IN THE COURT OF CRIMINAL APPEALS
OF TEXAS
NO. PD-0228-14
THE STATE OF TEXAS
v.
TERENCE JOHNSON, Appellee
ON STATE’S PETITION FOR DISCRETIONARY REVIEW
FROM THE TWELFTH COURT OF APPEALS
HOUSTON COUNTY
Y EARY, J., filed a dissenting opinion.
DISSENTING OPINION
Today, the Court declares Texas’ destruction of a flag statute facially unconstitutional.
Six members of this Court undo the considered work of our State’s House of
Representatives, our Senate, and our Governor.1 Having determined that the law is drawn in
1
The former version of Penal Code Section 42.11, entitled “Desecration of a Venerated
Object,” was repealed after the United States Supreme Court found it had been applied
unconstitutionally against a protester in Texas v. Johnson. 491 U.S. 397 (1989). In an attempt to cure
potential constitutional problems with that law, the Legislature enacted the statute at issue in this
case.
Johnson — 2
violation of the First Amendment, the Court’s opinion means that this penal law may no
longer be enforced against anyone, no matter what the circumstances—ever. This is a
powerful rebuke to the people’s representatives! I do not join it.
To be clear, I do not today contest the opinions of the United States Supreme Court,
which have determined that laws similar to the one at issue here are capable of being applied
in a manner that is inconsistent with the guarantees of the First Amendment. See, e.g., Texas
v. Johnson, 491 U.S. 397 (1989) (finding that the former version of Texas’ destruction of a
flag statute was applied unconstitutionally); United States v. Eichman, 496 U.S. 310 (1990)
(finding that the Flag Protection Act of 1989 had been applied unconstitutionally). But this
Court’s opinion does not limit itself to a conclusion that the statute has been applied
unconstitutionally against Appellee. It can’t! The statute most certainly was applied
constitutionally under the circumstances presented here.2
Instead of assessing whether the statute was applied unconstitutionally in this case,
the Court avoids that question and finds that the statute facially conflicts with the First
Amendment due to its substantial overbreadth. In reaching that conclusion, the Court goes
where no United States Supreme Court opinion has gone before it. Twice before, in Texas
2
The majority suggests that whether the statute was applied constitutionally in this case is
not self-evident. Majority Opinion at 4 n.5. But the court of appeals resolved this question. State v.
Johnson, 425 S.W.3d 542, 549 (Tex. App.—Tyler 2014) (explaining, “we conclude that Appellee’s
conduct was not ‘sufficiently imbued with elements of communication’ to implicate the First and
Fourteenth Amendments,” and “[t]he record before us shows that Appellee engaged in an act of
criminal mischief with no intent to convey any particularized message.”). As the majority correctly
notes, Appellee did not challenge that determination. Consequently, this Court should regard the
court of appeals resolution of that issue as conclusive.
Johnson — 3
v. Johnson and again in United States v. Eichman, the United States Supreme Court has
found statutes regulating the destruction or desecration of flags to have been
unconstitutionally applied. Johnson, 491 U.S. at 404 n.3 (explaining that the Court
intentionally chose to resolve this case only “on the basis of his claim that the statute as
applied to him violates the First Amendment”); Eichman, 496 U.S. at 312 (concluding that
the federal Flag Protection Act “cannot constitutionally be applied to appellees”). But the
Supreme Court has never, to my knowledge, found such a statute to be facially
unconstitutional. Instead, it has declined to make that kind of an expansive ruling, even
explaining at one point, “[w]e have not automatically concluded . . . that any action taken
with respect to our flag is expressive.” Johnson, 491 U.S. at 405.
I am persuaded that, in reaching the conclusion that the Texas destruction of a flag
statute is facially unconstitutional, the Court has made two important mistakes. First, I am
persuaded that the Court has made a mistake in concluding that it (the Texas Court of
Criminal Appeals) has both the power and the constitutional obligation, mandated by no less
than the First Amendment itself, to decide that the destruction of a flag statute is facially
unconstitutional in this case, even though the defendant cannot show the statute was
unconstitutionally applied to him and to his own conduct. Second, I am persuaded that the
Court has mistakenly concluded that the statute at issue here is substantially overbroad in
relation to its otherwise plainly legitimate sweep, when it is not. For these two reasons, as
more fully explained in this opinion, I respectfully dissent.
Johnson — 4
AUTHORITY TO DECIDE THE CASE
The majority concludes in this case that Texas courts are bound—by no less than the
First Amendment itself—to review Appellee’s claim that the statute is unconstitutional
because it violates the First Amendment, regardless of whether he can show that his own
First Amendment rights have been violated. I disagree. I believe Appellee’s complaint that
the statute under which he was charged violates the First Amendment should have been
rejected because he cannot show that his own First Amendment rights have been violated.
For reasons grounded in the Texas Constitution and in Texas law, I believe we should find
that we and the other courts in our state are not authorized to address challenges to the
constitutionality of statutes—even in cases alleging First Amendment overbreadth—brought
by claimants who cannot show that the statute operated unconstitutionally in their own cases.
I must address my thoughts on this matter in two parts. First, I will explain why I
believe Texas does indeed have the discretion to apply a stricter standard than the standard
employed by the federal courts when assessing which litigants have standing to bring an
overbreadth claim in our state courts. Second, I will explain why I believe our authority to
address overbreadth claims is more limited than the authority of the federal courts.
A. State Discretion to Restrict Standing for Overbreadth Claims
The United States Supreme Court observed, in Virginia v. Hicks, that “[w]hether
Virgina’s courts should have entertained [an] overbreadth challenge is entirely a matter of
state law.” 539 U.S. 113, 120 (2003) (emphasis in original). At the same time, the Court also
Johnson — 5
observed a distinction between: (1) questions about whether the state courts “should have
entertained” the challenge brought by Hicks, and (2) questions about “whether the claimed
overbreadth [of the] policy [at issue] [was] sufficiently ‘substantial’ to produce facial
invalidity.” Id. Speaking of the latter (whether the claimed overbreadth was sufficiently
substantial), the Court explained, “These questions involve not standing, but ‘the
determination of [a] First Amendment challenge on the merits.’” Id. (quoting from Secretary
of State of Md. v. Joseph H. Munson Co., 467 U.S. 947, 958-959 (1984)) (emphasis added).
Thus, the Supreme Court acknowledged a distinction between the issue of standing in an
overbreadth challenge and the merits of a First Amendment overbreadth issue, which requires
a determination about whether the overbreadth of a statute is sufficiently substantial to justify
declaring the statute facially unconstitutional.
The Supreme Court of Utah appears to agree with the proposition that standing, as
opposed to the merits of an overbreadth claim, is a state law matter. In Provo City
Corporation v. Willden, that Court observed, “the federal rules on standing . . . are not
binding on state courts, and the article III constitutional restrictions and federalistic
prudential considerations that have guided the evolution of federal court standing law are not
necessarily relevant to the development of the standing rules that apply in Utah’s state
courts.” 768 P.2d 455, 456 (Utah 1989). The authors of Corpus Juris Secundum also seem
to agree. Relying on Virginia v. Hicks, that authority has explained, “[s]tate courts are not
Johnson — 6
bound by federal rules of justiciability, even when they address issues of federal law.” 21
Corpus Juris Secundum Courts § 217, at p. 215 (2006).3
The majority seems to believe that the relaxed standing requirement applied by the
federal courts in First Amendment overbreadth cases is a part of the substantive guarantee
of the First Amendment, which the states are not free to avoid. Majority Opinion at 7-12.4
I disagree. Limiting consideration of First Amendment overbreadth claims to those litigants
who can demonstrate that their own constitutional rights have been violated would not mean
that this Court would ignore the application of the substantive rule enforced through the First
Amendment overbreadth doctrine. The substantive aspect of that doctrine requires
invalidation of a law when it is shown that the overbreadth of the law is substantial in
relation to its otherwise legitimate sweep. See Hicks, 539 U.S. at 120 (explaining, “whether
the claimed overbreadth [of a] policy [at issue] is sufficiently ‘substantial’ to produce facial
invalidity,” is the question that guides “the determination of [a] First Amendment challenge
on the merits.”). That substantive “merits” element of a First Amendment overbreadth
challenge establishes a diminished burden from the burden that is applicable in ordinary
3
See also Adam M. Samaha, Litigant Sensitivity in First Amendment Law, 98 Nw. U.L. Rev.
1291, 1292 (Summer 2004) (“State and federal courts must abide by the same First Amendment law,
but they need not use the same rules for standing. Different judiciaries might now provide
overbreadth challenges to different categories of litigants.”).
4
The majority argues: “Judge Yeary’s dissent suggests that, as a matter of state law, we
might be free to refuse to entertain overbreadth claims.” Majority Opinion at 7. But the majority is
mistaken. I do not believe we are free to refuse to entertain overbreadth claims generally. I do
believe we ought to refuse to address them when they are presented by individuals who have suffered
no constitutional deprivation.
Johnson — 7
constitutionality challenges, which commands that a statue will not be declared
unconstitutional unless it is shown that it is unconstitutional in all of its applications. See
Broadrick v. Oklahoma, 413 U.S. 601, 615 (1973) (explaining, “the plain import of our cases
is, at the very least, that facial overbreadth adjudication is an exception to our traditional
rules of practice,” and “the overbreadth of a statute must not only be real, but substantial as
well, judged in relation to the statute’s plainly legitimate sweep.”). Compare Washington
State Grange v. Washington State Republican Party, 552 U.S. 442, 449 (2008) (explaining
that, in most cases in which a defendant seeks a declaration that a statute is facially
unconstitutional, the Supreme Court requires a demonstration that the statute operates
unconstitutionally in all of its applications), with United States v. Salerno, 481 U.S. 739, 745
(1987) (explaining that a “challenger must establish that no set of circumstances exists under
which the Act would be valid”).
The majority correctly observes that the Virginia Supreme Court has addressed and
rejected my conclusion that Virginia v. Hick stands for the proposition that who may bring
a facial challenge alleging overbreadth is a matter of state law. Majority Opinion at 10-11;
see also Jaynes v. Commonwealth, 666 S.E.2d 303, 308 (2008). In Jaynes, the Virginia
Supreme Court concluded, “the opinion of the United States Supreme Court in [Virginia v.
Hicks] addressed the issue of First Amendment standing only in the context by which that
issue was placed before the Court: whether a state’s expansion of First Amendment standing
was subject to review by federal courts.” Jaynes, 666 S.E.2d at 310. Thus, that court
Johnson — 8
concluded, “the seemingly broad language about standing in the [Virginia v. Hicks] opinion
cannot have the meaning now espoused by the Commonwealth.” Id.
Ah, but can it? I believe that it can. I believe it does, and I believe the Supreme Court
of Virginia probably reached the wrong conclusion because it made the same mistake this
Court makes in failing to perceive a difference between the two aspects of the overbreadth
doctrine applied by the United States Supreme Court; both courts (this Court and the Virginia
Supreme Court) fail to distinguish between the standing aspect of the Supreme Court’s
overbreadth doctrine and the aspect of its doctrine that addresses the merits of the
constitutionality question: whether a statute’s overbreadth is sufficiently substantial to find
that it violates the First Amendment.
The majority points to some United States Supreme Court cases that recite, in various
ways, a rule that I do not contest. Those cases stand merely for the indisputable proposition
that the overbreadth doctrine itself is a function of substantive First Amendment law.5 Unlike
the majority, however, I recognize a difference between the “standing” element employed
by the United States Supreme Court, to decide which litigants are permitted to bring a First
Amendment overbreadth claim in federal court, and the substantive element of such a claim
that requires measuring the substantiality of the statute’s overbreadth to determine whether
5
The majority cites and relies on cases that support this general proposition, such as: Sabri
v. United States, 541 U.S. 600, 610 (2004), Secretary of Maryland v. Joseph H. Munson Co., 467
U.S. 947, 958-959 (1984), and New York v. Ferber, 458 U.S. 747, 767 (1982). Majority Opinion at
8 & n.27.
Johnson — 9
the statute is facially unconstitutional. It is the measurement of the statute’s overbreadth that
addresses the merits-based element of an overbreadth claim.
The majority also sets up a false comparison between claims brought by litigants
asserting First Amendment overbreadth and claims brought by litigants asserting Fourth
Amendment expectation-of-privacy issues. The majority observes that the latter issues
(involving the Fourth Amendment) can also be characterized as involving “standing,” but are
more accurately viewed as part of substantive Fourth Amendment law. To support that
proposition, the majority quotes from Rakas v. Illinois, 439 U.S. 128, 139-140 (1978), in
which the United States Supreme Court explained that “Fourth Amendment rights are
personal in nature” and that the “definition of those rights is more properly placed within the
purview of substantive Fourth Amendment law than within that of standing.” But the issue
of standing in First Amendment overbreadth cases is distinct from the conclusion that Fourth
Amendment rights themselves are only personal rights.
The majority observes that “[n]o one would claim . . . that a state court can decline to
entertain the Fourth Amendment claim of an overnight guest on the ground that overnight
guests simply do not have standing in state court under state law.” Majority Opinion at 12.
I agree. But that is because standing in that sense, under the Fourth Amendment, addresses
not whether the claimant has a sufficient personal interest to bring the claim at all, but rather,
whether the claimant has a sufficient privacy interest in the place searched to invoke Fourth
Amendment protection.
Johnson — 10
It is also important to recognize that the Supreme Court has not invoked prudential
considerations to expand the concept of Fourth Amendment standing as it has in First
Amendment overbreadth cases. If it ever did, I might disagree with the majority about Fourth
Amendment standing. I believe we might indeed then—properly—question our right to
entertain a Fourth Amendment claim brought by one claimant based only on the invasion of
another person’s rights, even if the United States Supreme Court sanctioned it.
Rakas is also inapposite to the issue I have addressed. In Rakas, the Supreme Court
was faced with a request to expand its traditional rules of standing in Fourth Amendment
cases to allow criminal defendants to assert the Fourth Amendment rights of others when
seeking to exclude evidence from their trials. 439 U.S. at 129-130. The Supreme Court
declined that request. Id. at 150. Here, in contrast, the Supreme Court has already expanded
its traditional rules of standing. I question only whether the sources of law that animate or
restrain our authority permit us to follow their lead. The Court in Rakas described,
“misgivings as to the benefit of enlarging the class of persons who may invoke the
[exclusionary rule]” as a prudential consideration. Rakas, 439 U.S. at 138. To the degree that
expansion of traditional standing rules involves merely “prudential” considerations, even
when the expansion is sanctioned by the United States Supreme Court, the standing rules at
issue are no longer rooted in the substantive guarantees of the First Amendment.
I believe that the question of whether the Texas Court of Criminal Appeals must
entertain a First Amendment overbreadth claim by a person who cannot demonstrate first that
Johnson — 11
his own constitutional rights have been violated is a matter of state law. I do not believe that
the relaxed standing requirement employed by the United States Supreme Court for
overbreadth claims is a substantive guarantee of the First Amendment. The Supreme Court
of the United States may no more compel this Court to hear such a claim by such a person
than it may compel this Court to entertain discretionary review in civil cases. Prior to this
time, I would have thought that the latter issue (that Supreme Court could never compel us
to hear civil cases because our state constitution forbids it) to be beyond dispute. Compare
T EX. C ONST. A RT. V, § 3 (jurisdiction of the Texas Supreme Court) with T EX. C ONST. A RT.
V, § 5(a) (jurisdiction of the Texas Court of Criminal Appeals).
B. Texas law limits this Court’s authority to address overbreadth claims
Having concluded that the standing element of an overbreadth claim is a matter of
state law, I next address whether there are reasons why this Court should refuse to adopt the
Supreme Court’s relaxed standing requirements for overbreadth cases. I conclude we should
not relax the standing requirements in Texas.
The Supreme Court of the United States derives its authority from Article III of the
United States Constitution, which limits its jurisdiction to “cases” and “controversies.” 6 That
Court explains that the doctrine of “standing” is a landmark that serves to identify which
cases will satisfy the Constitution’s case and controversy requirement. See Lujan v.
Defenders of Wildlife, 504 U.S. 555, 559-562 (1992). But “standing,” the Court has
explained, has two strands: (1) Article III standing and (2) prudential standing. See Elk Grove
6
U.S. CONST . ART . III § 2 (extending “judicial power” to “cases” and “controversies”).
Johnson — 12
Unified Sch. Dist. V. Newdow, 542 U.S. 1, 11 (2004). Both are founded on concerns “about
the proper—and properly limited—role of the courts in a democratic society.” Warth v.
Seldin, 422 U.S. 490, 498 (1975).
To establish Article III standing, a claimant in federal court must show an “injury-in-
fact” which “helps to ensure that the plaintiff has a personal stake in the outcome of the
controversy.” Susan B. Anthony List v. Driehaus, 134 S. Ct. 2334, 2341 (2014) (internal
quotation marks omitted). However, the Supreme Court has also “adverted to a prudential
branch of standing, a doctrine not derived from Article III and not exhaustively defined but
encompassing . . . at least three broad principles: the general prohibition on a litigant’s
raising another person’s legal rights, the rule barring adjudication of generalized grievances
more appropriately addressed in the representative branches, and the requirement that a
plaintiff’s complaint fall within the zone of interests protected by the law invoked.” Lexmark
Int'l, Inc. v. Static Control Components, Inc., 134 S. Ct. 1377, 1386 (2014) (internal
quotation marks omitted). These “broad principles,” which animate the federal court’s
“prudential branch of standing,” appear to me to be related more to the doctrine of separation
of powers than to the Article III constitutional limitation of the federal courts’ authority to
the determination of cases and controversies. Cf. id. (explaining, “From Article III’s
limitation of the judicial power to resolving Cases and Controversies, and the separation-of-
powers principles underlying that limitation, we have deduced a set of requirements that
Johnson — 13
together make up the irreducible constitutional minimum of standing.”) (internal quotation
marks omitted).
The United States Constitution does not expressly require that the powers of the three
branches of the federal government be separated. It is the United States Supreme Court that
has judicially enforced the federal doctrine of the separation of powers. See Miller v. French,
530 U.S. 327, 341 (2000) (explaining, “[t]he Constitution enumerates and separates the
powers of the three branches of Government in Articles I, II, and III, and it is this very
structure of the Constitution that exemplifies the concept of separation of powers.”) (internal
quotation marks omitted). The Texas Constitution, in clear contrast, mandates in plain
language—appearing in the Constitution itself—that the “powers of the Government . . . shall
be divided.”7 The fact that separation of powers in Texas is not just a judicially observed
phenomenon, but a distinct, overt, and clearly stated constitutional mandate indicates to me
that our courts might have less discretion in defining the parameters of that doctrine for our
State than does the United States Supreme Court when it comes to its federal judicially made
separation of powers doctrine.
In fact, the author of today’s majority opinion once wrote, “this Court has enforced
the doctrine of separation of powers more aggressively than the United States Supreme Court
7
T EX. C ONST. A RT. II, § 1 (providing the following: “The powers of the Government of the
State of Texas shall be divided into three distinct departments, each of which shall be confided to
a separate body of magistracy, to wit: Those which are Legislative to one; those which are Executive
to another, and those which are Judicial to another; and no person, or collection of persons, being
of one of these departments, shall exercise any power properly attached to either of the others, except
in the instances herein expressly permitted.”)
Johnson — 14
has.” State v. Rhine, 297 S.W.3d 301, 317 (Tex. Crim. App. 2009) (Keller, P.J., concurring,
in which Meyers, Hervey, and Holcomb, JJ., joined). Perhaps that is because our Texas
constitutional mandate that the powers of government remain separated is less subject to our
own independent interpretation than is the federal—court made—doctrine of separation of
powers. We should consider more seriously, then, whether the Texas Constitution’s
prohibition on actions by the Judiciary that invade the province of the Legislature might
impede our authority to execute the United States Supreme Court’s overbreadth doctrine in
the exact same manner as it is executed by that Court. And, consequently, I believe we should
consider whether we may permit Appellee in this case to claim—in state court—that the
statute under which he was convicted is unconstitutional in the absence of a showing that his
own constitutional rights have been violated.
Up to this point in time, this Court has simply assumed that it has the same authority
as the United States Supreme Court to disregard traditional notions of standing (or to alter
them) to address facial-overbreadth constitutional challenges in the area of the First
Amendment, regardless of a showing by the complaining party that his own constitutional
rights have been violated. But we might not have the authority to do that, and we ought not
simply to presume that we do without at least considering the matter with some skepticism.
It is simply not enough to conclude that, because United States Supreme Court has that
power, we must have it as well. It would also be a mistake to conclude that the United States
Supreme Court has the power to confer or even mandate jurisdiction or power to act upon
Johnson — 15
this Court where the Texas Constitution and the Texas Legislature have not done so first. The
Court of Criminal Appeals is not merely a subsidiary of the United States Supreme Court,
or just a lesser federal court, even when it comes to questions of federal constitutional law.
For a court to judge a law to be substantially overbroad in violation of the First
Amendment, prohibiting its future enforcement certainly frees the public from concern that
it might be enforced against them should they choose to communicate in a manner appearing
to conflict with the terms of the law. It is also beyond dispute that the First Amendment needs
“breathing space,” and a statute that is unconstitutionally overbroad in violation of the First
Amendment may have the effect of chilling some protected expression until it is declared
unconstitutional. But when a court judges a statute’s potential unconstitutional breadth
without the benefit of a case in which its unconstitutional breadth has actually become known
by application, the court risks entering into the realm of speculation and conjecture; its
speculations and conjectures about the manners in which the law might be enforced may fail
to accord appropriate latitude to the other two branches of government charged with
upholding the constitution. To do so may also improperly invade the provinces that are
proper only to the other branches of government.8
8
To be sure, there have been times in history when the courts have been more quick than
other branches of government to address unconstitutional laws that were popular, such as when the
courts addressed the Jim Crow laws. But in a rush to declare statutes facially unconstitutional to
protect the public from what we judges consider to be overbroad laws, we might also on occasion
forget that we live in a somewhat cloistered world. We basically talk to ourselves, and our staff, and
perhaps we read a book from time to time. The other two branches of government have far greater
input on matters that directly affect the public than we do. The executive and legislative branches
of government naturally have opportunities to access and interact both with those officials who apply
our laws and with the citizens who are most directly affected by them. We in the judiciary have
Johnson — 16
The majority’s decision in this case, to me, bears a striking resemblance to legislative
action. Here, an individual who was not unconstitutionally affected by the destruction of a
flag law at issue has, in effect, asked this Court to repeal the statute under which he was
properly and constitutionally charged and convicted, not because his own constitutional
rights were violated, but because the statute might be unconstitutionally applied against
others, in the future, who are not before the Court today. This Court has obliged his request.9
In doing so, we have arguably engaged in a function that should be reserved to the legislative
branch of our State’s government. Certainly, we would not have obliged his request, and
neither would the United States Supreme Court, if he had challenged the statute under any
theory other than that it violated the First Amendment.
Consistent with the requirement that a claimant demonstrate standing before being
allowed to advance a claim, the Supreme Court ordinarily requires adherence to the rule that,
nowhere near the same level of contact with the thoughts and opinions of real people. This
cloistering that affects the judiciary unlike the other branches of government puts us at a
disadvantage when measuring the true breadth of any law passed by the Legislature and approved
by the Governor. It also raises the specter that the court might, being called upon to speculate about
the possible applications of a law, declare a statute unconstitutionally overbroad—a statute that
would never have been enforced in a manner inconsistent with the First Amendment and that would
never have been understood by ordinary citizens to reach constitutionally protected expression—by
imagining a perfectly fine law into a dangerous monster that threatens the very fabric of our nation.
We should guard ourselves against that.
9
Allowing a litigant to bring a claim in our state courts that a statute is unconstitutional when
he cannot show that it was unconstitutionally applied to him in his own case also invites us to
assume the power to issue advisory opinions. But we are without power to do that. See Pfeiffer v.
State, 363 S.W.3d 594, 600 (Tex. Crim. App. 2012) (observing that this Court is “without authority”
to render advisory opinions). In fact, as this Court has held before, “[i]t is well-established that this
Court is without constitutional or statutory authority to . . . render advisory opinions, except” for
when we are answering questions certified to us by a federal court. Ex parte Ruiz, 750 S.W.2d 217,
218 (Tex. Crim. App. 1988).
Johnson — 17
“a person to whom a statute may constitutionally be applied will not be heard to challenge
[the] statute on the ground that it may conceivably be applied unconstitutionally to others,
in other situations not before the Court.” Broadrick v. Oklahoma, 413 U.S. at 610. That Court
has apparently relied on “prudential” considerations to relax this ordinary rule of standing
in cases alleging First Amendment overbreadth. However, I do not believe that we in Texas
are free to interpret our constitutionally mandated separation of powers provision as liberally
as the United States Supreme Court has interpreted its own court-made federal doctrine of
separation of powers, pursuant to merely “prudential” considerations. Consequently, in this
case, because Appellee cannot show that his own First Amendment rights have been violated,
I would conclude Appellee’s claim—that the Texas destruction-of-a-flag statute is facially
unconstitutional—is barred. Cf. Hollingsworth v. Perry, 133 S.C. 2652, 2659 (2013)
(explaining that when a claimant in federal court cannot establish standing to bring a claim,
the federal courts “have no authority to decide [a] case”).
THE COURT MISAPPLIES OVERBREADTH
Even assuming that we are authorized to address the facial constitutionality of the
destruction of a flag statute in spite of Appellee’s failure to demonstrate that the statute is
unconstitutional as applied to his own conduct, I still have serious concerns that Appellee has
failed to meet the bare requirements of the overbreadth doctrine, even as that doctrine has
been applied by the United States Supreme Court. In Broadrick, the United States Supreme
Court explained,“where conduct and not merely speech is involved, . . . the overbreadth of
Johnson — 18
a statute must not only be real, but substantial as well, judged in relation to the statute’s
plainly legitimate sweep.” Broadrick, at 615. There is no question that the destruction of a
flag statute addresses conduct. The majority even acknowledges that “the conduct of
intentionally or knowingly damaging a United States flag is not inherently expressive.”
Majority Opinion at 20 & n.74; see also Johnson, 491 U.S. at 403 n.3. As a matter of fact,
the only way that the destruction of a flag statute can ever be applied to expressive conduct
is if an actor violates the statute with the additional self-initiated intent (not described in the
statute) to express some message. But the statute itself makes no reference to this additional
self-initiated intent.
In isolation, then, the destruction of a flag statute is a pure conduct regulation. In that
regard, it is really no different than our laws prohibiting disorderly conduct. See T EX. P EN.
C ODE § 42.01 (providing that a person commits an offense if, among other things, the person
intentionally or knowingly “(3) creates, by chemical means, a noxious and unreasonable odor
in a public place;” or “(5) makes an unreasonable noise in a public place . . . or in or near a
private residence that he has no right to occupy”). Like the destruction of a flag statute, the
disorderly conduct statute prohibits pure conduct. It is only when a discrete individual
violates these laws with the additional self-initiated intent to communicate a message that any
potential violation of the First Amendment—even arguably—might occur.10
10
The Texas Penal Code contains a defense to prosecution for cases in which a defendant
engages in conduct that would violate Section 42.01(a)(5) whenever that conduct “consists of speech
or other communication,” unless the defendant has disobeyed a reasonable order “to move, disperse,
or otherwise remedy the violation prior to his arrest[.]” TEX . PENAL CODE § 42.04(a), (c).
Johnson — 19
In many respects, the law at issue here is also comparable to the law at issue in
Virginia v. Hicks. The Supreme Court explained that Hicks “was not arrested for leafleting
or demonstrating without permission,” but rather, “[h]e violated [a] written rule that persons
who receive a barment notice must not return to the [Richmond Redevelopment and Housing
Authority] property.” Hicks, 539 U.S. at 121. The Court explained, “there comes a point at
which the chilling effect of an overbroad law, significant though it may be, cannot justify
prohibiting all enforcement of that law—particularly a law that reflects ‘legitimate state
interests in maintaining comprehensive controls over harmful, constitutionally unprotected
conduct.’ [citation omitted]. For there are substantial social costs created by the overbreadth
doctrine when it blocks application of a law to constitutionally unprotected speech, or
especially to constitutionally unprotected conduct.” Id. at 119 (first emphasis in the original;
second emphasis added).
It seems to me that a determination that a statute is unconstitutional on its face should
not be entirely dependent on the motivations of individual violators who attack it. At that
point, we are no longer truly addressing the facial constitutionality of the law itself, but the
mere constitutionality of the application of the law against the individuals who violate it with
an additional self-initiated intent to communicate a message.
The outer boundaries and reach of the overbreadth doctrine have not yet been defined
by the United States Supreme Court. We know that before a court may strike down a law
“where conduct and not merely speech is involved, . . . the overbreadth of a statute must not
Johnson — 20
only be real, but substantial as well, judged in relation to the statute’s plainly legitimate
sweep.” Broadrick, at 615. But what constitutes “substantial . . . in relation to . . . [its] plainly
legitimate sweep”? An easy argument can be made that it means the statute prohibits a lot of
protected speech! But the majority observes in this case only that it is “clear that the Texas
flag destruction statute violates the First Amendment when applied to some circumstances.”
Majority Opinion at 20 (emphasis added). The majority also concedes that there are at least
two types of situations that might involve permissible applications of the law. Majority
Opinion at 24-25. The majority then concludes that “[m]ost conduct that falls within the
provisions of the statute and that would come to the attention of the authorities would
constitute protected expression.” Majority Opinion at 25. But that conclusion can only be
drawn with reference to choices made outside of the parameters of the language of the statute
itself—and with a reference to choices made by actors who use the violation of this pure
conduct-regulating statute to accomplish their own purposes.
What is certain is that the overbreadth doctrine, as it is currently enforced by the
Supreme Court, requires an examination of the statute itself, and not merely the potential or
hypothetical First Amendment uses that violators of the statute might intend for it by their
acts taken in violation of its provisions. See United States v. Stevens, 559 U.S. 460, 485
(2010) (Alito, J., dissenting) (citing Hicks, 539 U.S. at 122) (“[W]e have repeatedly
emphasized that an overbreadth claimant bears the burden of demonstrating from the text of
[the law] and from actual fact, that substantial overbreadth exists.”) (internal quotation marks
Johnson — 21
omitted). The Supreme Court explains the doctrine this way: “the overbreadth of a statute
must not only be real, but substantial[.]” Broadrick, at 615 (emphasis added). Even the
Supreme Court acknowledges that “there comes a point at which the chilling effect of an
overbroad law, significant though it may be, cannot justify prohibiting all enforcement of that
law.” Hicks, 539 U.S. at 119. That point might be where the language of the statute on its
face fails to implicate any kind of communicative efforts, and where the only way the statute
might prohibit First Amendment protected messages is if the conduct is intended for that
purpose solely by the actor. See Broadrick, 413 U.S. at 615 (explaining, “facial overbreadth
adjudication . . . attenuates as the otherwise unprotected behavior that it forbids the State to
sanction moves from ‘pure speech’ toward conduct”).
This Court has not been asked to consider here, and it does not address, whether the
flag destruction statute might be unconstitutionally vague or whether it might operate
unconstitutionally for any other reason, such as in violation of a right to liberty generally. The
Court’s limitation of its opinion to the issue actually presented is, I believe, appropriate. Such
questions should be reserved for cases in which those issues are clearly before us.
CONCLUSION
Appellee in this case has failed to demonstrate that his own conduct—that violated
the provisions of the destruction of a flag statute—was protected by the First Amendment.
In cases where the destruction of a flag statute operates unconstitutionally in violation of an
Johnson — 22
individual’s First Amendment rights as applied, I would agree that such an individual would
deserve relief.11 Under the circumstances presented here, I cannot agree.
FILED: October 7, 2015
PUBLISH
11
It seems to me that the chances that law enforcement officials would attempt to apply this
statute against an individual in violation of the First Amendment as construed by the United States
Supreme Court have been substantially diminished as a result of that Court’s opinions in Texas v.
Johnson and United States v. Eichman. The constitutional right to burn and/or otherwise destroy the
flag of the United States is now well and broadly known to the people of this country and beyond.
I would be surprised if even people commonly interviewed by Jesse Watters (host of Watters’ World
on the television show The O’Reilly Factor) would not know that the Supreme Court has protected
their right to express dissatisfaction by destroying the flag. In fact—perhaps because of those
opinions—flag burning and flag destruction appear to have become somewhat of a rite of passage
and even a badge of honor for domestic protesters of federal legislative and executive actions. It is
incredibly common today to hear stories of people dishonoring this revered symbol of our nation.
What has become much less common and almost non-existent since the United States Supreme
Court opinions in Johnson and Eichman is stories of people being arrested and prosecuted for
destroying a flag in the exercise of their First Amendment right of free speech. Consequently, the
urgency of striking down this law, even if its language does allow for the potential to reach some
constitutionally protected speech, is diminished as well.