Order Michigan Supreme Court
Lansing, Michigan
January 31, 2014 Robert P. Young, Jr.,
Chief Justice
145491 Michael F. Cavanagh
Stephen J. Markman
Mary Beth Kelly
Brian K. Zahra
Bridget M. McCormack
PEOPLE OF THE STATE OF MICHIGAN, David F. Viviano,
Plaintiff-Appellee, Justices
v SC: 145491
COA: 295275
Kent CC: 08-011574-AR
ALAN N. TAYLOR,
Defendant-Appellant.
_________________________________________/
On November 7, 2013, this Court heard oral argument on the application for leave
to appeal the May 22, 2012 judgment of the Court of Appeals. On order of the Court, the
application is again considered, and it is DENIED, because we are not persuaded that the
questions presented should be reviewed by this Court.
MARKMAN, J. (concurring).
Defendant, Alan Taylor, a business entrepreneur, was prosecuted for violations of
the wetlands protection act, MCL 324.30301 et seq., Part 303 of the Natural Resources
and Environmental Protection Act, MCL 324.30301 et seq. Taylor, the founder and
principal owner of a medical-device manufacturer, Hart Enterprises, moved his company
from Illinois to an industrial park in Sparta, Michigan, in 1998. In 2006, when the
company was in the process of doubling the number of Michiganders it employed from
55 to 110, Taylor decided that the company needed to expand its employee parking lot in
order to accommodate this growth. As the expansion was proceeding, the Department of
Environmental Quality (DEQ) initiated an investigation into whether the expanded lot
was intruding upon a wetland portion of Taylor’s industrial-park property. Although
DEQ officials first visited Sparta to assess the situation in May 2006, it took the
department more than a year and a half — until January 2008 — to inform Hart that in its
view the parking-lot-expansion project had resulted in the filling-in of one-quarter of an
acre of regulated wetland and the drainage of another two-thirds of an acre of regulated
wetland. Since the DEQ had not issued a permit for these alleged environmental
intrusions, it ordered Taylor to undo the parking-lot expansion and restore the wetland.
Taylor denied that the area constituted a protected wetland and decided to continue
with the project. Among other things, he noted that environmental engineers who had
monitored the project had never mentioned the presence of any wetland on the property.
Moreover, the DEQ’s own lead investigator himself later acknowledged at trial that it
was not readily apparent that a wetland was present on Taylor’s property. Nonetheless,
criminal charges were eventually brought against Taylor, and he was convicted of one
count of depositing fill material in a regulated wetland without a permit and one count of
2
constructing a parking lot in such a wetland without a permit. He was ordered to pay
fines and costs of $8,500.
The lower court proceedings in this case fostered much confusion concerning
which arguments Taylor properly preserved for appellate review. 1 It appears, at least in
my judgment, that Taylor’s most compelling legal arguments were waived for one reason
or another, and on that basis alone, I concur with regret with this Court’s denial order.
However, I write separately because I believe that this case highlights legal issues that are
likely to arise increasingly in the prosecution of administratively defined malum
prohibitum criminal offenses within this state and that our Legislature might wish to
exercise care in avoiding defects in due process of the type that have come increasingly
to characterize criminal offenses within our federal justice system. 2
First, the statute under which Taylor was convicted provides that a person may not
“[d]eposit or permit the placing of fill material in a wetland” or “[c]onstruct, operate, or
maintain any use or development in a wetland.” MCL 324.30304(a) and (c). A person
who violates this provision is guilty of a misdemeanor punishable by a fine of not more
than $2,500. MCL 324.30316(2). The district court, accepting the notion that the statute
1
For instance, Taylor argued on appeal to the Court of Appeals that the trial court
erroneously admitted into evidence an aerial photograph and the National Wetlands
Inventory. People v Taylor, unpublished opinion per curiam of the Court of Appeals,
issued May 22, 2012 (Docket No. 295275), p 1. The Court of Appeals, however,
determined that Taylor had conceded the admissibility of the aerial photograph and the
National Wetlands Inventory and that his waiver extinguished any error. Id. at 2. Taylor
also argued on appeal to the Court of Appeals that Mich Admin Code, R 281.921(1)(b) is
an invalid product of an unconstitutional delegation of legislative authority and that it
defines the term “contiguous” incompatibly with the wetlands protection act. Id. The
Court of Appeals, however, determined that Taylor had expressly abandoned those
arguments on appeal in the circuit court and that his waiver extinguished any error. Id. at
3. Additionally, Taylor argued on appeal in the Court of Appeals that violations of MCL
324.30304 require proof of mens rea and are not strict-liability offenses. Id. at 5. The
Court of Appeals again determined that Taylor had waived any argument concerning that
issue and that any error had been extinguished. Id.
2
It is estimated that there are 4,500 federal crimes in the United States Code, not to
mention the far larger, and virtually uncountable, additional number of federal
regulations outside Title 18 of the code that impose criminal penalties. See US House of
Representatives Judiciary Committee, Press Release, House Judiciary Committee Creates
Bipartisan Task Force on Over-Criminalization (released May 5, 2013), available at
(accessed January 24, 2014).
3
imposes strict liability, instructed the jury that the prosecutor had to prove beyond a
reasonable doubt only that Taylor did the filling and that he failed to obtain a permit, not
that he had to be aware in any way that he was filling in a wetland. 3 On appeal, the
circuit court reached a similar conclusion that “MCL 324.30304 is a strict liability ‘public
welfare offense,’” concluding that it is “the type of statute envisioned in Morissette [v
United States, 342 US 246 (1952)].” Michigan v Taylor, unpublished opinion of the Kent
County Circuit Court, issued August 28, 2009 (Docket No. 08-11574-AR). 4 As a public-
3
It appears that the district court determined that a violation of MCL 324.30304
constitutes a strict-liability offense as a result of the following inexplicable exchange
between the parties:
The Court: . . . I don’t know what the mens rae [sic] requirement is
for this. Does he have to know it’s a violation?
[Defense Counsel]: There is (indiscernible) aiding and abetting
statute I think you do.
The Court: Well I think — isn’t this strict liability? I mean, just if
you —
[Defense Counsel]: Under [the] wetlands act it’s strict liability.
Yes.
4
In Morissette, the United States Supreme Court described public-welfare offenses as
those that “do not fit neatly into any of such accepted classifications of common-law
offenses, such as those against the state, the person, property, or public morals.”
Morissette, 342 US at 255. Such offenses, the Court explained, may be regarded as
offenses against the authority of the state, “for their occurrence impairs the efficiency of
controls deemed essential to the social order as presently constituted.” Id. at 256.
Further expounding on the nature of public welfare offenses, the Court asserted:
In this respect, whatever the intent of the violator, the injury is the
same, and the consequences are injurious or not according to fortuity.
Hence, legislation applicable to such offenses, as a matter of policy, does
not specify intent as a necessary element. The accused, if he does not will
the violation, usually is in a position to prevent it with no more care than
society might reasonably expect and no more exertion than it might
reasonably exact from one who assumed his responsibilities. Also,
penalties commonly are relatively small, and conviction does no grave
damage to an offender’s reputation. Under such considerations, courts have
turned to construing statutes and regulations which make no mention of
intent as dispensing with it and holding that the guilty act alone makes out
the crime. [Id.]
4
welfare offense, the circuit court explained, MCL 324.30304 need not regulate conduct
that seriously threatens the community’s health or safety in order to impose strict
liability. Id. Additionally, it observed that a violation of MCL 324.30304 results in a
misdemeanor conviction and asserted therefore that its “‘penalties . . . are small, and
conviction does [not do] grave damage to an offender’s reputation.’” 5 Id., quoting
Morissette, 342 US at 256. On further appeal, the Court of Appeals declined to consider
whether a violation of MCL 324.30304 constitutes a strict-liability offense, reasoning
only that “defendant has waived this issue and any error has been extinguished.” People
v Taylor, unpublished opinion per curiam of the Court of Appeals, issued May 22, 2012
(Docket No. 295275), p 6. 6
It is settled in Michigan that strict-liability offenses, though disfavored, may be
“proper under some circumstances.” People v Quinn, 440 Mich 178, 188 (1992).
Indeed, “a state may decide under the police power that public policy requires that certain
acts or omissions to act be punished regardless of the actor’s intent.” Id. at 186-187.
These public-welfare offenses generally are designed “to protect those who are otherwise
unable to protect themselves by placing ‘the burden of acting at hazard upon a person
otherwise innocent but standing in responsible relation to a public danger.’” Id. at 187
(citations omitted). As the United States Supreme Court has explained:
Nonetheless, in evaluating a federal theft statute, 18 USC 641, the Court declined to
construe the mere omission of any mention of intent “as eliminating that element from
the crimes denounced.” Id. at 263. The Court found it significant that it had not located
“any instance in which Congress has expressly eliminated the mental element from a
crime taken over from the common law.” Id. at 265. See also People v Tombs, 472 Mich
446, 451 (2005) (opinion by MARILYN KELLY, J.) (“[W]e tend to find that the Legislature
wanted criminal intent to be an element of a criminal offense, even if it was left
unstated.”).
5
A similar conclusion was reached by the Court of Appeals in People v Schumacher, 276
Mich App 165 (2007), regarding MCL 324.16902(1) of the Natural Resources and
Environmental Protection Act, which provided at that time that “[a] person shall deliver a
scrap tire only to a collection site registered under [MCL 324.16904], a disposal area
licensed under part 115, an end-user, a scrap tire processor, a tire retailer, or a scrap tire
recycler, that is in compliance with this part.” Assessing whether the Legislature
intended an otherwise silent statute to “nevertheless require fault as a predicate to guilt,”
the Court of Appeals concluded that “the Legislature intended in [MCL 324.16902(1)] to
establish a so-called public-welfare offense: the only intent necessary to establish its
violation is that the accused intended to perform the prohibited act.” Id. at 171, 174-175.
6
The Court of Appeals explained that “when trial counsel responded that ‘under t[he]
wetlands act it’s strict liability,’ he waived any argument that these were anything other
than strict liability offenses.” Taylor, unpub op at 5.
5
Typically, our cases recognizing such offenses involve statutes that
regulate potentially harmful or injurious items. In such situations, we have
reasoned that as long as a defendant knows that he is dealing with a
dangerous device of a character that places him “in responsible relation to a
public danger,” he should be alerted to the probability of strict regulation,
and we have assumed that in such cases Congress intended to place the
burden on the defendant to “ascertain at his peril whether [his conduct]
comes within the inhibition of the statute.” Thus, we essentially have relied
on the nature of the statute and the particular character of the items
regulated to determine whether congressional silence concerning the mental
element of the offense should be interpreted as dispensing with
conventional mens rea requirements. [Staples v United States, 511 US 600,
607 (1994) (citations omitted) (alterations in original).]
However, as illustrated by the instant case, the wetlands protection act regulates
seemingly innocuous conduct including, as here, the expansion of a small parking lot.
While that conduct may concededly under certain circumstances cause harm to a wetland,
it is not necessarily of the type that even a “reasonable person should know is subject to
stringent public regulation and may seriously threaten the community’s health or safety.”
Liparota v United States, 471 US 419, 433 (1985). 7 Imposing strict liability on an
individual for a violation of MCL 324.30304 has the potential to subject Michigan
property owners to criminal prosecution even when they are unaware that a property at
issue comprises a wetland and, as a result, that certain not-obviously-damaging conduct
affecting that land is prohibited. Moreover, while this case involved an industrial
property, owners of residential properties are equally at risk of unknowingly exposing
themselves to criminal prosecution under the act.
7
As observed in dissent in People v Wilson, 159 F3d 280, 295 (CA 7, 1998) (Posner,
C.J., dissenting),
[s]ometimes the existence of the law is common knowledge, as in the case
of laws forbidding people to own hand grenades, forbidding convicted
felons to own any firearms, and requiring a license to carry a handgun.
And sometimes, though the law is obscure to the population at large and
nonintuitive, the defendant had a reasonable opportunity to learn about it,
as in the case of persons engaged in the shipment of pharmaceuticals who
run afoul of the criminal prohibitions in the federal food and drug laws.
[Citations omitted.]
And sometimes it is neither “common knowledge” nor a matter as to which there is a
“reasonable opportunity to learn about it” because one is in a particular business, such as
a medical-device manufacturer who engages in the expansion of his small parking lot.
6
As a result, our Legislature might wish in the future to review this and similar
criminal statutes and communicate with clarity and precision its specific intentions
concerning which public-welfare offenses, or administratively defined malum prohibitum
offenses, should be treated by the judiciary of this state as strict-liability offenses,
“‘criminaliz[ing] a broad range of apparently innocent conduct.’” Staples, 511 US at
610, quoting Liparota, 471 US at 426. It is the responsibility of our Legislature to
determine the state of mind required to satisfy the criminal statutes of our state, and the
judiciary is ill-equipped when reviewing increasingly broad and complex criminal
statutes to discern whether some mens rea is intended, for which elements of an offense it
is intended, and what exactly that mens rea should be.
Second, the Legislature has defined a “wetland” as
land characterized by the presence of water at a frequency and duration
sufficient to support, and that under normal circumstances does support,
wetland vegetation or aquatic life, and is commonly referred to as a bog,
swamp or marsh, and which is any of the following:
(i) Contiguous to the Great Lakes or Lake St. Clair, an inland lake or
pond, or a river or stream. [MCL 324.30301(1)(m) (codified as MCL
324.30301(1)(p) at the time of trial).]
Although the prosecutor’s witnesses testified that the land in question supported wetland
vegetation, it appears that no witness identified the land as being of the kind that is
“commonly referred to as a bog, swamp, or marsh.” 8 Indeed, as previously noted, even
8
While defendant apparently argued on appeal in the circuit court that the proofs failed to
satisfy the definition of “wetland,” the circuit court determined that the prosecution was
not required to set forth evidence of the land as being “commonly referred to as a bog,
swamp, or marsh” to satisfy the definition. In reaching its conclusion, the circuit court
relied on People v Kozak, unpublished opinion per curiam of the Court of Appeals, issued
June 19, 2008 (Docket No. 272945) p. 2, which determined that the phrase
“commonly referred to as a bog, swamp, or marsh” as used in the statute to
refer back to “land” is clearly intended to facilitate the ordinary reader’s
understanding of the kind of land involved. The Legislature did not intend
it to mandate an inquiry into how a particular parcel of property is generally
referred to in the community.
In Kozak, however, the Court of Appeals at least examined the common definitions of
those words and noted that “[t]he testimony at trial from people who had been to the area
of land in question all provided testimony that overwhelmingly described property
meeting all three of these common definitions.” Id. at 2-3.
7
the DEQ’s principal investigator acknowledged that it was not readily apparent that a
wetland was present on Taylor’s property. As this case demonstrates, recognizing a
potential violation of the wetlands protection act is both a complex and uncertain task. In
the context of an administratively defined malum prohibitum offense that requires
ordinary citizens to possess a heightened degree of technical skill to comprehend, the
Legislature might wish to consider with particular care whether it intends that such
offenses be treated by our judiciary as lacking any form of mens rea and thereby
imposing strict liability. 9
Third, while the Legislature did not itself define “contiguous,” an administrative
rule promulgated by the DEQ defines “contiguous” to mean “[a] seasonal or intermittent
direct surface water connection to an inland lake or pond, a river or stream, one of the
Great Lakes, or Lake St. Clair.” Mich Admin Code, R 281.921(1)(b)(ii). This rule
significantly broadens the scope of the wetlands protection act, specifically MCL
324.30301 and MCL 324.30304, to find the presence of a wetland not merely where the
land is genuinely contiguous to a river or stream, i.e., sharing a common border or
touching, but also where there is a “direct surface water connection.” Moreover, the rule
countenances that the “direct surface water connection” might be an artificially
constructed one. Indeed, a “guidance” document issued by the DEQ further expounds
that a “direct surface water connection” may include “surface water within pipes,
culverts, ditches, and other man-made structures of any length.” Department of
Environmental Quality, Land & Water Management Division, Guidance Document No.
303-06-01, issued April 18, 2006, p 2. Cf. MCL 324.30311a.
It has been said that “[t]here is precious little difference between a secret law and a
published regulation that cannot be understood.” Lynch, Introduction to In the Name of
Justice: Leading Experts Reexamine the Classic Article “The Aims of the Criminal Law”
(Lynch ed) (Washington, DC: Cato Institute, 2009), p. xi. Many malum prohibitum
offenses are defined in significant part by administrative rules and regulations. Vague
regulations, amorphous definitions of the elements of the crime, and rules not altogether
compatible with the provisions of the statute are distinguishing and continuingly
problematic aspects of prosecutions of those administratively defined offenses. Again, as
the United States Supreme Court has recognized:
A criminal statute cannot rest upon an uncertain foundation. The
crime, and the elements constituting it, must be so clearly expressed that the
9
See, e.g., Gerger, Environmental Crime, 24 Champion 34, 36 (Oct 2000) (suggesting
that in the context of environmental crimes, in which “the government prosecutes vague
or complex regulations that ordinary people can easily misunderstand or even
overlook, . . . it should have to prove that its targets understood the law and deliberately
broke it”).
8
ordinary person can intelligently choose, in advance, what course it is
lawful for him to pursue. Penal statutes prohibiting the doing of certain
things, and providing a punishment for their violation, should not admit of
such a double meaning that the citizen may act upon the one conception of
its requirements and the courts upon another. [Connally v Gen Constr Co,
269 US 385, 393 (1926) (quotation marks and citation omitted).]
In the instant case, there was considerable confusion concerning the proper definition of
the terms defining the substantive crime at issue, in particular the meaning of
“contiguousness.” The imprecise statute and administrative rule infused more confusion
into an already complex area of law. It appears that both the parties and the district court
itself experienced considerable difficulty in reconciling the words of the statutes with the
words of the administrative rule to arrive at the proper understanding of “contiguous.”
When it is difficult for lawyers and judges to decipher the elements of the crime being
prosecuted, it seems particularly problematic to adhere to the traditional maxim that the
citizenry must be “presumed to know the law.” See, e.g., Mudge v Macomb Co, 458
Mich 87, 109 n 22 (1998).
In drafting criminal statutes involving malum prohibitum administrative offenses,
i.e., offenses that are not inherently wrongful such as homicide and theft but are wrongful
only because they are prohibited by law, our Legislature might wish to take care in
defining critical terms and elements with as much specificity as possible and in terms that
are as accessible to ordinary citizens as possible so that they might readily understand
what course of conduct it is lawful, and unlawful, to pursue. To the extent that this is not
done, the terms and elements will come to be defined by administrative regulators, whose
judgments in many instances may vary from those of the Legislature and in other
instances may give rise to inconsistent obligations and duties on citizens by the effective
enactment of a second law pertaining to the same subject matter. The applicability of
administrative criminal offenses is not confined to large and sophisticated businesses,
replete with their own legal counsel’s office — as evidenced by the instant case; they
apply equally to smaller enterprises, as well as to individuals and residential property
owners. All who are subject to the criminal law should be able to assess with some
measure of confidence whether they are at the risk of violating that law, and having to
navigate among multiple bodies of law and choose between the terms of statutory Law A
and regulatory Law B, as in a Chinese restaurant menu, renders this increasingly difficult.
Fourth, while the Legislature may grant administrative agencies the power to
promulgate rules and regulations, it remains the constitutional province of the Legislature
to legislate. See Const 1963, art 4, § 1 (“The legislative power of the State of Michigan
is vested in a senate and a house of representatives.”). By broadly defining regulatory
offenses in vague terms, the Legislature relinquishes, or “delegates,” to administrative
agencies (if there are sufficient standards accompanying the charge) the authority to enact
critical policies for this state, in particular policies determining who will be subject to the
9
sanctions of the criminal law. One need not be a constitutional fundamentalist to
question the propriety of unelected and unaccountable administrative officials
undertaking such decisions by defining the terms and scope of laws whose violation will
engender a loss of personal freedom.
The Legislature might take care to recognize that its mission and that of the
administrative “branch” of government are institutionally distinct in ways that may
practically affect the criminal laws that each enacts or promulgates. The Legislature
represents the whole of the people in the broadest possible manner, and the laws that it
produces must pass muster by the support of at least a majority of legislators,
representing constituencies that are urban, rural, and suburban; constituencies of every
socioeconomic, racial, and ethnic composition; constituencies in which different
businesses, interests, and political and partisan philosophies are reflected and balanced;
and in which, however imperfectly, the “general welfare” standard is optimally realized.
By contrast, administrative agencies are often defined by a mission consisting of a “single
purpose,” as to which “special interests,” in contrast to “we the people” as a whole, are
particularly focused, and in which the kind of give-and-take, negotiation, and
compromise reflected within the legislative process tend to be replaced by a more narrow
and singled-minded process of rulemaking. That is, the often “gray” decision-making of
the Legislature, in which many points of view may prevail in some respect, is replaced by
the “black-and-white” decision-making of regulators, in which “winners” and “losers”
are more clearly demarcated. Therefore, in delegating criminal lawmaking responsibility
to an administrative agency, the Legislature delegates that responsibility to a body that
may possess a very different sense of what constitutes prudent and responsible public
policy. If the Legislature is to maintain faith with its own broader constituency, it might
wish to take care in recognizing these institutional differences and the varying incentives
and disincentives that act on each body.
Fifth, the wetlands protection act provides the opportunity for either civil or
criminal enforcement, and there are a number of discrete criminal offenses contemplated
by the act. 10 The decision concerning which of these sanctions to seek appears to be, for
10
MCL 324.30316 provides:
(1) The attorney general may commence a civil action for
appropriate relief, including injunctive relief upon request of the
department under [MCL 324.30315(1)]. An action under this subsection
may be brought in the circuit court for the county of Ingham or for a county
in which the defendant is located, resides, or is doing business. The court
has jurisdiction to restrain the violation and to require compliance with this
part. In addition to any other relief granted under this section, the court
may impose a civil fine of not more than $10,000.00 per day of violation.
10
the most part, left necessarily to the discretion of the agency and the prosecutor.
Administratively defined malum prohibitum criminal offenses tend to consist of multiple
provisions, and the enumeration of multiple potential offenses, that can be pursued at the
heightened discretion of the agency and the prosecutor. Although that discretion is an
inevitable part of a criminal justice process in which there are inadequate resources (as
well as little inclination) to pursue every possible violation of the criminal law, no matter
how inconsequential, the “equal rule of law” would not seem to be furthered by a
criminal justice regime in which prosecutorial discretion is maximized, rather than
constrained, and in which similarly situated criminal offenders are subject to potentially
widely varying sanctions. Indeed, the legislative sentencing guidelines enacted in
Michigan were designed precisely to address such disparities, although largely with
respect to criminal offenses that are not administratively defined.
As such, the Legislature might wish to consider with care whether the unfettered
discretion of agencies and prosecutors to select among multiple available punishments for
the same criminal offense should be limited, just as the sentencing guidelines have
already limited the discretion of judges to determine precise criminal sentences. The
criminal consequences of a regulatory violation should not be an afterthought on the part
of the Legislature in a regulatory enactment, and it cannot be an aspect of such a scheme
left to an agency’s determination; rather, it should be the subject of as much definition as
more traditional criminal statutes. Furthermore, as the numbers of statutes criminalizing
A person who violates an order of the court is subject to a civil fine not to
exceed $10,000.00 for each day of violation.
(2) A person who violates this part is guilty of a misdemeanor,
punishable by a fine of not more than $2,500.00.
(3) A person who willfully or recklessly violates a condition or
limitation in a permit issued by the department under this part, or a
corporate officer who has knowledge of or is responsible for a violation, is
guilty of a misdemeanor, punishable by a fine of not less than $2,500.00
nor more than $25,000.00 per day of violation, or by imprisonment for not
more than 1 year, or both. A person who violates this section a second or
subsequent time is guilty of a felony, punishable by a fine of not more than
$50,000.00 for each day of violation, or by imprisonment for not more than
2 years, or both.
(4) In addition to the penalties provided under subsections (1), (2),
and (3), the court may order a person who violates this part to restore as
nearly as possible the wetland that was affected by the violation to its
original condition immediately before the violation. The restoration may
include the removal of fill material deposited in the wetland or the
replacement of soil, sand, or minerals.
11
regulatory offenses increases, the discretion afforded agencies and prosecutors will
inevitably be amplified, creating the risk that those statutes will be “enforced
sporadically, either as a matter of deliberate policy to proceed only on a private
complaint, or as a matter of the accident of what comes to official attention or is forced
upon it.” Hart, The Aims of Criminal Law, 23 Law & Contemp Probs 401, 429 (Summer
1958). In order to ensure that criminal prosecutions are reserved for those crimes most
destructive of persons and property, and to ensure to the fullest extent possible that laws
are administered fairly and uniformly, the Legislature might wish to consider standards
articulating the range of circumstances under which an administratively defined malum
prohibitum offense warrants the imposition of the most severe and the least severe
available sanctions. 11
As demonstrated by the instant case, the criminalization of regulatory conduct is
troubling to the constitutional order. Unlike its federal counterpart, one of the
distinguishing characteristics of state criminal law has been its overwhelming focus on
crimes that are malum in se, traditional common-law crimes that have been incorporated
into our criminal statutes, in which perpetrators have, to paraphrase one commentator,
“hit other people, taken other people’s stuff, or failed to keep their promises.” See Boaz,
The Politics of Freedom (Washington, DC: Cato Institute, 2008), pp xv-xvi. This
Court’s criminal docket consists largely of crimes that are clearly defined by the
Legislature, contain well-understood elements and straightforward mens rea
requirements, are reasonably well understood by ordinary persons, and typically enjoy a
broad consensus of support across the citizenry. Although strict-liability and regulatory
crimes are hardly unknown to the state system, their prosecution is far less common than
11
In the view of at least one academic observer, it seems that one possible factor
conducing in favor of an exercise of judgment to prosecute is that certain environmental
cases “are unlikely to be prosecuted criminally unless there is a government perception
that the offender ignored advice to obtain a permit or showed disrespect for authority[.]”
Sharp, Environmental Enforcement Excesses: Overcriminalization and Too Severe
Punishment, 21 Environ L Rep 10658, 10662 (1991). In these circumstances, “[c]riminal
intent is derived almost wholly from the defiance of authority, and the defiance, not the
environmental harm, dictates which cases involve criminal behavior.” Id.
12
in the federal system, and the constitutional rules of the game are considerably less well
developed.
While it is the obligation of this Court to give faithful meaning to all of our state’s
criminal laws, of whatever nature, and to presume their constitutionality, the proliferation
of statutes such as the present act renders navigation of the legal system by citizens,
lawyers, and judges increasingly difficult. In promulgating new statutes that criminalize
regulatory offenses, our Legislature might wish to take the utmost care to ensure that
such laws are accessible to the people and afford as much due process as reasonably
possible in enabling their terms to be apprehended and their obligations to be understood.
I, Larry S. Royster, Clerk of the Michigan Supreme Court, certify that the
foregoing is a true and complete copy of the order entered at the direction of the Court.
January 31, 2014
t0128
Clerk