(concurring). I write separately to elaborate on the basis for my disagreement with the holding of Gracey v Wayne Co Clerk, 213 Mich App 412; 540 NW2d 710 (1995).
In deciding this appeal, we are obliged to follow the holding of Gracey by virtue of Administrative Order No. 1994-4. For the reasons that follow, but for our duty to apply Gracey, I would hold that the Attorney General enjoyed statutory governmental immunity from liability under MCL 691.1407(5); MSA 3.996(107)(5), because I conclude that he acted clearly within the scope of his “executive authority” in assenting to a televised interview in order to respond to an issue of public concern involving the conduct of his office.1
Gracey holds that the determination of whether statutory governmental immunity applies in a given case depends upon a two-part inquiry: (1) Does the challenged act fall within the scope of the public official’s executive authority — i.e., is the act authorized by our constitution or other law defining the official’s authority; and (2) even if the act falls within the authority of the official, did the official act with *123improper intent? Gracey, supra, 417-418. A majority of the Gracey panel recognized that its holding, requiring a factual inquiry into the motivation of a public official, largely eviscerates the concept of governmental immunity as that concept had developed in this state, but “reluctantly” reached its decision because that panel read Marrocco v Randlett, 431 Mich 700; 433 NW2d 68 (1988), as requiring this result. I respectfully disagree that Marrocco requires or authorizes an analysis of a public official’s motivation for acting as a precondition for determining the applicability of statutory immunity.
In Marrocco, a case that was not decided on the basis of MCL 691.1407(5); MSA 3.996(107)(5), but on common law governmental immunity doctrine, the mayor of Warren was accused of tortiously interfering with the right of the city attorney to return to his civil service post following his removal from his appointive city position. An ordinance expressly reserved to the attorney in question the right to return to the civil service job. In response to the tortious interference claim, the mayor interposed governmental immunity as a defense. Because of the ordinance, the Court held that the mayor’s act of blocking the reinstatement fell outside his authority and was not protected by the doctrine of governmental immunity. Marrocco, supra, 710.
The Marrocco decision does contain language from a nonbinding opinion in an earlier case signed by only two justices2 suggesting that improperly motivated actions conducted under the “badge of governmental *124authority” may nonetheless fall without the protection of governmental immunity. Id., 707-708. However, the precise holding of Marrocco in no way depended upon an inquiry into the intent of a public official, but merely focused upon the factors relevant to determining the scope of the official’s authority. Significantly, the Supreme Court used the term “hold” in announcing its decision:
We hold that the highest executive officials of local government are not immune from tort liability for acts not within their executive authority. The determination whether particular acts are within their authority depends on a number of factors, including the nature of the specific acts alleged, the position held by the official alleged to have performed the acts, the charter, ordinances, or other local law defining the officials authority, and the structure and allocation of powers in the particular level of government. [Id., 710-711 (emphasis added).]
None of the enumerated , factors listed in the holding of Marrocco bearing on the question of how a court must determine the scope of a public official’s authority even impliedly suggests an inquiry into the official’s motivation. Indeed, as aptly noted by the Gracey majority, the fact-intensive analysis of motivation required by Gracey entirely undermines traditional governmental immunity doctrine, now codified *125at MCL 691.1407(5); MSA 3.996(107)(5). Had the Supreme Court intended such a sea change in our law, it would have said so unequivocally and included such an analysis within the portion of its opinion it specifically denominated as its holding. Because the Supreme Court did not do so, I believe that Gracey was wrongly decided.
Given the language of MCL 691.1407(5); MSA 3.996(107)(5), it is hard to conclude that our Legislature intended that any challenge to official action be transformed into a judicially refereed psychological skirmish.3 Neither a plain reading of MCL 691.1407(5); MSA 3.996(107)(5) nor the common-law-based Marrocco decision warrants such a pernicious result.
Plaintiffs are automobile repair facilities. Their amended complaint alleged the following. The Attorney General’s office conducted an investigation into transmission repair facilities in 1986. In 1991, a newspaper report disclosed that the Attorney General’s investigation had been assisted by an automobile manufacturer whose dealerships competed for repair business with the targeted firms, including plaintiffs. In response to the newspaper articles, the Attorney General appeared on television to defend his office’s investigation. Plaintiffs alleged that, by the time of the Attorney General’s televised interview, the investigation had been closed, and all administrative and criminal matters had been resolved. During that appearance, it is further alleged that the Attorney General made defamatory statements about the plaintiffs.
The dictum referenced is from Justice Brickley’s concurring opinion in Smith v Dep’t of Public Health, 428 Mich 540; 410 NW2d 749 (1987). Justice Brickley was joined in his opinion only by Justice Riley. The die-*124turn itself, while interpreted broadly by Gracey, is merely a restatement of the basic proposition that immunized acts must be authorized by law:
[T]he intentional use or misuse of a badge of governmental authority for a purpose unauthorized by law is not the exercise of a governmental function. [Smith, supra, 611 (emphasis added).]
The quoted language cannot be read to require an inquiry into the intent of the public official but is only a frank acknowledgment that an ultra vires act cannot be “authorized by law.” An “action authorized by law” is the foundation upon which any governmental immunity must rest.
When the Legislature was considering amendments of the governmental immunity statute in 1985 and 1986, it always provided for immunity for judges, legislators, elective officials, and the highest appointive executive officials when they are acting within the scope of their judicial, legislative, or executive authority. See House Legislative Analysis, HB 5163 Substitute H-2, November 19, 1985; Senate Analysis, HB 5163 (S-3), March 20, 1986; House Legislative Analysis, HB 5163, July 23, 1986. This is in direct contrast to the treatment of lower level governmental employees. With respect to lower level governmental employees, the Legislature considered various intent-based standards, such as “acting in good faith” and “not acting in bad faith.” See House Legislative Analysis, HB 5163 Substitute H-2, November 19, 1985; House Legislative Analysis, HB 5163, January 16, 1986. The proposed intent requirements were in addition to other prerequisites to immunity in lower level employees; the employee’s “reasonable belief” that he was acting within the scope of his authority and the “gross negligence” standard. Id. Ultimately, however, the specific intent requirement for lower level governmental employees was omitted from the bfil as passed. See MCL 691.1407(2); MSA 3.996(107)(2). Thus, although the Legislature considered various intent-based factors for lower level governmental employees, such an intent factor was never considered or included with respect to high level governmental employees. Gracey’s discovery of such a standard for high level officials was contrary to the language and legislative purpose of MCL 691.1407(5); MSA 3.996(107)(5).