows that Congress knows how to make a change retroactive. Id. at 320, 121 S.Ct. 2271.

My colleagues today nonetheless hold that, even if the full list of “aggravated felonies” consolidated in § 1101(a)(43) applies to pre-1996 convictions, those older convictions do not carry the statutorily prescribed consequences of aggravated felonies — and this despite contrary conclusions of the responsible agency, Matter of Lettman, 22 I. & N. Dec. 365 (1998) (en banc), and three other courts of appeals. Bell v. Reno, 218 F.3d 86 (2d Cir.2000); Lewis v. INS, 194 F.3d 539, 544-46 (4th Cir.1999); Lettman v. Reno, 207 F.3d 1368 (11th Cir.2000). Today’s decision follows a divided panel in the Ninth Circuit. Ledezma-Galicia v. Holder, 636 F.3d 1059 (9th Cir.2010). But it is contrary to the language of § 1101(a)(43), the view of the Supreme Court, and the holdings of three other circuits.

The majority opinion is so long and complex because it tries to sort out the relation among the 1988, 1990, and 1996 Acts (sometimes dubbed ADAA, IMMAct, and IIRIRA) by using tools other than the language of the statute now in force. If we want to know whether the current definition of “aggravated felony” applies to pre-1996 convictions (and thus pre-1988 and pre-1990 convictions) we need not go beyond the hanging sentence at the end of § 1101(a)(43). No backstory is needed.

The presumption against retroactivity tells us how to deal with ambiguity, but the hanging sentence is pellucid. St. Cyr said as much. The 1988 and 1990 Acts survive in part in § 1101(a)(43), but their effective dates are history; the hanging sentence tells us how the date of convictions matters today. As for “implied repeal”: the 1988 Act said that it was not retroactive, and the 1990 Act was ambiguous about retroactivity. Neither was “repealed” by the statement in 1996 that the definition as amended is retroactive. The 1988 statement “this Act is not retroactive” is 100% compatible with the 1996 declaration “Ah, but this Act is retroactive.” Neither modifies the other. It’s not as if the 1988 Act said: “Any statute enacted later will not make these substantive changes apply to older convictions.” Then the 1996 Act would have repealed that part of the 1988 Act. But that’s not what happened. There is no “repeal” when a more recent Congress declares that the current definition applies whether or not the date mattered under a predecessor statute. (Recall that the hanging sentence begins: “Notwithstanding any other provision of law (including any effective date) …” (emphasis added).) Section 7344(b) of the 1988 Act, and § 602 of the 1990 Act, tell us the temporal reach of those Acts; they are not part of the United States Code and do not control the temporal reach of § 1101(a)(43) as amended in 1996 and later.

The hanging sentence of § 1101(a)(43) decides this case. Once we conclude that the 1996 Act’s changes to § 212(c) apply to Zivkovic (I agree with Part IV.A of the majority’s opinion), everything else becomes irrelevant.

My colleagues reach a different conclusion because they agree with Ledezma-Galicia that, although the definitions in § 1101(a)(43) apply to older convictions, the consequences of those definitions are not necessarily retroactive. I don’t get it — nor did Judge Bybee, dissenting in Ledezma-Galicia, 636 F.3d at 1080-92. Congress has addressed through § 1101(a)(43) which criminal convictions count as aggravated felonies. Other parts of the statute specify the effects of that label. In the main, an alien convicted of an aggravated felony is removable and ineligible for discretionary relief. Particular parts of the Immigration and Nationality Act outside § 1101(a)(43) may or may not be retroactive, but not because of anything in the 1988 and 1990 Acts.

The only part of immigration law plausibly limiting today’s consequences of pre-1996 convictions that count as aggravated felonies under § 1101(a)(43) would be § 212(c), 8 U.S.C. § 1182(c), the subject of St. Cyr. But all three members of this panel conclude that Zivkovic — whose convictions for burglary and attempted rape predate the legislation authorizing waiver of inadmissibility for such crimes, and who therefore cannot have relied on the pre-1996 version of § 212(c) when making choices in the criminal prosecutions — does not get any benefit from St. Cyr’s limitation on how § 212(c) applies to pre-1996 convictions. See Part IV.A of the majority opinion.

If § 1101(a)(43) applies to all pre-1996 convictions, and § 212(c) thus forecloses a waiver of inadmissibility, then what statute is it that withholds the “consequences” of Zivkovic’s conviction? My colleagues do not say, and neither did Ledezma-Galicia.

Our opinion in Alvarado-Fonseca v. Holder, 631 F.3d 385 (7th Cir.2011), left open the possibility of distinguishing definitions from consequences, while hinting that it doubted the Ninth Circuit’s hair-splitting. The panel in Alvarado-Fonseca refrained from a definitive conclusion, however, because the alien had failed to raise before the BIA an argument based on this elusive distinction.

The reason to get the Board’s view is that its understanding of the relation among the 1988, 1990, and 1996 Acts deserves substantial weight in resolving disputes about their interaction. See Chevron U.S.A. Inc. v. Natural Resources Defense Council, Inc., 467 U.S. 837, 104 S.Ct. 2778, 81 L.Ed.2d 694 (1984), and, e.g., Holder v. Martinez Gutierrez, ___ U.S. ___, 132 S.Ct. 2011, 2017, 182 L.Ed.2d 922 (2012); Negusie v. Holder, 555 U.S. 511, 516-17, 129 S.Ct. 1159, 173 L.Ed.2d 20 (2009); INS v. Aguirre-Aguirre, 526 U.S. 415, 424-26, 119 S.Ct. 1439, 143 L.Ed.2d 590 (1999). To resolve Zivkovic’s application for a waiver, the Board had to decide whether the 1996 decision that § 1101(a)(43) applies to all older convictions leaves any room for a conclusion that some aliens who have “aggravated felonies” (thus defined) on their records nonetheless are spared the normal consequences. My colleagues think that issue cloudy and wrestle with it at length. Ambiguity in an agency’s organic statute is the core of Chevron’s domain, and this is true even if the dispute concerns the agency’s authority. Arlington v. FCC, ___ U.S. ___, 133 S.Ct. 1863, ___ L.Ed.2d ___ (2013).

Although my colleagues point out that the Supreme Court did not use Chevron when resolving retroactivity issues in Vartelas v. Holder, ___ U.S. ___, 132 S.Ct. 1479, 182 L.Ed.2d 473 (2012), it was not asked to do so. Issues not presented by the parties are not resolved. Chevron was argued in St. Cyr and addressed in a footnote, 533 U.S. at 320 n. 45, 121 S.Ct. 2271, which observes that Chevron matters only when other tools do not provide an answer. That’s Chevron’s Step One. St. Cyr said that the rule requiring clear language to warrant retroactivity was such a tool, leaving no gap for the agency to fill. My colleagues conclude from this that Chevron is irrelevant to all questions related to retroactivity. Yet the hanging sentence of § 1101(a)(43), which makes the amended definition retroactive, supplies what was missing in St. Cyr — as the Court itself observed, 533 U.S. at 295 & n. 4, 319-20 & n. 43, 121 S.Ct. 2271.

On my colleagues’ understanding that definitions and consequences must be analyzed separately, there is a knotty question about the relation among the 1988, 1990, and 1996 Acts. St. Cyr does not address that subject, which concerns Chevron’s Step Two — and for reasons I have given is not within the scope of the presumption against retroactivity. The agency’s views therefore should be respected, not thrown into the trash. Unanimous panels of three courts of appeals, one judge on the Ninth Circuit’s panel, and one judge on this circuit’s panel agree with the Board either after independent review or through the lens of Chevron; and of the four other judges (two on the Ninth Circuit and two on this circuit) none has concluded that answer is too clearly against the Board’s views to admit of debate. As Judge Bybee put it: “so twisted and complex are the provisions at issue here that — short of spitting in a bucket — the BIA could have concluded almost anything in this case and been reasonable. There is nothing `plain’ about these statutes. If Chevron means anything, this is a classic case for deferring to the agency.” 636 F.3d at 1080-81 (dissenting opinion). And if Chevron falls out, we still have Mead-Skidmore deference. See United States v. Mead Corp., 533 U.S. 218, 121 S.Ct. 2164, 150 L.Ed.2d 292 (2001); Skidmore v. Swift & Co., 323 U.S. 134, 65 S.Ct. 161, 89 L.Ed. 124 (1944). Yet my colleagues give the Board’s views no weight. If (as I doubt) there is a distinction between definitions and consequences, the Board’s views should prevail.

___

Summary:The Seventh Circuit granted a petition for review of a former lawful permanent resident appealing the Board of Immigration Appeal’s order of removal that found him removable based on three aggravated felonies and ineligible for relief under former § 212(c). The Court held: “We conclude that the statutes are ambiguous and that the twin presumptions against retroactivity and implied repeal require us to grant Zivkovic’s petition and to remand for further proceedings.”

Zivkovic was admitted to the United States in 1966 as a lawful permanent resident. In 1976, he pleaded guilty to burglary and in 1978, after a jury trial, he was convicted of attempted rape. In 2010, Zivkovic was convicted of criminal trespassing to a residence with a person present. He was placed in removal proceedings in 2004 after being found removable as an aggravated felon; for attempt or conspiracy to commit a crime defined in 8 U.S.C. § 1101(a)(43)(A) (murder, rape, or sexual abuse of a minor); and as an alien convicted of two crimes of moral turpitude (CIMT) not arising from a single incident. In 2011, DHS added residential trespassing which is a crime of violence as an additional ground of removability.

The Immigration Judge (IJ) held that residential trespassing constituted a crime of violence (an aggravated felony) and that Zivkovic’s 1976 and 1978 convictions were aggravated felonies. The IJ used the “BIA holding that the Immigration Act of 1990 made ‘any alien who has been convicted of a crime defined as an aggravated felony, and who was placed in deportation proceedings on or after March 1, 1991, [] deportable regardless of when the conviction occurred.’” Further, the IJ held that Zivkovic was not eligible for a discretionary waiver because he went to trial instead of pleading guilty and thus could not demonstrate that his reliance on a discretionary waiver changed his response to his criminal charges. The BIA affirmed the decision of the IJ.

The Seventh Circuit examined in depth the law which has changed since Zivkovic’s first convictions. Zivkovic’s underlying offenses were not even on the aggravated felony list until 18 and 20 years after his convictions. Zivkovic, further, could not have relied on Section 212(c) when his 1976 and 1978 convictions were adjudicated because at the time the law did not provide for removal based on those felonies. The Court wrote: “He is thus in the strange position of seeking relief under Section 212(c) based on offenses that did not become aggravated felonies until the passage of the very statute that repealed Section 212(c).” Its conclusion then was that 212(c) was not available to Zivkovic because he did not incur a new legal disability or rely on the availability of 212(c). Therefore, the Court looked at the three convictions on which the Board relied to see if any supported Zivkovic’s removal as an aggravated felon.

With regards to Zivkovic’s 2010 conviction, the Seventh Circuit found that it did not constitute a crime of violence under 18 U.S.C. § 16(a) because it did not included attempted or threatened use of physical force. In looking at 18 U.S.C. § 16(b), which is a crime involving a “substantial risk that physical force against the person or property of another may be used”, the Court held that Zivkovic’s residential trespassing crime did not require force. It only provided for entry or remaining in a house with knowledge another person is present, and thus could not be considered a crime of violence.

The Seventh Circuit found Zivkovic’s 1976 and 1978 convictions meet the current definition of a crime of violence but analyzed retroactivity to determine whether the BIA could rely on those convictions to support removal. The Court found four varying opinions that could provide a basis for its decision. If it followed Ledezma-Galicia, neither conviction could form the predicate for removal because the commission of an aggravated felony did not become a ground for removal until 1988. Ledezma-Galicia v. Holder, 636 F.3d 1059 (9th Cir. 2010). However, the Eleventh and Fourth Circuits have held that Section 602(c) of the 1990 Act placed the definition of an aggravated felony in a different part of the statute and erased temporal limitations on the use of such a conviction for removal. Lopez-Amaro v. INS, 25 F.3d 986 (11th Cir. 1994); Lewis v. INS, 194 F.3d 539, 545-46 (4th Cir. 1999). On the other hand, the Second Circuit has determined that both convictions ought to be permitted because removal proceedings were initiated after March 1, 1991. Bell v. Reno, 218 F.3d 86 (2d Cir. 2000). Lastly, Judge Easterbrook (dissenting) contended that the 1990 Act ought to be bypassed as ambiguous but IIRIRA established a clear rule for retroactive removability. Ultimately, the Seventh Circuit held that “[a]s the Supreme Court reminded us in Vartelas, because ‘[s]everal provisions of the Constitution…embrace the doctrine’ against retroactivity, we need a clear statement from Congress before we will take such an important step. [Vartelas v. Holder, 132 S. Ct. 1479, 1486 (2012)]. Because Zivkovic’s aggravated felony convictions were more than a decade old before the 1988 statute took effect, they cannot be used as a ground for removal….” Accord Ledezma-Galicia v. Holder, 636 F.3d 1059 (9th Cir. 2010).

Finally, the Seventh Circuit added that it found no merit in Zivkovic’s argument that the IJ should not have considered evidence from his bond proceedings during removal proceedings because it is supposed to keep separate records for the two types of cases. The Court held that the IJ can keep separate records but take the relevant evidence into account. It therefore granted Zivkovic’s petition for review and remanded to the BIA for further proceedings consistent with this opinion.

Easterbrook dissented with the decision of his colleagues. Disregarding the residential trespassing conviction, he argued that burglary is an aggravated felony if the sentence was one year or more, which Zivkovic’s was, and that rape is an aggravated felony. Easterbrook cited Section 1101(a)(43), arguing it applies to convictions in the 1970s because the final sentence of the section states: “Notwithstanding any other provision of law (including any effective date), the term [aggravated felony] applies regardless of whether the conviction was entered before, on, or after September 30, 1996.” Easterbrook holds that this is a plain definition of retroactivity. He states that his “…colleagues reach a different conclusion because they agree with Ledezma-Galicia that, although the definitions in §1101(a)(43) apply to older convictions, the consequences of those definitions are not necessarily retroactive.” Easterbrook doubts that there is a difference between definitions and consequences but if a difference exists, he holds that the BIA’s views should prevail.

Posted in 212(c), 7th Circuit, 7th Circuit Cases- Aliens, CA7 Holds Aggravated Felony Definition Does Not Apply to Pre-1988 Convictions: Zivkovic v. Holder, Vartelas v. Holder, whether a provision of the immigration laws operated retroactively | Leave a comment