UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF COLUMBIA
__________________________________________
)
COMMONWEALTH OF THE )
NORTHERN MARIANA ISLANDS, )
)
Plaintiff, )
)
v. ) Civil Action No. 08-1572 (PLF)
)
UNITED STATES OF AMERICA, et al., )
)
Defendants. )
__________________________________________)
OPINION
This case arises from a dispute between the Commonwealth of the Northern
Mariana Islands (“the CNMI” or “the Commonwealth”) and the United States concerning the
implementation and enforcement of federal legislation that gives the United States government
control over immigration into and out of the Commonwealth. In a separate Opinion issued
earlier today (“Opinion I"), the Court upheld the authority of the United States government to
enact the challenged statutory provisions.1 This Opinion addresses the legality of regulations
recently promulgated by the Department of Homeland Security (“DHS”) to enforce the statute in
question.2
The CNMI asks this Court to issue a preliminary injunction barring the
implementation of the regulations because, in its view, DHS violated the Administrative
1
The Court issued the related Order, dismissing Counts I and II of the amended
complaint, on November 23, 2009.
2
In addition to DHS, the defendants are the United States, DHS Secretary Janet
Napolitano, the Department of Labor, and Labor Secretary Hilda Solis.
Procedure Act, 5 U.S.C. § 501 et seq., in promulgating them. After considering the relevant
filings, the oral arguments presented by counsel for the parties on November 23, 2009, and the
entire record in this case, the Court finds that the CNMI has established its entitlement to a
preliminary injunction.3 As a result, the Court will grant the Commonwealth’s motion and
enjoin, at least temporarily, the implementation of the regulations.
I. BACKGROUND
As explained in greater detail in the first Opinion in this case released earlier
today, the CNMI is a United States territory governed by a mix of federal and local laws. See
Opinion I at 20-21. Under the agreement, known as the Covenant, which structures the
relationship between the United States and the CNMI, Congress was authorized to enact
immigration legislation applicable to the CNMI at any time after November 3, 1986, but chose
not to do so until last year — thus permitting the Commonwealth during the interim to retain sole
responsibility for the formulation and enforcement of the Islands’ immigration policy. See First
P.I. Mot. at 3-4. As a result, the Commonwealth’s approach to immigration and the admission of
foreign workers differs significantly from that of the United States. The CNMI’s approach grew
out of its belief that the Islands’ population of United States citizens and resident foreign
nationals could not yield a large enough workforce to support the Commonwealth’s economy.
3
The documents considered by the Court on this motion include the following:
CNMI’s Supplemental Motion for a Preliminary Injunction (“Mot.”); the United States’
Opposition to the Plaintiff’s Supplemental Motion for a Preliminary Injunction (“Opp.”); the
CNMI’s reply to that opposition (“Reply”); CNMI’s Motion for a Preliminary Injunction (“First
P.I. Mot.”); Declaration of Jacinta Kaipat (filed as an attachment to First P.I. Mot.) (“Kaipat
Decl.”); Defendants’ Opposition to the Motion for a Preliminary Injunction (“First P.I. Opp.”);
and the CNMI’s reply to that opposition (“First P.I. Reply”).
2
To address that problem, the CNMI’s government has actively encouraged foreign workers to
travel to and take employment within the Commonwealth, id. at 3, and permitted the entry of
numerous foreign workers who would not be eligible to enter the United States under federal
immigration law. See Kaipat Decl. ¶ 55.
In 2008, concerned about “the need to ensure uniform adherence to long-standing
fundamental immigration policies of the United States,” Congress passed and President Bush
signed the Consolidated Natural Resources Act (“the CNRA”), which, among other things,
provides that the immigration laws of the United States will displace those of the CNMI starting
on November 28, 2009. See Pub. L. No. 110-229, sec. 702(a), § 6(a)(1), 122 Stat. 754, 854-55
(2008).4 To minimize the disruption that could result from the Commonwealth’s shift to a new
immigration policy, the statute establishes a “transition period” that will commence on
November 28, 2009, and end no less than five years after that date. Id. § 6(a)(2). Any individual
who is lawfully present in the CNMI pursuant to the Commonwealth’s immigration laws at the
start of that transition period may remain within the Islands for a grace period that ends on the
earlier of (1) the date when that person’s right to entry would have expired under Commonwealth
law, or (2) November 28, 2011. Id. § 6(e)(1)(A). A foreign worker who wishes to enter the
Commonwealth after November 28, 2009, or who is already present in the CNMI but is nearing
the end of her grace period, must follow one of two protocols in order to enter or remain in the
4
The statutory provisions in question become effective “on the first day of the first
full month commencing 1 year after the date of enactment of” the CNRA. CNRA sec. 702(a),
§ 6(a)(1). The original effective date authorized by the statute was June 1, 2009. See
Commonwealth of the Northern Mariana Islands Transitional Worker Classification, 74 Fed.
Reg. 55,094, 55,094 (Oct. 27, 2009). Exercising the authority granted her by the statute, the
Secretary of DHS postponed the effective date by 180 days, to November 28, 2009. Id.
3
Islands lawfully: either she must obtain a visa or other authorization under the Immigration and
Nationality Act (“INA”), 8 U.S.C. § 1101 et seq., or she must obtain a permit issued as part of
the “transition program” mandated by the CNRA. Id. § 6(d)(2).
The CNRA transition program provides a means for foreign workers who are not
eligible to enter or remain in the Commonwealth under the terms of the INA to work in the
Islands lawfully during the transition period. Under the program, the Secretary of DHS is
authorized to issue a permit to “prospective employers for each” foreign worker “who would not
otherwise be eligible for admission under the” INA. CNRA sec. 702(a), § 6(d)(2). The Secretary
generally has broad discretion to decide how many permits will be issued and in what manner
they will be allocated, but the CNRA requires that the number of permits granted annually must
gradually be reduced to zero by the end of the transition period. Id.
The CNRA was enacted on May 8, 2008. Opp. at 4. On October 27, 2009,
without first providing notice and the opportunity for public comment, DHS released an interim
rule entitled “Commonwealth of the Northern Mariana Islands Transitional Worker
Classification” (“the Interim Permit Rule”). See 74 Fed. Reg. 55,094 (Oct. 27, 2009). Intended
to structure and govern the transition program for foreign workers that begins on November 28,
2009, the interim rule defines the types of businesses that will be eligible to receive permits for
foreign workers, sets a numerical limit on the number of permits that will be granted between
November 28, 2009, and September 30, 2010, and delineates requirements that must be met by
any employer seeking to obtain a permit. See id. at 55,109-10. Although the notice of the
interim rule published in the Federal Register invites comments about the regulations and
promises that they will be considered during the formulation of a final rule, DHS acknowledged
4
in the same notice that the interim rule will become effective in its current form on November 27,
2009, id. at 55,094 — meaning that the interim rule will take effect without being revised to
account for any comments made by members of the public after the rule’s publication on October
27. Id. at 55,101.5
On September 12, 2008, the Commonwealth filed the instant action, seeking,
among other things, to permanently enjoin the implementation of certain provisions of the
CNRA, including Section 702(a). See First PI Mot. at 1. At the same time, it filed a motion for a
preliminary injunction that would bar those provisions from taking effect prior to the conclusion
of this litigation. The defendants filed a motion to dismiss, and the Court heard argument on that
motion and on the first motion for a preliminary injunction. While those motions were pending,
DHS issued the Interim Permit Rule. On November 2, 2009, the Commonwealth filed an
amended complaint, adding an Administrative Procedure Act claim, and moved for a second
preliminary injunction, one that would suspend the operation of the Interim Permit Rule until this
Court has issued a final ruling on its legality. See Mot. at 17. The Commonwealth argues that
the interim rule was promulgated in violation of the APA because DHS wrongfully dispensed
with the notice-and-comment procedures required by the statute.
5
Throughout its filings and at oral argument, the defendants represented to the
Court that the Interim Permit Rule becomes effective at 12:01 a.m. on November 28, 2009. In a
subsequent call to Chambers, counsel for the parties advised the Court that this means 12:01 a.m.
Chamorro Standard Time (the CNMI’s time zone), which is 9:01 a.m. on November 27, 2009, in
Eastern Standard Time.
5
II. DISCUSSION
In deciding whether to grant emergency injunctive relief, the Court must consider
(1) whether there is a substantial likelihood that plaintiffs will succeed on the merits of their
claim, (2) whether plaintiffs will suffer irreparable injury in the absence of an injunction, (3) the
harm to defendants or other interested parties (balance of harms), and (4) whether an injunction
would be in the public interest or at least not be adverse to the public interest. See Davis v.
Pension Benefit Guar. Corp., 571 F.3d 1288, 1291 (D.C. Cir. 2009); Serono Labs., Inc. v.
Shalala, 158 F.3d 1313, 1317-18 (D.C. Cir. 1998).
Plaintiffs are not required to prevail on each of these factors. Rather, these factors
must be viewed as a continuum, with more of one factor compensating for less of another. Davis
v. Pension Benefit Guar. Corp., 571 F.3d at 1291-92. “If the arguments for one factor are
particularly strong, an injunction may issue even if the arguments in other areas are rather weak.”
CityFed Fin. Corp. v. Office of Thrift Supervision, 58 F.3d 738, 747 (D.C. Cir.1995). An
injunction may be justified “where there is a particularly strong likelihood of success on the
merits even if there is a relatively slight showing of irreparable injury.” Id. Conversely, when
the other three factors strongly favor interim relief, a court may grant injunctive relief when the
moving party has merely made out a “substantial” case on the merits. The necessary level or
degree of likelihood of success that must be shown will vary according to the Court's assessment
of other factors. Washington Metro. Area Transit Comm'n v. Holiday Tours, Inc., 559 F.2d 841,
843-45 (D.C. Cir. 1977). In sum, an injunction may be issued “with either a high probability of
success and some injury, or vice versa.” Cuomo v. U.S. Nuclear Regulatory Comm'n, 772 F.2d
972, 974 (D.C. Cir. 1985).
6
A. Success on the Merits
Before promulgating a new rule, federal agencies generally are required by the
Administrative Procedure Act to give interested parties notice of the proposed rule’s content and
“an opportunity to participate in the rule making through submission of written data, views, or
arguments.” 5 U.S.C. §§ 553(b)-(c). Here, DHS first provided public notice of the Interim
Permit Rule when it published the rule in the Federal Register on October 27, 2009. Since the
interim rule was already in its final form on that date, it is undisputed that DHS failed to provide
the notice and opportunity for comment typically required by the APA. See 74 Fed. Reg. at
55,100-01.
According to the defendants, the agency’s failure to engage in notice-and-
comment rulemaking procedures does not violate the APA because DHS had “good cause” for
the omission. See Opp. at 2; 74 Fed. Reg. at 55,100-01. An agency is authorized to dispense
with notice-and-comment procedures when it “for good cause finds . . . that notice and public
procedure thereon are impracticable, unnecessary, or contrary to the public interest.” 5 U.S.C.
§ 553(b)(B). DHS invoked this exception when it published the Interim Permit Rule in this case,
stating in the Federal Register that the agency would not provide prepromulgation notice and
opportunity for comment because (1) Congress provided the agency only “a relatively short
timeframe” in which to finalize the regulations; (2) in that timeframe, DHS had to “conduct a
thorough review of the CNMI’s immigration system,” “develop a complex regulatory scheme,”
and consult “with the CNMI government, Departments of State and Interior and other required
stakeholders”; and (3) “the failure to have an effective interim regulation in place by” November
28, 2009 “would serve only to harm the CNMI and aliens residing” there. 74 Fed. Reg.
7
55,100-01. Defendants reiterate those points in response to the CNMI’s motion for a preliminary
injunction. See Opp. at 18-22.
The parties agree that “[a]s an elementary principle, it is clear that exceptions to
section 553 notice-and-comment procedures are to be narrowly construed and only reluctantly
countenanced.” Petry v. Block, 737 F.2d 1193, 1200 (D.C. Cir. 1984) (citation and internal
quotation marks omitted). Those exceptions “are not escape clauses that may be arbitrarily
utilized at the agency’s whim”; they are desperate measures whose use “should be limited to
emergency situations.” Id. (citing American Fed’n of Gov’t Employees v. Block, 655 F.2d 1153,
1156 (D.C. Cir. 1981)) (internal quotation marks omitted). In deciding whether such an
“emergency situation[]” justifies an agency’s failure to comply with the APA’s standard notice-
and-comment requirements, a court “analyze[s] the entire set of circumstances surrounding the
agency rulemaking.” Universal Health Servs. of McAllen, Inc. v. Sullivan, 770 F. Supp. 704,
720 (D.D.C. 1991) (citing Petry v. Block, 737 F.2d at 1203) (internal quotation marks omitted).
Relevant circumstances may include the scale and complexity of the regulatory program the
agency was required to implement, see, e.g., Petry v. Block, 737 F.2d at 1200; any deadlines for
rulemaking imposed by the enabling statute, see, e.g., id. at 1201; the diligence with which the
agency approached the rulemaking process, see, e.g., Council of the S. Mountains, Inc. v.
Donovan, 653 F.2d 573, 581 (D.C. Cir. 1981); obstacles outside the agency’s control that
impeded efficient completion of the rulemaking process, see, e.g., id. at 581; and the harm that
could befall members of the public as a result of delays in promulgating the rule in question, see,
e.g., Woods Psychiatric Institute v. United States, 20 Cl. Ct. 324, 332 (1990).
8
Upon consideration of the totality of the circumstances that surrounded DHS’
promulgation of the Interim Permit Rule, the Court concludes that the plaintiff is likely to
succeed on its claim that the agency did not have “good cause” to dispense with notice-and-
comment procedures and thus violated the APA. Defendants suggest that providing notice and
an opportunity to comment prior to promulgating the rule was impracticable because Congress,
in passing the CNRA, imposed several burdensome administrative duties on DHS and only
allowed the agency eighteen months in which to fulfill them. See Opp. at 19-21. This argument
is unpersuasive. In the context of the various cases addressing the APA’s notice-and-comment
provisions, eighteen months is a lengthy period of time. The courts have found good cause
where an agency was given, for example, only forty-nine days, see Philadelphia Citizens in
Action v. Schweiker, 869 F.2d 877, 880 (3d Cir. 1982), or five months, see Petry v. Block, 737
F.2d at 1195-96, to implement the terms of a statute. But defendants have cited no case
analogous to this one in which an agency had eighteen months to issue a rule and still was found
to have good cause to omit notice-and-comment procedures.
In the only case cited by the defendants in which an agency was found to have
good cause despite an eighteen-month implementation period, factors not present here motivated
the court’s decision. In that case, as here, the defendant agency was forced by statutory deadlines
to promulgate new regulations within eighteen months after the passage of the enabling
legislation. See Nat’l Women, Infants, and Children Grocers Ass’n v. Food & Nutrition Serv.,
416 F. Supp. 2d 92, 106 (D.D.C. 2006). But in that case, unlike this one, the court noted that the
enabling legislation explicitly permitted the agency to issue an interim rule, thereby conferring
upon the agency “some discretion” to promulgate a preliminary rule “without first providing
9
notice and comment.” Id. at 105. Furthermore, in that case the agency supported its argument
that it had good cause for omitting notice-and-comment procedures with detailed evidence
demonstrating that it had “worked diligently to meet the congressionally-imposed deadline.” Id.
at 104.
Neither of those factors is present in this case. The CNRA provides for no
departures from the procedures mandated by the APA, and DHS has not attempted to present any
evidence indicating that the agency “worked diligently” to complete the Interim Permit Rule
beginning in May 2008, when the CNRA was enacted. If DHS wished to present a more credible
argument that meeting its responsibilities under the CNRA prevented it from engaging in notice-
and-comment procedures, it could have, as other defendant agencies have done, provided the
Court with detailed evidence demonstrating that the agency has spent the last eighteen months
striving to complete CNRA implementation as efficiently as possible. See, e.g., Council of the S.
Mountains, Inc. v. Donovan, 653 F.2d at 581; Petry v. Block, 737 F.2d at 1201. It has provided
no such evidence and has not suggested that such evidence is forthcoming.6
Defendants suggest that eighteen months should be considered “a relatively short
time” because the CNRA required DHS to analyze large amounts of data and design “an entirely
new nonresident worker classification system” that would advance the policy goals specified by
Congress. Opp. at 20. That argument might be persuasive if Congress had provided only four or
five months, see Petry v. Block, 737 F.2d at 1195-96, but with an eighteen-month window, the
fact that DHS was burdened with the task of creating a new program that required extensive
6
For the same reasons, the Court is unpersuaded by the defendants’ argument that
DHS had to issue multiple rules to implement the CNRA and therefore lacked time to engage in
notice-and-comment rulemaking with regard to the Interim Permit Rule. See Opp. at 20-21.
10
planning, or that the agency was given multiple responsibilities by the same statute, cannot be
considered sufficient cause to jettison the APA’s notice-and-comment procedures. If it were, the
exceptions to Section 553's notice-and-comment provisions might swallow the rule, as every
agency obligated to develop a new federal program in a finite amount of time could decide that it
had good cause to dispense with public participation in rulemaking.
In addition to their argument that notice-and-comment procedures were
impracticable, defendants assert that good cause exists here because, if DHS had taken the time
to allow notice and an opportunity for comment, the promulgation of the Rule would have been
delayed, and “nonresident workers, [their dependents], and businesses in the CNMI” would have
“face[d] potential harm.” Opp. at 22. If the Rule were not promulgated by November 28, 2009,
they argue, the CNRA would take effect on that date anyway, and “the failure to have an
effective interim regulation in place . . . would serve only to harm the CNMI.” 74 Fed. Reg. at
55,101. This argument begs the question. As explained above, DHS has failed to demonstrate
that it could not, with due diligence, have completed a draft version of the interim rule, engaged
in notice-and-comment procedures, and finalized the rule before the statutory deadline.
Furthermore, the type of harm alleged to create good cause here — a statute’s
becoming effective without implementing regulations in place — is materially different from the
prospective harms found to justify omission of notice-and-comment procedures in other
situations. If the mere possibility that an enabling statute would go into effect without
accompanying administrative rules were sufficient to justify an agency’s departure from typical
APA procedures, then an agency could evade its procedural obligations simply by waiting until
the statute’s effective date is near, releasing a final version of the implementing regulations, and
11
claiming that, because harm would result if the final regulations were not in place, good cause
existed. Courts have repeatedly rejected this scenario, refusing to permit “an agency . . . [to]
simply wait until the eve of a statutory . . . deadline, then raise up the ‘good cause’ banner
without following APA procedures.” Council of the S. Mountains, Inc. v. Donovan, 653 F.2d at
581. Where harm to the public interest has been found to constitute good cause, that harm has
resulted, not from the advent of a statutory deadline of which the agency was aware well in
advance, but rather from the development of unexpected problems that demanded swift
resolution by agency action. See, e.g.,Nat’l Fed’n of Fed. Employees v. Nat’l Treasury
Employees Union, 671 F.2d 607, 611 (D.C. Cir. 1982) (agency was forced into action to prevent
harm that might result from “events and circumstances beyond [the agency’s] control, which
were not foreseen in time to comply with notice and comment procedures”); Woods Psychiatric
Institute v. United States, 20 Cl. Ct. at 332 (good cause found where confusion over the operation
of an agency program was leading to the filing of lawsuits, and clarifying regulations were thus
required as soon as possible).
In light of these considerations, the Court thinks it likely that the CNMI will
succeed on its claim that defendants violated the APA by forgoing the required notice-and-
comment procedures without good cause. Of course, this is not a final determination; it may be
that, with more time to gather evidence and to prepare briefs and affidavits, the defendants will
be able to make a more persuasive argument that notice-and-comment procedures were
impracticable. But at this juncture, the CNMI has demonstrated a substantial likelihood of
success on the merits of its APA claim.
12
B. Irreparable Harm
A party experiences actionable harm when “depriv[ed] of a procedural protection
to which he is entitled” under the APA. Sugar Cane Growers Cooperative of Florida v.
Veneman, 289 F.3d 89, 94-95 (D.C. Cir. 2002). If such were not the case, “section 553 would be
a dead letter.” Id. at 95. If defendants have in fact violated the APA’s notice-and-comment
provisions, then, there is no question that the CNMI will be injured by the implementation of the
Interim Permit Rule. But to justify the issuance of a preliminary injunction, the CNMI must
show that unless the rule is enjoined, the Commonwealth is likely to experience not just some
injury, but irreparable harm that cannot be cured by ultimate success on the merits in this case.
See Wisc. Gas Co. v. Fed. Energy Comm’n, 758 F.2d 669, 674 (D.C. Cir. 1985). “Further, the
[CNMI] must show that the alleged harm will directly result from the action which [the CNMI]
seeks to enjoin.” Id. The Court concludes that the Commonwealth has made the necessary
showing.
The notice-and-comment provisions of the APA
are designed (1) to ensure that agency regulations are tested via
exposure to diverse public comment, (2) to ensure fairness to
affected parties, and (3) to give affected parties an opportunity to
develop evidence in the record to support their objections to the
rule and thereby enhance the quality of judicial review.
Environmental Integrity Project v. EPA, 425 F.3d 992, 996 (D.C. Cir. 2005). Such concerns
about “fairness to affected parties” and the “exposure” of proposed regulations “to diverse public
comment” are especially warranted where the rule in question creates a complex and far-reaching
regulatory regime. See Council of the S. Mountains, Inc. v. Donovan, 653 F.2d at 582 (“[T]he
more expansive the regulatory reach of (agency) rules, . . . the greater the necessity for public
13
comment” (citation and internal quotation marks omitted)). The Interim Permit Rule challenged
here will dramatically alter the Commonwealth’s current system for admitting nonresident
guestworkers, who constitute two-thirds of the CNMI’s private workforce. See First PI Mot. at
3. It sets a hard numerical cap on the number of foreign workers, not otherwise eligible for entry
under the INA, that may be licensed by the federal government to take employment in the
Commonwealth through 2010. See 74 Fed. Reg. at 55, 098. It sets the conditions under which
individuals or entities will be allowed to obtain permits to employ new guest workers. See id. at
55,096-97. It puts few limits upon the discretion of the Secretary of DHS to determine which
employers will receive those permits. See id. at 55,097. In short, the Rule will enact far-
reaching changes that likely will have significant effects on the CNMI labor market, and it will
do so despite the fact that it has not “been tested via exposure to diverse public comment.”
Environmental Integrity Project v. EPA, 425 F.3d at 996.
The CNMI argues convincingly that the Commonwealth’s residents and
government have meaningful concerns about the Rule. For example, the CNMI suggests that the
criteria established by the Rule for issuance of permits for new guest workers to employers may
be inadequate. See Reply at 12-13. As written, the Rule requires employers seeking permits to
“[c]onsider all available United States workers for the position[]” to be filled by a new guest
worker, but does not require those employers to consider guest workers already present in the
Commonwealth for the position. See 74 Fed. Reg. at 55,110; Reply at 13. To ensure that
employers have “consider[ed] available United States workers,” the Rule asks only that
employers attest that they have done so, 74 Fed. Reg. at 55,110; the CNMI posits that such
attestations may “be prone to fraud and [] leave qualified U.S. citizens unemployed,” a matter it
14
would have raised and documented if it had been given the opportunity to comment. Reply at 13.
These and similar concerns support the conclusion suggested by the size and novelty of the
program instituted by the Interim Permit Rule: DHS should have complied with the APA’s
notice-and-comment provisions before promulgating the Rule, and its failure to do so impaired
the CNMI’s ability to protect its interests.7
Furthermore, if the Court ultimately decides the merits of the plaintiff’s APA
claim in the Commonwealth’s favor, the damage done by DHS’ violation of the APA cannot be
fully cured by later remedial action. Once the program structured by the Rule has begun
operation as scheduled on November 28, 2009, DHS is far less likely to be receptive to
comments. As the D.C. Circuit has pointed out, “Section 553 is designed to ensure that affected
parties have an opportunity to participate in and influence agency decision making at an early
stage, when the agency is more likely to give real consideration to alternative ideas.” New Jersey
v. EPA, 626 F.2d 1038, 1049 (D.C. Cir. 1980) (citation and internal quotation marks omitted).
And the APA requires that comments submitted by members of the public be considered (not
simply received) by the agency. “[P]ermitting the submission of views after the effective date of
a regulation is no substitute for the right of interested persons to make their views known to the
agency in time to influence the rule making process in a meaningful way.” American Fed’n of
7
Defendants’ counsel spent a considerable amount of time at oral argument
explaining why any comments that the CNMI proposes to offer on the regulations in question
will neither assist DHS nor result in any improvements to the Interim Permit Rule. See
Transcript of Oral Argument (Nov. 23, 2009) (page numbers not available as of the date of this
Opinion). The CNMI, however, is not required to show that its comments would have affected
the final form of the Rule. See Sugar Cane Growers Cooperative of Florida v. Veneman, 289
F.3d at 94 (“A plaintiff who alleges a deprivation of a procedural protection to which he is
entitled never has to prove that if he had received the procedure the substantive result would have
been altered.”).
15
Gov’t Employees v. Block, 655 F.2d at 1158. If the Interim Permit Rule is not enjoined prior to
its effective date, the CNMI will never have an equivalent opportunity to influence the Rule’s
contents.
It is true, as the defendants argue, that the injury alleged by the CNMI is not so
great as others that have justified the issuance of preliminary injunctions in comparable
situations. See, e.g., Nat’l Ass’n of Farmworkers Orgs. v. Marshall, 628 F.2d 604, 613-14 (D.C.
Cir. 1980) (exposure of children to possibly dangerous pesticides constitutes irreparable harm).8
But the injury is “actual” and “great,” see Wisc. Gas Co. v. Fed’l Energy Regulatory Comm’n,
758 F.2d at 674, and it is sufficient to weigh in favor of the issuance of an injunction. Contrary
to the defendants’ protestations, the Court’s conclusion that the CNMI has suffered irreparable
injury does not mean that “every litigant challenging an agency’s failure to abide by the notice
and comment provisions of § 553 of the APA [can] obtain a preliminary injunction against the
challenged regulation.” See Opp. at 10. After all, irreparable injury is but one of four factors
courts consider in deciding whether to issue a preliminary injunction. In the context of this
particular case, where the likelihood of success on the merits is so high and the public interest
served by an injunction is so great, see infra at 20-22, the CNMI has shown injury serious enough
to warrant immediate injunctive relief. See CityFed Fin. Corp. v. Office of Thrift Supervision,
58 F.3d at 747.
8
Defendants also rely heavily upon a recent decision issued from Judge Urbina,
United Farmworkers v. Chao, Civil Action No. 09-0062 (D.D.C. Jan. 15, 2009) (order denying
preliminary injunction), for the proposition that the CNMI has failed to plead a sufficient injury
to justify issuance of a preliminary injunction. Since United Farmworkers was not brought
pursuant to Section 553 of the APA, however, and since the plaintiffs in that case did not allege
violation of a procedural right as an injury, see id. at 2-3, that case is inapposite.
16
C. Balance of Harms
The defendants do not claim that they will be significantly prejudiced if the
requested preliminary injunction is granted. See Opp. at 13-17. Instead, they argue that
nonparties to this action will be harmed if the CNRA goes into effect on November 28, 2009,
unaccompanied by the regulations put in place by the Interim Permit Rule. Under the CNRA,
regardless of whether the Interim Permit Rule is in effect, individuals lawfully present in the
CNMI on November 28 may not be deported for failing to comply with the terms of the INA, and
they may retain any authorization to work that they received under CNMI law. See CNRA, sec.
702(a), § 6(e). The statute provides no explicit protection, however, for lawful CNMI guest
workers who leave the Commonwealth after November 28, 2009, and then seek to re-enter, nor
does it create a means for CNMI employers to seek permits for new guest workers. The statute
does not address re-entry by lawful guest workers, and the implementation of a system that
would allow employers to hire foreign workers from outside the CNMI was left to the Executive
Branch. See id. § 6(a)(5) (instructing the Departments of Labor, State, Interior, and Homeland
Security to implement measures addressing “procedures to ensure that Commonwealth
employers have access to adequate labor”). As a result, the defendants argue that
Commonwealth guest workers and employers wishing to hire new foreign workers from outside
the CNMI will be left in the lurch if this Court enjoins timely implementation of the Interim
Permit Rule. See Opp. at 16-17.
While these are significant concerns, the possible difficulties identified by the
defendants do not persuade the Court that the residents of the CNMI will be better off if an
injunction does not issue. First, the potential harms cited by the defendants are entirely
17
speculative. The defendants here have provided no evidence tending to show how many workers
and businesses, if any, will be affected by a temporary delay in the implementation of the Interim
Permit Rule, and the Court is aware of none. As an initial matter, the parties — and the Court —
can only speculate as to when foreign workers currently present in the Commonwealth will be
able to leave the CNMI with any confidence that they will be readmitted, even after the Interim
Permit Rule goes into effect. Under the transition program as structured by the Interim Permit
Rule, to leave the Commonwealth and return legally, a foreign worker admitted to the CNMI
prior to November 28, 2009, and otherwise ineligible to be present in the United States under the
INA must acquire a permit issued by DHS. See 74 Fed. Reg. at 55,111. To get that permit, the
worker must convince his or her employer to petition for it. Id. at 55,109. The employer must
then compile evidence demonstrating that it “meets the definition of eligible employer” pursuant
to the Interim Permit Rule, complete the necessary paperwork, and submit the petition package to
DHS, along with an annual fee of $150. Id. at 55,110. DHS must approve the permit. Then,
after the worker’s permit has been approved and the worker has left the CNMI, he or she must
obtain a visa from a consulate before attempting to return to the Commonwealth. Opp. at 16.
There is currently no way of knowing how long that permitting process will take, or how easily a
worker traveling with a permit may obtain a visa. Transcript of Oral Argument (Nov. 23, 2009).
In other words, it is unclear that foreign workers otherwise ineligible under the INA will be able
to leave the CNMI and re-enter it within the first several weeks after November 28, 2009, even if
the Interim Permit Rule is in place.
Similarly, while the Interim Permit Rule creates a mechanism whereby a CNMI
employer may arrange to hire foreign workers from outside the Commonwealth, it is difficult to
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know whether employers will have much need for that mechanism in the weeks immediately
following November 28, 2009. The CNMI maintains that the Commonwealth’s guest worker
population currently is experiencing high rates of unemployment, and that employers are
consequently unlikely to require permits for new guest workers in the near future. Reply at
20-21. Consequently, the United States cannot argue with any degree of certainty that CNMI
employers will be harmed by the issuance of a preliminary injunction in this matter.
Ultimately, however, whatever the actual scale of the potential difficulties cited by
the defendants, those difficulties may be addressed by DHS without recourse to the full
transitional program to be enacted by the Interim Permit Rule. To assist either foreign workers
seeking to leave and return to the CNMI or employers desperately in need of workers from
outside the Commonwealth, DHS may, if necessary, promulgate a narrowly focused and
temporary emergency regulation that addresses only the problem at hand. Such targeted
emergency rules may be promulgated without notice and comment, since they legitimately fall
within the APA’s “good cause” exception. See, e.g., American Federation of Gov’t Employees
v. Block, 655 F.2d 1153, 1154-55 (D.C. Cir. 1981) (“promulgation of emergency regulations by
the Department was a reasonable and perhaps inevitable response to” an injunctive court order
that required almost immediate changes in the relevant regulatory program).9
In promulgating such emergency regulations, DHS would, in fact, be taking the
action that it should have taken in the first place if the agency truly was unable to issue a full set
of implementing regulations for the CNRA prior to late October 2009: It would be issuing a
9
The Commonwealth has also represented to the Court that it would not object to
such a narrowly tailored emergency regulation if one proved to be necessary in the wake of an
injunction.
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short-term rule that would address only immediate problems created by the advent of the statute’s
effective date, while waiting to issue a more comprehensive rule until it could provide the public
with notice and an opportunity for comment. This is the procedure most consistent with the
letter and the spirit of the APA. See, e.g., Council of the S. Mountains v. Donovan, 653 F.2d at
582 (dispensing with notice and comment is more acceptable when the agency action in question
is of “limited scope”); American Fed’n of Gov’t Employees v. Block, 655 F.2d at 1157 & n.7
(omitting notice and comment is more easily justified where regulations do not address more
than “the exigencies of the moment”).
It is unfortunate that DHS may have to issue such ad hoc, emergency rules. The
Court emphasizes, however, that this is a problem of the agency’s own making. Had the agency
released the Interim Permit Rule earlier in the year and provided the public with notice and an
opportunity for comment, the current quandary never would have arisen. DHS should not now
expect to excuse its violation of the APA by pointing to the problems created by its own delay.
D. The Public Interest
The public interest is served when administrative agencies comply with their
obligations under the APA. See New Jersey v. EPA, 626 F.2d at 1045 (“It is now a
commonplace that notice-and-comment rule-making is a primary method of assuring that an
agency’s decisions will be informed and responsive.”); Creosote Council v. Johnson, 555 F.
Supp. 2d 36, 40 (D.D.C. 2008) (there is a “general public interest in open and accountable
agency decision-making”).
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Besides the general public interest served by agencies’ compliance with the law,
more specific interests unique to this case will be best served if DHS is compelled to submit the
Interim Permit Rule to notice and comment before it goes into effect. The relationship between
the United States and the CNMI is a contractual one, cemented by a governing document, the
Covenant to Establish a Commonwealth of the Northern Mariana Islands in Political Union with
the United States of America (“the Covenant”). See Pub. L. No. 94-241 (adopting the
Covenant); see generally Opinion I at 20-21. Although the United States is sovereign over the
CNMI pursuant to that agreement, see Covenant § 101, both the United States and the Mariana
Islands, at the time of forming the Covenant, agreed that the CNMI should have some control
over its own fate. See Covenant § 103 (providing that the Commonwealth retains “the right of
local self-government and will govern [itself] with respect to internal affairs in accordance with a
Constitution of [its] own adoption”); id. § 105 (the United States must “respect th[at] right of
self-government”). Since the CNMI has no voting representation in Congress, see CNRA, sec.
711, and its rights must be enforced in United States courts, see Covenant § 903, the preservation
of those rights depends to a great extent on the willingness of the United States to exercise self-
restraint and to respect both the letter and the spirit of the Covenant.
Perhaps in recognition of this reality, Congress required the Secretary of DHS,
“[i]n adopting and enforcing” the transitional permit program authorized by the CNRA, to
“consider, in good faith and not later than 30 days after receipt by the Secretary, any comments
and advice submitted by the Governor of the Commonwealth.” CNRA, sec. 702(a), § 6(d)(2). If
anything, this directive would seem to require, or at least advise, DHS to engage in additional
procedures, over and above those mandated as a matter of course by the APA, to ensure that the
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CNMI participates actively in the rulemaking process. By failing to meet even the minimum
standards set by the APA, DHS has also failed to comply fully with Congress’ intent to secure
the meaningful involvement of the Commonwealth in the transformation of the CNMI’s
immigration program. DHS has also, if only inadvertently, indicated to the CNMI that the
Commonwealth may have little or no role in determining the parameters of a “transitional”
program that may last long after 2014. See CNRA, sec. 702(a), § 6(d)(5)(A) (authorizing the
Secretary of Labor to extend the length of the transition period by up to five years an unlimited
number of times). That program is of great importance to the CNMI, since it has the potential to
transform the nature of the Commonwealth’s workforce. See Opinion I at 5-6. That program
also involves an area — the regulation of immigration into the CNMI — about which the
Commonwealth has significant expertise, having knowledge of the needs of its own economy
and having operated its own immigration program for decades. In light of all of these factors, the
public interest will be best served if the Interim Permit Rule is temporarily enjoined so that it
may be revised as necessary by DHS upon receipt of comments and advice from the CNMI and
any other interested parties.
III. CONCLUSION
For the foregoing reasons, the CNMI’s supplemental motion for a preliminary
injunction is GRANTED. An Order consistent with this Opinion shall issue this same day.
/s/____________________________
PAUL L. FRIEDMAN
United States District Judge
DATE: November 25, 2009
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