Moncrieffe v. Holder, small amount of marijuana is not an aggravated felony

Moncrieffe, a Jamaican citizen legally in the U.S., was found with 1.3 grams of marijuana in his car. He pleaded guilty under Georgia law to possession of marijuana with intent to distribute. Under the Immigration and Nationality Act, a noncitizen convicted of an “aggravated felony” is deportable, 8 U.S.C. 227(a)(2)(A)(iii), and ineligible for discretionary relief. The INA lists as an “aggravated felony” “illicit trafficking in a controlled substance,” including conviction of an offense that the Controlled Substances Act (CSA) makes punishable as a felony (by more than one year’s imprisonment). A state conviction is a felony punishable under the CSA only if it involves conduct punishable as a felony under federal law. Possession of marijuana with intent to distribute is a CSA offense, 21 U.S.C. 841(a), punishable by up to five years’ imprisonment.

An Immigration Judge ordered Moncrieffe removed. The Board of Immigration Appeals affirmed. The Fifth Circuit denied a petition for review, rejecting reliance on section 841(b)(4), which makes marijuana distribution punishable as a misdemeanor if the offense involves a small amount for no remuneration. The Supreme Court reversed and remanded. If a noncitizen’s conviction for marijuana distribution fails to establish that the offense involved either remuneration or more than a small amount of marijuana, it is not an aggravated felony under the INA.

The Court employed the “categorical approach,” examining what the state conviction necessarily involved and not the facts underlying the case, and presuming that the conviction involved the least of the acts criminalized. Conviction under Georgia’s statute, alone, does not reveal whether either remuneration or more than a small amount was involved, so Moncrieffe’s conviction could correspond to either the CSA felony or the CSA misdemeanor. The Court rejected an argument that section 841(b)(4) was merely a mitigating sentencing factor, not an element of the offense. The government’s proposal that noncitizens be allowed, during immigration proceedings, to demonstrate that their convictions involved only a small amount of marijuana and no remuneration is inconsistent with the INA’s text and the categorical approach and would burden immigration courts and the noncitizens involved. Escaping aggravated felony treatment does not necessarily mean escaping deportation, because any marijuana distribution offense renders a noncitizen deportable as a controlled substances offender, but with an opportunity seek relief from removal.

https://mikebakerlaw.com/blog/–skip-columns=guidwp-content/uploads/2013/04/Moncrieffe-v.-Holder.pdf

SUPREME COURT OF THE UNITED STATES

MONCRIEFFE v. HOLDER, ATTORNEY GENERAL

CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR THE FIFTH CIRCUIT

No. 11–702. Argued October 10, 2012—Decided April 23, 2013

Under the Immigration and Nationality Act (INA), a noncitizen convicted of an “aggravated felony” is not only deportable, 8 U. S. C.§1227(a)(2)(A)(iii), but also ineligible for discretionary relief. The INA lists as an “aggravated felony” “illicit trafficking in a controlled substance,” §1101(a)(43)(B), which, as relevant here, includes the conviction of an offense that the Controlled Substances Act (CSA) makes punishable as a felony, i.e., by more than one year’s imprisonment, see 18 U. S. C. §§924(c)(2), 3559(a)(5). A conviction under state law “constitutes a ‘felony punishable under the [CSA]’ only if it proscribes conduct punishable as a felony under that federal law.” Lopez v. Gonzales, 549 U. S. 47, 60. Petitioner Moncrieffe, a Jamaican citizen here legally, was found by police to have 1.3 grams of marijuana in his car. He pleaded guilty under Georgia law to possession of marijuana with intent to distribute. The Federal Government sought to deport him, reasoning that his conviction was an aggravated felony because possession of marijuana with intent to distribute is a CSA offense, 21 U. S. C.§841(a), punishable by up to five years’ imprisonment, §841(b)(1)(D).An Immigration Judge ordered Moncrieffe removed, and the Board of Immigration Appeals affirmed. The Fifth Circuit denied Moncrieffe’s petition for review, rejecting his reliance on §841(b)(4), which makes marijuana distribution punishable as a misdemeanor if the offense involves a small amount for no remuneration, and holding that the felony provision, §841(b)(1)(D), provides the default punishment for his offense.

Held: If a noncitizen’s conviction for a marijuana distribution offense fails to establish that the offense involved either remuneration or more than a small amount of marijuana, it is not an aggravated felony under the INA. Pp. 4–22.

(a) Under the categorical approach generally employed to determine whether a state offense is comparable to an offense listed in theINA, see, e.g., Nijhawan v. Holder, 557 U. S. 29, 33–38, the noncitizen’s actual conduct is irrelevant. Instead “the state statute definingthe crime of conviction” is examined to see whether it fits within the “generic” federal definition of a corresponding aggravated felony. Gonzales v. Duenas-Alvarez, 549 U. S. 183, 186. The state offense is a categorical match only if a conviction of that offense “ ‘necessarily’ involved . . . facts equating to [the] generic [federal offense].” Shepard v. United States, 544 U. S. 13, 24. Because this Court examines what the state conviction necessarily involved and not the facts underlying the case, it presumes that the conviction “rested upon [nothing] more than the least of th[e] acts” criminalized, before determining whether even those acts are encompassed by the generic federal offense. Johnson v. United States, 559 U. S. 133, 137. Pp. 4–6.

(b) The categorical approach applies here because “illicit trafficking in a controlled substance” is a “generic crim[e].” Nijhawan, 557 U. S., at 37. Thus, a state drug offense must meet two conditions: It must“necessarily” proscribe conduct that is an offense under the CSA, and the CSA must “necessarily” prescribe felony punishment for that conduct. Possession of marijuana with intent to distribute is clearly a federal crime. The question is whether Georgia law necessarily proscribes conduct punishable as a felony under the CSA. Title 21 U. S. C. §841(b)(1)(D) provides that, with certain exceptions, a violation of the marijuana distribution statute is punishable by “a term of imprisonment of not more than 5 years.” However, one of those exceptions, §841(b)(4), provides that “any person who violates [the statute] by distributing a small amount of marihuana for no remuneration shall be treated as” a simple drug possessor, i.e., as a misdemeanant. These dovetailing provisions create two mutually exclusive categories of punishment for CSA marijuana distribution offenses: one a felony, the other not. The fact of a conviction under Georgia’s statute, standing alone, does not reveal whether either remuneration or more than a small amount was involved, so Moncrieffe’s conviction could correspond to either the CSA felony orthe CSA misdemeanor. Thus, the conviction did not “necessarily” involve facts that correspond to an offense punishable as a felony under the CSA. Pp. 6–9.

(c) The Government’s contrary arguments are unpersuasive. The Government contends that §841(b)(4) is irrelevant because it is merely a mitigating sentencing factor, not an element of the offense. But that understanding is inconsistent with Carachuri-Rosendo v. Holder, 560 U. S. ___, which recognized that when Congress has chosen to define the generic federal offense by reference to punishment, it maybe necessary to take account of federal sentencing factors too. The Government also asserts that any marijuana distribution conviction is presumptively a felony, but the CSA makes neither the felony nor the misdemeanor provision the default. The Government’s approach would lead to the absurd result that a conviction under a statute that punishes misdemeanor conduct only, such as §841(b)(4) itself, would nevertheless be a categorical aggravated felony.

The Government’s proposed remedy for this anomaly—that noncitizens be given an opportunity during immigration proceedings to demonstrate that their predicate marijuana distribution convictions involved only a small amount of marijuana and no remuneration—is inconsistent with both the INA’s text and the categorical approach.The Government’s procedure would require the Nation’s overburdened immigration courts to conduct precisely the sort of post hoc investigation into the facts of predicate offenses long deemed undesirable, and would require uncounseled noncitizens to locate witnesses years after the fact.

Finally, the Government’s concerns about the consequences of this decision are exaggerated. Escaping aggravated felony treatment doesnot mean escaping deportation, because any marijuana distribution offense will still render a noncitizen deportable as a controlled substances offender. Having been found not to be an aggravated felon, the noncitizen may seek relief from removal such as asylum or cancellation of removal, but the Attorney General may, in his discretion, deny relief if he finds that the noncitizen is actually a more serious drug trafficker. Pp. 9–21. 662 F. 3d 387, reversed and remanded.

SOTOMAYOR, J., delivered the opinion of the Court, in which ROBERTS, C. J., and SCALIA, KENNEDY, GINSBURG, BREYER, and KAGAN, JJ., joined.THOMAS, J., and ALITO, J., filed dissenting opinions.

NOTICE: This opinion is subject to formal revision before publication in the preliminary print of the United States Reports. Readers are requested to notify the Reporter of Decisions, Supreme Court of the United States, Washington, D. C. 20543, of any typographical or other formal errors, in order that corrections may be made before the preliminary print goes to press.

SUPREME COURT OF THE UNITED STATES

No. 11–702

ADRIAN MONCRIEFFE, PETITIONER v. ERIC H.
HOLDER, JR., ATTORNEY GENERAL

ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
APPEALS FOR THE FIFTH CIRCUIT

[April 23, 2013]

JUSTICE SOTOMAYOR delivered the opinion of the Court.

The Immigration and Nationality Act (INA), 66 Stat.163, 8 U. S. C. §1101 et seq., provides that a noncitizen who has been convicted of an “aggravated felony” may be deported from this country. The INA also prohibits the Attorney General from granting discretionary relief from removal to an aggravated felon, no matter how compelling his case. Among the crimes that are classified as aggravated felonies, and thus lead to these harsh consequences,are illicit drug trafficking offenses. We must decide whether this category includes a state criminal statute that extends to the social sharing of a small amount of marijuana. We hold it does not.

I
A The INA allows the Government to deport various classes of noncitizens, such as those who overstay their visas, and those who are convicted of certain crimes while in the United States, including drug offenses. §1227. Ordinarily, when a noncitizen is found to be deportable on one of these grounds, he may ask the Attorney General for certain forms of discretionary relief from removal, like asylum (if he has a well-founded fear of persecution in his home country) and cancellation of removal (if, among other things, he has been lawfully present in the United States for a number of years). §§1158, 1229b. But if a noncitizen has been convicted of one of a narrower set of crimes classified as “aggravated felonies,” then he is not only deportable, §1227(a)(2)(A)(iii), but also ineligible for these discretionary forms of relief. See §§1158(b)(2)(A)(ii),(B)(i); §§1229b(a)(3), (b)(1)(C).1

The INA defines “aggravated felony” to include a host of offenses. §1101(a)(43). Among them is “illicit trafficking in a controlled substance.” §1101(a)(43)(B). This general term is not defined, but the INA states that it “includ[es] a drug trafficking crime (as defined in section 924(c) of title 18).” Ibid. In turn, 18 U. S. C. §924(c)(2) defines “drug trafficking crime” to mean “any felony punishable under the Controlled Substances Act,” or two other statues not relevant here. The chain of definitions ends with §3559(a)(5), which provides that a “felony” is an offense for which the “maximum term of imprisonment authorized” is“more than one year.” The upshot is that a noncitizen’s conviction of an offense that the Controlled Substances Act (CSA) makes punishable by more than one year’s imprisonment will be counted as an “aggravated felony” for immigration purposes. A conviction under either state or federal law may qualify, but a “state offense constitutes a‘felony punishable under the Controlled Substances Act’ only if it proscribes conduct punishable as a felony under that federal law.” Lopez v. Gonzales, 549 U. S. 47, 60 (2006).

—————— 1In addition to asylum, a noncitizen who fears persecution may seek withholding of removal, 8 U. S. C. §1231(b)(3)(A), and deferral of removal under the Convention Against Torture and Other Cruel, Inhuman or Degrading Treatment or Punishment (CAT), Art. 3, Dec. 10, 1984, S. Treaty Doc. No. 100–20, p. 20, 1465 U. N. T. S. 85; 8 CFR§1208.17(a) (2012). These forms of relief require the noncitizen to show a greater likelihood of persecution or torture at home than is necessary for asylum, but the Attorney General has no discretion to deny relief to a noncitizen who establishes his eligibility. A conviction of an aggravated felony has no effect on CAT eligibility, but will render a noncitizen ineligible for withholding of removal if he “has been sentenced to an aggregate term of imprisonment of at least 5 years” for any aggravated felonies. 8 U. S. C. §1231(b)(3)(B).

Petitioner Adrian Moncrieffe is a Jamaican citizen who came to the United States legally in 1984, when he was three. During a 2007 traffic stop, police found 1.3 gramsof marijuana in his car. This is the equivalent of about two or three marijuana cigarettes. Moncrieffe pleaded guilty to possession of marijuana with intent to distribute,a violation of Ga. Code Ann. §16–13–30(j)(1) (2007). Under a Georgia statute providing more lenient treatment to first-time offenders, §42–8–60(a) (1997), the trial court withheld entering a judgment of conviction or imposing any term of imprisonment, and instead required that Moncrieffe complete five years of probation, after which his charge will be expunged altogether.2 App. to Brief for Petitioner 11–15. Alleging that this Georgia conviction constituted an aggravated felony, the Federal Government sought to deport Moncrieffe. The Government reasoned that possession of marijuana with intent to distribute is an offense under the CSA, 21 U. S. C. §841(a), punishable by up to five years’ imprisonment, §841(b)(1)(D), and thus an aggravated felony. An Immigration Judge agreed and ordered Moncrieffe removed. App. to Pet. for Cert. 14a–18a. The Board of Immigration Appeals (BIA) affirmed that —————— 2The parties agree that this resolution of Moncrieffe’s Georgia case is nevertheless a “conviction” as the INA defines that term, 8 U. S. C. §1101(a)(48)(A). See Brief for Petitioner 6, n. 2; Brief for Respondent 5, n. 2. conclusion on appeal. Id., at 10a–13a.

The Court of Appeals denied Moncrieffe’s petition for review. The court rejected Moncrieffe’s reliance upon §841(b)(4), a provision that, in effect, makes marijuana distribution punishable only as a misdemeanor if the offense involves a small amount of marijuana for no remuneration. It held that in a federal criminal prosecution, “the default sentencing range for a marijuana distribution offense is the CSA’s felony provision, §841(b)(1)(D), rather than the misdemeanor provision.” 662 F. 3d 387, 392 (CA5 2011). Because Moncrieffe’s Georgia offense penalized possession of marijuana with intent to distribute,the court concluded that it was “equivalent to a federal felony.” Ibid.

We granted certiorari, 566 U. S. ___ (2012), to resolve a conflict among the Courts of Appeals with respect towhether a conviction under a statute that criminalizes conduct described by both §841’s felony provision and itsmisdemeanor provision, such as a statute that punishesall marijuana distribution without regard to the amount or remuneration, is a conviction for an offense that “proscribes conduct punishable as a felony under” the CSA.3 Lopez, 549 U. S., at 60. We now reverse.

II
A When the Government alleges that a state conviction qualifies as an “aggravated felony” under the INA, we generally employ a “categorical approach” to determine whether the state offense is comparable to an offense listed in the INA. See, e.g., Nijhawan v. Holder, 557 U. S. —————— 3Compare 662 F. 3d 387 (CA5 2011) (case below), Garcia v. Holder, 638 F. 3d 511 (CA6 2011) (is an aggravated felony), and Julce v. Mukasey, 530 F. 3d 30 (CA1 2008) (same), with Martinez v. Mukasey, 551 F. 3d 113 (CA2 2008) (is not an aggravated felony), and Wilson v. Ashcroft, 350 F. 3d 377 (CA3 2003) (same). 29, 33–38 (2009); Gonzales v. Duenas-Alvarez, 549 U. S. 183, 185–187 (2007). Under this approach we look “not to the facts of the particular prior case,” but instead to whether “the state statute defining the crime of conviction” categorically fits within the “generic” federal definition of a corresponding aggravated felony. Id., at 186 (citing Taylor v. United States, 495 U. S. 575, 599–600 (1990)). By “generic,” we mean the offenses must be viewed in the abstract, to see whether the state statute shares the nature of the federal offense that serves as a point of comparison. Accordingly, a state offense is acategorical match with a generic federal offense only if aconviction of the state offense “‘necessarily’ involved . . . facts equating to [the] generic [federal offense].” Shepard v. United States, 544 U. S. 13, 24 (2005) (plurality opinion). Whether the noncitizen’s actual conduct involved such facts “is quite irrelevant.” United States ex rel. Guarino v. Uhl, 107 F. 2d 399, 400 (CA2 1939) (L. Hand, J.).

Because we examine what the state conviction necessarily involved, not the facts underlying the case, we must presume that the conviction “rested upon [nothing] more than the least of th[e] acts” criminalized, and then determine whether even those acts are encompassed by the generic federal offense. Johnson v. United States, 559 U. S. 133, 137 (2010); see Guarino, 107 F. 2d, at 400. But this rule is not without qualification. First, our cases have addressed state statutes that contain several different crimes, each described separately, and we have held that a court may determine which particular offense the noncitizen was convicted of by examining the charging document and jury instructions, or in the case of a guilty plea, the plea agreement, plea colloquy, or “‘some comparable judicial record’ of the factual basis for the plea.” Nijhawan, 557 U. S., at 35 (quoting Shepard, 544 U. S., at 26). Second, our focus on the minimum conduct criminalized by the state statute is not an invitation to apply “legal imagination” to the state offense; there must be “a realistic probability, not a theoretical possibility, that the State would apply its statute to conduct that falls outside the generic definition of a crime.” Duenas-Alvarez, 549 U. S., at 193.

This categorical approach has a long pedigree in our Nation’s immigration law. See Das, The Immigration Penalties of Criminal Convictions: Resurrecting Categorical Analysis in Immigration Law, 86 N. Y. U. L. Rev. 1669,1688–1702, 1749–1752 (2011) (tracing judicial decisions back to 1913). The reason is that the INA asks what offense the noncitizen was “convicted” of, 8 U. S. C. §1227(a)(2)(A)(iii), not what acts he committed. “[C]onviction” is “the relevant statutory hook.”4 Carachuri-Rosendo v. Holder, 560 U. S. ___, ___ (2010) (slip op., at 16); see United States ex rel. Mylius v. Uhl, 210 F. 860, 862 (CA2 1914).

B The aggravated felony at issue here, “illicit trafficking in a controlled substance,” is a “generic crim[e].” Nijhawan, 557 U. S., at 37. So the categorical approach applies. Ibid. As we have explained, supra, at 2–3, this aggravated felony encompasses all state offenses that “proscrib[e] conduct punishable as a felony under [the CSA].” Lopez, 549 U. S., at 60. In other words, to satisfy the categorical approach, a state drug offense must meet two conditions:It must “necessarily” proscribe conduct that is an offense under the CSA, and the CSA must “necessarily” prescribe felony punishment for that conduct. Moncrieffe was convicted under a Georgia statute that —————— 4 Carachuri-Rosendo construed a different provision of the INA that concerns cancellation of removal, which also requires determining whether the noncitizen has been “convicted of any aggravated felony.” 8 U. S. C. §1229b(a)(3) (emphasis added). Our analysis is the same in both contexts.

We begin with the relevant conduct criminalized by the CSA. There is no question that it is a federal crime to “possess with intent to . . . distribute . . . a controlled substance,” 21 U. S. C. §841(a)(1), one of which is marijuana, §812(c).5 So far, the state and federal provisions correspond. But this is not enough, because the generically defined federal crime is “any felony punishable under the Controlled Substances Act,” 18 U. S. C. §924(c)(2), not just any “offense under the CSA.” Thus we must look to what punishment the CSA imposes for this offense.

Section 841 is divided into two subsections that are relevant here: (a), titled “Unlawful acts,” which includes the offense just described, and (b), titled “Penalties.”Subsection (b) tells us how “any person who violates subsection (a)” shall be punished, depending on the circumstances of his crime (e.g., the type and quantity of controlled substance involved, whether it is a repeat offense).6

——————

5In full, 21 U. S. C. §841(a)(1) provides,

“Except as authorized by this subchapter, it shall be unlawful for any person knowingly or intentionally—

“(1) to manufacture, distribute, or dispense, or possess with intent to manufacture, distribute, or dispense, a controlled substance . . . .”

6In pertinent part, §§841(b)(1)(D) and (b)(4) (2006 ed. and Supp. V) provide, “Except as otherwise provided in section 849, 859, 860, or 861 of this title, any person who violates subsection (a) of this section shall be sentenced as follows: makes it a crime to “possess, have under [one’s] control,manufacture, deliver, distribute, dispense, administer,purchase, sell, or possess with intent to distribute marijuana.” Ga. Code Ann. §16–13–30(j)(1). We know from his plea agreement that Moncrieffe was convicted of the last of these offenses. App. to Brief for Petitioner 11; Shepard, 544 U. S., at 26. We therefore must determine whether possession of marijuana with intent to distribute is “necessarily” conduct punishable as a felony under the CSA.
. . . . .

Subsection (b)(1)(D) provides that if a person commits a violation of subsection (a) involving “less than 50 kilograms of marihuana,” then “such person shall, except as provided in paragraphs (4) and (5) of this subsection, be sentenced to a term of imprisonment of not more than 5years,” i.e., as a felon. But one of the exceptions is important here. Paragraph (4) provides, “Notwithstanding paragraph (1)(D) of this subsection, any person who violates subsection (a) of this section by distributing a small amount of marihuana for no remuneration shall be treated as” a simple drug possessor, 21 U. S. C. §844, which for our purposes means as a misdemeanant.7 These dovetailing provisions create two mutually exclusive categories of punishment for CSA marijuana distribution offenses: one a felony, and one not. The only way to know whether a marijuana distribution offense is “punishable as a felony” under the CSA, Lopez, 549 U. S., at 60, is to know whether the conditions described in paragraph (4) are present or absent.

——————

“[(1)](D) In the case of less than 50 kilograms of marihuana, except in the case of 50 or more marihuana plants regardless of weight, 10kilograms of hashish, or one kilogram of hashish oil, such person shall, except as provided in paragraphs (4) and (5) of this subsection, be sentenced to a term of imprisonment of not more than 5 years, a fine not to exceed the greater of that authorized in accordance with the provisions of title 18 or $250,000 if the defendant is an individual or $1,000,000 if the defendant is other than an individual, or both. . . .

. . . . .

“(4) Notwithstanding paragraph (1)(D) of this subsection, any person who violates subsection (a) of this section by distributing a small amount of marihuana for no remuneration shall be treated as provided in section 844 of this title and section 3607 of title 18.” 7Although paragraph (4) speaks only of “distributing” marijuana, the parties agree that it also applies to “the more inchoate offense of possession with intent to distribute that drug.” Matter of Castro Rodriguez, 25 I. & N. Dec. 698, 699, n. 2 (BIA 2012); see Brief for Petitioner 6, n. 2; Brief for Respondent 8, n. 5.

The CSA does not define “small amount.” The BIA has suggested that 30 grams “serve[s] as a useful guidepost,” Castro Rodriguez, 25 I. & N. Dec., at 703, noting that the INA exempts from deportable controlled substances offenses “a single offense involving possession for one’s own use of 30 grams or less of marijuana,” 8 U. S. C. §1227(a)(2)(B)(i). The meaning of “small amount” is not at issue in this case, so we need not, and do not, define the term.

A conviction under the same Georgia statute for “sell[ing]” marijuana, for example, would seem to establish remuneration. The presence of remuneration would mean that paragraph (4) is not implicated, and thus that the conviction is necessarily for conduct punishable as a felony under the CSA (under paragraph (1)(D)). In contrast, the fact of a conviction for possession with intent to distribute marijuana, standing alone, does not reveal whether either remuneration or more than a small amount of marijuana was involved. It is possible neither was; we know that Georgia prosecutes this offense when a defendant possesses only a small amount of marijuana, see, e.g., Taylor v. State, 260 Ga. App. 890, 581 S. E. 2d 386, 388 (2003) (6.6 grams), and that “distribution” does not require remuneration, see, e.g., Hadden v. State, 181 Ga. App. 628, 628–629, 353 S. E. 2d 532, 533–534 (1987). So Moncrieffe’s conviction could correspond to either the CSA felony or the CSA misdemeanor. Ambiguity on this point means that the conviction did not “necessarily” involve facts that correspond to an offense punishable as a felony under the CSA. Under the categorical approach, then, Moncrieffe was not convicted of an aggravated felony.

III
A The Government advances a different approach that leads to a different result. In its view, §841(b)(4)’s misdemeanor provision is irrelevant to the categorical analysis because paragraph (4) is merely a “mitigating exception,” to the CSA offense, not one of the “elements” of the offense. Brief for Respondent 12. And because possession with intent to distribute marijuana is “presumptive[ly]” a felony under the CSA, the Government asserts, any state offense with the same elements is presumptively an aggravated felony. Id., at 37. These two contentions are related, and we reject both of them.

First, the Government reads our cases to hold that the categorical approach is concerned only with the “elements”of an offense, so §841(b)(4) “is not relevant” to the categorical analysis. Id., at 20. It is enough to satisfy the categorical inquiry, the Government suggests, that the “elements” of Moncrieffe’s Georgia offense are the same as those of the CSA offense: (1) possession (2) of marijuana (a controlled substance), (3) with intent to distribute it. But that understanding is inconsistent with Carachuri-Rosendo, our only decision to address both “elements” and“sentencing factors.” There we recognized that when Congress has chosen to define the generic federal offense by reference to punishment, it may be necessary to take account of federal sentencing factors too. See 560 U. S., at ___ (slip op., at 3). In that case the relevant CSA offense was simple possession, which “becomes a ‘felony punishable under the [CSA]’ only because the sentencing factor of recidivism authorizes additional punishment beyond one year, the criterion for a felony.” Id., at ___ (SCALIA, J., concurring in judgment) (slip op., at 2). We therefore called the generic federal offense “recidivist simple possession,” even though such a crime is not actually “a separate offense” under the CSA, but rather an “‘amalgam’” of offense elements and sentencing factors. Id., at ___, and n. 3, ___ (majority opinion) (slip op., at 3, and n. 3, 7).

In other words, not only must the state offense of conviction meet the “elements” of the generic federal offense defined by the INA, but the CSA must punish that offense as a felony. Here, the facts giving rise to the CSA offense establish a crime that may be either a felony or a misdemeanor, depending upon the presence or absence of certain factors that are not themselves elements of the crime. And so to qualify as an aggravated felony, a conviction for the predicate offense must necessarily establish those factors as well.

The Government attempts to distinguish Carachuri-Rosendo on the ground that the sentencing factor there was a “narrow” aggravating exception that turned a misdemeanor into a felony, whereas here §841(b)(4) is a narrow mitigation exception that turns a felony into a misdemeanor. Brief for Respondent 40–43. This argument hinges upon the Government’s second assertion: that any marijuana distribution conviction is “presumptively” a felony. But that is simply incorrect, and the Government’s argument collapses as a result. Marijuana distribution is neither a felony nor a misdemeanor until we know whether the conditions in paragraph (4) attach: Section841(b)(1)(D) makes the crime punishable by five years’ imprisonment “except as provided” in paragraph (4), and§841(b)(4) makes it punishable as a misdemeanor “[n]otwithstanding paragraph (1)(D)” when only “a small amount of marihuana for no remuneration” is involved. (Emphasis added.) The CSA’s text makes neither provision the default. Rather, each is drafted to be exclusive of the other.

Like the BIA and the Fifth Circuit, the Government believes the felony provision to be the default because, inpractice, that is how federal criminal prosecutions for marijuana distribution operate. See 662 F. 3d, at 391– 392; Matter of Aruna, 24 I. & N. Dec. 452, 456–457 (2008);Brief for Respondent 18–23. It is true that every Court of Appeals to have considered the question has held that a defendant is eligible for a 5-year sentence under§841(b)(1)(D) if the Government proves he possessed marijuana with the intent to distribute it, and that the Government need not negate the §841(b)(4) factors in each case. See, e.g., United States v. Outen, 286 F. 3d 622, 636– 639 (CA2 2002) (describing §841(b)(4) as a “mitigating exception”); United States v. Hamlin, 319 F. 3d 666, 670– 671 (CA4 2003) (collecting cases). Instead, the burden is on the defendant to show that he qualifies for the lesser sentence under §841(b)(4). Cf. id., at 671.

We cannot discount §841’s text, however, which creates no default punishment, in favor of the procedural overlay or burdens of proof that would apply in a hypothetical federal criminal prosecution. In Carachuri-Rosendo, we rejected the Fifth Circuit’s “‘hypothetical approach,’” which examined whether conduct “‘could have been punished as a felony’ ‘had [it] been prosecuted in federal court.’” 560 U. S., at ___, ___ (slip op., at 8, 11).8 The outcome in a hypothetical prosecution is not the relevant inquiry. Rather, our “more focused, categorical inquiry” is whether the record of conviction of the predicate offense necessarily establishes conduct that the CSA, on its own terms, makes punishable as a felony. Id., at ___ (slip op., at 16).

The analogy to a federal prosecution is misplaced for another reason. The Court of Appeals cases the Government cites distinguished between elements and sentencing factors to determine which facts must be proved to a jury, in light of the Sixth Amendment concerns addressed in Apprendi v. New Jersey, 530 U. S. 466 (2000). The courts considered which “provision . . . states a complete crime upon the fewest facts,” Outen, 286 F. 3d, at 638, which was significant after Apprendi to identify what a jury had to find before a defendant could receive §841(b)(1)(D)’s maximum 5-year sentence. But those concerns do not apply in this context. Here we consider a “generic” federal offense in the abstract, not an actual federal offense being prosecuted before a jury. Our concern is only which facts the CSA relies upon to distinguish between felonies and misdemeanors, not which facts must be found by a jury as opposed to a judge, nor who has the burden of proving which facts in a federal prosecution.9

—————— 8 JUSTICE ALITO states that the statute “obviously” requires examination of whether “conduct associated with the state offense . . . would have supported a qualifying conviction under the federal CSA.” Post, at 3 (dissenting opinion) (emphasis added); see also post, at 8. But this echoes the Fifth Circuit’s approach in Carachuri-Rosendo. As noted in the text, our opinion explicitly rejected such reasoning based on conditional perfect formulations. See also, e.g., Carachuri-Rosendo, 560 U. S., at ___ (slip op., at 16) (criticizing approach that “focuses on facts known to the immigration court that could have but did not serve as the basis for the state conviction and punishment” (emphasis altered)).Instead, as we have explained, supra, at 10–11, our holding depended upon the fact that Carachuri-Rosendo’s conviction did not establish the fact necessary to distinguish between misdemeanor and felony punishment under the CSA. The same is true here.

Because of these differences, we made clear in Carachuri-Rosendo that, for purposes of the INA, a generic federal offense may be defined by reference to both “‘elements’ in the traditional sense” and sentencing factors. 560 U. S., at ___, n. 3, ___ (slip op., at 3, n. 3, 7); see also id., at ___ (SCALIA, J., concurring in judgment) (slip op., at3) (describing the generic federal offense there as “the Controlled Substances Act felony of possession-plus recidivism”). Indeed, the distinction between “elements” and “sentencing factors” did not exist when Congress added illicit drug trafficking to the list of aggravated felonies, Anti-Drug Abuse Act of 1988, 102 Stat. 4469–4470, and most courts at the time understood both §841(b)(1)(D) and §841(b)(4) to contain sentencing factors that draw the line between a felony and a misdemeanor.See, e.g., United States v. Campuzano, 905 F. 2d 677, 679 (CA2 1990). Carachuri-Rosendo controls here.

—————— 9The Government also cites 21 U. S. C. §885(a)(1), which provides that the Government need not “negative any exemption or exception set forth” in the CSA, and instead “the burden of going forward with the evidence with respect to any such exemption or exception shall be upon the person claiming its benefit.” Brief for Respondent 21. Even assuming §841(b)(4) is such an “exception,” §885(a)(1) applies, by its own terms, only to “any trial, hearing, or other proceeding under” the CSA itself, not to the rather different proceedings under the INA.

Finally, there is a more fundamental flaw in the Government’s approach: It would render even an undisputed misdemeanor an aggravated felony. This is “just what the English language tells us not to expect,” and that leaves us “very wary of the Government’s position.” Lopez, 549 U. S., at 54. Consider a conviction under a New York statute that provides, “A person is guilty of criminal sale of marihuana in the fifth degree when he knowingly and unlawfully sells, without consideration, [marihuana] of an aggregate weight of two grams or less; or one cigarette containing marihuana.” N. Y. Penal Law Ann. §221.35(West 2008) (emphasis added). This statute criminalizes only the distribution of a small amount of marijuana for no remuneration, and so all convictions under the statute would fit within the CSA misdemeanor provision,§841(b)(4). But the Government would categorically deem a conviction under this statute to be an aggravated felony,because the statute contains the corresponding “elements”of (1) distributing (2) marijuana, and the Government believes all marijuana distribution offenses are punishable as felonies.

The same anomaly would result in the case of a noncitizen convicted of a misdemeanor in federal court under §§841(a) and (b)(4) directly. Even in that case, under the Government’s logic, we would need to treat the federal misdemeanor conviction as an aggravated felony, because the conviction establishes elements of an offense that is presumptively a felony. This cannot be. “We cannot imagine that Congress took the trouble to incorporate its own statutory scheme of felonies and misdemeanors,” only to have courts presume felony treatment and ignore the very factors that distinguish felonies from misdemeanors. Lopez, 549 U. S., at 58.

B Recognizing that its approach leads to consequences Congress could not have intended, the Government hedges its argument by proposing a remedy: Noncitizens should be given an opportunity during immigration proceedings to demonstrate that their predicate marijuana distribution convictions involved only a small amount of marijuana and no remuneration, just as a federal criminal defendant could do at sentencing. Brief for Respondent 35–39. This is the procedure adopted by the BIA in Matter of Castro Rodriguez, 25 I. & N. Dec. 698, 702 (2012), and endorsed by JUSTICE ALITO’s dissent, post, at 11–12. This solution is entirely inconsistent with both the INA’s text and the categorical approach. As noted, the relevant INA provisions ask what the noncitizen was “convicted of,” not what he did, and the inquiry in immigration proceedings is limited accordingly. 8 U. S. C. §§1227(a)(2)(A)(iii), 1229b(a)(3); see Carachuri-Rosendo, 560 U. S., at ___ (slip op., at 11). The Government cites no statutory authority for such case-specific fact finding in immigration court, and none is apparent in the INA.Indeed, the Government’s main categorical argument would seem to preclude this inquiry: If the Government were correct that “the fact of a marijuana-distribution conviction alone constitutes a CSA felony,” Brief for Respondent 37, then all marijuana distribution convictions would categorically be convictions of the drug trafficking aggravated felony, mandatory deportation would follow under the statute, and there would be no room for the Government’s follow-on fact finding procedure. The Government cannot have it both ways.Moreover, the procedure the Government envisions would require precisely the sort of post hoc investigation into the facts of predicate offenses that we have long deemed undesirable. The categorical approach serves “practical” purposes: It promotes judicial and administrative efficiency by precluding the relitigation of past convictions in mini trials conducted long after the fact. Chambers v. United States, 555 U. S. 122, 125 (2009); see also Mylius, 210 F., at 862–863. Yet the Government’s approach would have our Nation’s overburdened immigration courts entertain and weigh testimony from, for example, the friend of a noncitizen who may have shared a marijuana cigarette with him at a party, or the local police officer who recalls to the contrary that cash traded hands. And, as a result, two noncitizens, each “convicted of ” the same offense, might obtain different aggravated felony determinations depending on what evidence remains available or how it is perceived by an individual immigration judge. The categorical approach was designed to avoid this “potential unfairness.” Taylor, 495 U. S., at 601; see also Mylius, 210 F., at 863.

Furthermore, the mini trials the Government proposes would be possible only if the noncitizen could locate witnesses years after the fact, notwithstanding that during removal proceedings noncitizens are not guaranteed legal representation and are often subject to mandatory detention, §1226(c)(1)(B), where they have little ability to collect evidence. See Katzmann, The Legal Profession and the Unmet Needs of the Immigrant Poor, 21 Geo. J. Legal Ethics 3, 5–10 (2008); Brief for National Immigrant Justice Center et al. as Amici Curiae 5–18; Brief for Immigration Law Professors as Amici Curiae 27–32. A noncitizen in removal proceedings is not at all similarly situated to a defendant in a federal criminal prosecution. The Government’s suggestion that the CSA’s procedures could readily be replicated in immigration proceedings is therefore misplaced. Cf. Carachuri-Rosendo, 560 U. S., at ___ (slip op., at 14–15) (rejecting the Government’s argument that procedures governing determination of the recidivism sentencing factor could “be satisfied during the immigration proceeding”).

The Government defends its proposed immigration court proceedings as “a subsequent step outside the categorical approach in light of Section 841(b)(4)’s ‘circumstance specific’ nature.” Brief for Respondent 37. This argument rests upon Nijhawan, in which we considered another aggravated felony, “an offense that . . . involves fraud or deceit in which the loss to the victim or victims exceeds $10,000.” 8 U. S. C. §1101(a)(43)(M)(i). We held that the $10,000 threshold was not to be applied categorically as a required component of a generic offense, but instead called for a “circumstance-specific approach” that allows for an examination, in immigration court, of the “particular circumstances in which an offender committed the crime on a particular occasion.” Nijhawan, 557 U. S., at 38–40. The Government suggests the §841(b)(4) factors are like the monetary threshold, and thus similarly amenable to a circumstance-specific inquiry.

We explained in Nijhawan, however, that unlike the provision there, “illicit trafficking in a controlled substance” is a “generic crim[e]” to which the categorical approach applies, not a circumstance-specific provision. Id., at 37; see also Carachuri-Rosendo, 560 U. S., at ___, n. 11 (slip op., at 12–13, n. 11). That distinction is evident in the structure of the INA. The monetary threshold is a limitation, written into the INA itself, on the scope of the aggravated felony for fraud. And the monetary threshold is set off by the words “in which,” which calls for a circumstance-specific examination of “the conduct involved ‘in’ the commission of the offense of conviction.” Nijhawan, 557 U. S., at 39. Locating this exception in the INA proper suggests an intent to have the relevant facts found in immigration proceedings. But where, as here, the INA incorporates other criminal statutes wholesale, we have held it “must refer to generic crimes,” to which the categorical approach applies. Id., at 37.

Finally, the Government suggests that the immigration court’s task would not be so daunting in some cases, such as those in which a noncitizen was convicted under the New York statute previously discussed or convicted directly under §841(b)(4). True, in those cases, the record of conviction might reveal on its face that the predicate offense was punishable only as a misdemeanor. But most States do not have stand-alone offenses for the social sharing of marijuana, so mini trials concerning convictions from the other States, such as Georgia, would be inevitable.10 The Government suggests that even in these other States, the record of conviction may often address the §841(b)(4) factors, because noncitizens “will be advised of the immigration consequences of a conviction,” as defense counsel is required to do under Padilla v. Kentucky, 559 U. S. 359 (2010), and as a result counsel can build an appropriate record when the facts are fresh. Brief for Respondent 38. Even assuming defense counsel “will” do something simply because it is required of effective counsel (an assumption experience does not always bear out),this argument is unavailing because there is no reason to believe that state courts will regularly or uniformly admit evidence going to facts, such as remuneration, that are irrelevant to the offense charged.

In short, to avoid the absurd consequences that would flow from the Government’s narrow understanding of the categorical approach, the Government proposes a solution —————— that largely undermines the categorical approach. That the only cure is worse than the disease suggests the Government is simply wrong.

10In addition to New York, it appears that 13 other States have separate offenses for §841(b)(4) conduct. See Cal. Health & Safety CodeAnn. §11360(b) (West Supp. 2013); Colo. Rev. Stat. Ann. §18–18–406(5)(2012); Fla. Stat. §893.13(2)(b)(3) (2010); Ill. Comp. Stat., ch. 20, §§550/3,550/4, 550/6 (West 2010); Iowa Code §124.410 (2009); Minn. Stat.§152.027(4)(a) (2010); N. M. Stat. Ann. §30–31–22(E) (Supp. 2011); Ohio Rev. Code Ann. §2925.03(C)(3)(h) (Lexis 2012 Cum. Supp.); Ore. Rev. Stat. §475.860(3) (2011); Pa. Stat. Ann., Tit. 35, §780–113(a)(31)(Purdon Supp. 2012); S. D. Codified Laws §22–42–7 (Supp. 2012); Tex.Health & Safety Code Ann. §481.120(b)(1) (West 2010); W. Va. CodeAnn. §60A–4–402(c) (Lexis 2010).

C The Government fears the consequences of our decision, but its concerns are exaggerated. The Government observes that, like Georgia, about half the States criminalize marijuana distribution through statutes that do not require remuneration or any minimum quantity of marijuana. Id., at 26–28. As a result, the Government contends, noncitizens convicted of marijuana distribution offenses in those States will avoid “aggravated felony” determinations, purely because their convictions do not resolve whether their offenses involved federal felony conduct or misdemeanor conduct, even though many (if not most)prosecutions involve either remuneration or larger amounts of marijuana (or both). Escaping aggravated felony treatment does not mean escaping deportation, though. It means only avoiding mandatory removal. See Carachuri-Rosendo, 560 U. S., at ___ (slip op., at 17). Any marijuana distribution offense, even a misdemeanor, will still render a noncitizen deportable as a controlled substances offender. 8 U. S. C. §1227(a)(2)(B)(i). At that point, having been found not to be an aggravated felon, the noncitizen may seek relief from removal such as asylum or cancellation of removal,assuming he satisfies the other eligibility criteria. §§1158(b), 1229b(a)(1)–(2). But those forms of relief are discretionary. The Attorney General may, in his discretion, deny relief if he finds that the noncitizen is actually a member of one “of the world’s most dangerous drug cartels,” post, at 2 (opinion of ALITO, J.), just as he may deny relief if he concludes the negative equities outweigh the positive equities of the noncitizen’s case for other reasons. As a result, “to the extent that our rejection of the Government’s broad understanding of the scope of ‘aggravated felony’ may have any practical effect on policing our Nation’s borders, it is a limited one.” Carachuri-Rosendo, 560 U. S., at ___ (slip op., at 17).

In any event, serious drug traffickers may be adjudicated aggravated felons regardless, because they will likely be convicted under greater “trafficking” offenses that necessarily establish that more than a small amount of marijuana was involved. See, e.g., Ga. Code Ann. §16–13–31(c)(1) (Supp. 2012) (separate provision for trafficking in more than 10 pounds of marijuana). Of course, some offenders’ conduct will fall between §841(b)(4) conduct and the more serious conduct required to trigger a “trafficking” statute. Brief for Respondent 30. Those offenders may avoid aggravated felony status by operation of the categorical approach. But the Government’s objection to that under inclusive result is little more than an attack on the categorical approach itself. 11 We prefer this degree of imperfection to the heavy burden of relitigating old prosecutions. See supra, at 15–16. And we err on the side of under inclusiveness because ambiguity in criminal statutes referenced by the INA must be construed in the noncitizen’s favor. See Carachuri-Rosendo, 560 U. S., at ___ (slip op., at 17); Leocal v. Ashcroft, 543 U. S. 1, 11, n. 8 (2004).

—————— 11Similarly, JUSTICE ALITO’s dissent suggests that he disagrees withthe first premises of the categorical approach. He says it is a “strange and disruptive resul[t]” that “defendants convicted in different States for committing the same criminal conduct” might suffer different collateral consequences depending upon how those States define their statutes of conviction. Post, at 9. Yet that is the longstanding, natural result of the categorical approach, which focuses not on the criminal conduct a defendant “commit[s],” but rather what facts are necessarily established by a conviction for the state offense. Different state offenses will necessarily establish different facts. Some will track the “uni- form” federal definition of the generic offense, and some will not. Taylor v. United States, 495 U. S. 575, 590 (1990). Whatever disparity this may create as between defendants whose real-world conduct was the same, it ensures that all defendants whose convictions establish the same facts will be treated consistently, and thus predictably, under federal law. This was Taylor’s chief concern in adopting the categorical approach. See id., at 599–602.

Finally, the Government suggests that our holding will frustrate the enforcement of other aggravated felony provisions, like §1101(a)(43)(C), which refers to a federal firearms statute that contains an exception for “antique firearm[s],” 18 U. S. C. §921(a)(3). The Government fears that a conviction under any state firearms law that lacks such an exception will be deemed to fail the categorical inquiry. But Duenas-Alvarez requires that there be “a realistic probability, not a theoretical possibility, that the State would apply its statute to conduct that falls outside the generic definition of a crime.” 549 U. S., at 193. To defeat the categorical comparison in this manner, a non- citizen would have to demonstrate that the State actually prosecutes the relevant offense in cases involving antique firearms. Further, the Government points to§1101(a)(43)(P), which makes passport fraud an aggravated felony, except when the noncitizen shows he committed the offense to assist an immediate family member. But that exception is provided in the INA itself. As we held in Nijhawan, a circumstance-specific inquiry would apply tothat provision, so it is not comparable. 557 U. S., at 37–38.

* * * This is the third time in seven years that we have considered whether the Government has properly characterized a low-level drug offense as “illicit trafficking in a controlled substance,” and thus an “aggravated felony.”Once again we hold that the Government’s approach defies“the ‘common sense conception’” of these terms. Carachuri-Rosendo, 560 U. S., at ___ (slip op., at 9) (quoting Lopez, 549 U. S., at 53). Sharing a small amount of marijuana for no remuneration, let alone possession with intent to do so, “does not fit easily into the ‘everyday understanding’” of “trafficking,” which “‘ordinarily . . . means some sort of commercial dealing.’” Carachuri-Rosendo, 560 U. S., at ___ (slip op., at 9) (quoting Lopez, 549 U. S., at 53–54). Nor is it sensible that a state statute that criminalizes conduct that the CSA treats as a misdemeanor should be designated an “aggravated felony.” We hold that it may not be. If a noncitizen’s conviction for a marijuana distribution offense fails to establish that the offense involved either remuneration or more than a small amount of marijuana, the conviction is not for an aggravated felony under the INA. The contrary judgment of the Court of Appeals is reversed, and the case is remanded for further proceedings consistent with this opinion.

It is so ordered.

THOMAS, J., dissenting

SUPREME COURT OF THE UNITED STATES

No. 11–702

ADRIAN MONCRIEFFE, PETITIONER v. ERIC H.
HOLDER, JR., ATTORNEY GENERAL

ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
APPEALS FOR THE FIFTH CIRCUIT

[April 23, 2013]

JUSTICE THOMAS, dissenting.

A plain reading of 18 U. S. C. §924(c)(2) identifies two requirements that must be satisfied for a state offense to qualify as a “felony punishable under the Controlled Substances Act [(CSA)].” “First, the offense must be a felony; second, the offense must be capable of punishment under the [CSA].” Lopez v. Gonzales, 549 U. S. 47, 61 (2006) (THOMAS, J., dissenting). Moncrieffe’s offense of possession of marijuana with intent to distribute satisfies both elements. No one disputes that Georgia punishes Moncrieffe’s offense as a felony. See Ga. Code Ann. §16–13–30(j)(2) (Supp. 2012). (“Except as otherwise provided in subsection (c) of Code Section 16–13–31 or in Code Section 16–13–2, any person who violates this subsection shall be guilty of a felony and, upon conviction thereof,shall be punished by imprisonment for not less than one year nor more than ten years”).1 And, the offense is “pun

—————— 1Section 16–13–31(c) (Supp. 2012) increases the punishment for trafficking in marijuana, while §16–13–2(b) (2011) decreases the punishment for simple possession of 1 ounce or less of marijuana. Neither provision is applicable to Moncrieffe’s offense of possession of marijuana with intent to distribute. The Court correctly points out that Moncrieffe was sentenced pursuant to §16–13–2(a) because he was a first-time offender. Ante, at 3. That provision does not alter the felony status of the offense. Rather, it is able under the [CSA],” 18 U. S. C. §924(c)(2), because it involved “possess[ion] with intent to manufacture, distribute, or dispense, a controlled substance,” 21 U. S. C.§841(a)(1). Accordingly, Moncrieffe’s offense is a “drug trafficking crime,” 18 U. S. C. §924(c)(2), which constitutes an “aggravated felony” under the Immigration and Nationality Act (INA), 8 U. S. C. §1101(a)(43)(B).2

THOMAS, J., dissenting

The Court rejected the plain meaning of 18 U. S. C.§924(c)(2) in Lopez. 549 U. S., at 50. There, the defendant was convicted of a state felony, but his offense would have been a misdemeanor under the CSA. Id., at 53. The Court held that the offense did not constitute a “‘felony punishable under the [CSA]’” because it was not “punishable as a felony under that federal law.” Id., at 60 (quoting §924(c)(2); emphasis added). I dissented in Lopez and warned that an inquiry into whether a state offense would constitute a felony in a hypothetical federal prosecution would cause “significant inconsistencies.” Id., at 63. I explained that one such inconsistency would arise if an alien defendant never convicted of an actual state felony were subject to deportation based on a hypothetical federal prosecution. Id., at 67.

This precise issue arose in Carachuri-Rosendo v. Holder, 560 U. S. ___ (2010). Instead of following the logic of Lopez, however, the Court contorted the law to avoid the harsh result compelled by that decision. In Carachuri-Rosendo, the defendant was convicted of a crime that the State categorized as a misdemeanor, but his offense would have been a felony under the CSA because he had a prior conviction. 560 U. S., at ___ (slip op., at ___). The Court held that the offense did not constitute an “aggravated felony” because the state prosecutor had not charged the existence of a prior conviction and, thus, the defendant was not “actually convicted of a crime that is itself punishable as a felony under federal law.” Id., at ___ (slip op., at17). Concurring in the judgment, I explained that the Court’s decision was inconsistent with Lopez because the defendant’s conduct was punishable as a felony under theC SA, but that Lopez was wrongly decided and that a proper reading of §924(c)(2) supported the Court’s result.560 U. S., at ___ (slip op., at 1). Carachuri-Rosendo’s crime of conviction was a state-law misdemeanor and, as a result, it did not qualify as a “felony punishable under the[CSA].” See ibid.

—————— gives courts discretion to impose probation instead of imprisonment and to do so without entering a conviction. As the majority recognizes, petitioner has waived any argument that he was not convicted for purposes of the Immigration and Nationality Act. Ante, at 3, n. 2. 2See 8 U. S. C. §1227(a)(2)(A)(iii) (providing that aliens convicted of an “aggravated felony” after admission are deportable); §1229b(a)(3)(providing that aliens convicted of an “aggravated felony” are ineligible for cancellation of removal); §1101(a)(43)(B) (defining “aggravated felony” as “illicit trafficking in a controlled substance . . . including a drug trafficking crime (as defined in [18 U. S. C. §924(c)])”); 18 U. S. C.§924(c)(2) (defining “drug trafficking crime” as “any felony punishable under the [CSA]”).

I declined to apply Lopez in Carachuri-Rosendo, and I am unwilling to apply it here. Indeed, the Court itself declined to follow the logic of Lopez to its natural end in Carachuri-Rosendo. And, now the majority’s ill-advised approach once again leads to an anomalous result. It is undisputed that, for federal sentencing purposes, Moncrieffe’s offense would constitute a federal felony unless he could prove that he distributed only a small amount of marijuana for no remuneration. Cf. United States v. Outen, 286 F. 3d 622, 637–639 (CA2 2002) (Sotomayor, J.) (agreeing with the Government that 21 U. S. C. §841(b)(4) is a mitigating exception to the “default provision” under §841(b)(1)(D) and that it need not negate the §841(b)(4) factors to support a sentence under §841(b)(1)(D)). But, the Court holds that, for purposes of the INA, Moncrieffe’s offense would necessarily correspond to a federal misdemeanor, regardless of whether he could in fact prove that he distributed only a small amount of marijuana for no remuneration. Ante, at 11 (asserting that neither §841(b)(1)(D) nor §841(b)(4) is the “default”provision). The Court’s decision, thus, has the effect of treating a substantial number of state felonies as federal misdemeanors, even when they would result in federal felony convictions.

The majority notes that “[t]his is the third time in seven years that we have considered whether the Government has properly characterized a low-level drug offense as . . . an ‘aggravated felony.’ ” Ante, at 20–21. The Court has brought this upon itself. The only principle uniting Lopez, Carachuri-Rosendo, and the decision today appears to be that the Government consistently loses. If the Court continues to disregard the plain meaning of §924(c)(2), I expect that these types of cases will endlessly—and needlessly—recur.

I respectfully dissent.

ALITO, J., dissenting

SUPREME COURT OF THE UNITED STATES

No. 11–702

ADRIAN MONCRIEFFE, PETITIONER v. ERIC H.
HOLDER, JR., ATTORNEY GENERAL

ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
APPEALS FOR THE FIFTH CIRCUIT

[April 23, 2013]

JUSTICE ALITO, dissenting.

The Court’s decision in this case is not supported by the language of the Immigration and Nationality Act (INA) or by this Court’s precedents, and it leads to results that Congress clearly did not intend.

Under the INA, aliens1 who are convicted of certain offenses may be removed from this country, 8 U. S. C.§1227(a)(2) (2006 ed. and Supp. V), but in many instances, the Attorney General (acting through the Board of Immigration Appeals (BIA)) has the discretion to cancel removal, §§1229b(a), (b). Aliens convicted of especially serious crimes, however, are ineligible for cancellation of removal. §1229b(a)(3) (2006 ed.). Among the serious crimes that carry this consequence is “illicit trafficking in a controlled substance.” §1101(a)(43)(B).

Under the Court’s holding today, however, drug traffickers in about half the States are granted a dispensation.In those States, even if an alien is convicted of possessing tons of marijuana with the intent to distribute, the alien is —————— ` country. Large-scale marijuana distribution is a major source of income for some of the world’s most dangerous drug cartels, Dept. of Justice, National Drug Intelligence Center, National Drug Threat Assessment 2, 7 (2011), but the Court now holds that an alien convicted of participating in such activity may petition to remain in this country.

1“Alien” is the term used in the relevant provisions of the Immigration and Nationality Act, and this term does not encompass all noncitizens. Compare 8 U. S. C. §1101(a)(3) (defining “alien” to include “any person not a citizen or national of the United States”) with §1101(a)(22)(defining “national of the United States”). See also Miller v. Albright, 523 U. S. 420, 467, n. 2 (1998) (GINSBURG, J., dissenting).

The Court’s decision also means that the consequences of a conviction for illegal possession with intent to distribute will vary radically depending on the State in which the case is prosecuted. Consider, for example, an alien who is arrested near the Georgia-Florida border in possession of a large supply of marijuana. Under the Court’s holding, ifthe alien is prosecuted and convicted in Georgia for possession with intent to distribute, he is eligible for cancellation of removal. But if instead he is caught on the Florida side of the line and is convicted in a Florida court—where possession with intent to distribute a small amount of marijuana for no remuneration is covered by a separate statutory provision, compare Fla. Stat. §893.13(3) (2010) with §893.13(1)(a)(2)—the alien is likely to be ineligible. Can this be what Congress intended?

I Certainly the text of the INA does not support such a result. In analyzing the relevant INA provisions, the starting point is 8 U. S. C. §1229b(a)(3), which provides that a lawful permanent resident alien subject to removal may apply for discretionary cancellation of removal if he has not been convicted of any “aggravated felony.” The term “aggravated felony” encompasses “illicit tracking in a controlled substance . . . including a drug trafficking crime (as defined in [18 U. S. C. §924(c)]).” 8 U. S. C. §1101(a)(43)(B). And this latter provision defines a “drug trafficking crime” to include “any felony punishable under the Controlled Substances Act (21 U. S. C. 801 et seq.).”

18 U. S. C. §924(c)(2). Thus “any felony punishable under the [CSA]” is an “aggravated felony.”

Where an alien has a prior federal conviction, it is a straightforward matter to determine whether the conviction was for a “felony punishable under the [CSA].” But 8 U. S. C. §1101(a)(43) introduces a complication. That provision states that the statutory definition of “aggravated felony” “applies to an offense described in this paragraph whether in violation of Federal or State law.” (Emphasis added.) As noted, the statutory definition of “aggravated felony” includes a “felony punishable under the[CSA],” and therefore §1101(a)(43)(B) makes it necessary to determine what is meant by a state “offense” that is a“felony punishable under the [CSA].”

What §1101(a)(43) obviously contemplates is that the BIA or a court will identify conduct associated with the state offense and then determine whether that conduct would have supported a qualifying conviction under the federal CSA.2 Identifying and evaluating this relevant conduct is the question that confounds the Court’s analysis. Before turning to that question, however, some preliminary principles should be established.

—————— 2The Court’s disagreement with this proposition, ante at 12, n. 8, is difficult to understand. If, as 8 U. S. C. §1101(a)(43) quite plainly suggests and the Court has held, a state conviction can qualify as an“aggravated felony,” we must determine what is meant by a state “offense” that is a “felony punishable under the [CSA].” There is no way to do this other than by identifying a set of relevant conduct and asking whether, based on that conduct, the alien could have been convicted of a felony if prosecuted under the CSA in federal court. In rejecting what it referred to as a “hypothetical approach,” the Carachuri-Rosendo Court was addressing an entirely different question, specifically, which set of conduct is relevant. Carachuri-Rosendo v. Holder, 560 U. S. ___, ___–___ (2010) (slip op., at 8, 15–17). We held that the relevant set of conduct consisted of that which was in fact charged and proved in the state-court proceeding, not the set of conduct that could have been proved in a hypothetical federal proceeding.

In Lopez v. Gonzales, 549 U. S. 47, 50 (2006), we held that felony status is controlled by federal, not state, law.As a result, once the relevant conduct is identified, it must be determined whether proof of that conduct would support a felony conviction under the CSA. The federal definition of a felony is a crime punishable by imprisonment for more than one year. 18 U. S. C. §§3559(a)(1)–(5). Consequently, if the proof of the relevant conduct would support a conviction under the CSA for which the maximum term of imprisonment is more than one year, the state conviction qualifies as a conviction for an “aggravated felony.”

II This brings us to the central question presented in this case: how to determine and evaluate the conduct that constitutes the state “offense.” One possibility is that actual conduct is irrelevant, and that only the elements of the state crime for which the alien was convicted matter. We have called this the “categorical approach,” Taylor v. United States, 495 U. S. 575, 600 (1990), and we have generally used this approach in determining whether a state conviction falls within a federal definition of a crime, see id., at 600–601 (“Section 924(e)(2)(B)(i) defines ‘violent felony’ as any crime punishable by imprisonment for more than a year that ‘has as an element’—not any crime that, in a particular case, involves—the use or threat of force.Read in this context, the phrase ‘is burglary’ in §924(e)(2)(B)(ii) most likely refers to the elements of the statute of conviction, not to the facts of each defendant’s conduct”). But, as will be discussed below, we have also departed in important ways from a pure categorical approach.The Court’s opinion in this case conveys the impression that its analysis is based on the categorical approach, but that is simply not so. On the contrary, a pure categorical approach leads very quickly to the conclusion that petitioner’s Georgia conviction was a conviction for an “aggravated felony.”

The elements of the Georgia offense were as follows:knowledge, possession of marijuana, and the intent to distribute it. Ga. Code Ann. §16–13–30(j)(1) (2007); Jack-son v. State, 295 Ga. App. 427, 435, n. 28, 671 S. E. 2d 902,909, n. 28 (2009). Proof of those elements would be sufficient to support a conviction under 21 U. S. C. §841(a), and the maximum punishment for that offense is imprisonment for up to five years, §841(b)(1)(D) (2006 ed., Supp. V), more than enough to qualify for felony treatment. Thus, under a pure categorical approach, petitioner’s Georgia conviction would qualify as a conviction for an“aggravated felony” and would render him ineligible for cancellation of removal.

The Court departs from this analysis because §841(b)(4) provides a means by which a defendant convicted of violating §841(a) (2006 ed.) may lower the maximum term of imprisonment to no more than one year. That provision states that “any person who violates [§841(a)] by distributing a small amount of marihuana for no remuneration shall be treated as” a defendant convicted of simple possession, and a defendant convicted of that lesser offense faces a maximum punishment of one year’s imprisonment (provided that the defendant does not have a prior simple possession conviction), §844 (2006 ed., Supp. V). Reading this provision together with §841(a), the Court proceeds as if the CSA created a two-tiered possession-with-intent-to distribute offense: a base offense that is punishable as a misdemeanor and a second-tier offense (possession with intent to distribute more than a “small amount” of marijuana or possession with intent to distribute for remuneration) that is punishable as a felony.

If the CSA actually created such a two-tiered offense,the pure categorical approach would lead to the conclusion that petitioner’s Georgia conviction was not for an “aggravated felony.” The elements of the Georgia offense would not suffice to prove the second-tier offense, which would require proof that petitioner possessed more than a “small amount” of marijuana or that he intended to obtain remuneration for its distribution. Instead, proof ofthe elements of the Georgia crime would merely establish a violation of the base offense, which would be a misdemeanor.

The CSA, however, does not contain any such two-tiered provision. And §841(b)(4) does not alter the elements of the §841(a) offense. As the Court notes, every Court of Appeals to consider the question has held that §841(a) isthe default offense and that §841(b)(4) is only a mitigating sentencing guideline, see United States v. Outen, 286 F. 3d 622, 636–639 (CA2 2002) (Sotomayor, J.) (describing §841(b)(4) as a “mitigating exception”); United States v. Hamlin, 319 F. 3d 666, 670 (CA4 2003) (collecting cases),and the Court does not disagree, ante, at 11–13.

Confirmation of this interpretation is provided by the use of the term “small amount” in §841(b)(4). If §841(b)(4) had been meant to alter the elements of §841(a), Congress surely would not have used such a vague term. Due process requires that the elements of a criminal statute be defined with specificity. Connally v. General Constr. Co., 269 U. S. 385, 393 (1926). Accordingly, it is apparent that§841(b)(4) does not modify the elements of §841(a) but instead constitutes what is in essence a mandatory sentencing guideline. Under this provision, if a defendant is convicted of violating §841(a), the defendant may attempt to prove that he possessed only a “small amount” of marijuana and that he did not intend to obtain remuneration for its distribution. If the defendant succeeds in convincing the sentencing judge, the maximum term of imprisonment is lowered to one year.

In sum, contrary to the impression that the Court’s opinion seeks to convey, the Court’s analysis does not follow the pure categorical approach.

III Nor is the Court’s analysis supported by prior case law.The Court claims that its approach follows from our decision in Carachuri-Rosendo v. Holder, 560 U. S. ___ (2010),but that case—unlike the Court’s opinion—faithfully applied the pure categorical approach. In Carachuri-Rosendo, the alien had been convicted in a Texas court for simple possession of a controlled substance. Id., at ___ (slip op., at 6). At the time of that conviction, Carachuri-Rosendo had a prior state conviction for simple possession, but this fact was not charged or proved at his trial and was apparently not taken into account in setting his sentence, which was 10 days in jail. Id., at ___, ___–___ (slip op., at 5–6). Arguing that Carachuri-Rosendo was ineligible for cancellation of removal, the Government maintained that his second simple possession conviction qualified under the INA as a conviction for an “aggravated felony.” Id., at ___ (slip op., at 5). This was so, the Government contended, because, if Carachuri-Rosendo’s second simple-possession prosecution had been held in federal court, he could have been punished by a sentence of up to two years due to his prior simple possession conviction. Id., at ___ (slip op., at 5). This more severe sentence, however, would have required the federal prosecutor to file a formal charge alleging the prior conviction; Carachuri-Rosendo would have been given the opportunity to defend against that charge; and the heightened sentence could not have been imposed unless the court found that the prior conviction had occurred. Id., at ___ (slip op., at 14). Our rejection of the Government’s argument thus represented a straightforward application of the pure categorical approach. The elements of the Texas offense for which Carachuri-Rosendo was convicted were knowledge or intent, possession of a controlled substance without a prescription, and nothing more. Id., at ___ (slip op., at 6);Tex. Health & Safety Code Ann. §§481.117(a), (b) (West 2010). Proof of a prior simple possession conviction was not required, and no such proof appears to have been offered. The maximum penalty that could have been imposed under federal law for simple possession (without proof of a prior simple possession conviction) was one year’s imprisonment. Thus, proof in federal court of the elements of the Texas offense would not have permitted a felony-length sentence, and consequently the state conviction did not qualify as a felony punishable under the CSA.

IV Unsupported by either the categorical approach or our prior cases, the decision of the Court rests instead on the Court’s belief—which I share—that the application of the pure categorical approach in this case would lead to results that Congress surely did not intend.Suppose that an alien who is found to possess two marijuana cigarettes is convicted in a state court for possession with intent to distribute based on evidence that he intended to give one of the cigarettes to a friend. Under the pure categorical approach, this alien would be regarded a shaving committed an “aggravated felony.” But this classification is plainly out of step with the CSA’s assessment of the severity of the alien’s crime because under the CSA the alien could obtain treatment as a misdemeanant by taking advantage of 21 U. S. C. §841(b)(4). For this reason, I agree with the Court that such an alien should not be treated as having committed an “aggravated felony.” In order to avoid this result, however, it is necessary to depart from the categorical approach, and that is what the Court has done. But the particular wayin which the Court has departed has little to recommend it.

To begin, the Court’s approach is analytically confused.As already discussed, the Court treats §841(b)(4) as if it modified the elements of §841(a), when in fact §841(b)(4) does no such thing. And the Court obviously knows this because it does not suggest that §841(b)(4) changes the elements of §841(a) for criminal law purposes.3

In addition, the Court’s approach leads to the strange and disruptive results noted at the beginning of this opinion. As an initial matter, it leads to major drug trafficking crimes in about half the States being excluded from the category of “illicit trafficking in a controlled substance.” Moreover, it leads to significant disparities between equally culpable defendants. We adopted the categorical approach to avoid disparities in our treatment of defendants convicted in different States for committing the same criminal conduct. See Taylor, 495 U. S., at 590–591 (rejecting the view that state law determined the meaning of “burglary” because “[t]hat would mean that a person convicted of unlawful possession of a firearm would, or would not, receive a sentence enhancement based on exactly the same conduct, depending on whether the State of his prior conviction happened to call that conduct ‘burglary’”). Yet the Court reintroduces significant disparity into our treatment of drug offenders. All of this can be avoided by candidly acknowledging that the categorical approach is not the be-all and end-all.

—————— 3The Court defends its interpretation of 21 U. S. C. §§841(a), (b)(4) by arguing that Carachuri-Rosendo v. Holder, 560 U. S. ___ (2010), rejected any recourse to a “hypothetical approach” for determining how a criminal prosecution likely would have proceeded, see ante, at 12, and that is true enough. But, as discussed above, see n. 2, supra, just because the categorical approach does not require conjecture as to whether a hypothetical federal prosecutor would be likely to charge and prove a prior conviction does not mean that it also precludes analysis of the structure of the federal criminal statute at hand. Indeed, our categorical-approach cases have done little else. See, e.g., Carachuri-Rosendo, supra, at ___ (slip op., at 14) (discussing procedural protections Carachuri-Rosendo would have enjoyed had he been prosecuted federally); Gonzales v. Duenas-Alvarez, 549 U. S. 183, 185, 189–194 (2007) (the term “theft offense” in 8 U. S. C. §1101(a)(43)(G) includes the crime of aiding and abetting a theft offense).

When Congress wishes to make federal law dependent on certain prior state convictions, it faces a difficult task.The INA provisions discussed above confront this problem,and their clear objective is to identify categories of criminal conduct that evidence such a high degree of societal danger that an alien found to have engaged in such conduct should not be allowed to obtain permission to remain in this country. Since the vast majority of crimes are prosecuted in the state courts, Congress naturally looked to state, as well as federal, convictions as a metric for identifying these dangerous aliens.

But state criminal codes vary widely, and some state crimes are defined so broadly that they encompass bothvery serious and much less serious cases. In cases involving such state provisions, a pure categorical approach may frustrate Congress’ objective.

The Court has said that the categorical approach finds support in the term “conviction.” Taylor, supra, at 600; Shepard v. United States, 544 U. S. 13, 19 (2005). But the Court has never held that a pure categorical approach is dictated by the use of that term,4 and I do not think that it is. In ordinary speech, when it is said that a person was convicted of or for doing something, the “something” may include facts that go beyond the bare elements of the relevant criminal offense. For example, it might be said that an art thief was convicted of or for stealing a Rembrandt oil painting even though neither the identity of the artist nor the medium used in the painting are elements of the standard offense of larceny. See 3 W. LaFave, Substantive Criminal Law §19.1(a) (2d ed. 2003).

—————— 4Instead, the Court adopted the categorical approach based on a combination of factors, including judicial efficiency. See Taylor, 495 U. S., at 601 (“[T]he practical difficulties and potential unfairness of a factual approach are daunting. In all cases where the Government alleges that the defendant’s actual conduct would fit the generic definition of burglary, the trial court would have to determine what that conduct was”).

For these reasons, departures from the categorical approach are warranted, and this Court has already sanctioned such departures in several circumstances. See Taylor, supra, at 602 (modified categorical approach); Gonzales v. Duenas-Alvarez, 549 U. S. 183, 193 (2007) (categorical approach does not exclude state-law convictions unless there is “a realistic probability, not a theoretical possibility, that the State would apply its statute to conduct that falls outside the generic definition of a crime”); Nijhawan v. Holder, 557 U. S. 29, 32 (2009) (interpreting an enumerated “aggravated felony” in 8 U. S. C.§1101(a)(43) not to be a generic crime). Consistent with the flexibility that the Court has already recognized, I would hold that the categorical approach is not controlling where the state conviction at issue was based on a state statute that encompasses both a substantial number of cases that qualify under the federal standard and a substantial number that do not. In such situations, it is appropriate to look beyond the elements of the state offense and to rely as well on facts that were admitted in state court or that, taking a realistic view, were clearly proved. Such a look beyond the elements is particularly appropriate in a case like this, which involves a civil proceeding before an expert agency that regularly undertakes factual inquiries far more daunting than any that would be involved here. See, e.g., Negusie v. Holder, 555 U. S. 511 (2009).

Applying this approach in the present case, what we find is that the Georgia statute under which petitioner was convicted broadly encompasses both relatively minor offenses (possession of a small amount of marijuana with the intent to share) and serious crimes (possession with intent to distribute large amounts of marijuana in exchange for millions of dollars of profit). We also find that petitioner had the opportunity before the BIA to show tha this criminal conduct fell into the category of relatively minor offenses carved out by §841(b)(4). Administrative Record 16–26. The BIA takes the entirely sensible view that an alien who is convicted for possession with intent to distribute may show that his conviction was not for an“aggravated felony” by proving that his conduct fell within §841(b)(4). Matter of Castro-Rodriguez, 25 I. & N. Dec. 698, 701–702 (2012). Petitioner, for whatever reason, availed himself only of the opportunity to show that his conviction had involved a small amount of marijuana and did not present evidence—or even contend—that his offense had not involved remuneration. Administrative Record 16–26, 37. As a result, I think we have no alternative but to affirm the decision of the Court of Appeals,which in turn affirmed the BIA.

Posted in Aggravated felony, Cancellation of Removal, Deportation for Drug Crimes, Marijuana Possession, U.S. Supreme Court | Leave a comment

Ni v. Holder, forced sterilization under China’s “one-child policy”

Docket: 12-2242

Opinion Date: April 26, 2013

Judge: Wood

12-2242 Ji Cheng Ni v.
  Eric H. Holder, Jr.
agency 04/26/2013 Final
 Opinion
Wood

Ni came to the U.S. in 2001 from Fujian Province, China. An Immigration
Judge ordered him removed in 2003, but he has remained in the U.S., and
has started a family. In 2011, following the birth of his second child,
Ni moved to reopen his removal proceedings, arguing that he will
personally face forced sterilization under China’s “one-child policy” if
he returns to Fujian Province, a form of persecution based on “political
opinion” for which asylum may be granted, 8 U.S.C. 1101(a)(42)(B).

The Board of Immigration Appeals denied Ni’s motion, holding that his
evidence was not sufficient to establish a change in circumstances or
country conditions, as generally required when an applicant moves to
reopen more than 90 days after entry of a final administrative order.

The Seventh Circuit granted review, noting that courts of appeals have
received scores of similar petitions involving Fujian Province in recent
years, and have regularly upheld the BIA’s refusal to grant relief.
“Routine can be numbing, however, and it can lead to errors. Here, the
BIA failed meaningfully to address documents bolstering Ni’s assertion
that family planning officials in and around his hometown recently
launched a crackdown on those who flout the “one-child policy.”

https://mikebakerlaw.com/blog/–skip-columns=guidwp-content/uploads/2013/04/12-2242-2013-04-26.pdf

United States Court of Appeals

For the Seventh Circuit

No. 12-2242

JI CHENG NI, a/k/a JI ZHENG NIA, 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. A077-354-460

SUBMITTED DECEMBER 3, 2012 —DECIDED APRIL 26, 2013

Before WOOD and HAMILTON, Circuit Judges, and DARROW, District Judge.

The parties have waived oral argument in the case and thus the appeal is submitted on the briefs and record. See FED. R. APP. P.

The Honorable Sara Darrow, Judge of the United States District Court for the Central District of Illinois, sitting by designation.

WOOD, Circuit Judge. Ji Cheng Ni came to the United States in 2001 from his home in Fujian Province, China. An Immigration Judge ordered him removed in 2003, and his subsequent appeals were unsuccessful. See Ni v. Gonzales, 134 F. App’x 977 (7th Cir. 2005). Despite that order, Ni managed to remain in the United States, and he has since started a family. In 2011, following the birth of his second child, Ni moved to reopen his removal proceedings, arguing that he will personally face forced sterilization under China’s “one-child policy” if he returns to Fujian Province. Such direct harm constitutes a form of persecution based on “political opinion” for which asylum may be granted. See 8 U.S.C. § 1101(a)(42)(B); Lin v. U.S. Dep’t. of Justice, 494 F.3d 296 (2d Cir. 2007). The Board of Immigration Appeals (BIA or Board) denied Ni’s motion, holding that “his evidence [was] not sufficient to establish a change in circumstances or country conditions,” as generally is required when an applicant files a motion to reopen removal proceedings more than 90 days after the entry of a final administrative order.

The courts of appeals have received scores of strikingly similar petitions for review involving Fujian Province in recent years, and we have regularly upheld the BIA’s refusal to grant relief in such proceedings. Routine can be numbing, however, and it can lead to errors.

Here, in evaluating Ni’s motion to reopen, the BIA failed meaningfully to address documents bolstering Ni’s assertion that conditions in China have changed for the worse. Ni’s evidence indicates that family planning officials in and around his hometown recently launched a crackdown on those who flout the “one-child policy.” This oversight is particularly worrisome in light of the BIA’s frequent admonitions that such locality-specific evidence of coercive enforcement measures is necessary for asylum claims predicated on China’s population control policies. Because the BIA failed “to announce its decision in terms sufficient to enable a reviewing court to perceive that it has heard and thought and not merely reacted,” see Iglesias v. Mukasey, 540 F.3d 528, 531 (7th Cir. 2008), we grant Ni’s petition for review.

I

A motion to reopen is “an ‘important safeguard’ intended ‘to ensure a proper and lawful disposition’ of immigration proceedings.” Kucana v. Holder, 130 S. Ct. 827, 834 (2010) (quoting Dada v. Mukasey, 554 U.S. 1, 18 (2008)). Subject to certain exceptions, an alien may file only one such motion, and he must do so within 90 days of the date of entry of a final administrative order of removal. 8 U.S.C. § 1229a(c)(7). These time and numerical limitations present no bar, however, to a motion to reopen that is “based on changed country conditions arising in the country . . . to which removal has been ordered.” § 1229a(c)(7)(C)(ii). The movant must present “evidence [that] is material and was not available and would not have been discovered or presented at the previous proceeding” to establish such a change. Id.

Because the Board has broad discretion in such matters, we employ a deferential standard of review. Kucana, 130 S. Ct. at 834. The BIA abuses its discretion if “it has made its decision without rational explanation, departs from established policies without explanation, or rests on an impermissible basis such as invidious discrimination.” Jiang v. Holder, 639 F.3d 751, 754 (7th Cir. 2010). Its determination must be “supported by reasonable, substantial, and probative evidence on the record considered as a whole.” Youkhana v. Gonzales, 460 F.3d 927, 931 (7th Cir. 2006).

In assessing motions to reopen involving enforcement of China’s population policies, the BIA has emphasized that it assesses each application on a “case-by-case” basis. In re S-Y-G-, 24 I. & N. Dec. 247, 251 (BIA 2007). An applicant may successfully reopen his asylum case by showing “that (1) a relevant change in country conditions occurred, (2) the applicant has violated family planning policy as established in that alien’s local province, municipality, or other relevant area, and

(3) the violation would be punished in a way that would give rise to a well-founded fear of persecution.” Id. Should the BIA find that no relevant change has occurred, it must provide a “reasoned explanation for its finding that [a petitioner] ha[s] not provided evidence of changed conditions.” Gebreeyesus v. Gonzales, 482 F.3d 952, 955 (7th Cir. 2007). Importantly for present purposes, we cannot accept “an agency’s inadequately justified decision ‘by substituting what [we] consider[] to be a more adequate or proper basis’ for the decision.” Borovsky v. Holder, 612 F.3d 917, 921 (7th Cir. 2010) (quoting SEC v. Chenery Corp., 332 U.S. 194, 196 (1947)).

II

Ni arrived at Los Angeles International Airport on August 13, 2001, and promptly sought asylum. He initially claimed that he fled Fujian Province after Chinese authorities shuttered his bookstore in response to his sale of Falun Gong materials, but an Immigration Judge (IJ) denied relief on that basis in 2003 and ordered him removed. The BIA summarily affirmed the IJ’s opinion on June 8, 2004, and this court denied Ni’s petition for review on June 20, 2005. Ni, 134 F. App’x at 980.

At that point, rather than depart, Ni remained in New York City. In 2006, he married Feng Mei Yang, also a native and citizen of China, and they now have two children. On July 5, 2011, a month after the birth of his second child, Ni moved to reopen his removal proceedings. He asserted that under China’s strict family planning policy, the government permits couples to have only one child, and that he would be forced to undergo sterilization should he be removed to Fujian Province. If proven, this would make Ni eligible for asylum on “political opinion” grounds, since a person who can demonstrate a “well founded fear that he or she will be forced to undergo such a procedure [abortion or sterilization] or [be] subject to persecution for such failure, refusal, or resistance shall be deemed to have a well founded fear of persecution on account of political opinion.” 8 U.S.C. § 1101(a)(42)(B).

Ni’s motion to reopen came seven years after the BIA’s final order of removal in 2004, well beyond the ordinary 90-day time limit. In order to obtain reopening, Ni had to make a threshold showing of “changed country conditions” in China. 8 U.S.C. § 1229a(c)(7)(C)(ii). Because the birth of Ni’s two children in the United States is “merely a change in personal circumstances” rather than a change in “country conditions,” Xiao Jun Liang v. Holder, 626 F.3d 983, 988 (7th Cir. 2010) (internal quotation marks and citations omitted), most of Ni’s motion focused on establishing an increase in forced sterilizations and abortions in Fujian Province in recent years.

Ni’s effort to make such a showing had to take into account the U.S. Department of State’s 2007 Country Profile of Asylum Claims and Country Conditions (2007 Country Profile), which states that “U.S. officials in China are not aware of [an] alleged official policy, at the national or provincial levels, mandating the sterilization of one partner of couples that have given birth to two children, at least one of whom was born abroad,” and that “central government policy prohibits the use of physical coercion to compel persons to submit to abortion or sterilization.” Nevertheless, portions of the 2007 Country Profile suggest that abuses may occur at the local level. In the past, the BIA has found this report to be “highly probative and reliable evidence of country conditions in Fujian Province” and has relied on it to deny asylum requests by similarly situated applicants. See In re H-L-H- & Z-Y-Z-, 25 I. & N. Dec. 209 (BIA 2010).

Ni had two responses to the 2007 Country Profile: he challenged its methodology and findings; and he argued that its relatively sanguine assessment established only a baseline of “country conditions in China as they existed on or before May 2007.” Since then, Ni contends, conditions have worsened. In support of this claim, Ni submitted nearly 900 pages of indexed documents, including a scholarly critique of the 2007 Country Profile by Dr. Flora Sapio; the 2009 and 2010 Annual Reports of the Congressional-Executive Commission on China (CECC Reports); various research articles and media reports; and, perhaps most importantly, dozens of directives and communiqués to and from local family planning officials throughout Fujian Province. We discuss these documents in greater depth below, but in general they support the proposition that enforcement of China’s family planning policy has become more stringent since 2007 in Fujian Province, and that coerced sterilization and abortions are becoming more common.

The BIA gave short shrift to Ni’s presentation. After cataloging the voluminous evidence Ni submitted, it offered a one and one-half page explanation of why these materials failed to persuade it of “changed conditions” in China. Most of this discussion focused on why the Board found the 2007 Country Profile reliable, and why it found Dr. Sapio’s critique unpersuasive. The Board did not directly address Ni’s contention that conditions had deteriorated since the issuance of the 2007 Country Profile, though it very briefly touched upon the 2009 and 2010 CECC Reports and the collection of government directives that Ni submitted. Neither set of materials, it concluded, was “sufficient to demonstrate that the respondent will be subjected to sterilization” or “suffer mistreatment amounting to persecution” upon return to China. Because Ni had “exceed[ed] the time limit for motions to reopen” and failed “to establish a change in circumstance or country conditions ‘arising in the country of nationality’ so as to create an exception to the time and number limitations for filing a late motion to reopen,” the BIA denied Ni’s motion to reopen.

III

Particularly when an alien submits nearly 1,000 pages of evidence, the BIA need not “expressly parse or refute on the record each individual argument or piece of evidence offered by the petitioner.” Shao v. Mukasey, 546 F.3d 138, 169 (2d Cir. 2008); see also Iglesias, 540 F.3d at 531 (“[T]he BIA does not have to write an exegesis on every contention, [though] it must consider the issues raised . . . .”). But that does not mean that the Board can simply disregard relevant evidence. Here, it appears that the Board failed to notice that Ni presented precisely the sort of evidence it has demanded for a successful motion to reopen. We give examples below.

Initially, we confirm that the Board was entitled to reject Dr. Sapio’s critique of the 2007 Country Profile.

The BIA’s opinion reveals that it considered Dr. Sapio’s arguments, identified several weaknesses, and ultimately found that her “critique of the 2007 U.S. State Department Profile on China [was insufficient to] persuade [the Board] that the Profile is unreliable.” Though State Department reports are not “Holy Writ,” Galina v. INS, 213 F.3d 955, 959 (7th Cir. 2000), they are “entitled to deference,” Zheng v. Gonzales, 409 F.3d 804, 811 (7th Cir. 2005). Such reports “are accorded special weight, because they are based on the collective expertise and experience of the Department of State, which has diplomatic and consular representatives throughout the world.” In re H–L–H–, 25 I. & N. Dec. at 213 (internal quotation marks and citations omitted). We note that the BIA’s rejection of Dr. Sapio’s critique has been discussed in at least nineteen appellate cases from six circuits—many involving the same lawyers who represent Ni here—and not once has a court of appeals found the BIA’s rejection of Dr. Sapio’s report to constitute an abuse of discretion. See, e.g., Zheng v. Holder, 701 F.3d 237, 241-42 (7th Cir. 2012); Hang Chen v. Holder, 675 F.3d 100, 108 (1st Cir. 2012); Xiu Jin Yu v. Attorney Gen. of U.S., 429 F. App’x 158, 161 (3d Cir. 2011).

But it is one thing to accept the Board’s evaluation of Dr. Sapio’s contribution, and another to say that its treatment of the 2007 Country Profile as a whole was unobjectionable. The Board did not indicate, for example, what “conclusions” and “highly probative evidence” from the 2007 Country Profile it actually was crediting. This is a troubling omission, since the gravamen of Ni’s motion to reopen is that the relevant changes in Fujian Province postdate the May 2007 publication of the State Department’s report. In its brief, the government urges that the BIA “reasonably found persuasive and relied on” the following pieces of the Profile:

! “Central government policy prohibits the use of physical coercion to compel persons to submit to sterilization or abortion.”

! “U.S. diplomats in China have heard reports that local officials occasionally employ illegal means, such as forcibly performing abortions or sterilizations . . . but only . . . from Provinces other than Fujian.”

! “Consulate General officials visiting Fujian . . . did not find any cases of physical force employed in connection with abortion or sterilization.”

! “[I]n interviews with visa applicants from Fujian, representing a wide cross-section of society, Consulate General officers have found that many violators of the one-child policy paid fines but found no evidence of forced abortion or property confiscation.”

Ni’s motion to reopen accepted that this was the case in 2007, explaining that “[t]he Board has repeatedly emphasized its perception [based on the 2007 Country Profile] of the Chinese government’s enforcement of the population control policy on or before May 2007 as ‘lax.’ ” For present purposes, we accept this understanding of the Profile.

The crux of Ni’s argument, however, is that conditions in Fujian Province, and specifically in and around Ni’s small hometown of Guantou Town (population 5,790, see http://www.tiptopglobe.com/city?n=Guantou&p=5790#lat= 26.15544&lon=119.60815&zoom=7, last visited April 23, 2013) have since worsened. See Liang, 626 F.3d at 989 (“[U]nless [petitioner] could show that China’s enforcement of the policy had become more stringent in her province since her last hearing, she could not prevail.”). To support his contention, Ni pointed to reports issued in 2009 and 2010 by the Congressional-Executive Commission on China. These more recent reports, he argues, offer a darker assessment of conditions in China than the 2007 Country Profile. The reports were not buried in Ni’s filings: he discusses them at length in the body of the motion to reopen, and they appear as the first two exhibits in his lengthy appendix of “Background Documents in Support of Motion to Reopen.” The 2009 CECC Report (published October 10, 2009), for example, stated that “the use of coercive measures” to enforce birth control policies is now “commonplace”; that “in the past year, authorities in various localities forced women to undergo abortions, and in some cases, reportedly beat violators of population planning regulations”; and that “local authorities continue to mandate surgical sterilization and the use of contraception as a means to enforce birth quotas.” In some areas of Fujian Province, the Report specified, “authorities . . . employed abortion as an official policy instrument.” Fujian Province is also listed as an area where “population planning officials are authorized to take ‘remedial measures’ to deal with ‘out-of-plan’ pregnancies.” According to the Report’s authors, the term “remedial measures” (bujiu cuoshi) is often used as a euphemism for “compulsory abortion.” The 2010 CECC Report (published October 10, 2010) offers a similarly bleak assessment. Its key findings include the observation that “Chinese authorities continued [in 2010] to implement population planning policies that interfere with and control the reproductive lives of women [including] forced sterilization [and] forced abortions,” and that, at least with respect to migrant workers, forced abortions were becoming more common. Early in the year, the Report also observed, “authorities across a wide range of Chinese localities launched population planning enforcement campaigns—often dubbed ‘spring family planning service activities’ (chunji jisheng fuwu xingdong)—that employed coercive measures to terminate ‘out-of-plan’ pregnancies.” These coercive measures included forced sterilizations and abortions.

The BIA did not ignore these Reports altogether, but it brushed over them lightly with the following comment:

The evidence indicates that social compensation fees, job loss or demotion, loss of promotion opportunity, expulsion from the party, destruction of property, and other administrative punishments are used to enforce the family planning policy. [Citing 2009 and 2010 Congressional-Executive Commission Reports.] The evidence reflects that China regards a child of Chinese nationals who have not permanently settled in another country as a Chinese national, but it is not sufficient to demonstrate that the respondent will be subjected to sterilization. [Citing Liang v. Holder, 626 F.3d 983 (7th Cir. 2010); In re S-Y-G-, 24 I. & N. Dec. 247 (BIA 2007)].

The opinion contains no further mention of the CECC Reports.

This response tells us almost nothing. It indicates that the BIA did credit the CECC Reports, at least in part. Why the BIA found the Reports’ discussion of certain “administrative punishments” and coercive tactics to be persuasive, but found the Reports’ discussion of forced sterilizations and abortions in Fujian Province not to be persuasive, however, remains a mystery. Though these same Reports have featured in previous asylum cases arising out of Fujian Province, the two cases cited by the BIA (Liang and S-Y-G-) make no mention of the Congressional-Executive Commission. We have no idea what bearing the Board thought that those cases have on Ni’s evidence. This underscores a final, overarching problem: the BIA appears to have misapprehended the purpose of this evidence. Ni’s argument was not that the CECC Reports constitute irrefutable proof that he “will be subjected to sterilization,” but rather that they evince a steady worsening of conditions serious enough to warrant reopening his case.

Six months before the BIA ruled on Ni’s motion to reopen, this court noted in a non-precedential order that “[t]he Board’s failure to address the [CECC] reports is troubling: CECC reports are official publications that should be afforded weight, and the Board ought to have explained how it reconciles the CECC reports with its view that China’s family-planning policy is enforced through administrative means.” Qiao Ling Lin v. Holder, 441 F. App’x 390, 394 (7th Cir. 2011). Though we have previously indicated that these reports, taken alone, may not be sufficient to demonstrate “changed country conditions,” see id.; see also Ping Zheng v. Holder, 701 F.3d 237 (7th Cir. 2012), they were far from the only evidence Ni presented. The Board’s ongoing refusal to respond meaningfully to such evidence is difficult to understand.

The BIA offered a similarly perfunctory response to dozens of official government publications Ni submitted that appear to corroborate his claim of a recent crackdown by family planning officials in Fujian Province. To give but a few examples, Ni presented a June 11, 2009, document issued by the People’s Government of Guantou Town that details a “Hundred-Day Battle on population and family planning,” during which officials should “complete the missions of required abortion, induced labor abortion, sterilization, and collection of social maintenance fees.” This grim missive provides for rewards and penalties based on progress toward family planning goals. A March 16, 2008, Guantou Town directive entitled “Notification with regard to Tightening of this year’s Implementation of Birth Control Measures” instructs officials to “step up your efforts on population and family planning . . . . [W]omen with two or more children are required to perform the sterilization.” A May 10, 2007, Guantou Township Committee document references another “One-Hundred Day Campaign” during which a Special Operation Command was established to “search and arrest the rule breaker. If women is [sic] confirmed to be pregnant without permit, send them to the County Hospital. Implement critical remedial measure.” Ni offered several more documents from Guantou Town containing similar statements.

Ni also submitted documents from authorities in Lianjiang County, in which Guantou Town is located. A December 24, 2010, announcement celebrating the “Launching [of] Countywide Massive Family Planning Clean-up Work” details a new campaign to “stop the extra births beyond the quota” through strict adherence to “four surgeries” and “double check-ups” targets. Officials are instructed to enter homes and “take every measure possible to raise the materialization rate” for “four surgeries.” Officials who do not meet goals will face “great severities” and will be assessed as “not qualified for the jobs for that year and will also be disciplined in other ways.” Ni also submitted numerous additional documents from neighboring Fuzhou and Changle City, as well as from other parts of Fujian Province. All of these materials bolster his assertion of a material change in country conditions.

The Board offered a similarly brief and desultory response to this evidence:

The respondent is from Guantou Town, Fuzhou City, and he has not shown that the documents and regulations from other towns and cities are applicable to him. The evidence that there have been reports of incidents of coercion to meet birth targets in some areas of China, contrary to the national policy, is not sufficient to establish that the respondent will suffer mistreatment amounting to persecution based on the birth of his children in the United States. See Chen v. Gonzales, 489 F.3d 861, 862 (7th Cir. 2007) (affidavits relating personal experiences or tales about sterilizations in Fujian following the birth of children in China would not establish that a person in the respondent’s position faces a material risk that this would happen to her based on the birth of her children in the United States).

Beyond these two sentences, the BIA offered no substantive commentary on Ni’s proffered government documents.

This too is an inadequate response. If these documents are genuine—and this remains an important “if”—they constitute strong evidence that harrowing practices are common in the part of Fujian Province (indeed, the very town) from which Ni hails. The BIA faulted Ni for “not show[ing] that the documents and regulations from other towns and cities are applicable to him” and for relying on evidence from other areas in China, but it ignored Ni’s evidence that directly addressed enforcement practices in Guantou Town, Lianjiang County, and Fuzhou City. 1 (We note that the

1 According to the State Department’s 2007 Country Profile, Guantou is a town in Lianjiang County, just north of Fuzhou City. Fuzhou City and Changle City are adjacent municipalities to the south and southeast, distinct from Lianjiang County. The BIA’s statement that Ni is from “Guantou Town, Fuzhou City,” is thus somewhat confusing, since the record indicates (continued…)

BIA appears to have recycled the “other towns and cities” language from previous “one-child policy” cases involving petitioners who, unlike Ni, failed to present evidence from their hometowns. See, e.g., Hang Chen, 675 F.3d at 105 (“The BIA also stated that Chen had not shown that other towns or cities’ regulations regarding family planning would apply to him.”)). Assuming that the Board actually examined Ni’s documents, we are left with nothing to indicate how the information contained within them affected its analysis. Nor, again, does the cited authority offer any insight: the petitioner in Chen presented no government documents in support of her motion to reopen. Even so, this court remanded because we worried that a newly discovered pamphlet from Changle City undermined the BIA’s conclusion “that Fujian no longer uses force in its family-planning program.” 489 F.3d at 863.

The government offers three theories for why the BIA might reasonably have discounted Ni’s documents from China: (1) the documents were not properly authenticated pursuant to 8 C.F.R. § 1287.6;

1 (…continued) that Guantou Town is not part of Fuzhou City proper. The BIA’s formulation suggests, however, that its later allusion to evidence from “other towns and cities” means “towns and cities outside the greater Fuzhou region.” If so, this compounds the BIA’s error, since the vast majority of documents Ni presented were, in fact, from government bodies in the general area (i.e., Fuzhou City, Changle City, and Lianjiang County).

(2) Ni had a prior adverse credibility finding during his earlier, unsuccessful asylum proceedings; and (3) the State Department’s 2007 Country Profile identified widespread fabrication and fraud in documents from Fujian Province. We address them in turn.

It does not appear that lack of authentication was the reason why the BIA discounted Ni’s documents from Guantou Town, Lianjiang County, and Fuzhou City; rather, it seems that it simply overlooked them. It is true that early in its opinion, the BIA noted that Ni’s “documents from China have not been authenticated pursuant to 8 C.F.R. § 1287.6,” but in the same sentence, the BIA also explained that Ni “offer[ed] evidence that his attorney sought to have some of them authenticated.” The Board said nothing about how this lack of authentication (or Ni’s efforts to comply with Section 1287.6) factored into its weighing of the documents’ evidentiary value, if at all, nor did it offer any other assessment of the documents’ authenticity. In other cases from China, courts have noted that the BIA does not treat failure to authenticate under Section 1287.6 as “an automatic rule of exclusion.” Liu v. Ashcroft, 372 F.3d 529, 533 (3d Cir. 2004); see also Shtaro v. Gonzales, 435 F.3d 711, 717 (7th Cir. 2006) (failure to authenticate evidence “does not amount to presumptive proof of falsity”). This is a sensible approach, since “it may not be possible for an applicant filing a motion to reopen to obtain from a foreign government valid and proper authentication of a document [that] purports to threaten persecution.” Qin Wen Zheng v. Gonzales, 500 F.3d 143, 149 (2d Cir. 2007).

Moreover, the BIA apparently accepted that Ni’s documents from “other towns and cities” did constitute evidence of “coercion to meet birth targets in some [other] areas of China.” The government can point to nothing in the record that explains why the BIA would credit these (similarly unauthenticated) government documents, but not the more directly relevant evidence from Guantou Town and Lianjiang County. At best, it is unclear how or if the BIA weighed Ni’s government documents—evidence that goes to the heart of his asylum claim—and “[w]e cannot affirm the BIA if the basis for its decision is unclear.” Kadia v. Holder, 557 F.3d 464, 468 (7th Cir. 2009) (citing Chenery Corp., 332 U.S. at 196 (“If the administrative action is to be tested by the basis upon which it purports to rest, that basis must be set forth with such clarity as to be understandable.”)).

The government’s other post hoc rationales fall short for similar reasons. At no point did the BIA suggest that it doubted the provenance of Ni’s documents, either because it was giving weight to its earlier adverse opinion of Ni’s credibility or because it credited the State Department’s warnings about “widespread fabrication and fraud in documents from Fujian Province.” The government’s first theory—that the Board’s adverse determination of Ni’s credibility during his religious persecution asylum claim “carries over” to a later asylum claim based on distinct facts—has been expressly rejected by this court and others. Gebreeyesus, 482 F.3d at 955; see also Guo v. Ashcroft, 386 F.3d 556, 562 (3d Cir. 2004) (“No one has explained how the IJ’s adverse credibility findings implicated Guo’s motion to reopen on a ground not previously dealt with by the IJ. Guo’s credibility (or lack thereof) for religious persecution simply is not relevant to her motion to reopen in this case, which relied principally on the fact of her second pregnancy in contravention of China’s one-child policy.”). And the BIA’s opinion makes no mention of the State Department’s apparent concern over “widespread fabrication and fraud” in documents that purport to be from Fujian Province. Finally, it is not this court’s job to conduct an independent assessment of the authenticity of Chinese official documents. We decline the government’s invitation to deny the petition on the theory that Ni’s documents may not be genuine, where the BIA has made no such determination on its own.

In short, the BIA’s opinion does not demonstrate that it reviewed and considered all of Ni’s evidence. We cannot mend “an agency’s inadequately justified decision ‘by substituting what [we] consider[] to be a more adequate or proper basis’ for the decision.” Borovsky, 612 F.3d at 921 (quoting Chenery Corp., 332 U.S. at 196). Accordingly, we conclude that further proceedings are necessary before Ni’s petition for review can properly be assessed.

IV

The government also urges that the BIA correctly rejected Ni’s motion because he failed to make a prima facie showing of eligibility for asylum or withholding of removal. It notes that “when the Board’s decision is supported by a rational explanation, [courts] have found no abuse of discretion when [the BIA] has looked at a movant’s prima facie case for asylum in evaluating her motion to reopen.” Moosa v. Holder, 644 F.3d 380, 385 (7th Cir. 2011). Ni counters that the BIA applied a standard that was too strict, insofar as it demanded that Ni conclusively prove that he would be sterilized, rather than show a “reasonable likelihood” that he could later demonstrate an objectively reasonable fear of such persecution. See Liang, 626 F.3d at 989.

In this instance, neither side is right, for the simple reason that there is nothing in the Board’s opinion that looks like the ruling the government postulates. The Board did state at several points that individual pieces of evidence were “not sufficient to establish that Ni would face persecution.” But it never commented on the relevant standard for prima facie eligibility for asylum, nor did it announce that Ni had failed to make such a showing. The BIA’s decision rests only on Ni’s failure to meet “the requirements of section 240(c)(7)(C)(ii) of the Act because his evidence is not sufficient to establish a change in circumstances or country conditions,” nothing more. We add that we cannot deny the petition for review based on the assumption that the Board’s silence about Ni’s prima facie case must mean something favorable to the government.

In closing, we note that we make no prediction on the ultimate outcome of Ni’s motion to reopen or his application for asylum. But he is entitled to have the expert agency, the BIA, evaluate in a transparent way the evidence that he has presented. Simply stating that a 2007 document defeats a claim, when the alien has accepted 2007 as a baseline and has introduced voluminous evidence of change in later years, will not do. The BIA “must consider the issues raised, and announce its decision in terms sufficient to enable a reviewing court to perceive that it has heard and thought and not merely reacted.” Iglesias, 540 F.3d at 531. That has not yet happened here.

For these reasons, the petition for review is GRANTED, and Ni’s case is REMANDED to the BIA for further proceedings consistent with this opinion.

4-26-13

Posted in 7th Circuit, 7th Circuit Cases- Aliens, Asylum, China one-child policy, China’s family planning policy, forced sterilization, Motions to Reopen | Tagged | Leave a comment

Adjustment of status under section 245(i)

Matter of Muhammad Imran BUTT, Respondent

Decided April 19, 2013

U.S. Department of Justice
Executive Office for Immigration Review
Board of Immigration Appeals
Cite as 26 I&N Dec. 108 (BIA 2013) Interim Decision #3779

(1) For purposes of establishing eligibility for adjustment of status under section 245(i) of the Immigration and Nationality Act, 8 U.S.C. § 1255(i) (2006), an alien seeking to be “grandfathered” must be the beneficiary of an application for labor certification that was “approvable when filed.”

(2) An alien will be presumed to be the beneficiary of a “meritorious in fact” labor certification if the application was “properly filed” and “non-frivolous” and if no apparent bars to approval of the labor certification existed at the time it was filed.

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FOR RESPONDENT: Richard A. Newman, Esquire, New York, New York

FOR DEPARTMENT OF HOMELAND SECURITY: Laurence Arturo, Assistant Chief Counsel

BEFORE: Board Panel: PAULEY, GREER, and WENDTLAND, Board Members.

GREER, Board Member:

This case addresses whether the respondent’s labor certification application was “approvable when filed” and therefore served to “grandfather” him for purposes of establishing his eligibility for adjustment of status under section 245(i) of the Immigration and Nationality Act, 8 U.S.C. § 1255(i) (2006). The respondent’s employer did not pursue a full and favorable adjudication of the labor certification application that was filed before the April 30, 2001, sunset of section 245(i) of the Act, instead refiling it at a later date. In a decision dated October 5, 2009, an Immigration Judge found that the initial labor certification filed on the respondent’s behalf by his employer was not approvable when filed because it did not meet the regulatory requirements for certification. We disagree and conclude that the respondent’s labor certification application was “approvable when filed” because it was “properly filed,” “non-frivolous,” and “meritorious in fact” within the meaning of the governing regulations. The respondent’s appeal will therefore be sustained and the record will be remanded to the Immigration Judge for further proceedings.

I. FACTUAL AND PROCEDURAL HISTORY

The respondent is a native and citizen of Pakistan who entered the United States without inspection. On April 30, 2001, the Sweet ‘N’ Sour Corporation filed an Application for Alien Employment Certification (Form ETA 750) (labor certification) on the respondent’s behalf with the New York Department of Labor (“DOL”), seeking to employ him on a permanent basis as a manager. 1 The labor certification was date-stamped and accepted for processing.

On December 29, 2003, the New York DOL mailed the respondent’s employer a request for information regarding the labor certification application. The request solicited amendments to the ETA 750 Parts A and B, a statement from the employer explaining the company’s need for both a full-time manager and full-time assistant manager at the yogurt shop, and an accounting of the titles and duties of all the respondent’s direct subordinates, along with information about certain recruitment efforts undertaken by the employer to locate qualified United States workers for the position. The request also advised the employer that the company had 45 days to respond. The employer submitted a timely response to the New York DOL via certified mail sent on February 12, 2004. On September 1, 2004, the New York DOL mailed another request for information to the employer, requiring further amendments to the ETA 750 Parts A and B, a modification of the wage/salary offered for the position sought to be certified, and completion of additional recruitment efforts, along with proof of compliance with such requirements. However, the labor certification was ultimately not favorably adjudicated. 2

On March 22, 2005, the employer filed a new labor certification on the respondent’s behalf, again seeking to employ him as a manager. This second labor certification was approved on February 22, 2007. On August 10, 2007, relying on the approved labor certification, the employer filed a Petition for Alien Worker (Form I-140) with United States Citizenship and

1 Following the implementation of the Permanent Labor Certification program, effective March 25, 2005, the Form ETA 750 has been replaced by the current Application for Permanent Labor Certification (Form ETA 9089). See generally 20 C.F.R. § 656.17 (2012).

The respondent maintains that the labor certification was effectively withdrawn by his employer before the 45-day period expired. This assertion is supported by correspondence from the employer requesting the withdrawal, which was addressed to the New York DOL and dated September 27, 2004. The Department of Homeland Security maintains that the petition was denied and presented a United States Citizenship and Immigration Services document that references correspondence from the New York DOL that denied the labor certification based on the employer’s failure to timely respond to the September 1, 2004, request for information.

Immigration Services (“USCIS”) to accord the respondent third-preference employment-based classification (“EB-3”) under section 203(b)(3) of the Act, 8 U.S.C. § 1153(b)(3) (2006). The respondent concurrently filed his application for adjustment of status pursuant to section 245(i). The visa petition was approved on February 12, 2008, and the respondent was accorded a March 22, 2005, priority date. However, on June 12, 2008, the USCIS denied the respondent’s adjustment application, concluding that the original labor certification filed by his employer did not serve to “grandfather” the respondent under section 245(i) of the Act. According to the USCIS, although the labor certification was timely filed on April 30, 2001, the respondent did not establish that it was “approvable when filed”in accordance with the governing regulations because it was denied as a result of the employer’s failure to respond to a request for information.

The Department of Homeland Security (“DHS”) initiated removal proceedings against the respondent by the issuance of a notice to appear dated August 13, 2008. At a hearing before the Immigration Judge, the respondent conceded removability and requested the renewal of his adjustment application. The Immigration Judge found that the initial labor certification filed by the respondent’s employer was not “approvable when filed” within the meaning of the regulations, denied the adjustment application, and ordered the respondent removed. The respondent has appealed.

II. ISSUE

The issue on appeal is whether the labor certification filed by the respondent’s employer on April 30, 2001, serves to “grandfather” him under section 245(i) of the Act pursuant to 8 C.F.R. §§ 245.10(a)(1)(i)(B) and 1245.10(a)(1)(i)(B) (2012). To resolve this issue, we must consider whether the labor certification was “approvable when filed” because it was (1) “properly filed,” (2) “meritorious in fact,” and (3) “non-frivolous. See 8 C.F.R. §§ 245.10(a)(1)(i)(B), (2)(ii), (3), 1245.10(a)(1)(i)(B), (2)(ii),(3).

III. ANALYSIS

A. Section 245(i) Eligibility

An alien may apply for adjustment of status without first having been inspected and admitted or paroled if he qualifies for adjustment under section 245(i) of the Act as the beneficiary of a labor certification or visa petition filed on his behalf on or before April 30, 2001. See section 245(i) of the Act; 8 C.F.R. §§ 245.10(a)(1)(i), 1245.10(a)(1)(i). The alien may apply to adjust under section 245(i) of the Act either by using the qualifying labor certification or visa petition to adjust or, if he is adjusting through another labor certification or visa petition, by establishing that he is “grandfathered” by a filing from April 30, 2001, or earlier. See 8 C.F.R. §§ 245.10(a)(1), (3), 1245.10(a)(1), (3); see also Memorandum from William R. Yates, Assoc. Dir. for Operations, to USCIS officials (Mar. 9, 2005), 2005 WL 6286444 (INS) (interpreting the grandfather ing regulations as not limiting an alien to seeking adjustment of status solely on the basis of the qualifying immigrant visa petition); Memorandum from Robert L. Bach, Exec. Assoc. Comm., Office of Policy and Programs, to INS officials (Apr. 14, 1999), 1999 WL 33435638 (INS) (“Bach Memo I”) (adopting an “alien-based” reading of section 245(i), pursuant to which an alien may be grandfathered by a qualifying petition even if the petition is not the “vehicle” through which the alien ultimately adjusts). 3

In order to establish that an alien is grandfathered by a filing from April 30, 2001, or earlier, the labor certification or visa petition must have been approvable when filed, which is defined by regulation as a petition that is: (1) “properly filed,” (2) “meritorious in fact,” and (3) “non-frivolous.” See 8 C.F.R. §§ 245.10(a)(1)–(3), 1245.10(a)(1)–(3); see also Matter of Ilic, 25 I&N Dec. 717, 718 (BIA 2012); Matter of Legaspi, 25 I&N Dec. 328, 329 (BIA 2010). If these requirements are met,an alien may continue to be grandfathered even if the qualifying labor certification or visa petition is subsequently denied, revoked, or withdrawn.See 8 C.F.R. §§ 245.10(i), 1245.10(i).

Accordingly, in assessing whether the initial labor certification filed by the respondent’s employer on April 30, 2001, grandfathers the respondent under section 245(i) of the Act, we must determine whether the petition was “approvable when filed” and interpret what the term means when applied to a labor certification that subsequently becomes nonviable as a result of its denial, revocation, or withdrawal. We will discuss the meaning of the terms “properly filed,” “meritorious in fact,” and “non-frivolous” in interpreting when a labor certification may serve to grandfather an alien under section 245(i) of the Act.

Memoranda issued by the former Immigration and Naturalization Service and the USCIS addressing the issues raised in this appeal are not binding on the Board. See Matter of Avila-Perez, 24 I&N Dec. 78, 82 n.4 (BIA 2007). Similarly, less formal agency opinion letters do not bind the Board. See Christensen v. Harris County, 529 U.S. 576, 587 (2000) (“Interpretations such as those in opinion letters―like interpretations contained in policy statements, agency manuals, and enforcement guidelines, all of which lack the force of law―do not warrant Chevron-style deference. Instead, interpretations contained in formats such as opinion letters are ‘entitled to respect’ . . . , but only to the extent that those interpretations have the ‘power to persuade.’” (citations omitted) (quoting Skidmore v. Swift & Co., 323 U.S. 134, 140 (1944))).

B. Properly Filed

According to 8 C.F.R. §§ 245.10(a)(2)(ii) and 1245.10(a)(2)(ii), a labor certification is “properly filed” if it was “accepted pursuant to the regulations of the Secretary of Labor, 20 CFR 656.21.” 4 In examining whether the employer’s original labor certification was properly filed, we first look to the United States DOL regulations that were applicable on April 30, 2001.

Under the regulations, an employer was required to submit a signed ETA 750 in duplicate with the local office serving the area where the proposed employment was to occur. 20 C.F.R. § 656.21(a) (2001). A completed ETA 750 included a statement of the alien’s qualifications (signed by the alien) and a description of the job offer, including items required by 20 C.F.R. § 656.21(b). 20 C.F.R. § 656.21(a)(1)–(2). If the labor certification was deemed complete by the local office, the ETA 750 was date-stamped and accepted for processing, but an incomplete form was returned to the employer by the local office with additional instructions for the employer to refile a complete application. 20 C.F.R. § 656.21(d); see also De Acosta v. Holder, 556 F.3d 16, 19-20 (1st Cir. 2009) (explaining that an incomplete application is not properly filed for purposes of establishing grandfathering under section 245(i) of the Act); 20 C.F.R. § 656.30(b)(1) (2001) (stating that a labor certification is “deemed validated” as of the date the local office date-stamps the application). 5

Accordingly, we conclude that a “properly filed” labor certification application must be a complete application. However, a complete application that raises additional questions in the adjudication process remains properly filed, notwithstanding the need for the employer to provide additional information to obtain a favorable adjudication of the application. 6

4 The DOL maintains sole jurisdiction over the processing of labor certifications. See 20 C.F.R. §§ 656.24, 656.26 (2012).5 Amendments to the regulations made subsequent to the filing of the respondent’s labor certification provide that a date stamp, which indicates the validation of a labor certification, may then be used by the DHS as the priority date on the related visa petition, as appropriate. See 20 C.F.R. § 656.30(a)(2) (2012); see also Technical Assistance Guide No. 656, I.C.656.21(4) (USDOL-ETA Sept. 1981) (“TAG”), available at IMMLS2D PSD TAG I C (Westlaw) (stating that the date stamped on the labor certification by the local office is used as the priority date for the filing of any related visa petition).6 For example, where an application is accepted for processing and the local office takes issue with the rate of pay offered or any job requirements that it deems unduly restrictive or impermissibly discriminatory, the petitioner is notified of the alleged defect and asked to address it. See 20 C.F.R. § 656.21(e), (f)(2). An employer’s failure to provide a timely response can form a basis for denying the labor certification.

Our definition of the term “properly filed” is consistent with that adopted by the former Immigration and Naturalization Service (“INS”). Initially, the April 14, 1999, Bach memorandum indicated that an alien maybe grandfathered by a labor certification filed on or before the sunset of section 245(i) of the Act if the alien demonstrates that the application met all of the relevant regulatory requirements established by the DOL for filing the application. See Bach Memo I, supra, at 6. Although the term “filing” was not defined in the memo, the former INS later consulted with the DOL and clarified this definition by explaining that a properly filed labor certification is one in which the ETA 750 is properly completed by the employer and the beneficiary alien, so long as the application is filed with the appropriate local office on or before the sunset date. See Memorandum from Robert L. Bach, Exec. Assoc. Comm., Office of Policy and Programs,to INS officials (June 10, 1999), 1999 WL 33435639 (INS) (“Bach Memo II”).

Subsequently, in an interim rule and request for public comment, the former INS again explained that it considered a labor certification “properly filed” when the ETA 750 was accepted for processing by the local office.See Adjustment of Status To That of Person Admitted for Permanent Residence; Temporary Removal of Certain Restrictions of Eligibility,66 Fed. Reg. 16,383, 16,385 (interim rule Mar. 26, 2001) (responding to the congressional amendments to section 245(i) of the Act brought about by the passage of the Legal Immigration Family Equity Act Amendments of 2000,Pub. L. No. 106-554, § 1502, 114 Stat. 2763, 2763A-324); see also Letter from Pearl Chang, Dir., Residence and Status Branch, INS, to H. Ronald Klasko, HQ ADN 70/23.1 (May 15, 2001) (“Klasko Letter”), reprinted in 78 Interpreter Releases, No. 22, June 4, 2001, app. IV at 931, 980–82,available at 78 No. 22 INTERREL 931 (Westlaw) (explaining that the INS read the term “properly filed” as it pertains to a labor certification by reference to the DOL regulations).

There is no question whether the respondent’s ETA 750 was accepted for processing by the local office on April 30, 2001. However, the Immigration Judge concluded that the labor certification was not “properly filed” because he found that it did not meet the regulatory requirements at See 20 C.F.R. § 656.21(e), (f)(2); see also Jin Qing Wu v. Holder, 705 F.3d 1 (1st Cir. 2013); 20 C.F.R. § 656.21(h) (stating that the petitioner is afforded 45 calendar days within which to remedy any deficiencies identified by the local office); TAG I.C.656.21(4). However, where an employer provides an untimely response to additional questions raised on a “validated” or complete application, such queries do not undermine the fact that the application was “properly filed.” See 20 C.F.R. § 656.30(b)(1); TAG I.L.656.30(1), available at IMMLS2D PSD TAG I L (Westlaw). 20 C.F.R. §§ 656.21(g)(4) and (h), which are related to the rate of pay set for the proffered position and the required timely response to a request for information. However, these factors relate, not to the completeness of the filing, but rather to questions raised by the completed filing that had to be subsequently adjudicated. Accordingly, we disagree with the Immigration Judge’s legal determination that the April 30, 2001, labor certification filed by the respondent’s employer was not “properly filed,” because it is clear that the local office deemed the application complete and date-stamped iton the sunset date.

C. Meritorious in Fact

Unlike the term “properly filed,” which is defined in the regulations, the phrase “meritorious in fact” is not. See 8 C.F.R. §§ 245.10(a)(3), 1245.10(a)(3). Moreover, neither we nor the United States Court of Appeals for the Second Circuit, in whose jurisdiction this case arises, have previously interpreted the meaning of the phrase “meritorious in fact” in relation to labor certifications. Accordingly, in developing a formal definition of the term, we will examine case law defining it in other contexts. We will also look to agency memoranda and opinion letters related specifically to labor certifications.

With regard to visa petitions, the Second Circuit has explicitly found that the phrase “meritorious in fact” is ambiguous because it is not defined and can be given a variety of meanings. See Linares Huarcaya v. Mukasey, 550 F.3d 224, 229 (2d Cir. 2008); Butt v. Gonzales, 500 F.3d 130, 135 (2d Cir. 2007). The court has reasoned that when the terms “non-frivolous” and “meritorious in fact” are read together, the regulatory language indicates that a “meritorious in fact” filing need not actually be approved in order to grandfather an alien. See Butt v. Gonzales, 500 F.3d at 135.

In the context of a visa petition filed on the basis of a marriage, the Second Circuit adopted our definition of the term “meritorious in fact,” which required the underlying marriage to be bona fide at its inception for purposes of grandfathering an alien. Linares Huarcaya v. Mukasey, 550 F.3d at 228–30; see also Matter of Jara Riero and Jara Espinol, 24 I&N Dec. 267, 268 (BIA 2007) (adopting the definition of the term “meritorious in fact” as originally outlined in Lasprilla v. Ashcroft, 365 F.3d 98 (1st Cir.2004), in the context of a marriage-based visa petition), aff’d sub nom. Riero v. Holder, 337 F. App’x 71, 73 (2d Cir. 2009). The court reasoned that the definition of the term we used in the marriage-based context was reasonable and entitled to deference because it was consistent with the history of section 245(i) of the Act, which was aimed at protecting those who “‘had legitimate visa applications on file before the more restrictive amendment came into force,’ rather than giving applicants a ‘second bite atthe apple,’” where no such legitimate interest previously existed. Linares Huarcaya v. Mukasey, 550 F.3d at 230 (quoting Echevarria v. Keisler, 505 F.3d 16, 19–20 (1st Cir. 2007)). Under this reading of the term “meritorious in fact,” a subsequent breakdown or change in the relationship supporting the visa petition would not undermine the alien’s grandfathered status. See, e.g., 8 C.F.R. §§ 245.10(a)(3)–(4), 1245.10(a)(3)–(4). This is consistent with the historical purpose of the statute.

The Fourth Circuit has also provided some guidance for defining the term in the context of a special immigrant visa petition filed on behalf of a religious worker. Ogundipe v. Mukasey, 541 F.3d 257, 261 (4th Cir. 2008). Like the Second Circuit, the court relied on our analysis in Matter of Jara Riero and Jara Espinol in finding that a religious worker visa petition is “meritorious in fact” if it would have “merit[ed] a legal victory” had it been fully adjudicated, even if the petition was not fully prosecuted or actually approved. Id. at 260.

The approach that we have used, and with which the Second and Fourth Circuits agree, is appropriate in determining if a visa petition “merited a legal victory” upon filing. Id. In that context we have the ability to consider whether the visa petition would have been approved had it been adjudicated on the date it was filed, notwithstanding the fact that it may

(1) remain unadjudicated at some future date or (2) have been denied, withdrawn, or revoked as a result of subsequent events (for example, a divorce between the alien and the petitioning spouse, the marriage of an unmarried alien child where the child’s single status is critical to approval of the petition, or the closing of a petitioning business, which rendered it unable to offer the alien employee a job under the employment-based visa petition). See 8 C.F.R. §§ 245.10(a)(3)–(4), 1245.10(a)(3)–(4); see also 8 C.F.R. §§ 205.1(a)(3)(i)–(ii), 1205.1(a)(3)(i)–(ii) (2012).

However, this test requires some adaptation for labor certifications on account of the differences in the labor certification adjudication process. Labor certifications are different from visa petitions because when they are accepted by the DOL for processing, they are subject to further negotiation between the petitioning employer and the DOL as to the acceptable terms and conditions for employment. See 20 C.F.R. § 656.21(e), (f)(2). By necessity, the pertinent labor certification regulations provide a certain degree of flexibility for the employer and the DOL to modify the terms contained in the original filing in order to develop a labor certification that will ultimately be approved. Subject to some limitations, the employer is not required to start over with a new filing each time a term requires discussion and possible amendment during the process.

In light of the negotiated nature of the process, when the former INS consulted with the DOL regarding what type of labor certification might be deemed “approvable when filed,” the DOL indicated that the agency does not have the ability to state definitively whether a certification will be meritorious until its adjudication is complete. See Bach Memo II, supra, at 2 n.1. Therefore, the former INS adopted an approach that focused on whether a visa petition was “non-frivolous” and “properly filed” in presuming that most labor certifications meeting these requirements would also satisfy the “meritorious in fact” requirement for grandfathering purposes. See id.; see also Klasko Letter, supra (“In consultation with the[DOL] . . . the Service was assured that . . . [the DOL] considers every properly filed application for permanent labor certification to be approvable when filed . . . . Obviously, however, if the Service has evidence of a fraudulent or otherwise non-meritorious employment relationship, the standard would not be met.”).

The inquiry into the merits of a labor certification must necessarily be more limited than that employed in the context of adjudicating a visa petition. However, in focusing on whether a labor certification is “properly filed” and “non-frivolous” when determining whether an alien is grandfathered, we do not mean to imply that the merits of the labor certification are irrelevant. For example, an employer who submits a labor certification that is “non-frivolous” and “properly filed” may nevertheless not share the requisite employment relationship with the employee to support the labor certification and, ultimately, the approval of a visa petition. 7 Under such circumstances, although a labor certification may be“properly filed” and “non-frivolous,” the alien would not be grandfathered because the labor certification would not be “meritorious in fact.”

We now adopt a definition of the phrase “meritorious in fact” in the labor certification context that is consistent with the definition developed by the former INS. This definition was formulated in consultation with the DOL and takes into account the negotiated nature of labor certification adjudications. Consequently, we conclude that a labor certification is “meritorious in fact” if it was “properly filed” and “non-frivolous,” so long as a bona fide employer/employee relationship exists where the employer has the apparent ability to hire the sponsored alien and where there is no evidence that the labor certification is based on fraud. See Bach Memo II, supra, at 2; Klasko Letter, supra. In other words, a labor certification will be presumed to be “meritorious in fact” if it was “properly filed” and “non-frivolous,” absent any apparent bars to its approval. Accordingly, a

7 The First Circuit discussed an example of the lack of a qualifying employer/employee relationship in Da Cunha v. Mukasey, 304 F. App’x 892, 895 (1st Cir. 2008). The employer in that unpublished decision was inactive at the time the labor certification was filed. Since the inactive employer was not set up to employ anyone, it did not share a qualifying relationship with the proposed foreign national employee.

“properly filed” and “non-frivolous” labor certification will generally be“meritorious in fact” and thus, in turn, will also be “approvable when filed.” As a result, if a qualifying labor certification was filed on or before April 30, 2001, it will serve to grandfather the alien for whom the certification was sought.

D. Non-frivolous

Pursuant to the pertinent regulations, a labor certification or visa petition is “frivolous” if it is deemed to be “patently without substance.” 8 C.F.R. §§ 245.10(a)(3), 1245.10(a)(3). In these proceedings, the Immigration Judge did not find that the labor certification was frivolous; nor did the DHS make such an assertion on appeal. Moreover, the respondent’s employer filed a subsequent labor certification on his behalf for the same position, which was ultimately approved and forms the basis for the respondent’s current approved EB-3 visa petition. Accordingly, the labor certification meets this requirement of the three-part test for establishing grandfathering.

IV. CONCLUSION

In determining whether a labor certification is “approvable when filed,” we consider the regulatory requirements that the application must be

(1) “properly filed,” (2) “meritorious in fact,” and (3) “non-frivolous.” 8 C.F.R. §§ 245.10(a)(1)–(3), 1245.10(a)(1)–(3). A “properly filed” labor certification is one that is submitted to and accepted for processing as a completed application by the correct local office on or before April 30,2001. See 20 C.F.R. §§ 656.21(d), 656.30(b)(1). Date-stamping by the local office, which validates the labor certification as ready for adjudication, serves as evidence that the application was accepted for processing and was properly filed before the sunset date. A labor certification that is “properly filed” and “non-frivolous” will be presumed to be “meritorious in fact” if it presents no apparent bars to a favorable adjudication. See 20 C.F.R. § 656.21(e), (f)(2). A labor certification is “non-frivolous” so long as the filing is not deemed to be “patently without substance.” See 8 C.F.R. §§ 245.10(a)(3), 1245.10(a)(3).

Applying this test to the respondent’s case, we conclude that he is a grand fathered alien because the labor certification filed by his employer on his behalf on April 30, 2001, meets all of the regulatory requirements set forth at 8 C.F.R. §§ 245.10(a)(1)–(3) and 1245.10(a)(1)–(3). Specifically, the labor certification was accepted for processing on April 30, 2001, and it was therefore properly filed. Moreover, because it was properly filed and there is no record evidence indicating that the petition was frivolous or otherwise lacked a qualifying employer-employee relationship, the labor certification is presumed to be “meritorious in fact.” Since this presumption has not been rebutted, we conclude that the respondent is grandfathered by the labor certification for purposes of adjustment of status under section 245(i) of the Act. We will therefore remand the record for the Immigration Judge to consider whether the respondent is otherwise statutorily eligible for adjustment of status and whether he merits such relief in the exercise of discretion. Accordingly, the respondent’s appeal will be sustained and the record will be remanded.

ORDER: The appeal is sustained.

FURTHER ORDER: The record is remanded to the Immigration Judge for further proceedings consistent with the foregoing opinion and for the entry of a new decision.

Posted in 245(i), Adjustment of Status, adjustment of status under section 245(i), approvable when filed, BIA, grandfathering, non-frivolous, properly filed | Leave a comment

3, 10 and Permanent Bars

Dealing with the 3, 10 and “Permanent” Bars

Overview of the 3, 10 and Permanent Bars

  • INA §212(a)(9)(B)(i)(I) provides that a noncitizen is inadmissible if he or she was unlawfully present in the United States for a period of more than 180 days but less than one year, voluntarily departed the United States (whether or not pursuant to a grant of voluntary departure) prior to the commencement of proceedings under §235(b)(1) or §240 and again seeks admission within three years of the date of departure or removal.
  • INA §212(a)(9)(B)(i)(II) provides that a noncitizen is inadmissible if he or she was unlawfully present in the United States for a period of one year or more, departed the United States and again seeks admission within ten years of the date of departure or removal.
  • INA §212(a)(9)(C)(i)(I) provides that any alien who has been unlawfully present in the United States for an aggregate period of more than one year, and who enters or attempts to reenter the United States without being admitted, is inadmissible. The referenced period of unlawful presence is the aggregate of all periods of unlawful presence prior to the unlawful reentry or attempted reentry.
  • Under INA § 212(a)(9)(B)(ii), an alien is considered to be unlawfully present if he or she is present in the United States either after the period of stay authorized by the Attorney General has expired or without admission or parole. Aliens who enter the United States without admission or parole accrue unlawful presence as of the date of unlawful entry into the United States or April 1, 1997, whichever is later.

Legacy INS adopted the interpretation under which unlawful presence for an alien admitted as a nonimmigrant begins to accrue as of the date the alien’s nonimmigrant stay expires, as noted on Form I-94, Arrival/Departure Record. Under this interpretation, unlawful presence with respect to a nonimmigrant generally includes only periods of stay in the United States beyond the date noted on Form I-94.

If USCIS concludes prior to the expiration date that the alien violated his or her nonimmigrant status, unlawful presence will begin to accrue as of the date of the USCIS decision denying the requested immigration benefit, whether or not any form of review is sought. USCIS may find an alien to have violated his or her status, for example, while adjudicating an application for extension of nonimmigrant stay or reinstatement to bona fide nonimmigrant status, a change of nonimmigrant classification, or an application for adjustment of status.

A nonimmigrant issued a date-certain Form I 94, who is placed in removal proceedings before his or her authorized stay expires, will begin to accrue unlawful presence either when the date noted on Form I-94 has been reached, or when the immigration judge orders the alien to be removed, whichever date is earlier. When the Service places a nonimmigrant in removal proceedings, and the alien successfully contests the charges brought by the Service in a proceeding, the alien will be deemed not to have accrued any periods of unlawful presence in the United States during that proceeding.

For nonimmigrants admitted for duration of status (D/S), unlawful presence will begin to accrue only if the Service finds a status violation while adjudicating an application for another benefit, or if an immigration judge finds the alien in violation of status in removal proceedings. When the immigration judge finds that the alien violated his or her nonimmigrant status, unlawful presence begins to accrue as of the date of the judge’s order, whether or not the judge’s decision is appealed.

How The Three-Year Bar Is Triggered

  • The three-year bar only applies to an alien who is unlawfully present for more than 180 days but less than one year and who voluntarily departs the United States prior to the commencement of removal proceedings.
  • Thus, if the alien were present for more than 180 days but less than one year, and if he or she voluntarily departed the United States after removal proceedings were initiated, then the three-year bar does not apply.

How the Ten-Year Bar is Triggered

  • The ten-year bar is triggered by any departure from the U.S. An alien who has been unlawfully present in the U.S. for more than one year consecutively and again seeks admission is barred for ten years from the date of departure or removal from the U.S.
  • An alien who has been unlawfully present for an aggregate period of more than one year or who has been ordered removed, deported or excluded and who enters or attempts to reenter without inspection is inadmissible. A discretionary waiver is available but only after the alien has been outside of the U.S. for ten years or more. DHS may waive this ground for a battered spouse/child if there is a connection between the battering and the departure or reentry/attempted reentry.

Effect of Recent 9th Circuit Decision Carrillo de Palacios, 651 F.3d 1158 (9th Cir. 2011)

• Alien who accrued more than one year of unlawful presence prior to April 1, 1997* and who departed prior to April 1, 1997 but reentered EWI after April 1, 1997 is inadmissible under 212(a)(9)(C)(i)(I).

* April 1, 1997 is effective date of 212(a)(9)(C)(i)(I)

• “The statutory text is straightforward: an alien is inadmissible if she has been unlawfully present in the United States for an aggregate period of more than 1 year and subsequently enters the United States without being admitted.”

Does 245(i) Help?

No Unlawful Presence Bar if alien doesn’t depart.

245(i) Does not Waive Inadmissibility except INS General Counsel determined that persons who entered EWI are eligible to adjust under 245(i) notwithstanding 212(a)(6)(A).

But what if Alien Departed after UP and Reentered EWI? 245(i) v. 212(a)(9)(C)(i)(I)

  • 2005: In Padilla-Caldera v. Gonzales, 426 F.3d 1294 amended on reh’g by 453 F.3d 1237 (10th Cir. 2006), the court considered the canons of statutory construction to reach the conclusion that 245(i) trumps 212(a)(9)(C)(i)(I).
  • 2006: Acosta v. Gonzales, 439 F.3d 1158(9th Cir. 2006), the court held that 245(i) trumps 212(a)(9)(C)(i)(I)
  • 2007: Matter of Briones, 24 I&N Dec. 355 (BIA 2007), BIA holds that an alien who was inadmissible under INA§ 212(a)(9)(C)(i)(I) is ineligible for adjustment of status under §245(i).
  • 2010: Matter of Diaz, 25 I&N Dec. 188 (BIA 2010): BIA refused to follow Acosta in the Ninth Circuit because the Acosta decision predated Matter of Briones.
  • 2011: Padilla-Caldera v. Holder, 673 F.3d 1140 (10th Cir. 2011). Tenth holds that that the BIA’s determination in Matter of Briones, was a reasonable interpretation of ambiguous statutory provisions to which the court owed Chevron deference.

Can Time Spent in the U.S. Count Toward Satisfying the 3 and 10 year Bars?

The 3 and 10 year bars are triggered exclusively by the alien s departure from the United States as confirmed by the Board of Immigration Appeals in Matter of Rodarte, 23 I&N Dec. 905, 909 (BIA 2006), the Administrative Appeals Office in In re Sallez-Vaz (AAO, Feb. 22, 2005), the USCIS Adjudicators Field Manual, and all other relevant legal authority.

The plain statutory language of INA § 212(a)(9)(B)(i) imposes no requirement whatsoever that the period of inadmissibility be “served” outside the United States.

The USCIS Office of General Counsel specifically confirmed in written correspondence in 2006 and 2009 that the Section 212(a)(9)(B) period of inadmissibility begins to run with the initial departure from the U.S. that triggers the unlawful presence bar and continues to run even if the alien is subsequently paroled or admitted as a nonimmigrant under 212(d)(3).

But, according to the GC opinions, the period of inadmissibility will not run for an alien who returns to the U.S. unlawfully or remains in the United States unlawfully, thus essentially imposing a maintenance of status requirement that is not included in the statute.

In In re Sallez-Vaz (AAO, Feb. 22, 2005), the alien departed the U.S. after 180+ days (but less than one year) of unlawful presence while his adjustment of status application was pending with USCIS,and returned soon thereafter with advance parole. His adjustment application was denied by USCIS and certified to the AAO, which issued a ruling more than 3 years after the departure that triggered the bar. The AAO held:

“The passage of time has created a new circumstance which renders the applicant free from any bar to inadmissibility based upon his unlawful presence…It is apparent, therefore, that the applicant’s period of inadmissibility has now expired and he is no longer subject to the bar.”

Notably, unlike the USCIS General Counsel opinions, the AAO did not impose any other conditions (such as maintenance of status) for having the period of inadmissibility “run” during the alien’s presence in the U.S.

INA § 212(a)(9)(B) is in direct contrast with §212(a)(9)(A) and § 212(a)(9)(C), which each have “Exception” subsections that specifically state that the respective statutes do not apply to certain aliens who seek admission if, prior to the date of their re-embarkation at a place outside the U.S. (or attempt to be admitted from a contiguous territory), the Attorney General has consented to their reapplying for admission.

Also, please see 8 C.F.R. 212.2(a), which specifically states that an alien who has been deported or removed is inadmissible unless he remains outside the U.S. for 5 consecutive years from the date of deportation or removal.

Basic rules of statutory construction dictate that Congress’ failure to include a similar requirement in 212(a)(9)(B)(i) was intentional. Accordingly, an alien who is readmitted to the U.S. as a nonimmigrant, but without first receiving 212(d)(3) permission, should still be able to satisfy the 3 or 10 year period from within the U.S. if he is otherwise eligible to adjust status.

How Permanent is the “Permanent” Bar?

  • 212(a)(9)(C)(ii) includes immediate waiver exception for a person with approved “VAWA” petition where there is “a connection” between the alien having been battered or subjected to extreme cruelty and his/her removal, departure from the U.S., reentry/reentries to U.S., or attempted reentry.
  • 212(a)(9)(C)(ii) also includes a waiver exception for persons seeking admission more than 10 years after the date of last departure from U.S. if, prior to re-embarkation from outside U.S., the Attorney General has consented to the alien’s reapplying for admission.
  • Persons subject to 212(a)(9)(C)(i)(I) (EWI or attempted EWI after more than one year of unlawful presence) may still apply for 212(d)(3) waiver in conjunction with application for nonimmigrant visa, but should be mindful of likelihood of strict application of 214(b).
  • Persons subject to the permanent bar may also apply for 212(d)(3)(5) humanitarian parole, but should be mindful that such applications are normally approved only in urgent humanitarian cases and/or those involving significant public interest. Also, DHS is likely to limit the length of the parole to the period required to address the situation at hand.
Posted in 10 and “Permanent” Bars, 212(d)(3) Non-immigrant Visa Waiver, 245(i), Unlawful Presence, Waivers, Waivers of Inadmissibility | Tagged , | Leave a comment

Illegal reentry, United States v. Gutierrez-Ceja, Motion to Withdraw 7th Circuit

The defendant pleaded guilty to being in the U.S. illegally after having been removed. The judge sentenced him to 84 months in prison. The statutory maximum prison sentence for illegal reentry is usually 2 years, 8 U.S.C. 1326(a), but removal after conviction for an aggravated felony (defendant had two such convictions) increases the maximum to 20 years. § 1326(b)(2). Defendant’s appellate attorney asked to be allowed to withdraw from the case on the ground that there is no colorable basis for appealing, but also stated that the district court imposed conditions beyond its authority. The Seventh Circuit modified the judgment of the district court to eliminate the post-release terms concerning the use of controlled substances, drug tests, and collection of a DNA sample, and otherwise dismissed the appeal, granting the lawyer’s motion to withdraw.

Final Opinion

United States Court of Appeals

For the Seventh Circuit

No. 12-1388

UNITED STATES OF AMERICA, Plaintiff-Appellee.

v.

SANTIAGO GUTIERREZ-CEJA, Defendant-Appellant.

Appeal from the United States District Court for the Northern District of Illinois, Eastern Division. No. 11 CR 362—James B. Zagel, Judge.

SUBMITTED FEBRUARY 25, 2013—DECIDED MARCH 29, 2013

Before POSNER, WILLIAMS, and SYKES, Circuit Judges.

POSNER, Circuit Judge. The defendant pleaded guilty to being in the United States illegally after having been removed. The judge sentenced him to 84 months in prison. The statutory maximum prison sentence for illegal reentry is usually 2 years, 8 U.S.C. § 1326(a), but removal after conviction for an aggravated felony (the defendant had two such convictions) jacks up the maximum to 20 years. § 1326(b)(2). The defendant has appealed, but his lawyer asks to be allowed to withdraw from the case on the ground that there is no colorable basis for appealing. Anders v. California, 386
U.S. 738 (1967).

The request is surprising because the lawyer’s brief states that “the written Judgment [the sentence] included terms that may have been outside the district court’s authority to impose.” Indeed it did. But the brief goes on to state that “it appears unlikely that [those terms] will ever be enforced. As such, they are, at most, merely harmless error. In the alternative, if they must not remain in the Judgment, they are the type of error that this Court may excise directly, without disturbing the rest of what is an otherwise reasonable sentence. Therefore, it would be frivolous to argue on direct appeal that [the] case must be remanded because of an unlawful sentence.”

The lawyer is wrong in saying that the terms in question “may” have exceeded the court’s authority and in describing them as “merely harmless errors.”

In imposing sentence the district judge said: “I’m not imposing supervised release[,] because [the defendant is] going to be deported after this occurs.” Yet the written judgment, under the heading “additional imprisonment terms,” states that upon release from prison “the defendant is to be surrendered to a duly authorized official of the Department of Homeland Security for a determination on the issue of deportability” and “if ordered deported, the defendant shall not reenter the United States without” authorization in advance. The judgment continues: “if not deported, the defendant shall refrain from any unlawful use of a controlled substance. The defendant shall submit to one drug test within 15 days of release from imprisonment and random drug tests thereafter, conducted by the U.S. Probation Office, not to exceed 104 tests per year. The defendant shall, pursuant to 18 U.S.C. Section 3583(d), cooperate in the collection of a DNA sample.”

The DNA provision is an express condition of supervised release; so is submission to a drug test within 15 days of release; and so are the provisions in the sentence relating to use of a controlled substance. The conditions relating to deportation are independent of supervised release and not challenged. But section 3583(d) is the only possible ground for the other impositions (refraining from use of a controlled substance and submitting to a drug test within 15 days of release) and it requires an order of supervised release as a precondition to their imposition. As for submission to random drug tests at the discretion of the probation office, it is unclear whether section 3583(d) permits the judge in an order of supervised release to leave the number of drug tests up to that office. The statute requires the defendant, after his first drug test (the one he is required to take within 15 days after his release), to “submit to . . . at least 2 periodic drug tests thereafter (as determined by the court)”—not as determined by the probation service. Our opinion in United States v. Bonanno, 146 F.3d 502, 511 (7th Cir. 1998) said that the court must determine the number, but in United States v. Tejeda, 476 F.3d 471, 4774 (7th Cir. 2007), we suggested that it might “not be error to grant the probation officer discretion to designate testing which is incidental to the program,” provided it was not unlimited discretion. We said that the condition of supervised release that the defendant “participate in a program of testing and residential or outpatient treatment for drug and alcohol abuse, as approved by his supervising probation officer,” “until such time as he is released from such program,” with no mention of the specific number of drug tests that could be required, granted the probation office too much discretion. Id. at 472-74.

But those were cases in which the judge had not mentioned a number at all; in this case he mentioned a maximum number per year. The case law indicates that specifying a maximum number of tests is enough to comply with the statute, United States v. Garcia, 522 F.3d 855, 861 (9th Cir. 2008); United States v. Padilla, 415 F.3d 211, 224 (1st Cir. 2005) (en banc); United States v. Melendez-Santana, 353 F.3d 93, 103 (1st Cir. 2003), and so, as we have held, is specifying a maximum number of tests per year. United States v. Guy, 174 F.3d 859, 862 (7th Cir. 1999). For that’s really the same thing, since the overall maximum number is simply the maximum per year times the number of years of supervised release—unless supervised release is imposed for the remainder of the defendant’s life after his release from prison. In that event specifying the maximum number per year may not suffice, though we have found no cases addressing the issue. It is not an issue in this case because the maximum term of supervised release that could have been imposed on the defendant was three years. See 18 U.S.C. §§ 3559(a)(3), 3582(b). And even when lifetime supervised release is ordered, a rough estimate of the total number of tests to which the defendant is likely to be subjected can be derived from longevity tables.

Allowing the sentencing judge to specify a maximum number of tests rather than a specific number is sensible, because the judge won’t have as good an idea of the optimal frequency of the drug tests as the probation service will. The rub here is that there was no order of supervised release, and so there is no way to compute the total number of tests to which the defendant might be subjected. Maybe an annual estimate is good enough— again we have found no cases addressing the issue— but the issue is at least an arguable one.

The judge would have been entitled to impose all the conditions he imposed had he ordered supervised release, at least if he had specified the term of supervised release. But in his oral sentence he expressly declined to order supervised release and the written judgment does not mention supervised release. The oral sentence reflects the judge’s confident belief that the defendant would be deported (“removed” is the current legal term for “deported,” and we’ll use the current term in the balance of this opinion) as soon as he was released from prison. But the “additional imprisonment terms” in the written sentence are premised on the possibility that he won’t be removed promptly, or maybe ever. A lot can happen in seven years, including changes in immigration law, changes in the defendant’s situation (marital, health, etc.), changes in conditions in the country to which the defendant might be ordered removed, and changes in enforcement policy. In addition, orders of removal are frequently disobeyed unless the person ordered removed is a prisoner and upon completion of his prison term is taken directly from prison to the plane that will fly him out of the United States.

The suggestion by the defendant’s lawyer that the judge’s error in imposing terms in the sentence that are authorized only if the judge imposes supervised release is harmless must assume that if we remanded for resentencing, of course the judge would impose supervised release so that he could re-impose the additional terms that he thought appropriate. But maybe not, since at the sentencing hearing he seemed confident that the defendant would be removed immediately upon completion of his prison term, making supervised release otiose. Maybe the “additional imprisonment terms” in the written sentence are boilerplate included by accident. But all that matters is that we have no authority to order a reversal in order to give the judge an opportunity to impose a term of supervised release—an additional sentence—when the government has not filed a cross-appeal. Greenlaw v. United States, 554 U.S. 237 (2008).

But we can take the lawyer’s alternative suggestion and “excise” the post-release terms, thereby modifying the sentence, and affirm it as modified. United States v. Ramirez, 675 F.3d 634, 639 n. 1, 646 (7th Cir. 2011) (per curiam); United States v. McKnight, 665 F.3d 786, 795 (7th Cir. 2011); United States v. Munoz, 610 F.3d 989, 997 (7th Cir. 2010); United States v. Boyd, 608 F.3d 331, 335 (7th Cir. 2010); United States v. Godoy, 2013 WL 425334, at *5 (D.C. Cir. Feb. 5, 2013); cf. Overstreet v. El Paso Disposal, L.P., 625 F.3d 844, 857 (5th Cir. 2010). That gives the defendant all the relief he could possibly obtain in a fully briefed and argued appellate proceeding.

When in a criminal appeal the court of appeals notices a plain error, it can reverse even if the appellant had not drawn the error to the court’s attention, Greenlaw v.United States, supra, 554 U.S. at 247; Silber v. United States, 370 U.S. 717, 718 (1962) (per curiam); United States v. Hampton, 585 F.3d 1033, 1044-45 (7th Cir. 2009); United States v. Washington, 558 F.3d 716, 721 (7th Cir. 2009); United States v. Sealed Appellant 1, 591 F.3d 812, 819 (5th Cir. 2009); United States v. Gari, 572 F.3d 1352, 136061 (11th Cir. 2009), and the present case is less extreme. Although the Anders brief is wrong in calling the district judge’s error in imposing post-release terms harmless—it is a plain error—the brief does at least point out that it was error.

In all but the rarest cases, the proper sequel to a determination that an Anders brief has identified a reversible error is to set the case for full briefing on the merits, both to give the government a chance to respond and to give the defendant’s lawyer a chance to explore further other possible grounds for reversal. Penson v. Ohio, 488 U.S. 75, 81-83 (1988). What makes this case unique, so far as we’ve been able to determine, is that the error is so patent that there is no response that the government could make to it, and that the Anders brief, while wobbly with respect to the error of imposing post-release conditions in the absence of an order of supervised release, adequately demonstrates the absence of any possible ground of appeal other than the post-release conditions. United States v. Tabb, 125 F.3d 583, 584-85 (7th Cir. 1997); United States v. Wagner, 103 F.3d 551, 553 (7th Cir. 1996). And the brief does identify their imposition as error, even while mistakenly characterizing the error as harmless.

In these circumstances we can achieve judicial economy with no sacrifice of anyone’s legal rights by modifying the judgment of the district court to eliminate the post-release terms concerning the use of controlled substances, drug tests, and collection of a DNA sample, granting the lawyer’s motion to withdraw, and, having corrected the judgment, dismissing the appeal.

SO ORDERED.

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