IN THE SUPREME COURT OF NORTH CAROLINA
No. 342PA19-3
Filed 28 April 2023
JABARI HOLMES, FRED CULP, DANIEL E. SMITH, BRENDON JADEN PEAY,
AND PAUL KEARNEY, SR.
v.
TIMOTHY K. MOORE, in his official capacity as Speaker of the North Carolina
House of Representatives; PHILIP E. BERGER, in his official capacity as President
Pro Tempore of the North Carolina Senate; DAVID R. LEWIS, in his official
capacity as Chairman of the House Select Committee on Elections for the 2018
Third Extra Session; RALPH E. HISE, in his official capacity as Chairman of the
Senate Select Committee on Elections for the 2018 Third Extra Session; THE
STATE OF NORTH CAROLINA; and THE NORTH CAROLINA STATE BOARD
OF ELECTIONS
On discretionary review pursuant to N.C.G.S. § 7A-31 from the judgment
entered on 17 September 2021 by a divided three-judge panel of the Superior Court,
Wake County, holding that S.B. 824 violates Article I, Section 19 of the North
Carolina Constitution and permanently enjoining that law. On 16 December 2022,
this Court affirmed the judgment, and that mandate was issued on 5 January 2023.
On 3 February 2023, this Court allowed a petition for rehearing pursuant to N.C. R.
App. P. 31. Heard in the Supreme Court on 15 March 2023.
Southern Coalition for Social Justice, by Jeffrey Loperfido and Hillary Harris
Klein; and Jane O’Brien, pro hac vice, Paul D. Brachman, pro hac vice, and
Andrew J. Ehrlich, pro hac vice, for plaintiff-appellees.
Nicole J. Moss, David H. Thompson, pro hac vice, Peter A. Patterson, pro hac
vice, Joseph O. Masterman, pro hac vice, John W. Tienken, pro hac vice,
Nicholas A. Varone, pro hac vice, and Nathan A. Huff, for legislative defendant-
appellants.
HOLMES V. MOORE
Opinion of the Court
Joshua H. Stein, Attorney General, by Terence Steed, Special Deputy Attorney
General, Laura McHenry, Special Deputy Attorney General, and Mary Carla
Babb, Special Deputy Attorney General, for defendant-appellants State of North
Carolina and North Carolina State Board of Elections.
BERGER, Justice.
There is no legal recourse available for vindication of political interests, but
this Court is yet again confronted with “a partisan legislative disagreement that has
spilled out . . . into the courts.” Ind. Democratic Party v. Rokita, 458 F. Supp. 2d 775,
783 (S.D. Ind. 2006), aff’d sub nom. Crawford v. Marion Cnty. Election Bd., 472 F.3d
949 (7th Cir. 2007), aff’d, 553 U.S. 181, 128 S. Ct. 1610 (2008). This Court once again
stands as a bulwark against that spillover, so that even in the most divisive cases, we
reassure the public that our state’s courts follow the law, not the political winds of
the day.
It is well settled that the proper exercise of judicial power requires great
deference to acts of the General Assembly, as the legislature’s enactment of the law
is the sacrosanct fulfillment of the people’s will. See Pope v. Easley, 354 N.C. 544,
546, 556 S.E.2d 265, 267 (2001) (“[T]he General Assembly . . . functions as the arm of
the electorate.”). With that basic principle in mind, we are confronted here with a
simple question: does S.B. 824 violate the meaningful protections set forth in Article
I, Section 19 of the North Carolina Constitution? Because it does not, we reverse and
remand to the trial court for dismissal of this action with prejudice.
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I. Background
In November 2018, the people of North Carolina amended our Constitution to
require that “[v]oters offering to vote in person shall present photographic
identification before voting.” N.C. Const. art. VI, § 2(4). The people commanded “[t]he
General Assembly [to] enact general laws governing the requirements of such
photographic identification, which may include exceptions.” Id. The General
Assembly thereafter complied by passing S.B. 824, now codified in Chapter 163 of our
General Statutes. See An Act to Implement the Constitutional Amendment
Requiring Photographic Identification to Vote, S.L. 2018-144, 2019 N.C. Sess. Laws
72.
Pursuant to S.B. 824, registered voters are required to present one of a
multitude of acceptable forms of identification prior to casting a ballot. These include
a valid, unexpired: (1) North Carolina driver’s license; (2) North Carolina
nonoperator’s identification; (3) United States passport; (4) North Carolina voter
identification card; (5) student identification card issued by any statutorily-defined
eligible institution; (6) employee identification card issued by a state or local
government entity; or (7) out-of-state driver’s license or nonoperator’s identification,
provided that the voter’s registration was within ninety days of the election. N.C.G.S.
§ 163-166.16(a)(1) (2021). These forms of identification are acceptable even if expired,
so long as they have been expired for one year or less. Id.
In addition, if voters lack one of the aforementioned identifications, they may
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also present any of the following identifications regardless of their expiry: (1) a
military identification issued by the United States government; (2) a veterans
identification card issued by the United States Department of Veterans Affairs; (3) a
tribal enrollment card issued by a State or federally recognized tribe; or (4) an
identification card issued by a department, agency, or entity of the United States or
North Carolina for a government public assistance program. N.C.G.S. § 163-
166.16(a)(2) (2021). Registered voters over the age of sixty-five may present any of
the aforementioned identifications listed in sections (a)(1) and (2) regardless of
expiry, so long as the identification was unexpired on the date of the registered voter’s
sixty-fifth birthday. N.C.G.S. § 163-166.16(a)(3) (2021).
If a registered voter lacks one of the various types of acceptable identifications,
the law also requires that “[t]he county board of elections . . . issue without charge
voter photo identification cards upon request to registered voters.” N.C.G.S. § 163-
82.8A(a) (2021). To receive a free photo identification card, a registered voter need
only provide “the registered voter’s name, the registered voter’s date of birth, and the
last four digits of the voter’s social security number.” N.C.G.S. § 163-82.8A(d)(1)
(2021). These free identification cards are valid for ten years, which, when coupled
with the one-year expiration exception provided by N.C.G.S. § 163-166.16(a)(1),
means a voter can use a free photo identification card for a period of eleven years.
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N.C.G.S. § 163-82.8A(a).1
The law further provides a host of exceptions for any registered voter who,
despite the wide range of acceptable identifications, and despite the availability of
freely issued identification cards, nevertheless “does not produce an acceptable form
of identification.” N.C.G.S. § 163-166.16(d) (2021). First, if a registered voter cannot
produce acceptable identification, he or she “may cast a provisional ballot” that will
be counted “if the registered voter brings an acceptable form of photograph
identification . . . to the county board of elections no later than the end of business on
the business day prior to the canvass by the county board of elections as provided in
G.S. 163-182.5.” N.C.G.S. § 163-166.16(c) (2021). In addition, a registered voter is
not required to present any acceptable form of photo identification if that failure is
due to: (1) “a religious objection to being photographed;” (2) “a reasonable impediment
that prevents the registered voter from presenting a photograph identification;” or (3)
“being a victim of a natural disaster occurring within 100 days before election day
that resulted in a disaster declaration by the President of the United States or the
Governor of this State.” N.C.G.S. § 163-166.16(d)(1)–(3).
The “reasonable impediment” exception allows the registered voter to cast a
provisional ballot so long as they complete a reasonable impediment declaration
1 The trial court entered an erroneous finding of fact that the free identification cards
expire after one year. In its previous opinion in this case, the majority of this Court repeated
this erroneous finding. Holmes v. Moore, 383 N.C. 171, 199, 881 S.E.2d 486, 507 (2022)
(“[F]ree NC Voter IDs had a one-year expiration date.”).
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affidavit. N.C.G.S. § 163-166.16(d)(2). The law mandates that the State Board of
Elections implement a reasonable impediment declaration form that, at a minimum,
allows voters to identify any of the following as their reasonable impediment to
presenting an acceptable ID:
(1) Inability to obtain photo identification due to:
a. Lack of transportation.
b. Disability or illness.
c. Lack of birth certificate or other underlying
documents required.
d. Work schedule.
e. Family responsibilities.
(2) Lost or stolen photo identification.
(3) Photo identification applied for but not yet received by
the registered voter voting in person.
(4) Other reasonable impediment. If the registered voter
checks the “other reasonable impediment” box, a
further brief written identification of the reasonable
impediment shall be required, including the option to
indicate that State or federal law prohibits listing the
impediment.
N.C.G.S. § 163-166.16(e) (2021).
Any provisional ballot cast by a registered voter who fails to present an
acceptable form of identification, but who nevertheless submits a reasonable
impediment affidavit, must be counted as a valid ballot “unless the county board [of
elections] has grounds to believe the affidavit is false.” N.C.G.S. § 163-166.16(f)
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(2021).
This law is one of the least restrictive voter identification laws in the United
States. See N.C. State Conf. of the NAACP v. Raymond, 981 F.3d 295, 310 (4th Cir.
2020) (“Indeed, the 2018 [North Carolina] Voter-ID Law is more protective of the
right to vote than other states’ voter-ID laws that courts have approved.”); see also
Greater Birmingham Ministries v. Sec’y of State for Alabama, 992 F.3d 1299 (11th
Cir. 2021) (upholding a more restrictive voter identification law); Lee v. Va. State Bd.
of Elections, 843 F.3d 592 (4th Cir. 2016) (same); South Carolina v. United States,
898 F. Supp. 2d. 30 (D.D.C. 2012) (same).
In sum, S.B. 824 permits registered voters to present a multitude of acceptable
identifications, including expired identifications, and requires the State to provide
free voter identification cards to any registered voter. If a registered voter leaves
their identification at home or otherwise fails to present it on voting day, he or she
can cast a provisional ballot which will be counted if the identification is later
presented to the county board of elections. Even if a registered voter still somehow
fails to obtain or otherwise possess an acceptable form of identification, the law
permits him or her to cast a provisional ballot that will be counted so long as they do
not provide false information in the reasonable impediment affidavit. Essentially,
North Carolina’s photo identification statute does not require that an individual
present a photo identification to vote.
Nevertheless, shortly after passage of S.B. 824, plaintiffs filed a facial
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challenge to the legislation in Wake County Superior Court, alleging that the law
violates numerous provisions of the North Carolina Constitution. Specifically,
plaintiffs alleged the law: (1) violates Article I, Section 19 because it was enacted with
discriminatory intent; (2) violates Article I, Section 19 because it unjustifiably and
significantly burdens the fundamental right to vote; (3) violates Article I, Section 19
because it creates different classes of voters who will be treated disparately in their
access to their fundamental right to vote; (4) violates Article I, Section 10 because it
infringes on the right to participate in free elections; (5) violates Article I, Section 10
because it conditions the fundamental right to vote on the possession of property; and
(6) violates Article I, Sections 12 and 14 because it infringes upon the rights of
assembly, petition, and freedom of speech.
Plaintiffs moved for a preliminary injunction to enjoin implementation and
enforcement of S.B. 824. Defendants moved to dismiss plaintiffs’ claims, and the
three-judge panel assigned to the case entered an order denying plaintiffs’ motion for
a preliminary injunction and dismissing all but the first of plaintiffs’ claims.2
Plaintiffs appealed the trial court’s denial of the preliminary injunction and the Court
of Appeals reversed the panel’s decision. Holmes v. Moore, 270 N.C. App. 7, 36, 840
S.E.2d 244, 266–67 (2020).
Thereafter, the panel issued the preliminary injunction and held a trial on the
As plaintiffs did not appeal the dismissal of these claims, plaintiffs’ only remaining
2
argument is their discriminatory intent claim under Article I, Section 19.
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merits of plaintiffs’ equal protection claim. A majority of the three-judge panel
decided in plaintiffs’ favor, holding that S.B. 824 violates Article I, Section 19 of the
North Carolina Constitution because it was enacted with discriminatory intent. The
panel then issued an injunction permanently enjoining implementation of the law.
One judge on the panel dissented, concluding that plaintiffs had failed to meet
their burden of proving the law was enacted with discriminatory intent. Defendants
timely appealed to the Court of Appeals—however, after briefing began, but before
the Court of Appeals could consider the case, this Court granted plaintiffs’ petition
for expedited review prior to a determination by the Court of Appeals.
As is relevant to our consideration of this case, a separate group of plaintiffs
challenged S.B. 824 in federal court prior to the present matter reaching this Court.
Plaintiffs there made nearly identical arguments, asserting that the voter
identification law violated the Equal Protection Clause of the Fourteenth
Amendment to the United States Constitution because it was enacted with
discriminatory intent. On the plaintiffs’ motion, the district court granted a
preliminary injunction because it found that the plaintiffs were likely to succeed on
the merits of their constitutional claim. N.C. State Conf. of the NAACP v. Cooper, 430
F. Supp. 3d. 15, 54 (M.D.N.C. 2019).
The defendants appealed in that federal case, and the Fourth Circuit, in a
lengthy and detailed opinion, held that this very law was not enacted with
discriminatory intent and reversed the district court’s decision to invalidate S.B. 824
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because of “fundamental legal errors that permeate[d]” the district court’s order.
Raymond, 981 F.3d at 310–11. Most remarkably, the Fourth Circuit concluded that
“the district court improperly reversed the burden of proof and disregarded the
presumption of legislative good faith,” and that when the correct legal principles were
applied to the plaintiffs’ arguments, “the remaining evidence in the record fails to
meet the Challengers’ burden.” Id. at 311.
On appeal to this Court in the present matter, defendants argued that the
panel erred in finding the law was enacted with discriminatory intent because the
panel improperly reversed the burden of proof and disregarded the presumption of
legislative good faith. Defendants further contended that, as indicated by the Fourth
Circuit in Raymond, plaintiffs’ challenge could not be sustained under the correct
application of the relevant legal principles. In December 2022, after an election that
would change the composition of this Court, but prior to the expiration of the terms
of two outgoing justices, the majority—half of which was composed of those two
justices—issued an opinion affirming the lower court’s issuance of the injunction.
Holmes v. Moore, 383 N.C. 171, 881 S.E.2d 486 (2022). In so doing, the majority
claimed to apply federal precedent but declined to follow the Fourth Circuit’s
guidance from Raymond, the federal case which found that S.B. 824 did not violate
the federal Equal Protection Clause. Id. at 189, 881 S.E.2d at 500.
Following this Court’s decision, defendants timely filed a petition for
rehearing, arguing that the majority of this Court overlooked or misapprehended
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relevant points of fact and law. This Court determined that petitioners had satisfied
the requirements of Rule 31 of the Rules of Appellate Procedure and ordered
rehearing in an order entered 3 February 2023. After supplemental briefing and oral
argument, and upon rehearing pursuant to Rule 31, we withdraw the prior decision
reported at 383 N.C. 171, 881 S.E.2d 386 “and treat the case before us as a hearing
de novo on the issue raised.” Alford v. Shaw, 320 N.C. 465, 467, 358 S.E.2d 323, 324
(1987) (citing Trust Co. v. Gill, State Treasurer, 392 N.C. 164, 237 S.E.2d 21 (1977);
Clary v. Bd. of Educ., 286 N.C. 525, 212 S.E.2d 160 (1975)).
II. Standard of Review
“Whether a statute is constitutional is a question of law that this Court reviews
de novo.” State v. Grady, 372 N.C. 509, 521–22, 831 S.E.2d 542, 553 (2019) (quoting
State v. Romano, 369 N.C. 678, 685, 800 S.E.2d 644, 649 (2017)). “Under a de novo
review, the court considers the matter anew and freely substitutes its own judgment
for that of the lower tribunal.” Bartley v. City of High Point, 381 N.C. 287, 293, 873
S.E.2d 525, 532 (2022) (quoting Craig v. New Hanover Cnty. Bd. of Educ., 363 N.C.
334, 337, 678 S.E.2d 351, 354 (2009)). “In exercising de novo review, we presume that
laws enacted by the General Assembly are constitutional, and we will not declare a
law invalid unless we determine that it is unconstitutional beyond reasonable doubt.”
Cooper v. Berger, 370 N.C. 392, 413, 809 S.E.2d 98, 111 (2018) (quoting State v.
Berger, 368 N.C. 633, 639, 781 S.E.2d 248, 252 (2016)).
“[T]he trial court’s findings of fact are conclusive on appeal if supported by
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competent evidence, even if the evidence is conflicting.” State v. Parisi, 372 N.C. 639,
649, 831 S.E.2d 236, 243 (2019) (cleaned up). While “a [trial] court’s finding[s] of fact
on the question of discriminatory intent [are] reviewed for clear error,” when “a
finding of fact is based on the application of an incorrect burden of proof, the finding
cannot stand.” Abbott v. Perez, 138 S. Ct. 2305, 2326 (2018). “[W]hether the court
applied the correct burden of proof is a question of law subject to plenary review.” Id.
III. Analysis
A. Introduction
“Common sense, as well as constitutional law, compels the conclusion that
government must play an active role in structuring elections; ‘as a practical matter,
there must be a substantial regulation of elections if they are to be fair and honest
and if some sort of order, rather than chaos, is to accompany the democratic
processes.’ ” Burdick v. Takushi, 504 U.S. 428, 433, 112 S. Ct. 2059, 2063 (1992)
(quoting Storer v. Brown, 415 U.S. 724, 730, 94 S. Ct. 1274, 1279 (1974)). “[I]t should
go without saying that a State may take action to prevent election fraud without
waiting for it to occur and be detected within its own borders.” Brnovich v.
Democratic Nat’l Comm., 141 S. Ct. 2321, 2348 (2021). Indeed, “the integrity of
the election process empowers the state to enact laws to prevent voter fraud before it
occurs, rather than only allowing the state to remedy fraud after it becomes a
problem.” Fisher v. Hargett, 604 S.W.3d 381, 404 (Tenn. 2020) (cleaned up).
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The Supreme Court of the United States has recognized that “every voting rule
imposes a burden of some sort.” Brnovich, 141 S. Ct. at 2338. “The burden of
acquiring, possessing, and showing a free photo identification is simply not severe.”
Crawford, 553 U.S. at 209, 128 S. Ct. at 1627 (Scalia, J., concurring). “[T]he
inconvenience of making a trip to [a government office], gathering the required
documents, and posing for a photograph surely does not qualify as a substantial
burden on the right to vote, or even represent a significant increase over the usual
burdens of voting.” Id. at 198, 128 S. Ct. at 1621. See also Milwaukee Branch of
NAACP v. Walker, 2014 WI 98, ¶ 4, 357 Wis. 2d 469, 475–76, 851 N.W.2d 262, 265
(“[P]hoto identification is a condition of our times where more and more personal
interactions are being modernized to require proof of identity with a specified type of
photo identification. With respect to these familiar burdens, which accompany many
of our everyday tasks, [a photo identification requirement] does not constitute an
undue burden on the right to vote.”).
B. Judicial Review
Plaintiffs here have asserted that in enacting S.B. 824, the legislature acted
“at least in part to entrench itself by burdening the voting rights of reliably Democrat[
] African-American voters.” Although the Supreme Court of the United States has
recognized that “partisan motives are not the same as racial motives,” Brnovich, 141
S. Ct. at 2349, plaintiffs contend that the mere allegation that race played some part
in enactment of the law compels us to consider the effects S.B. 824 has on “reliably
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Democrat” voters when evaluating intent of the legislature, and in doing so, to depart
from our well-settled approach to reviewing the constitutionality of legislative acts.
However, “[a] facial challenge must fail where the statute has a plainly legitimate
sweep.” Crawford, 553 U.S. at 202, 128 S. Ct. at 1623 (cleaned up).
Under our Constitution, “power remains with the people and is exercised
through the General Assembly, which functions as the arm of the electorate. An act
of the people’s elected representatives is thus an act of the people and is presumed
valid unless it conflicts with the Constitution.” Pope, 354 N.C. at 546, 556 S.E.2d at
267; see also State v. Strudwick, 379 N.C. 94, 105, 864 S.E.2d 231, 240 (2021) (“[W]e
presume that laws enacted by the General Assembly are constitutional.” (quoting
Grady, 372 N.C. at 521–22, 831 S.E.2d at 553)). “The Legislature alone may
determine the policy of the State, and its will is supreme, except where limited by
constitutional inhibition, which exception or limitation, when invoked, presents a
question of power for the courts to decide. But even then the courts do not undertake
to say what the law ought to be; they only declare what it is.” State v. Revis, 193 N.C.
192, 195 136 S.E. 346, 347 (1927) (citation omitted).
The presumption of constitutionality is a critical safeguard that preserves the
delicate balance between this Court’s role as the interpreter of our Constitution and
the legislature’s role as the voice through which the people exercise their ultimate
power. Id. (“To interpret, expound, or declare what the law is, or has been, and to
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adjudicate the rights of litigants, are judicial powers; to say what the law shall be is
legislative.”).
To that end, “we will not declare a law invalid unless we determine that it is
unconstitutional beyond a reasonable doubt.” Strudwick, 379 N.C. at 105, 864 S.E.2d
at 240 (quoting Grady, 372 N.C. at 522, 831 S.E.2d at 553). “In addressing the facial
validity of [a statute], our inquiry is guided by the rule that a facial challenge to a
legislative Act is, of course, the most difficult challenge to mount successfully.” State
v. Bryant, 359 N.C. 554, 564, 614 S.E.2d 479, 485 (2005) (cleaned up) (quoting United
States v. Salerno, 481 U.S. 739, 745, 107 S. Ct. 2095, 2100 (1987)). To succeed in this
endeavor, one who facially challenges an act of the General Assembly may not rely
on mere speculation. Rather, “[a]n individual challenging the facial constitutionality
of a legislative act must establish that no set of circumstances exists under which the
act would be valid.” Id. at 564, 614 S.E.2d at 486 (cleaned up).3
3 Our dissenting colleague expresses skepticism of this Court’s continued adherence
to Salerno’s standard. However, the requirement that plaintiffs facially challenging a
presumptively valid law carry this burden is far from “novel.” Only eighteen months ago, our
dissenting friend wrote, with added emphasis: “After all, it has been long established by this
Court that an individual challenging the facial constitutionality of a legislative act must
establish that no set of circumstances exists under which the act would be valid.” State v.
Strudwick, 379 N.C. 94, 108, 864 S.E.2d 231, 242 (2021) (quoting Salerno, 481 U.S. at 739,
107 S. Ct. at 2100).
Contrary to our friend’s contention, our application of this standard to claims that a
law was enacted with discriminatory intent is only “novel” in the sense that this Court has
never before had the opportunity to address such a claim—the prior, withdrawn, and
erroneous opinion in this matter notwithstanding. But, this Court’s application of Salerno’s
standard to facial challenges has not been questioned, until now. See id.; State v. Grady, 372
N.C. 509, 547, 831 S.E.2d 542, 570 (2019) (quoting and applying Salerno’s standard);
Kimberley Rice Kaestner 1992 Fam. Tr. v. N.C. Dep’t. of Revenue, 371 N.C. 133, 138, 814
S.E.2d 43, 47 (2018), aff’d sub nom. N.C. Dep’t of Revenue v. Kimberley Rice Kaestner 1992
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[W]e emphasize that “the role of the legislature is to
balance the weight to be afforded to disparate interests and
to forge a workable compromise among those interests. The
role of the Court is not to sit as a super legislature and
second-guess the balance struck by the elected officials.”
Rather, this Court must “measure the balance struck by
the legislature against the required minimum standards of
the constitution.”
Id. at 565, 614 S.E.2d at 486 (quoting Harvey v. Edmisten, 315 N.C. 474, 491, 340
S.E.2d 720, 731 (1986)).
C. Equal Protection
The North Carolina Constitution, under which plaintiffs’ claim is brought,
provides in pertinent part that “[n]o person shall be denied the equal protection of
the laws; nor shall any person be subjected to discrimination by the State because of
race, color, religion, or national origin.” N.C. Const. art. I, § 19. In essence, “[e]qual
protection requires that all persons similarly situated be treated alike.” Blankenship
v. Bartlett, 363 N.C. 518, 521, 681 S.E.2d 759, 762 (2009) (quoting Richardson v. N.C.
Dep’t of Corr., 345 N.C. 128, 134, 478 S.E.2d 501, 505 (1996)).
This Court’s analysis of our Constitution’s Equal Protection Clause has
“generally follow[ed] the analysis of the Supreme Court of the United States in
interpreting the corresponding federal clause.”4 Id. at 522, 681 S.E.2d at 762. Both
Fam. Tr., 139 S. Ct. 2213 (2019) (same); Hart v. State, 368 N.C. 122, 131, 774 S.E.2d 281, 288
(2015) (same); Bryant, 359 N.C. at 564, 614 S.E.2d at 485 (same); State v. Thompson, 349
N.C. 482, 491, 508 S.E.2d 277, 281–82 (1998) (same).
4 The Fourteenth Amendment to the United States Constitution provides in pertinent
part that “[n]o State shall . . . deny to any person within its jurisdiction the equal protection
of the laws.” U.S. Const. amend. XIV, § 1. “The decisions of the Supreme Court of the United
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provisions guarantee equal treatment for individuals, not equality of outcome. See
Frank v. Walker, 768 F.3d 744, 754 (7th Cir. 2014). However, “in the construction of
[a] provision of the State Constitution, the meaning given by the Supreme Court of
the United States to even an identical term in the Constitution of the United States
is, though highly persuasive, not binding upon this Court.” Blankenship, 363 N.C. at
522, 681 S.E.2d at 762 (quoting Bulova, 285 N.C. at 474, 206 S.E.2d at 146).
State supreme courts are not bound by federal courts when interpreting their
state constitutions, and the parties here correctly concede that principles of
federalism do not require lock-stepping. See Jeffrey S. Sutton, 51 Imperfect Solutions,
States and the Making of American Constitutional Law, 16 (2018) (“Nothing compels
the state courts to imitate federal interpretations of the liberty and property
guarantees in the U.S. Constitution when it comes to the rights guarantees found in
their own constitutions . . . . Our federal system gives state courts the final say over
the meaning of their own constitutions.”).
Thus, it is the duty of the Supreme Court of North Carolina alone to declare
what the law is under our Constitution. See Bayard v Singleton, 1 N.C. 5 (1787). It
follows that when a party challenges a presumptively valid act of the General
Assembly under our Constitution’s Equal Protection Clause, as in this case, we are
in no sense bound to follow the analytical or evidentiary framework established by
States as to the construction and effect of . . . the Fourteenth Amendment to the Constitution
of the United States are, of course, binding upon this Court.” Bulova Watch Co., Inc. v. Brand
Distribs. of N. Wilkesboro, Inc., 285 N.C. 467, 474, 206 S.E.2d 141, 146 (1974).
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the Supreme Court of the United States or any other federal court for resolving equal
protection challenges under the federal Constitution.
Accordingly, pursuant to both the Fourteenth Amendment to the United States
Constitution and Article I, Section 19 of the North Carolina Constitution, we reaffirm
that “[a] statute, otherwise neutral on its face, must not be applied so as invidiously
to discriminate on the basis of race.” Washington v. Davis, 426 U.S. 229, 241, 96 S.
Ct. 2040, 2048 (1976). In addition, when a facially neutral statute is challenged, both
proof of “a racially discriminatory purpose,” id. at 239, 96 S. Ct. at 2047, and proof
that the law actually “produces disproportionate effects,” Hunter v. Underwood, 471
U.S. 222, 227, 105 S. Ct. 1916, 1920 (1985), are required to demonstrate the law’s
unconstitutionality. But a provision will not be declared unconstitutional “solely
because it has a racially disproportionate impact.” Davis, 426 U.S. at 239, 96 S. Ct.
at 2047.
“Whenever a challenger claims that a state law was enacted with
discriminatory intent, the burden of proof lies with the challenger, not the State.”
Abbott, 138 S. Ct. at 2324 (citing Reno v. Bossier Parish Sch. Bd., 520 U.S. 471, 481,
117 S. Ct. 1491, 1499 (1997)). Where a law is facially neutral, as here, the challenger
faces an especially heavy burden of proving enactment of the law was motivated by
discriminatory intent.
To meet this burden under the federal analytical framework, plaintiffs “must
prove by a preponderance of the evidence that racial discrimination was a substantial
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or motivating factor” in the enactment of the challenged legislation. Hunter, 471 U.S.
at 225, 105 S. Ct. at 1918 (quoting Underwood v. Hunter, 730 F.2d 614, 617 (11th Cir.
1984)). In Arlington Heights, the Supreme Court of the United States established a
non-exhaustive list of evidentiary sources plaintiffs may use to establish
discriminatory intent under the federal Constitution. Vill. of Arlington Heights v.
Metro Hous. Dev. Corp., 429 U.S. 252, 97 S. Ct. 555 (1977). Whether the government
action “ ‘bears more heavily on one race than another’ may provide an important
starting point,” Id. at 266, 97 S. Ct. at 564 (quoting Davis, 426 U.S. at 242, 96 S. Ct.
at 2049), however, “official action will not be held unconstitutional solely because it
results in a racially disproportionate impact.” Id. at 264–65, 97 S. Ct. at 563. Thus,
Arlington Heights commands federal courts to also consider “[t]he historical
background of the decision,” the “specific sequence of events leading up to the
challenged decision,” and the challenged action’s “legislative or administrative
history.” Id. at 267–68, 97 S. Ct. at 564–65.
However, plaintiffs’ claim in the instant suit is brought pursuant to Article I,
Section 19 of the North Carolina Constitution, not the Fourteenth Amendment of the
United States Constitution. Specifically, plaintiffs argue that application of the
Arlington Heights test produces an inference of discriminatory intent in the passage
of S.B. 824 such that, even though the law is facially neutral, the law violates the
Equal Protection Clause found in our state Constitution. But, plaintiffs’ challenge,
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whether analyzed under Arlington Heights or under our traditional standard, must
fail.
The result below, which endorsed plaintiffs’ argument, is not only contrary to
the result reached by the Fourth Circuit in Raymond, the federal corollary to this suit
which held S.B. 824 does not contravene the Fourteenth Amendment, but also “would
have the potential to invalidate just about any voting rule a State adopts.” Brnovich,
141 S. Ct. at 2343. To utilize such a subjective test “would tie the hands of States
seeking to assure that elections are operated equitably and efficiently.” Burdick, 504
U.S. at 433, 112 S. Ct. at 2063.
Constitutional deference and the presumption of legislative good faith caution
against casting aside legislative policy objectives on the basis of evidence that could
be fairly interpreted to demonstrate that a law was enacted in spite of, rather than
because of, any alleged racially disproportionate impact. To that end, a challenge to
a presumptively valid and facially neutral act of the legislature under Article I,
Section 19 of the North Carolina Constitution cannot succeed if it is supported by
speculation and innuendo alone.
It is well settled that this Court has required plaintiffs to produce proof beyond
a reasonable doubt to invalidate a legislative action as violative of our state’s
Constitution. See Strudwick, 379 N.C. at 105, 864 S.E.2d at 240 (“[W]e will not
declare a law invalid unless we determine that it is unconstitutional beyond a
reasonable doubt.” (quoting Grady, 372 N.C. at 522, 831 S.E.2d at 553)); Hart v. State,
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368 N.C. 122, 126, 774 S.E.2d 281, 284 (2015) (“Stated differently, a law will be
declared invalid only if its unconstitutionality is demonstrated beyond a reasonable
doubt.”); Baker v. Martin, 330 N.C. 331, 334, 410 S.E.2d 887, 888 (1991) (“[E]very
presumption favors the validity of a statute. It will not be declared invalid unless its
unconstitutionality be determined beyond reasonable doubt.” (quoting Gardner v.
Reidsville, 269 N.C. 581, 595, 153 S.E.2d 139, 150 (1967))).
With the ability to declare a legislative act unconstitutional, courts wield a
“delicate, not to say dangerous” power which is “antagonistic to the fundamental
principles of our government.” State v. White, 125 N.C. 674, 688, 34 S.E. 532, 536
(1899) (Clark, J., dissenting). The power to invalidate legislative acts is one that
must be exercised by this Court with the utmost restraint, and the proof beyond a
reasonable doubt standard is a necessary protection against abuse of such power by
unprincipled or undisciplined judges.
This is not a novel or unique approach, as federal courts have acknowledged
that overturning state legislative acts requires a challenger to meet a heightened
burden. See Plain Loc. Sch. Dist. Bd. of Educ. v. DeWine, 486 F. Supp. 3d 1173, 1198
(S.D. Ohio 2020) (“[T]he ‘party challenging the constitutionality of a statute bears the
burden of proving that it is unconstitutional beyond a reasonable doubt.’ ” (quoting
Cleveland v. State, 989 N.E.2d 1072, 1078 (Ohio Ct. App. 2013))); Huffman v.
Brunsman, 650 F. Supp. 2d 725, 742 (S.D. Ohio 2008) (“[A] person challenging a
statute must prove that the statute is unconstitutional beyond a reasonable doubt.”
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(citing State v. Anderson, 57 Ohio St. 3d 168, 171, 566 N.E.2d 1224, 1226 (1991)));
Coal. for Equal Rights, Inc. v. Owens, 458 F. Supp. 2d 1251, 1258 (D. Colo. 2006)
(“Challengers to a state law ‘bear the burden of proving it unconstitutional beyond a
reasonable doubt.’ ” (quoting Mosgrove v. Town of Federal Heights, 191 Colo. 1, 4, 543
P.2d 715, 717 (1975))).
Even in the context of “determining the federal constitutionality” of a state law
challenged under Arlington Heights, federal courts should “begin[ ] with the
presumption of constitutionality,” should require the challengers to “demonstrate
that the Act is unconstitutional beyond a reasonable doubt,” and “must accept” the
state’s “plausible construction of the Act [if] that would result in a finding of
constitutionality.” Villanueva v. Carere, 873 F.Supp. 434, 447 (D. Colo. 1994), aff’d,
85 F.3d 481 (10th Cir. 1996).
Therefore, we hold that to prevail on such a facial challenge to a state statute
under this state’s traditional analytical framework, the challenger must prove beyond
a reasonable doubt that: (1) the law was enacted with discriminatory intent on the
part of the legislature, and (2) the law actually produces a meaningful disparate
impact along racial lines.
We reach this determination not out of disagreement with the federal courts’
analysis of these issues under the federal Equal Protection Clause. Rather, we reach
this decision because Arlington Heights’ analytical framework is incompatible with
our state Constitution and this Court’s precedent as it allows challengers to succeed
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on such claims by proffering evidence that is by its very nature speculative,
subjective, and thus, insufficient to meet the well-established burden of proof. The
differing outcomes reached by the Fourth Circuit in Raymond and the trial court
below highlight the subjective nature of the Arlington Heights test. The fact that
different results can be reached using the Arlington Heights test suggests that
personal biases and subjective interpretations concerning presumptively valid
legislative acts can greatly influence outcomes in these types of cases. It is the
objective application of legal principles that leads to consistent and fair judicial
decisions. There, the Arlington Heights framework falls short.5
D. Federal Precedent
With this in mind, we now turn our attention to the trial court’s order
permanently enjoining S.B. 824. Because the trial court below relied heavily on N.C.
State Conf. of the NAACP v. McCrory, 831 F.3d 204 (4th Cir. 2016), it is appropriate
to provide a brief review of that case. In addition, a proper review of the trial court’s
order requires a thorough analysis of Abbott v. Perez, 138 S. Ct. 2305 (2018) and
Raymond, 981 F.3d 295.
5 Our holding does not mean that the Arlington Heights test will not be appropriate
in other circumstances in which the beyond a reasonable doubt standard does not apply. For
example, it may remain a sound analytical framework for challenges to zoning or executive
agency regulatory actions, which are the types of official action the test was designed to
address. See Arlington Heights, 429 U.S. at 254, 97 S. Ct. at 558 (“[Plaintiffs] alleged that
the denial [of a rezoning request] was racially discriminatory . . . .”). However, in the context
of invalidating presumptively constitutional legislative action, our precedent is clear, and
Arlington Heights is contrary to the overwhelming weight of authority in North Carolina.
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1. North Carolina State Conference of the NAACP v. McCrory
In McCrory, the plaintiffs challenged various voting provisions contained in
H.B. 589, a 2013 omnibus bill enacted by the North Carolina General Assembly that
included voter identification provisions, arguing the law had been enacted with
discriminatory intent. McCrory, 831 F.3d at 218.
The 2013 provision was enacted shortly after the Supreme Court of the United
States “invalidated the preclearance coverage formula,” a federal statutory
mechanism that required North Carolina, and other states with histories of racially
motivated voter suppression laws, to seek preclearance with the United States
Department of Justice before enacting new voting laws. Id. at 216 (citing Shelby
County v. Holder, 570 U.S. 529, 557, 133 S. Ct. 2612, 2631 (2013)). At the conclusion
of trial, the district court found that the 2013 law was not enacted with discriminatory
intent and entered judgment against the plaintiffs on all of their claims. Id. at 219.
On appeal, the Fourth Circuit noted that the “ultimate question” was whether
“the legislature enact[ed] a law ‘because of,’ and not ‘in spite of,’ its discriminatory
effect.” Id. at 220. In concluding that the 2013 law was enacted because of its
discriminatory effect, i.e., with discriminatory intent, the Fourth Circuit determined
that the “undisputed” facts regarding the “sequence of events leading up to the
challenged decision” were “devastating.” Id. at 227 (quoting Arlington Heights, 429
U.S. at 267, 97 S. Ct. at 564).
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The Fourth Circuit noted that the legislature utilized various racial data in
enacting portions of the law, including the photo identification provisions. Id. at 216–
18. According to the Fourth Circuit, “relying on this racial data, the General
Assembly enacted legislation restricting all—and only—practices disproportionately
used by African Americans.” Id. at 230. The Fourth Circuit determined that “[t]he
district court erred in refusing to draw the obvious inference that this sequence of
events signals discriminatory intent.” Id. at 227. The Fourth Circuit concluded that,
“at least in part, discriminatory racial intent motivated the enactment of” the 2013
law. Id. at 233. Because the plaintiffs carried their burden of establishing
discriminatory intent, and because the State had failed to show that the challenged
provisions would have been enacted without discriminatory intent, the Fourth Circuit
reversed the district court’s judgment and remanded the case “for entry of an order
enjoining the implementation” of the challenged voting provisions of the 2013
omnibus law. Id. at 242.
2. Abbott v. Perez
Thereafter, the Supreme Court of the United States provided clarification to
discriminatory intent analysis that is especially relevant here. In Abbott, the Court
emphasized that “the ‘good faith of [the] legislature must be presumed’ ” regardless
of a prior finding of discriminatory intent. 138 S. Ct. at 2324 (alteration in original)
(quoting Miller v. Johnson, 515 U.S. 900, 915, 115 S. Ct. 2475, 2488 (1995)). There,
the Court reversed the decision of a three-judge panel of the Western District of Texas
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because that panel imputed past discriminatory intent to the then-sitting legislature
and thereby failed to presume good faith. Id. at 2335. The Court stated that:
The allocation of the burden of proof and the
presumption of legislative good faith are not changed by a
finding of past discrimination. Past discrimination cannot,
in the manner of original sin, condemn governmental
action that is not itself unlawful. The ultimate question
remains whether a discriminatory intent has been proved
in a given case. The historical background of a legislative
enactment is one evidentiary source relevant to the
question of intent. But we have never suggested that past
discrimination flips the evidentiary burden on its head.
Id. at 2324–25 (cleaned up).
The Court in Abbott noted that the lower court “referred repeatedly to the 2013
Legislature’s duty to expiate its predecessor’s bad intent” and concluded that the
“Texas court’s references to the need to ‘cure’ the earlier Legislature’s ‘taint’ cannot
be dismissed as stray comments.” Id. at 2325. Importantly, although the Court
stated that “a [trial] court’s finding of fact on the question of discriminatory intent is
reviewed for clear error,” it nonetheless reversed the panel because “when a finding
of fact is based on the application of an incorrect burden of proof, the finding cannot
stand.” Id. at 2326.
Thus, the presumption of legislative good faith is only overcome when a
plaintiff meets his or her burden of proving that the legislature responsible for
enacting the challenged law acted with discriminatory intent in the present case.
Past discrimination may be a relevant factor under an Arlington Heights analysis,
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but it is error to treat subsequent legislative acts as fruit of the poisonous tree such
that subsequent similar legislation is per se verboten.6
In addition, Abbott clearly emphasized that a trial court errs when it makes
findings of fact utilizing the incorrect burden of proof, and any findings which result
therefrom are not binding on a reviewing court. See id. at 2326 (holding that “when
a finding of fact is based on the application of an incorrect burden of proof, the finding
cannot stand”); see also State v. Otto, 366 N.C. 134, 136, 726 S.E.2d 824, 827 (2012)
(holding that when “evidence does not support the trial court’s finding . . . [that]
finding of fact is not binding on this Court”).
6 “The world moves, and we must move with it.” State v. Williams, 146 N.C. 618, 639,
61 S.E. 61, 68 (1908) (Clark, C.J., dissenting). Indeed, many of the historical facts referenced
by the trial court and in plaintiffs’ brief “hav[e] no logical relation to the present day.” Shelby
Cnty. v. Holder, 570 U.S. 529, 554, 133 S. Ct. 2612, 2629 (2013). The Lieutenant Governor,
two members of this Court, and the minority leaders in the North Carolina Senate and the
North Carolina House of Representatives are the most recent examples of the significant
social progress made in North Carolina.
North Carolina’s population has changed dramatically. North Carolina ranked 9th in
population growth by percentage between 2021 and 2022; representing the third largest
addition to population out of all 50 states. Michael Cline, North Carolina Population Growth
Bouncing Back, Off. of State Budget & Man., (Dec. 22,
2022), https://www.osbm.nc.gov/blog/2022/12/22/north-carolina-population-growth-
bouncing-back. While discrimination based on race is a historical reality, to imply that S.B.
824 is a product or derivative of that history is to imply that the people of North Carolina
have failed to change. Such an implication is fundamentally at odds with the modern reality
of our State. The imputation of wrongs committed in the distant past to current realities is
not only unjust and disingenuous, but it also presents an insurmountable hurdle to future
progress.
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3. Federal Review of S.B. 824
The federal corollary to the present appeal is found in N.C. State Conf. of the
NAACP v. Raymond, 981 F.3d 295 (4th Cir. 2020). There, the plaintiffs challenged
S.B. 824 under the federal Equal Protection Clause, alleging that the law had been
enacted with discriminatory intent. Id. at 301. The plaintiffs moved to enjoin
enforcement of the law, and the district court granted the injunction after concluding
that the plaintiffs were likely to succeed on their constitutional claims. Id.
On appeal, the Fourth Circuit sharply criticized the district court and reversed
“because of the fundamental legal errors that permeate the [district court’s] opinion.”
Id. at 310–11. Principal among these fundamental errors was that the district court,
contrary to the Supreme Court’s explicit holding in Abbott, focused on the past finding
of discriminatory intent in McCrory as evidence of discriminatory intent in the
passage of S.B. 824. Id. Thus, the district court improperly “considered the General
Assembly’s discriminatory intent in passing the 2013 Omnibus Law to be effectively
dispositive of its intent in passing the 2018 Voter-ID Law.” Id. at 303. The Fourth
Circuit stated:
[t]he district court here made the same mistake as the
panel in Abbott without even trying to distinguish the
Supreme Court’s holding. . . . [T]he district court noted that
the General Assembly did not try to cleanse the
discriminatory taint, or tak[e] steps to purge the taint of
discriminatory intent. . . .
The district court penalized the General Assembly
because of who they were, instead of what they did. When
discussing the sequence of events leading to the 2018
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Voter-ID Law’s enactment, the district court discounted
the normalcy of the legislative process to focus on who
drafted and passed the law.
Id. at 304 (cleaned up).
The Fourth Circuit explicitly disavowed the district court’s inappropriate focus
on who passed S.B. 824:
The question of who reared its head again in the
court’s discussion of the 2018 Voter-ID Law’s legislative
history. In that section, the district court emphasized that
the General Assembly’s positions had “remained virtually
unchanged” between McCrory and the enactment of the
2018 Voter-ID law. And the court assumed that the racial
data remained in the minds of the legislators: “[T]hey need
not have had racial data in hand to still have it in mind.”
By focusing on who passed the 2018 Voter-ID Law and
requiring the General Assembly to purge the taint of the
prior law, the district court flipped the burden and
disregarded Abbott’s presumption.
Id. at 304–05 (alteration in original) (quoting NAACP v. Cooper, 430 F. Supp. 3d at
33–35).
The district court’s analytical reliance on who passed S.B. 824 “also overlooked
the state constitutional amendment” by which “[f]ifty-five percent of North
Carolinian voters constitutionally required the enactment of a voter-ID law and
designated to the General Assembly the task of enacting the law.” Id. at 305 (citing
N.C. Const. art. VI, § 2(4)). Because the amendment “served as an independent
intervening event between the General Assembly’s passage of the 2013 Omnibus Law
and its enactment of the 2018 Voter-ID Law,” Article VI, Section 2(4) of the North
Carolina Constitution “undercut[ ] the district court’s tenuous ‘who’ argument.” Id.
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The Fourth Circuit determined that “[o]nce the proper burden and the
presumption of good faith are applied, the Challengers fail to meet their burden of
showing that the General Assembly acted with discriminatory intent in passing the
2018 Voter-ID Law.” Id. In reaching this conclusion, the Fourth Circuit clarified that
although “North Carolina’s historical background,” including the 2013 omnibus law,
“favors finding discriminatory intent, the facts considered under the remaining
Arlington Heights factors—the sequence of events leading to enactment, legislative
history, and disparate impact—cannot support finding discriminatory intent.” Id.
(cleaned up).
First, the Fourth Circuit analyzed “the sequence of events leading to the
enactment of the 2018 Voter-ID Law.” Id. Noting that S.B. 824 “underwent five days
of legislative debate,” “was permitted time for public comment,” and “enjoyed
bipartisan support,” the Fourth Circuit determined that “the enactment was not the
‘abrupt’ or ‘hurried’ process that characterized the passage of the 2013 Omnibus
Law.” Id. at 305–06 (citing McCrory, 831 F.3d at 228–29).
Next, the Fourth Circuit analyzed “the 2018 Voter-ID Law’s legislative
history,” which the district court found “supported finding discriminatory intent”
because “Republican legislative leaders strongly opposed McCrory, remained
committed to passing a voter-ID law that would withstand future court challenges,
and did not change their positions, goals, or motivations between the passage of the
2013 Omnibus Law and the 2018 Voter-ID Law.” Id. at 307. The Fourth Circuit
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specifically denounced the district court’s reasoning because its findings
“impermissibly stemmed from the comments of a few individual legislators and relied
too heavily on comments made by the bill’s opponents.” Id. (cleaned up).
The Fourth Circuit also stated that the district court’s reasoning “go[es]
against inferring ‘good faith’ on the part of the legislature, which we are required to
do: decrying a court opinion holding that you acted improperly in the past is not
evidence that you have acted improperly again.” Id. Noting that “[n]othing here
suggests that the General Assembly used racial voting data to disproportionately
target minority voters ‘with surgical precision,’ ” the Fourth Circuit concluded that
S.B. 824’s legislative history did not evidence discriminatory intent. Id. at 308–09
(quoting McCrory, 831 F.3d at 214).
Finally, the Fourth Circuit analyzed “the racial impact of the 2018 Voter-ID
Law.” Id. at 309. While the Fourth Circuit “accept[ed] the district court’s finding
that minority voters disproportionately lack the types of ID required” by S.B. 824, it
found significant that the law “contains three provisions that go ‘out of [their] way to
make its impact as burden-free as possible.’ ” Id. (second alteration in original)
(quoting Lee v. Va. State Bd. of Elections, 843 F.3d 592, 603 (4th Cir. 2016)).
First, the law provides for registered voters to receive free
voter-ID cards without the need for corroborating
documentation. Second, registered voters who arrive to the
polls without a qualifying ID may fill out a provisional
ballot and their votes will be counted if they later produce
a qualifying ID at the county elections board. Third, people
with religious objections, survivors of recent natural
disasters, and those with reasonable impediments may
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cast a provisional ballot after completing an affidavit that
affirms their identity and their reason for not producing an
ID. Their votes must be counted unless the county board of
elections has grounds to believe the affidavit is false.
Id. (cleaned up).
The Fourth Circuit noted that, because of these various mitigating provisions,
“the 2018 Voter-ID law is more protective of the right to vote than other states’ voter-
ID laws that courts have approved.” Id. at 310.
In Lee v. Virginia State Board of Elections, we upheld
Virginia’s voter-ID law that only included two of these
mitigating features—free voter IDs available without
corroborating documentation and provisional voting
subjected to ‘cure.’ Likewise, in South Carolina v. United
States, the District Court of the District of Columbia
precleared South Carolina’s voter-ID law that included a
different combination of two mitigating features—free
voter IDs available without corroborating documentation
and a reasonable impediment procedure. And recently, the
Eleventh Circuit, in Greater Birmingham Ministries v.
Secretary of State for the State of Alabama, upheld
Alabama’s Voter-ID law that included . . . mitigating
features—free voter IDs that require corroborating
documentation and provisional voting subject to ‘cure.’
Given these cases, it is hard to say that the 2018 Voter-ID
Law does not sufficiently go out of its way to make its
impact as burden-free as possible.
Id. (cleaned up).
Because of these mitigating provisions, the Fourth Circuit determined that any
potential disparate impact of S.B. 824 did not evidence any discriminatory intent by
the General Assembly. Id. The Fourth Circuit reversed the district court, but not
because “[the district court] weighed the evidence before it differently than [the
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Fourth Circuit] would.” Id. Rather, the Fourth Circuit reversed the district court’s
grant of a preliminary injunction “because of the fundamental legal errors that
permeate the opinion—the flipping of the burden of proof and the failure to provide
the presumption of legislative good faith—that irrevocably affected its outcome.” Id.
at 310–11. The district court “abused its discretion” because “it considered the North
Carolina General Assembly’s past conduct to bear so heavily on its later acts that it
was virtually impossible for it to pass a voter-ID law that meets constitutional
muster.” Id. at 311.
E. Review of the Panel Below
1. Under the Federal Framework
Although Raymond was decided under the federal Equal Protection Clause, we
are confronted in the present appeal with a similar question under the North
Carolina Constitution. When properly analyzed under Arlington Heights, plaintiffs’
claim here, as in Raymond, must fail because the same fundamental legal errors that
permeated the district court’s decision in Raymond pervade the trial court’s order
below.
A majority of the three-judge panel below made findings of fact based upon
historical evidence that, while perhaps useful in a policy setting, has little bearing
upon the constitutionality of S.B. 824 in light of Abbott. As the dissent below noted,
to “place outsized weight on the increasingly distant past would constitute a failure
by the judiciary to allow our [s]tate to fully progress from that shameful past. Any
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overreliance on our [s]tate’s history is therefore misplaced.” The trial court’s findings
demonstrate exactly this sort of overreliance on historical evidence, and these
findings “were not merely ‘stray comments. On the contrary, they were central to the
court’s analysis,’ for they made explicit the burden-shifting that the court engaged in
while assessing the Arlington Heights factors.” Raymond, 981 F.3d at 304 (quoting
Abbott, 138 S. Ct. at 2325).
The trial court’s finding that “recent cases,” including McCrory, “show that race
is still a dominant consideration for the North Carolina General Assembly” is
illustrative. As the Supreme Court of the United States has made abundantly clear,
“[t]he allocation of the burden of proof and the presumption of legislative good faith
are not changed by a finding of past discrimination.” Abbott, 138 S. Ct. at 2324. “Past
discrimination cannot, in the manner of original sin, condemn governmental action
that is not itself unlawful.” Id. (cleaned up). The trial court’s attribution of past sins
to the passage of S.B. 824 is plainly contrary to Abbott.
In addition, the trial court’s finding that “[j]ust as with other states in the
South, North Carolina has a long history of race discrimination generally and race-
based voter suppression in particular,” was a quotation of a Court of Appeals’
quotation from McCrory, not a finding premised upon any evidence in this particular
case. See Holmes v. Moore, 270 N.C. App. 7, 20–21, 840 S.E.2d 242, 257 (2020);
McCrory, 831 F.3d at 223. Again, the trial court’s use of historical information to
strike down an otherwise lawful act is exactly what Abbott cautioned against.
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Further, the trial court made specific findings of fact regarding statements
made in the wake of McCrory, evidently considering that statements criticizing that
decision and vowing to “continue the fight” for a voter identification law supported a
finding that S.B. 824 was enacted with discriminatory intent. Once again, this
finding is contrary to directly on-point federal precedent. In Raymond, “the district
court noted that Republican legislative leaders strongly opposed McCrory, [and]
remained committed to passing a voter-ID law that would withstand future court
challenges.” Raymond, 981 F.3d at 307. The Fourth Circuit refused to sanction these
findings because they “[went] against inferring ‘good faith’ on the part of the
legislature, which we are required to do: decrying a court opinion holding that you
acted improperly in the past is not evidence that you have acted improperly again.”
Id. (citing Abbott, 138 S. Ct. at 2324, 2327).
Also, the trial court found that both the passage of the constitutional
amendment which required enactment of S.B. 824 and the enactment of S.B. 824
itself departed from normal legislative procedures, and the trial court evidently relied
on this finding when determining that “[t]he [l]egislative [h]istory of S.B. 824 [r]aises
[a]dditional [r]ed [f]lags.” The trial court “found” that “[t]here is no reason why the
General Assembly could not have followed normal procedures, passed implementing
legislation to accompany the proposed constitutional amendment, and submitted that
proposed legislation to the People of North Carolina for their approval.” The trial
court’s findings on this issue, however, are contrary to both federal precedent, North
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Carolina precedent, and the historical role of the judiciary in not second-guessing the
contours of the legislative process.
The Supreme Court of the United States has stated “we do not see how the
brevity of the legislative process can give rise to an inference of bad faith—and
certainly not an inference that is strong enough to overcome the presumption of
legislative good faith.” Abbott, 128 S. Ct. at 2328–29. This Court has stated “the role
of the Court is not to sit as a super legislature and second-guess the balance struck
by the elected officials.” Bryant, 359 N.C. at 565, 614 S.E.2d at 485 (quoting Harvey,
315 N.C. at 491, 340 S.E.2d at 731). Moreover, and perhaps most importantly, the
North Carolina Constitution contains an explicit separation of powers provision, see
N.C. Const. art. I, § 6, which is violated “when one branch exercises power that the
constitution vests exclusively in another branch” or “when the actions of one branch
prevent another branch from performing its constitutional duties.” State v. Berger,
368 N.C. 633, 645, 781 S.E.2d 248, 256 (2016).
There is no law in this state that implies the General Assembly possesses
anything less than its full constitutional authority when conducting legislative
business in a special session. Despite this, the trial court’s order indicates that the
panel below sees itself as possessing the power to second-guess the legislature’s
authority over its own procedures, thereby “prevent[ing] another branch from
performing its constitutional dut[y].” Id. It bears repeating that “[t]o interpret,
expound, or declare what the law is, or has been, and to adjudicate the rights of
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litigants, are judicial powers; to say what the law shall be is legislative.” Revis, 193
N.C. 192, 136 S.E. at 347.
One of the many governmental functions the constitution vests exclusively in
the legislature is the balancing of policy interests involved when drafting, amending,
and enacting laws. During this process for S.B. 824, the General Assembly accepted
amendments proposed by Democrat members, and multiple Democrat members
thanked and praised their Republican colleagues for the bipartisan and collaborative
manner in which the law was passed. Democrats thanked the Republican members
“for being open and inclu[sive] in listening to us on the other side of the aisle in trying
to come up with something that is reasonable,” “for the hard work that you have done
in negotiating and accepting many of the amendments that have been placed before
you,” and for doing “a really terrific job working with us to help improve the bill,
[which] is a much better bill than the bill that left this chamber in 2013.”7
7 “One might question the relevance of bipartisanship in a discriminatory-intent
analysis,” Raymond, 981 F.3d at 306, n.3, because “partisan motives are not the same as
racial motives.” Brnovich, 141 S. Ct. at 2349. This is why, even under Arlington Heights, a
court is required to “assess whether the plaintiffs have managed to disentangle race from
politics and prove that the former drove” a law’s enactment. Cooper v. Harris, 581 U.S. 285,
308, 137 S. Ct. 1455, 1473 (2017) (citation omitted). Under our standard, this means that
plaintiffs must prove beyond a reasonable doubt that racial, rather than political,
considerations motivated the passage of a law they claim was enacted with discriminatory
intent. For plaintiffs here, that requirement is at odds with their theory of the case, which
inextricably “[ ]entangle[s] race [and] politics[.]” Id. Article I, Section 19 prohibits
discrimination based on race; political parties are not protected classes, and barring proof
that racial animus, rather than political considerations, led to the passage of a particular
measure, we find it difficult to imagine a scenario in which partisan interests would
constitute sufficient evidence that a law was enacted with discriminatory intent.
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Despite this, the trial court went on to enter speculative findings of fact
regarding additional measures the legislature could have taken, such as adopting
more of the amendments proposed by Democrat members of both chambers.
According to the trial court, the legislature’s failure to take these additional steps,
despite the obviously bipartisan nature of the law’s enactment, led to the trial court’s
finding of fact heading that “The Design of S.B. 824 Does Not Evince an Intent by the
General Assembly to Cure Racial Disparities Observed Under H.B. 589.”
Under this heading, the trial court found “that [d]efendants have not rebutted
[p]laintiffs’ assertion that the General Assembly did not consider any updated racial
demographic data prior to the enactment of S.B. 824.” Moreover, the trial court found
that “[t]he categories of ID added to the list of acceptable ID were arbitrary, and
[l]egislative [d]efendants have offered no evidence to show that inclusion of these
ID[s] would make a difference to overcome the already existing deficiency.”
Presumably, this “already existing deficiency” was the prior outcome in McCrory,
which clearly demonstrates that the General Assembly was not afforded the
presumption of legislative good faith, rather, its decisions were criticized by the lower
court for “demonstrating . . . lack of reasoning or logic.”
Putting aside for a moment the glaringly obvious conflict with Raymond and
Abbott, this heading itself indicates that the trial court fundamentally misunderstood
the applicable legal framework, plaintiffs’ burden, and its own task. Even presuming
the findings underpinning this heading are supported by competent evidence, they at
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most support a conclusion that the legislature failed to do everything possible to
ameliorate any alleged disparate impact. They do not support a conclusion that the
legislature acted with discriminatory intent and actively designed a bill to cause the
alleged disparate impact.
That reasonable minds may differ as to whether the legislature endeavored to
pass the least restrictive voter identification law possible does not equate to a
showing that the legislature endeavored to pass a voter identification law designed
to disparately impact black North Carolinians. Plaintiffs’ burden is not to
demonstrate beyond a reasonable doubt that a hypothetical alternative law may have
been less restrictive; it is to demonstrate beyond a reasonable doubt that this law was
designed to discriminate on the basis of race. The evidence in the record cannot
support such a contention because the hypothetical existence of a less restrictive
alternative does not satisfy plaintiffs’ burden. If that were so, no law could ever
stand.
Hereto, the trial court’s findings directly conflict with precedent of the
Supreme Court of the United States which could not be clearer:
The allocation of the burden of proof and the
presumption of legislative good faith are not changed by a
finding of past discrimination. Past discrimination cannot,
in the manner of original sin, condemn governmental action
that is not itself unlawful. The ultimate question remains
whether a discriminatory intent has been proved in a given
case. The historical background of a legislative enactment
is one evidentiary source relevant to the question of intent.
But we have never suggested that past discrimination flips
the evidentiary burden on its head.
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Abbott, 138 S. Ct. at 2324–25 (cleaned up) (emphases added).
The panel below “made the same mistake as the panel in Abbott without even
trying to distinguish the Supreme Court’s holding.” Raymond, 981 F.3d at 304. The
trial court inexplicably ignored Abbott and Raymond, and this serious and egregious
error undermines the integrity of the trial court’s decision and its decision-making
process. The improper reliance on speculative historical evidence and failure to
analyze Abbott made it “virtually impossible for [the legislature] to pass a voter-ID
law that meets constitutional muster.” Id. at 311.
“When evaluating a neutral, nondiscriminatory regulation of voting procedure,
we must keep in mind that a ruling of unconstitutionality frustrates the intent of the
elected representatives of the people.” Crawford v. Marion Cnty. Election Bd., 553
U.S. 181, 203, 128 S. Ct. 1610, 1623 (2008) (cleaned up). It is not the role of this Court
to endorse an analytical approach that would effectively enjoin all future legislatures
from effectuating the will of the people. This is why Abbott and Raymond are so
critical to a proper analysis.
As the Supreme Court of the United States has noted, “a finding of fact . . .
based on the application of an incorrect burden of proof . . . cannot stand.” Abbott,
138 S. Ct. at 2326. Here, the trial court’s findings of fact flow from impermissibly
assigning the burden to the General Assembly and failing to presume legislative good
faith.
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The trial court’s order is riddled with both explicit and implicit instances
demonstrating that, as here, it erroneously placed the burden on the General
Assembly to overcome a presumption of legislative bad faith. As in Abbott, these
findings cannot stand, and the trial court’s legal conclusions are left unsupported.
Thus, the “fundamental legal errors that permeate the [lower panel’s opinion]—the
flipping of the burden of proof and the failure to provide the presumption of legislative
good faith” have “irrevocably affected [the] outcome [of this case],” Raymond, 981 F.3d
at 310–11, and we hold that even under Arlington Heights, the trial court’s finding of
discriminatory intent was erroneous.
2. Under North Carolina Law
However, as previously noted, Arlington Heights is not the standard plaintiffs
challenging a presumptively valid legislative act are required to meet in this state.
See Strudwick, 379 N.C. at 105, 864 S.E.2d at 240 (“[W]e will not declare a law invalid
unless we determine that it is unconstitutional beyond a reasonable doubt.” (quoting
Grady, 372 N.C. at 522, 831 S.E.2d at 553)). Where a trial court applies the incorrect
legal standard, regardless of whether the parties consent to that incorrect standard,
the trial court per se abuses its discretion. See Da Silva v. WakeMed, 375 N.C. 1, 5
n.2, 846 S.E.2d 634, 638 n.2 (2020) (“[A]n error of law is an abuse of discretion.”).
In addition, just as the Supreme Court of the United States has held that “a
finding of fact . . . based on the application of an incorrect burden of proof . . . cannot
stand,” Abbott, 138 S. Ct. at 2326, this Court has held that “facts found under
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misapprehension of the law are not binding on this Court and will be set aside.” Van
Hanford v. McSwain, 230 N.C. 229, 233, 53 S.E.2d 84, 87 (1949). Because the trial
court’s findings of fact below were found under a misapprehension of law, i.e., under
the incorrect legal standard, without requiring plaintiffs to carry their burden of
demonstrating the unconstitutionality of S.B. 824 beyond a reasonable doubt, these
findings cannot stand. Without them, the trial court’s conclusions of law are wholly
unsupported and the order below must be reversed.
The general procedure for disposing of a matter where the trial court’s “facts
found under misapprehension of the law are . . . set aside,” would be to remand the
case “to the end that the evidence should be considered in its true legal light.” Id.
However, such a procedure is inappropriate in matters such as this, where the
evidence in the record is wholly insufficient to prove beyond a reasonable doubt that
S.B. 824: (1) was enacted with discriminatory intent, and (2) produces a meaningful
disparate impact. See Snuggs v. Stanly Cnty. Dep’t of Pub. Health, 310 N.C. 739, 741,
314 S.E.2d 528, 529 (1984) (remanding to the trial court for entry of an order of
dismissal); Hunt ex rel. Hasty v. N.C. Dep’t of Lab., 348 N.C. 192, 199, 499 S.E.2d 747,
751 (1998) (same). Here, plaintiffs have produced insufficient evidence to meet their
burden.
To succeed in their claim, plaintiffs must demonstrate not only discriminatory
intent, but must also demonstrate that the challenged law actually “produces
disproportionate effects along racial lines.” Hunter, 471 U.S. at 227, 105 S. Ct. at
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1920; see also Irby v. Va. State Bd. of Elections, 889 F.2d 1352, 1355 (4th Cir. 1989)
(“To establish an equal protection violation, a plaintiff must show discriminatory
intent as well as disparate effect.” (emphasis added)). On this point, plaintiffs’
evidence consists of incompetent expert testimony and unfounded speculation upon
which the trial court found that “S.B. 824 would bear more heavily on African
American voters, if permitted to go into effect” because: (1) black voters are more
likely to lack qualifying ID; (2) the burdens of obtaining qualifying IDs, including free
IDs, fall more heavily on black voters; and (3) black voters may be more likely to
encounter problems navigating the reasonable impediment process.
Regarding the disparate lack of qualifying identifications, plaintiffs’ expert
failed to consider multiple types of qualifying identifications, the reasonable
impediment provision, and the availability of free identifications under S.B. 824.
Plaintiffs’ expert simply produced a mathematical analysis based on DMV records
that showed 7.61% of black voters and 5.47% of white voters lacked some of the
qualifying IDs under S.B. 824. Such an incomplete consideration of the various forms
of qualifying identification under S.B. 824 renders this expert’s evidence fatally
deficient and incapable of supporting a finding that black voters are more likely to
lack the qualifying identifications permitted under S.B. 824.
Furthermore, the trial court’s finding that black voters are “39% more likely to
lack a form of qualifying ID” than white voters is exactly the kind of “highly
misleading” statistical transformation the Supreme Court of the United States has
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expressly disavowed. Brnovich, 141 S. Ct. at 2345. This kind of manipulation of
mathematical concepts is used to turn a difference “small in absolute terms,” here,
2.14%, into “a distorted picture . . . by dividing one percentage by another,” id. at
2344–45, and such evidence is insufficient to support a finding that black voters are
more likely to lack qualifying identification under S.B. 824.
Similarly, plaintiffs’ evidence that the burdens of obtaining qualifying
identification, including free identification, fall more heavily on black voters is
entirely speculative. Plaintiffs’ expert essentially suggests that because “a [b]lack
person is 2.5 times more likely to live in poverty as compared to a white person,” it
must logically follow that black voters would disproportionately suffer a legally
significant burden in obtaining a qualifying identification, even if that identification
is free. This is merely speculative forecasting and simply ignores the reality that
compliance with any government licensing or registration requirement requires effort
on the part of citizens. “[M]inor inconvenience[s] . . . do[ ] not impose a substantial
burden.” Lee v. Va. State Bd. of Elections, 843 F.3d 592, 600 (4th Cir. 2016). Plaintiffs
cannot prove such a crucial aspect of their claim by relying on speculation; they must
provide sufficient evidence demonstrating that S.B. 824 actually produces disparate
impact in reality, not hypothetical circumstances.8
8 Further, the panel’s assumption that black voters may have difficulty acquiring free
identification due to lack of transportation or disabilities is legally suspect because the
reasonable impediment provision in S.B. 824 allows individuals to vote without an
identification if their inability to obtain an identification is due to, among other things, a
“[l]ack of transportation” or “[d]isability or illness.” N.C.G.S. § 163.166.16(e)(1)(a)–(b).
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The trial court’s finding that black voters may be more likely to encounter
problems navigating the reasonable impediment process suffers from the same fatal
flaw that plagues the previous examples. The trial court merely relied on plaintiffs’
evidence of past voters’ issues navigating a more restrictive reasonable impediment
process in 2016 under H.B. 589 and testimony that “[a] hesitant or infrequent voter
may be deterred from voting with a reasonable impediment declaration because the
process is unfamiliar or because it appears the voter is being treated differently from
everyone else at the polls.” (Emphasis added). This again is speculation that falls
short of the evidence required to support this factual finding.
Thus, because plaintiffs have failed to provide evidence that S.B. 824 would
result in disparate impact along racial lines, remand of this case for further
consideration in light of the applicable legal standard, presumption, and burden,
would be futile. S.B. 824 allows all would-be voters in North Carolina to vote either
with or without an approved form of identification. Plaintiffs failed to produce
sufficient evidence that either they, or any other citizen of this state, would be
precluded from voting due to the terms and conditions of S.B. 824. Every prospective
voter can vote without an identification if they submit a reasonable impediment
affidavit, which can only be rejected if the county board of elections unanimously
determines that the declaration is false.9
9The dissent below correctly stated that “[a]s the federal court three-judge panel said
of South Carolina’s voter-ID law, on which S.B. 824 was modeled, ‘the sweeping reasonable
impediment provision in [that law]’—which, as noted, is in fact less sweeping tha[n] S.B.
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As stated by the Supreme Court of the United States when reviewing Indiana’s
voter identification law,
A photo identification requirement imposes some burdens
on voters that other methods of identification do not share.
For example, a voter may lose his photo identification, may
have his wallet stolen on the way to the polls, or may not
resemble the photo in the identification because he recently
grew a beard. Burdens of that sort arising from life’s
vagaries, however, are neither so serious nor so frequent as
to raise any question about the constitutionality of
[Indiana’s voter identification law]; the availability of the
right to cast a provisional ballot provides an adequate
remedy for problems of that character.
The burdens that are relevant to the issue before us
are those imposed on persons who are eligible to vote but
do not possess a current photo identification that complies
with the requirements of [Indiana’s voter identification
law]. . . . But just as other States provide free voter
registration cards, the photo identification cards issued by
Indiana[ ]are also free. For most voters who need them, the
inconvenience of making a trip to [a government office],
gathering the required documents, and posing for a
photograph surely does not qualify as a substantial burden
on the right to vote, or even represent a significant increase
over the usual burdens of voting.
Crawford, 553 U.S. at 197–98, 128 S. Ct. at 1620–21.10
824’s—‘eliminates any disproportionate effect or material burden that South Carolina’s voter
ID law otherwise might have caused.’ ” (quoting South Carolina v. United States, 898 F.
Supp. 2d 30, 40 (D.D.C. 2012).
10 It is undisputed that every legal vote should be counted. In oral argument, however,
plaintiffs implied that every provisional ballot should be counted as legal even if not lawfully
cast. Oral Argument at 55:01, Holmes v. Moore (No. 342PA19-3) (Mar. 15, 2023),
https://www.youtube.com/watch?v=RSJu29af7_4 (last visited Mar. 24, 2023). The trial
court’s order contains a similar proposition under the guise of a factual finding regarding
noncompliant votes in 2016. This is plainly wrong. See N.C.G.S. §§ 163-1 to 163-306 (2021);
see also Burdick, 504 U.S. at 441, 112 S. Ct. at 2067 (citation omitted) (“[T]he right to vote is
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“[M]inor inconvenience[s] . . . do[ ] not impose a substantial burden” on the
right to vote, Lee, 843 F.3d at 600, and the inconveniences theoretically imposed, not
proven, on plaintiffs by S.B. 824 “arise[ ] from life’s vagaries” and “are neither so
serious nor so frequent as to raise any question about the constitutionality” of the
voter identification law here. Crawford, 553 U.S. at 197, 128 S. Ct. at 1620. In no
way do the hypothetical “disparate inconveniences” claimed by plaintiffs amount to a
“denial or abridgement of the right to vote,” let alone a denial or abridgment based
on race. Lee, 843 F.3d at 600–01 (emphasis in original). Arguably, plaintiffs’
speculations do not qualify as a legitimate attempt to carry their burden of
“establish[ing] that no set of circumstances exists under which the [a]ct would be
valid.” Salerno, 481 U.S. at 745, 107 S. Ct. at 2100.
The panel below relied heavily on the fact that plaintiff Mr. Holmes, who has
cerebral palsy, has severe scoliosis, and is paraplegic, may encounter difficulties in
obtaining a free identification under S.B. 824. Even if we ignore the fact that Mr.
Holmes can still vote without an identification under S.B. 824, as discussed above,
the right to participate in an electoral process that is necessarily structured to maintain the
integrity of the democratic system.”); Storer v. Brown, 415 U.S. 724, 730, 94 S. Ct. 1274, 1279
(1974) (“Moreover, as a practical matter, there must be substantial regulation of elections if
they are to be fair and honest and if some sort of order, rather than chaos, is to accompany
the democratic processes.”). The right to vote and have a vote counted is dependent upon
compliance with established rules and procedures, and to suggest this Court sanction
noncompliance is to imply that the law has no meaning.
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any difficulties he may face in acquiring an identification have nothing to do with
race.
Such is the case with the other plaintiffs and their challenges. There is no
evidence that Mr. Kearney’s failure to present an identification in 2016 because he
left it at home was related to race. Similarly, Mr. Smith’s misplacement of his
identification in 2016 was not related to race, nor was Mr. Culp’s failure to present
an acceptable identification in 2016. Setting aside the fact that any difficulties they
are assumed to have encountered are wholly irrelevant because they occurred under
a prior, much more restrictive law, these difficulties were not attributable to race,
and all of these plaintiffs can vote under S.B. 824 without identification.
Moreover, the named plaintiffs can all obtain free identification cards that can
be used for eleven years and, even if they fail to do so, can cast provisional ballots
that will be counted if they comply with the forgiving requirements of S.B. 824. As
the dissenting judge noted below, “[t]here is no credible evidence that obtaining” a
form of qualifying identification under S.B. 824 “entails significant financial cost.”
The record also contains “no evidence that any voter, in particular any African
American voter, would be dissuaded from using” the reasonable impediment
declaration process if they failed to obtain a qualifying identification.
In sum, for all the aforementioned reasons, plaintiffs have failed to provide
evidence sufficient to prove beyond a reasonable doubt that S.B. 824 will result in
disparate impact. Because “plaintiff[s] must show discriminatory intent as well as
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disparate effect,” Irby, 899 F.2d at 1355, to prevail, plaintiffs’ failure to provide
sufficient evidence of disparate impact ends the matter. Nevertheless, we note that
plaintiffs also fail to provide sufficient evidence of discriminatory intent.
First, plaintiffs failed to produce any witness who could testify to the General
Assembly’s alleged discriminatory intent or otherwise rebut the presumption of good
faith. Representative Harrison, plaintiffs’ own witness, testified that she “cannot say
that racial bias entered into [passage of S.B. 824] and [she] would not say that racial
bias entered into [passage of S.B. 824].” As aptly put by the dissenting judge below,
“[i]f [p]laintiffs’ own witness, who was in the General Assembly and actively
participated in the passage of this legislation, did not then and does not now attribute
the passage of S.B. 824 [to] any discriminatory intent, then this [c]ourt certainly
[should] not either.”
Further, the evidence that S.B. 824 was passed in a special legislative session,
did not receive overwhelming support from Democratic legislators, and was enacted
without the consideration of racial data, is wholly insufficient to demonstrate
discriminatory intent beyond a reasonable doubt. Because our constitution
commands that “[t]he role of the legislature is to balance the weight to be afforded to
disparate interests and to forge a workable compromise among those interests,” it is
not the role of this Court “to sit as a super legislature and second-guess the balance
struck by the elected officials.” Bryant, 359 N.C. at 565, 614 S.E.2d at 486 (alteration
in original) (quoting Harvey, 315 N.C. at 491, 340 S.E.2d at 731). As the dissent below
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correctly noted, the General Assembly’s decision to comply with the people’s
command to pass a voter identification law by enacting such a law in a special session
in order to override the veto of Governor Cooper, a vocal opponent of any such law,
“was completely lawful and within [its] authority.”
Finally, there are two further fundamental errors below worthy of brief
discussion. First, the panel’s factual findings regarding both the sequence of events
leading to the enactment of S.B. 824 and the legislative history of S.B. 824
misapprehend the relevant presumptions in favor of the law’s validity because they
fail to properly consider and credit the crucial importance of the voter identification
amendment. Because the constitutional amendment created a positive duty for the
General Assembly to pass a voter identification law, adoption of S.B. 824 or some
similar measure was mandatory, not optional. The evidence, viewed with the proper
presumptions of both legislative good faith and constitutional compliance, plainly
demonstrates an intent to comply with the peoples’ will and the North Carolina
Constitution, not an intent to discriminate on the basis of race.
Second, the panel appears to have given considerable weight to the fact that
the General Assembly requested racial data when enacting H.B. 589 but did not
request racial data when enacting S.B. 824. It bears repeating that the request of
racial data, and the use of that data, was one of the primary reasons the Fourth
Circuit held that H.B. 589 was enacted with discriminatory intent. See McCrory, 831
F.3d at 230; see also Raymond, 981 F.3d at 308–09 (“The 2018 Voter-ID Law’s
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legislative history is otherwise unremarkable. Nothing here suggests that the
General Assembly used racial voting data to disproportionately target minority
voters ‘with surgical precision.’ ” (quoting McCrory, 831 F.3d at 214)).
According to the trial court, because the General Assembly did not request this
data, “the legislature did not know whether these changes between S.B. 824 and H.B.
589 would have any impact on the racial disparities in ID possession rates that had
been documented during the H.B. 589 litigation.” Paradoxically, the trial court
nevertheless implied, in the absence of any evidence, that the “62 members of the
legislature who voted for H.B. 589 [and] also voted for S.B. 824” relied on the H.B.
589 data when enacting S.B. 824, stating that it was “implausible that these
legislators did not understand the potential that S.B. 824 would disproportionately
impact [black] voters, just as H.B. 589 had done.”
Thus, in the absence of any evidence that any legislator utilized racial data
from McCrory, and in direct contradiction of the testimony from Representative
Harrison, the trial court imputed knowledge to 62 members of the General Assembly
and presumed bad faith of an entire branch of our government. The General
Assembly was placed in a “damned if you do, damned if you don’t” conundrum in
which, had it used racial data, it would run afoul of the prior admonition in McCrory,
and by not using such data, it could never satisfy the trial court’s application of the
Arlington Heights test. There was, thus, no option available to the legislature that
could lead to implementation of a voter identification measure. This is exactly the
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kind of reasoning explicitly disavowed by the Supreme Court of the United States
and the Fourth Circuit. As stated by the Fourth Circuit:
[T]he [trial] court emphasized that the General Assembly’s
positions had “remained virtually unchanged” between
McCrory and the enactment of the 2018 Voter-ID Law. And
the court assumed that the racial data remained in the
minds of the legislators: “[T]hey need not have had the
racial data in hand to still have it in mind.” By focusing on
who passed the 2018 Voter-ID Law and requiring the
General Assembly to purge the taint of the prior law, the
district court flipped the burden and disregarded Abbott’s
presumption.
Raymond, 981 F.3d at 304–05 (third alteration in original); see also Abbott, 138 S. Ct.
at 2324 (“[T]he good faith of the state legislature must be presumed. The allocation
of the burden of proof and the presumption of legislative good faith are not changed
by a finding of past discrimination.” (cleaned up)).
When this matter is considered under the applicable legal standards, plaintiffs
can neither carry their burden of demonstrating discriminatory intent beyond a
reasonable doubt nor their burden of demonstrating meaningful disparate impact
beyond a reasonable doubt. Therefore, the order below is reversed and we remand to
the trial court for entry of a dismissal in this matter.
IV. Conclusion
“A frequent recurrence to fundamental principles is absolutely necessary to
preserve the blessings of liberty.” N.C. Const. art. I, § 35. This humble reminder
applies not just to individual rights preserved by our Constitution, but to the
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fundamental structure of our government, without which rights cannot properly be
protected.
In North Carolina “[t]he legislature is the great and chief department of
government. It alone is created to express the will of the people.” Wilson v. Jordan,
124 N.C. 683, 701, 33 S.E. 139, 150 (1899) (Clark, J., dissenting). Indeed, “for the
courts to strike down valid acts of the [l]egislature would be wholly repugnant to, and
at variance with, the genius of our institutions.” Revis, 193 N.C. at 196, 136 S.E. at
348.
The people of North Carolina overwhelmingly support voter identification and
other efforts to promote greater integrity and confidence in our elections. Subjective
tests and judicial sleight of hand have systematically thwarted the will of the people
and the intent of the legislature. But no court exists for the vindication of political
interests, and judges exceed constitutional boundaries when they act as a super-
legislature. This Court has traditionally stood against the waves of partisan rulings
in favor of the fundamental principle of equality under the law. We recommit to that
fundamental principle and begin the process of returning the judiciary to its rightful
place as “the least dangerous” branch. The Federalist No. 78 at 402 (Alexander
Hamilton) (Gideon ed. 2001).
Plaintiffs here have failed to prove beyond a reasonable doubt that S.B. 824
was enacted with discriminatory intent or that the law actually produces a
meaningful disparate impact along racial lines. The prior opinion is withdrawn, and
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we reverse and remand to the trial court for entry of an order dismissing plaintiffs’
claim with prejudice.
REVERSED AND REMANDED.
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Morgan, J., dissenting
Justice MORGAN dissenting.
Not long ago, the current Chief Justice of this Court, who is the most senior
member of the majority in the present case, observed in a dissenting opinion:
Judicial activism is a philosophy of judicial decision-
making whereby judges allow their personal views about
public policy, among other factors, to guide their decisions,
usually with the suggestion that adherents of this
philosophy tend to find constitutional violations and are
willing to ignore governing texts and precedents. It is
difficult to imagine a more appropriate description of the
action that the majority takes today.
State v. Kelliher, 381 N.C. 558, 597 (2022) (Newby, C.J., dissenting) (extraneity
omitted). Consistent with this swashbuckling view, the Chief Justice also wrote this
richly ironic nugget a few years back as a dissenter in one of this Court’s opinions:
As a monarch, King Louis XVI once famously said, “C’est
légal, parce que je le veux” (“It is legal because it is my
will.”) Today, four justices of this Court adopt the same
approach to the law, violating the norms of appellate
review and disregarding or distorting precedent as
necessary to reach their desired result. Apparently, in their
view, the law is whatever they say it is. . . .
....
. . . Instead of doing the legally correct thing, the majority
opinion picks its preferred destination and reshapes the
law to get there.
State v. Robinson, 375 N.C. 173, 193, 195 (2020) (Newby, J., dissenting) (footnote
omitted).
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In uniform fashion, the author of the majority opinion in this case1 recently
offered this dissenting view in one of this Court’s decisions:
The majority’s dismissal of our precedent here is deeply
troublesome, yet increasingly unsurprising. . . .
....
That the majority has injected chaos and confusion
into our political structure is self-evident.
N.C. State Conf. of the NAACP v. Moore, 382 N.C. 129, 182, 197 (2022) (Berger, J.,
dissenting).
Similarly, yet a third member of the majority in the instant case freshly penned
this dissenting observation in response to an order of this Court a short time back:
[T]he majority’s decision today appears to reflect deeper
partisan biases that have no place in a judiciary dedicated
to the impartial administration of justice and the rule of
law.
Harper v. Hall, 382 N.C. 314, 317 (2022) (order allowing expedited hearing and
consideration) (Barringer, J., dissenting).
It is apparent from the artfully chosen words of my three distinguished
colleagues that they have not been reticent about the notion of introducing partisan
politics into this Court’s opinions when they disagreed with various case outcomes.
Indeed, these three justices of the majority have clearly been enamored with this
1 For clarity, the authoring justice of the majority opinion and the identity of one of
the named defendants are not one and the same. Although the two individuals have identical
first and last names, the named defendant is the father of the authoring justice.
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strategic approach which has been conveniently conceived in order to cast aspersions
in certain categories of cases which this Court decided in a manner which differed
from their three united orientations. Yet now, joined by two more justices who
subscribe to the trio’s identical politically saturated legal philosophies and who were
elected to serve on the Court since the dissenting opinions cited above were written,
the five justices which constitute the majority here have emboldened themselves to
infuse partisan politics brazenly into the outcome of the present case. This majority’s
extraordinarily rare allowance of a petition for rehearing in this case, mere weeks
after this newly minted majority was positioned on this Court and mere months after
this case was already decided by a previous composition of members of this Court,
spoke volumes. My consternation with the majority’s abrupt departure from this
Court’s institutionalized stature—historically grounded in this forum’s own
reverence for its caselaw precedent, its deference to the rule of law, and its severance
from partisan politics—is colossal. When convenient at the time, Chief Justice Newby
wrote in his dissenting opinion in Harper v. Hall:
[T]he majority today wholeheartedly ushers this Court into
a new chapter of judicial activism, severing ties with over
two hundred years of judicial restraint in this area. . . .
Undeterred, it untethers itself from history and caselaw.
380 N.C. 317, 434 (2022) (Newby, C.J., dissenting). As a member of the majority in
the instant case, the Chief Justice’s own words unwittingly and succinctly happen to
apply to him and his counterparts of the majority in this case. I must dissent.
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“All . . . will bear in mind this sacred principle, that though the will of the
majority is in all cases to prevail, that will to be rightful must be reasonable; that the
minority possess their equal rights, which equal law must protect, and to violate
would be oppression.” President Thomas Jefferson, First Inaugural Address (Mar. 4,
1801), available at https://avalon.law.yale.edu/19th_century/jefinau1.asp. Although
the sentiment that all persons be afforded equal protection of the law was expressed
early and often in the founding of our great republic, any substantive guarantee
embedded in this provision did not come into fruition until much later in the
respective histories of the nation and of this state. In particular, suffrage, a
fundamental right that “is preservative of other basic civil and political rights,”
Reynolds v. Sims, 377 U.S. 533, 562 (1964), was explicitly restricted to white male
property owners in North Carolina following the Constitutional Convention of 1835
and was not re-extended to Black people until 1868 following the conclusion of the
Civil War and the beginning of Reconstruction.
Even then, Democrats, realizing that the interests of Blacks were better
aligned with the Republican and Populist Parties at the time, began a campaign of
racist rhetoric, violence, and outright fraud in order to regain a majority. J. Morgan
Kousser, The Shaping of Southern Politics: Suffrage Restriction and the
Establishment of the One-Party South, 1880-1910 188 (1974). Once in office, the
legislators passed a law in 1899 that relocated the power to appoint election officers
from local officials to a state election board selected by the General Assembly which
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eventually became controlled by the Democrats. Id. at 190. The legislative body
required voters to re-register and allowed registrars to disfranchise anyone as they
saw fit. Id. In 1900, the Democratic General Assembly passed a constitutional
amendment that required the completion of a literacy examination and payment of a
poll tax in order to establish one’s eligibility to vote. Id. at 190–95. As a result of this
and other facially neutral measures,2 which exempted men who were eligible to vote
in 1867 or whose fathers or grandfathers were eligible to vote in 1867 (i.e., white men)
and empowered county officials to act as gatekeepers by administering the highly
subjective literacy tests, Black voter turnout plummeted, and the state remained
under conservative control until the mid-twentieth century. Id.
After the Voting Rights Act of 1965 was passed as part of the American civil
rights movement, North Carolina was forced to remove many barriers to voting that
had been previously implemented throughout the state, including the aforementioned
literacy examination.3 The Act also required that certain counties across the United
2 As the United States Supreme Court held in 1959, the state’s literacy requirement
did not, on its face, violate the Fifteenth Amendment by denying the right to vote on the basis
of race. Lassiter v. Northampton County Bd. of Elections, 360 U.S. 45, 53 (1959).
Noteworthily, Henry Frye, who was the first Black person to serve on this Court and who
eventually became this Court’s first Black Chief Justice, was denied the right to register to
vote on the grounds that he was deemed to have failed this literacy test, even after graduating
with highest honors from the collegiate institution now known as North Carolina
Agricultural and Technical State University and after attaining the rank of Captain upon
serving four years in the United States Air Force. Although he was declared unable to vote,
he was accepted into the University of North Carolina School of Law and graduated with its
law degree in 1959. See Adrienne Dunn, “Henry Frye,” North Carolina History Project,
https://northcarolinahistory.org/encyclopedia/henry-e-frye-1932/.
3 Although the Voting Rights Act banned states from requiring the completion of
literacy tests as a prerequisite to voting, the literacy requirement remains part of the state
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States, including forty counties within North Carolina, obtain preclearance from the
federal government before implementing any new election laws in order to ensure
that any such laws would not be discriminatory in nature. A year later, registration
of Black voters in North Carolina exceeded fifty percent for the first time since 1900.
J. Morgan Kousser, When African-Americans Were Republicans in North Carolina,
The Target of Suppressive Laws Was Black Republicans. Now That They Are
Democrats, The Target Is Black Democrats. The Constant Is Race 14 (Apr. 17, 2014),
https://www.aclu.org/sites/default/files/assets/lwv_expert_report_-_m__kousser.pdf.
During this time, the General Assembly also passed a number of laws that had the
effect of increasing access to voting, including laws that authorized early voting, out-
of-precinct voting, same-day registration, and preregistration for teenagers. These
efforts collectively boosted the registration of Black voters in the state by fifty percent
and dramatically increased voter turnout, especially of Black voters. Id. at 17.
Nevertheless, state politics have remained racially polarized going into the
twenty-first century, “offer[ing] a political payoff” for legislators to “dilute or limit the
minority vote,” Holmes v. Moore, 270 N.C. App. 7, 22 (2020) (extraneity omitted),
since the disenfranchisement of Black voters “predictably redound[ed] to the benefit
of one political party and to the disadvantage of the other.” N.C. State Conf. of the
Constitution as a “not . . . particularly pleasing relic” of North Carolina’s racial past. Michael
Hyland, Bipartisan measure aims to remove literacy requirement from North Carolina
Constitution, FOX 8 (Mar. 2, 2023), https://myfox8.com/news/politics/your-local-election-
hq/bipartisan-measure-aims-to-remove-literacy-test-from-north-carolina-constitution/.
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NAACP v. McCrory, 831 F.3d 204, 214 (4th Cir. 2016), cert denied sub nom. North
Carolina v. N.C. State Conf. of the NAACP, 581 U.S. 985 (2017). For instance, after
the United States Supreme Court invalidated the Voting Rights Act’s preclearance
requirements in 2013 through its decision in Shelby County v. Holder, 570 U.S. 529
(2013), the North Carolina General Assembly rapidly put together an omnibus bill
altering state election law that the Fourth Circuit determined was motivated, at least
in part, by discriminatory racial intent. McCrory, 831 F.3d at 233. This law
eliminated or curtailed many voter-friendly initiatives that had been introduced in
the 1960s—including early voting, same-day registration, and preregistration—and
included a provision that required voters to present photographic identification in
order to vote in person. Id. at 214–17. The Fourth Circuit found that the state
legislature had crafted this law with the knowledge and intent that it would
disproportionately impact Black voters who disproportionately made use of those
initiatives that the bill worked to curtail or eliminate, tended to lack the forms of
identification deemed acceptable by the Republican General Assembly, and voted
overwhelmingly for the Democratic Party. Id.
“Unquestionably, North Carolina has a long history of race discrimination
generally and race-based vote suppression in particular.” Id. at 223. This historical
reality is not one that anyone can legitimately deny, although the majority appears
to represent in a footnote in its written opinion that the mere current presence of one
Black man and one Black woman who were both elected to this Court, coupled with
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other individuals expressly identified by the majority who are members of the Black
race who have also been elected to office in North Carolina in modern times, proves
that this state has progressed so much that this state’s contemptible racial history
regarding electoral politics bears no logical relation to its present-day political
climate.4 This naïveté, if such, would be appalling; this callousness, if such, would be
galling.
Courts are not obliged to turn a blind eye to the historical circumstances that
might inform present-day efforts to encumber, restrict, or otherwise discourage the
exercise of the precious right to vote. An equilibrium between presuming legislative
good faith, while remaining cognizant of the insidious nature of discriminatory intent
as a potential motivation for facially neutral legislative acts, is precisely what was
captured by the United States Supreme Court when it decided Village of Arlington
Heights v. Metropolitan Housing Development Corp., 429 U.S. 252 (1977). In issuing
its decision in Arlington Heights, the nation’s highest court recognized that “[t]he
historical background of [a legislative act] is one evidentiary source” relevant to
discriminatory intent, “particularly if it reveals a series of official actions taken for
invidious purposes.” Id. at 267. While the Supreme Court has subsequently cautioned
4 It is both noteworthy and instructive that legislation intended to limit suffrage along
racial lines was specifically introduced as backlash to the election of Black legislators during
the Reconstruction Era, indicating both that racial progress is not always linear and that
political gains for minorities often precede conservative pushback to universal suffrage.
Olivia B. Waxman, The Legacy of the Reconstruction Era’s Black Political Leaders, Time (Feb.
7, 2022), https://time.com/6145193/black-politicians-reconstruction/.
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that “past discrimination cannot, in the manner of original sin, condemn
governmental action that is not itself unlawful,” Mobile v. Bolden, 446 U.S. 55, 74
(1980) (plurality opinion), it remains the case that historical discrimination is a
relevant factor in ascertaining the existence of present discriminatory intent. Abbott
v. Perez, 138 S. Ct. 2305, 2351–52 (2018) (Sotomayor, J., dissenting).
My esteemed colleagues who constitute the majority granted petitioners’
request for rehearing of this case on the grounds that a previous majority of this Court
was deemed to have committed legal error by failing to afford the General Assembly
its presumption of good faith in accordance with federal precedent. However, in an
egregious twist and twirl, this Court obliterates its recognition of federal precedent
altogether in order to introduce its own new standard of review for equal protection
claims arising under the state Constitution. In doing so, this majority conveniently
and haughtily spurns federal caselaw precedent fostered by the decision of the United
States Supreme Court in Arlington Heights, while simultaneously upending decades
of state constitutional principles, in its quest to shield acts of the state legislature
from scrutiny for invidious discriminatory intent.
I. Background and Standard of Review
“Using race as a proxy for party may [still] be an effective way to win an
election.” McCrory, 831 F.3d at 222. Even in the absence of explicit “race-based
hatred” or animus, “intentionally targeting a particular race’s access to the franchise
because its members vote for a particular party, in a predictable manner, constitutes
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discriminatory purpose.” Id. Furthermore, racially neutral laws motivated by
discriminatory intent are “just as abhorrent, and just as unconstitutional, as laws
that expressly discriminate on the basis of race.” Id. at 220. Because “[o]utright
admissions of impermissible racial motivation are infrequent” in the contemporary
context, Hunt v. Cromartie, 526 U.S. 541, 553 (1999), courts must often make a
“sensitive inquiry into such circumstantial and direct evidence of intent as may be
available” when determining whether a legislative body has acted with
discriminatory intent in violation of the state or federal constitution. Arlington
Heights, 429 U.S. at 266.
In deciding Arlington Heights, the United States Supreme Court established a
nonexhaustive list of factors that courts may consider probative on this question,
including: (1) the historical background of the action; (2) the sequence of events
leading up to its enactment, including any departures from the normal procedural or
substantive operations of that legislative body; (3) the law’s legislative and
administrative history; and (4) whether the law’s effect “bears more heavily on one
race than another.” Id. at 266–68. Discriminatory purpose “may often be inferred
from the totality of the relevant facts,” Washington v. Davis, 426 U.S. 229, 242 (1976),
and courts do not consider “each piece of evidence in a vacuum,” but the “totality of
the circumstances” when ascertaining the presence of discriminatory intent.
McCrory, 831 F.3d at 233. The Supreme Court has further provided that, because
legislative bodies are “[r]arely . . . motivated solely by a single concern,” a plaintiff
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need only demonstrate that “invidious discriminatory purpose was a motivating
factor” in the enactment of a piece of legislation, Arlington Heights, 429 U.S. at 265–
66, before the burden shifts onto the legislature to demonstrate that “the law would
have been enacted without this factor.” Hunter v. Underwood, 471 U.S. 222, 228
(1985).5 “[T]he ultimate question” then becomes whether a law was enacted “because
of,” rather than “in spite of,” the discriminatory effect it would produce. McCrory, 831
F.3d at 220 (quoting Pers. Adm’r of Mass. v. Feeney, 442 U.S. 256, 279 (1979)).
As a preliminary matter, the case before us was brought under Article I,
Section 19 of the Constitution of North Carolina, which provides that “No person shall
be denied the equal protection of the laws; nor shall any person be subjected to
discrimination by the State because of race, color, religion, or national origin.” N.C.
Const. art. I, § 19. This provision “expressly incorporated” the Equal Protection
Clause that had been “made explicit in the Fourteenth Amendment to the
Constitution of the United States.” S. S. Kresge Co. v. Davis, 277 N.C. 654, 660 (1971).
As such, “[t]his Court’s analysis of the State Constitution’s Equal Protection Clause
generally follows the analysis of the Supreme Court of the United States in
interpreting the corresponding federal clause.” Blankenship v. Bartlett, 363 N.C. 518,
522 (2009). “However, in the construction of the provision of the State Constitution,
the meaning given by the Supreme Court of the United States to even an identical
5 The initial burden of proof by which plaintiffs must demonstrate that racial
discrimination was a motivating factor in the adoption of a facially neutral act under
Arlington Heights is by a preponderance of the evidence. Hunter, 471 U.S. at 225.
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term in the Constitution of the United States is, though highly persuasive, not
binding upon this Court.” Bulova Watch Co. v. Brand Distribs. of N. Wilkesboro, Inc.,
285 N.C. 467, 474 (1974). We maintain our authority to construe our state
Constitution and its provisions separately from their federal analogues, so long as
“our citizens are thereby accorded no lesser rights than they are guaranteed by the
parallel federal provision[s].” Stephenson v. Bartlett, 355 N.C. 354, 380–81 n.6 (2002)
(quoting State v. Carter, 322 N.C. 709, 713 (1988)). The federal Constitution is a floor,
below which we cannot sink. The majority ignores this fundamental principle.
In determining whether Senate Bill 824 violates Article I, Section 19 of the
Constitution of North Carolina, this Court must accept any findings of fact made by
the trial court as conclusive when supported by any competent evidence. When the
trial court acts as factfinder, “the trial court’s findings of fact . . . are conclusive on
appeal if there is competent evidence to support them, even [if] the evidence could be
viewed as supporting a different finding.” In re Estate of Skinner, 370 N.C. 126, 139
(2017) (quoting Bailey v. State, 348 N.C. 130, 146 (1998)). Findings of fact that are
“supported by competent, material and substantial evidence in view of the entire
record[ ], are conclusive upon a reviewing court and not within the scope [of its]
reviewing powers.” Id. at 139 (alteration in original) (quoting In re Revocation of
Berman, 245 N.C. 612, 616–17 (1957)). However, a trial court’s conclusion as to
whether a statute is constitutional, made in light of its findings of fact, is a question
of law that this Court reviews de novo. State v. Romano, 369 N.C. 678, 685 (2017).
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II. Discussion
“It is the state judiciary that has the responsibility to protect the state
constitutional rights of the citizens; this obligation to protect the fundamental rights
of individuals is as old as the State.” Corum v. UNC, 330 N.C. 761, 783 (1992)
(emphasis added). Rather than choosing to honor that duty, the majority instead
strives to protect the state legislature from the citizens—first, by adopting a standard
of proof for equal protection claims brought under Article I, Section 19 of the
Constitution of North Carolina that unduly diminishes a claimant’s ability to prevail
and, second, by misconstruing federal precedent to neuter the sensitive inquiries
specifically authorized under Arlington Heights.
A. The New Majority’s Novel Standard of Proof
Throughout its opinion, the majority adopts an unprecedented burden of proof
for claimants bringing equal protection claims arising under our state Constitution.
Although the majority repeatedly characterizes its framework as traditional and
consistent with the bulk of state authority, the depiction is, mildly put, a freewheeling
exaggeration. In fact, the majority’s new standard departs sharply from both federal
and state precedent by abandoning the traditional equal protection framework and
construing a provision of our state Constitution as providing lesser protection to
citizens of our state than its federal analogue.
The majority cites numerous opinions of this Court for its assertion that facial
constitutional challenges to an act of the legislature must be proven beyond a
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reasonable doubt. See State v. Strudwick, 379 N.C. 94 (2021); Cooper v. Berger, 370
N.C. 392 (2018); Hart v. State, 368 N.C. 122 (2015); Pope v. Easley, 354 N.C. 544
(2001); Baker v. Martin, 330 N.C. 331 (1991). The majority implies that these cases
establish some state-specific analytical jurisprudence that departs from the federal
framework and supersedes Arlington Heights; however, none of these cases concern
equal protection claims arising under Article 1, Section 19 of the Constitution of
North Carolina. This is a crucial misfire because precedent specific to Article 1,
Section 19 tends to favor identical construction to the Fourteenth Amendment. See
S. S. Kresge Co., 277 N.C. at 660 (“[T]he principle of the equal protection of the law,
made explicit in the Fourteenth Amendment to the Constitution of the United States
. . . has now been expressly incorporated in Art. I, § 19, of the Constitution of North
Carolina . . . .”); Blankenship, 363 N.C. at 522 (“This Court’s analysis of the State
Constitution’s Equal Protection Clause generally follows the analysis of the Supreme
Court of the United States in interpreting the corresponding federal clause.”).
Furthermore, state jurisprudence favors a more liberal construction of state
constitutional provisions as compared to their federal analogues and disavows any
construction that would afford citizens fewer protections than are afforded federally.
See Carter, 322 N.C. at 713 (“[W]e have the authority to construe our own constitution
differently from the construction by the United States Supreme Court of the Federal
Constitution, as long as our citizens are thereby accorded no lesser rights than they
are guaranteed by the parallel federal provision.” (emphasis added)); see also
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Stephenson, 355 N.C. at 380–81 (applying this principle to the Equal Protection
Clause); Corum, 330 N.C. at 783 (“Our Constitution is more detailed and specific than
the federal Constitution in the protection of the rights of its citizens.”). The majority’s
decision flies in the face of this precedent by rejecting Arlington Heights on the
grounds that it makes it too easy for citizens of this state to succeed on claims that
legislative acts were enacted with discriminatory intent and thereby to assert their
right to equal protection of the law.
The majority contends that its adoption of the “beyond a reasonable doubt”
standard is justified by the pursuit of objectivity and consistency. Specifically, the
majority appears to be gravely concerned that courts applying Arlington Heights
might come to different conclusions concerning the constitutionality of the same
legislative act. However, inconsistent outcomes are a regular byproduct of
complicated, fact-intensive legal inquiries which appellate courts are presumably
equipped to review. Furthermore, the entire purpose of Arlington Heights and its
progeny is to empower plaintiffs alleging equal protection claims against legislation
which appears neutral on its face to put forward “such circumstantial and direct
evidence . . . as may be available” across a range of factors that the Supreme Court of
the United States has deemed probative on the question of discriminatory intent. 429
U.S. at 266.6 By the very nature of such claims, the evidence presented by plaintiffs
6 Although the majority does not specifically state that its new legal framework
disfavors the Arlington Heights factors as legitimate sources of evidence bearing on the issue
of discriminatory intent, it does opine that evidence declared to be sufficient under the
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in these types of cases will necessarily appear from sources other than the face of the
challenged piece of legislation; consequently, different groups of plaintiffs challenging
the same law may build entirely different records from which factfinders may derive
entirely different factual findings upon which to base their legal conclusions. These
circumstances are routine and do not justify the extreme departure from proven
precedent which the majority cavalierly creates.
As if this new standard of proof were not enough to ensure its desired outcome,
the majority imposes additional hurdles onto plaintiffs in the form of legal tests that
are not ordinarily applied to equal protection claims. Specifically, the majority
discusses the so-called Salerno test, which establishes that an individual challenging
the facial constitutionality of a legislative act “must establish that no set of
circumstances exist under which the [a]ct could be valid.” United States v. Salerno,
481 U.S. 739, 745 (1987); see also State v. Bryant, 359 N.C. 554, 564 (2005). However,
this test is rarely applied as strictly as it was conceived, see Washington v.
Glucksberg, 521 U.S. 702, 740 (1997) (Stevens, J., concurring), and is barely applied
at all in several areas of constitutional law, including Equal Protection Clause
jurisprudence. See Alex Kreit, Making Sense of Facial and As-Applied Challenges, 18
Wm. & Mary Bill Rts. J. 657, 659–65 (2010); Michael C. Dorf, Facial Challenges to
State and Federal Statutes, 46 Stan. L. Rev. 235, 238–39 (1994). To the extent that
Arlington Heights framework is “by its very nature speculative” and open to subjective
interpretation.
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this Court has previously cited Salerno, it has never been within the context of an
equal protection claim. Finally, the United States Supreme Court itself has
questioned the ongoing viability of this aspect of Salerno altogether. See City of
Chicago v. Morales, 527 U.S. 41, 55 n.22 (1999) (“To the extent we have consistently
articulated a clear standard for facial challenges, it is not the Salerno formulation,
which has never been the decisive factor in any decision of this Court, including
Salerno itself . . . .”).
B. The Majority’s Abuse of Abbott and Raymond
Unsatisfied with its ability to eschew the federal framework for one which all
but guarantees the state legislature’s indemnity from plaintiffs’ pesky claims of racial
discrimination, the majority attempts to extract overly broad legal principles from
two federal decisions that, as it acknowledges, are not binding on this Court and were
cabined by their own records on appeal in order to claim that the trial court’s analysis
not only faltered under this Court’s entirely new state standard, but also under a
traditional application of Arlington Heights. However, neither case stands for such a
sweeping proposition as the majority would assign to it and, in fact, both cases happen
to expressly acknowledge historical context as a permissible source of insight into
present legislative intent. Furthermore, both the United States Supreme Court in
Abbott, as well as the Fourth Circuit in Raymond, were confronted with trial court
findings that were distinctly and thoroughly flawed by the misapplication of the
proper burden of proof. In the absence of such error by the trial court in the present
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case, the majority’s effort to analogize the trial court’s decision in this case with those
presented in Abbott and Raymond falls flat.
i. The United States Supreme Court’s Decision in Abbott v. Perez
In Abbott, the United States Supreme Court reversed in part the decision of a
three-judge panel sitting in the Western District of Texas, finding that the
redistricting plans adopted by the 2013 Texas Legislature had not been “cured” of the
unlawful discriminatory intent that had been previously found in the plans adopted
by the Texas Legislature in 2011. 138 S. Ct. at 2313. The Abbott Court held that the
district court had “committed a fundamental legal error” by requiring “the State to
show that the 2013 Legislature somehow purged the ‘taint’ that the court attributed
to the defunct and never-used plans enacted by a prior legislature in 2011.” Id. at
2313, 2324. The Supreme Court acknowledged that Arlington Heights applied, and
that the historical background of the 2013 redistricting plans was relevant to the
question of whether they were enacted with discriminatory intent; however, it also
emphasized that a finding of past discrimination alone did not justify shifting the
burden of proof from plaintiffs to the State. Id. at 2324. The high Court therefore
concluded that “the essential pillar of the three-judge court’s reasoning was critically
flawed” and that, reviewed under the “proper legal standards,” all but one of the
legislative districts were lawful. Id. at 2313–14.
The Abbott Court determined that, aside from the legislative body’s prior bad
acts, both the direct and circumstantial evidence did not support the district court
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panel’s conclusion that the 2013 Texas Legislature had acted with discriminatory
intent. Id. at 2327. The Supreme Court credited the fact that the 2013 redistricting
plans had been approved and adopted by the three-judge court itself, and that the
state attorney general had advised the 2013 Legislature that adopting these plans
was the easiest way to bring legal challenges to a close as “expeditiously as possible,”
thus indicating the legislature’s legitimate intent to adopt court-approved plans as a
means of ending litigation. Id. at 2313, 2327. Meanwhile, it discredited the federal
district court’s inferences of unlawful intent as unsound and without supporting
evidence. Id. at 2327–29. As such, the Abbott Court opined that the federal district
court’s inappropriate reallocation of the burden of proof onto the State was “central”
to its analysis, noting that the lower court had
referred repeatedly to the 2013 Legislature’s duty to
expiate its predecessor’s bad intent, and when the court
summarized its analysis, it drove the point home. It stated:
“The discriminatory taint [from the 2011 plans] was not
removed by the Legislature’s enactment of the Court’s
interim plans, because the Legislature engaged in no
deliberative process to remove any such taint, and in fact
intended any such taint to be maintained but be safe from
remedy.”
Id. at 2325–26 (alteration in original) (quoting Perez v. Abbott, 274 F. Supp. 3d 624,
649 (W.D. Tex. 2017)). Having concluded that the plaintiffs had not met their burden
of proof to demonstrate discriminatory intent under the correct legal standard except
in the case of one district which had a design explicitly predicated on race, the Court
reversed in part, affirmed in part, and remanded to the trial court. Id. at 2335.
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The majority strains to construe Abbott as impacting the present case in at
least two ways. First, the majority misconstrues the directive in Abbott that a finding
of past discrimination cannot alone justify reallocating the burden of proof from
plaintiffs onto the State as indicating that the trial court’s findings in the present
case, considering the historical background of Senate Bill 824, had no bearing on the
intent of the legislature which had passed it. Second, the majority regards Abbott as
permission for this Court to entirely disregard the second prong of Arlington Heights
absent a finding that the General Assembly here not only deviated from its normal
operating procedures but deviated so grossly as to have acted outside of its legitimate
constitutional power. However, the United States Supreme Court’s holding in Abbott
cannot legitimately be stretched by the majority to substantiate the liberties which it
takes with the high court’s instructive reasoning in Abbott.
First, the Abbott Court’s holding that the federal district court had improperly
flipped the burden of proof was neither based on the lower court’s mere consideration
of the law’s historical background, nor stray references to a prior legislature’s
discriminatory intent or knowledge of the plans’ potential discriminatory impact.
Indeed, the Supreme Court in Abbott fully recognized the relevancy of the 2013
redistricting plans’ historical background, including the prior finding of
discrimination on the part of the 2011 Legislature:
In holding that the District Court disregarded the
presumption of legislative good faith and improperly
reversed the burden of proof, we do not suggest either that
the intent of the 2011 Legislature is irrelevant or that the
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plans enacted in 2013 are unassailable because they were
previously adopted on an interim basis by the Texas court.
Rather, both the intent of the 2011 Legislature and the
court’s adoption of the interim plans are relevant to the
extent that they naturally give rise to—or tend to refute—
inferences regarding the intent of the 2013 Legislature.
They must be weighed together with any other direct and
circumstantial evidence of that Legislature’s intent. But
when all the relevant evidence in the record is taken into
account, it is plainly insufficient to prove that the 2013
Legislature acted in bad faith and engaged in intentional
discrimination.
Id. at 2326–27 (emphases added). Justice Sotomayor’s dissent in Abbott credits the
majority for exactly this distinction, noting that the majority opinion “does not
question the relevance of historical discrimination in assessing present
discriminatory intent. Indeed, [it] leaves undisturbed the longstanding principle
recognized in Arlington Heights that the historical background of a legislative
enactment is one evidentiary source relevant to the question of intent.” Id. at 2351–
52 (Sotomayor, J., dissenting) (extraneity omitted).
Instead, the holding in Abbott reflects the fact that the federal district court in
that case had allowed the previous legislature’s intent not only to invade its
considerations of the other Arlington Heights factors, but also to dictate the lower
court’s findings at each stage by requiring the legislature to affirmatively prove that
it had cured the discriminatory taint of the prior legislative body. See Perez, 274 F.
Supp. 3d at 648. It would be nearly impossible to disentangle the Perez court’s factual
findings from its improper legal framework because, as the federal district court itself
explicitly stated, it conducted its analysis believing that the “most important
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consideration [was] whether the 2011 plans continue[d] to have discriminatory or
illegal effect, and whether the [2013] reenactment further[ed] that existing
discrimination.” Id. The Supreme Court addressed this misconception in deciding
that the lower court had committed legal error, unequivocally declaring that: “[u]nder
these circumstances, there can be no doubt about what matters: It is the intent of the
2013 Legislature. And it was the plaintiffs’ burden to overcome the presumption of
legislative good faith and show that the 2013 Legislature acted with invidious intent.”
Abbott, 138 S. Ct. at 2325.
Conversely, the trial court made no such legal error in the present case. The
tribunal correctly identified the applicable legal framework as supplied by Arlington
Heights and accurately acknowledged throughout that plaintiffs bore the initial
burden of proving that Senate Bill 824 was enacted with discriminatory intent before
defendants would ever be required to demonstrate that the law would have been
enacted absent discrimination as a motivating factor. Unlike the federal district court
in Perez, the trial court in this case never contemplated that the primary
consideration might be the intent of the prior legislature that had passed the previous
voter identification provision; indeed, it never strayed from its objective to determine
the intent of the legislature which passed Senate Bill 824 using the factors provided
by Arlington Heights. While, in its thorough analysis, the trial court referenced both
the previous voter identification law, House Bill 589—and the Fourth Circuit’s
decision in McCrory that had determined that House Bill 589 was itself passed with
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discriminatory intent—the trial court appropriately did so by properly considering
House Bill 589 as part of the overall historical background leading up to Senate Bill
824 and by using McCrory’s analysis of House Bill 589 in order to guide its own
analysis of Senate Bill 824 rather than to dictate its outcome.
The majority ascribes much significance to one of the trial court’s numerous
subheadings in the lower forum’s issued order: “The Design of S.B. 824 Does Not
Evince an Intent by the General Assembly to Cure Racial Disparities Observed Under
H.B. 589.” This organizational entry, and the trial court’s subsequent analysis
appearing under the section, do not constitute an improper reallocation of the burden
of proof onto defendants. In this portion of its order, the trial court rejects some of
defendants’ counterarguments as to why and how the legislative history of Senate
Bill 824 did not raise “additional red flags.” Before reaching this section, as well as
the one immediately following it which concluded that the “Limited Democratic
Involvement in Enacting S.B. 824 [Did] Not Normalize the Legislative Process,”
however, the trial court specifically found that Senate Bill 824 had been enacted in
an unusually expeditious process, leaving little time for concerns to be addressed
about the law’s impact on minority voters. The trial court further specifically found
that amendments to the legislative bill that were proposed which might have
benefitted Black voters were rejected and not incorporated into the final law. In the
aforementioned category of the trial court’s order, the tribunal acknowledged that
Senate Bill 824 included forms of qualifying identification which were not included
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in House Bill 589 before concluding that the General Assembly did not “consider any
updated racial demographic data prior to the enactment of S.B. 824” and, therefore,
could not be credited with actively persevering to reduce the known racial impact of
requiring voters to present photographic identification. This segment of the trial
court’s order did not directly ascribe the discriminatory intent of the legislature that
had passed House Bill 589 to the legislature that had passed Senate Bill 824; instead,
it recognized the known disparate impact of a photographic identification
requirement to vote, evidenced in part by data from the implementation of House Bill
589; the fact that those amendments that would specifically assist Black voters in
accessing the franchise despite such a requirement were rejected by the General
Assembly; and that those additional forms of identification that were integrated into
the final law were not fashioned to alleviate the law’s disparate racial impact. All of
these findings by the trial court were supported by competent evidence and should
have been taken as conclusive on appeal.
The majority also cites Abbott for the majority’s proposition that a speedy
legislative process cannot give rise to an inference of bad faith. In Perez, the federal
district court found that the 2013 Texas Legislature “pushed the redistricting bills
through quickly in a special session.” 274 F. Supp. 3d at 649. The federal district court
noted that the Texas Attorney General had urged the legislature to adopt the
redistricting plans during the regular session, but that the regular session ended in
May 2013 with no redistricting action, whereupon the Governor of Texas called a
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special session to consider legislation ratifying and adopting the court-approved
redistricting plans. Id. at 634. On this point, the United States Supreme Court
provided that:
we do not see how the brevity of the legislative process can
give rise to an inference of bad faith—and certainly not an
inference that is strong enough to overcome the
presumption of legislative good faith . . . . The “special
session” was necessary because the regular session had
ended. As explained, the Legislature had good reason to
believe that the interim plans were sound, and the
adoption of those already-completed plans did not require
a prolonged process. After all, part of the reason for
adopting those plans was to avoid the time and expense of
starting from scratch and leaving the electoral process in
limbo while that occurred.
Abbott, 138 S. Ct. at 2328–29. The majority clings to this snippet from Abbott in an
effort to discredit the trial court’s findings that the sequence of events leading to the
enactment of Senate Bill 824 was unusual and “[m]arked by [d]epartures from
[n]ormal [l]egislative [p]rocedure.”
However, the relevant inquiry under Arlington Heights is not whether a
challenged action was adopted after a brief legislative process as opposed to a lengthy
one; rather, Arlington Heights directs courts to consider “[d]epartures from the
normal procedural sequence.” 429 U.S. at 267. Cases applying the Arlington Heights
factors suggest that an actor’s “normal procedural sequence” should be defined by the
procedural norms of that particular entity. See, e.g. Familias Unidas Por La
Educación v. El Paso Indep. Sch. Dist., 2022 U.S. Dist. LEXIS 180846 at *23–25 (W.D.
Tex. 2022) (finding that the public school district had deviated from its typical
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procedures by failing to involve community members in its decision to close three
elementary schools); Greater New Orleans Fair Hous. Action Ctr. v. St. Bernard
Parish, 641 F. Supp. 2d 563, 573–74 (E.D. La.) (finding that the St. Bernard Parish
and Parish Counsel deviated from the normal process for enacting a moratorium in
relation to a proposed construction project by not involving a variance and not being
limited in scope); see also Normal, Black’s Law Dictionary (6th ed. 1990) (defining
“normal” as “[a]ccording to, constituting, or not deviating from an established norm”).
Furthermore, a deviation from a legislature’s normal operating procedure does not
automatically constitute a violation of the legislature’s defined procedural rules, and
therefore certainly not constitutional constraints. McCrory, 832 F.3d at 228 (“But, of
course, a legislature need not break its own rules to engage in unusual procedures.”).
In Perez, the federal district court made no findings from which it or an
appellate court could determine whether a convention of a legislative special session
for the purpose of considering and adopting court-approved redistricting plans was
outside of the Texas Legislature’s normal operating procedures. 274 F. Supp. 3d 624.
As the United States Supreme Court held, the “brevity” of the legislative process in
that case was not enough to give rise to an inference of bad faith alone, especially
considering the legislature’s reason to believe that the court-issued redistricting
plans were sound and the law-making body’s motivation to avoid an indefinite
disruption of the electoral process. Abbott, 138 S. Ct. at 2328–29. The circumstances
in Abbott are readily distinguishable from the situation in the present matter, where
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the trial court made multiple findings that directly addressed the North Carolina
General Assembly’s normal operating procedures and the legislative body’s deviation
therefrom during both the enactments of House Bill 1092—the constitutional
amendment requiring voters to produce photographic identification in order to vote—
and Senate Bill 824 as its implementing legislation. Instead of accepting these
findings as binding and relevant to its Arlington Heights analysis, the majority
proposes in its opinion here that any consideration of procedural abnormalities, short
of the legislature plainly acting outside of its constitutional authority, amount to
judicial overreach into the legislative process and consequently squelch the viability
of this Arlington Heights factor in North Carolina.
ii. The Fourth Circuit’s Decision in NAACP v. Raymond
As with Abbott, the majority here also labors to contort the Fourth Circuit’s
decision in Raymond. In Raymond, the Fourth Circuit reviewed a decision of the
United States District Court for the Middle District of North Carolina which granted
the plaintiffs’ motion for a preliminary injunction enjoining the enforcement of Senate
Bill 824 under the federal Equal Protection Clause. N.C. State Conf. of the NAACP v.
Raymond, 981 F.3d 295, 298 (4th Cir. 2020), rev’g N.C. State Conf. of the NAACP v.
Cooper, 430 F. Supp. 3d 15 (M.D.N.C. 2019). The Fourth Circuit reversed the federal
district court, finding that the lower court had “improperly disregarded” the principle
that a legislature’s “discriminatory past” cannot be used to condemn its later acts, by
“reversing the burden of proof and failing to apply the presumption of legislative good
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faith.” Id. Specifically, the Fourth Circuit determined that the federal district court
had “considered the General Assembly’s discriminatory intent in passing the 2013
Omnibus Law to be effectively dispositive of its intent in passing the 2018 Voter-ID
Law.” Id. at 302. The Fourth Circuit analogized to Abbott, finding that:
The district court here made the same mistake as
the panel in Abbott without even trying to distinguish the
Supreme Court’s holding. Explaining that it is “ ‘eminently
reasonable to make the State bear the risk of non-
persuasion with respect to intent’ when the very same
people who passed the old, unconstitutional law passed the
new,” Cooper, 430 F. Supp. 3d at 32, the district court noted
that the General Assembly did not “try[] to cleanse the
discriminatory taint,” id. at 43, or “tak[e] steps to purge the
taint of discriminatory intent,” id. at 35. . . . These were not
merely “stray comments.” Abbott, 138 S. Ct. at 2325. “On
the contrary, they were central to the court’s analysis,” id.,
for they made explicit the burden-shifting that the court
engaged in while assessing the Arlington Heights factors.
Id. at 303 (first and second alterations in original). The Fourth Circuit also observed
that the federal district court repeatedly referenced the fact, throughout its Arlington
Heights analysis, that the legislature that enacted Senate Bill 824 was largely
composed of the same legislators who had passed House Bill 589. Id. at 304–05; see
Cooper, 430 F. Supp. 3d at 31 (“Plaintiffs’ more potent sequence-related argument is
less about ‘how’ than ‘who.’ ”); Cooper, 430 F. Supp. 3d at 35 (“[T]he legislative history
reveals that the General Assembly’s goals and motivations went virtually unchanged
in the time between H.B. 589 and S.B. 824. Rather than taking steps to purge the
taint of discriminatory intent, the bill’s supporters expressed their resolve to
circumvent McCrory and stave off future legal challenges.”).
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Just as the United States Supreme Court did in Abbott, the Fourth Circuit in
Raymond comprehensively explained that the historical discrimination exhibited by
the General Assembly that had enacted House Bill 589 was a relevant factor in
discerning the existence of present discriminatory intent on the part of the General
Assembly that had passed Senate Bill 824. Raymond, 981 F.3d at 305. The federal
appellate court cautioned:
None of this suggests that the 2013 General
Assembly’s discriminatory intent in enacting the 2013
Omnibus Law is irrelevant. See Abbott, 138 S. Ct. at 2327.
But the appropriate place to consider the 2013 Omnibus
Law is under the “historical background” factor. See
Arlington Heights, 429 U.S. at 267; see also Abbott, 138 S.
Ct. at 2325 (finding that the historical background leading
to the law’s enactment is but “ ‘one evidentiary source’
relevant to the question of intent” (quoting Arlington
Heights, 429 U.S. at 267)). And yet the “historical
background” section is the one part of the district court’s
discriminatory-intent analysis where the court did not
discuss the 2013 Omnibus Law.
Id. at 305. Finding that the federal district court’s legal errors had “fatally infected”
its findings, the Fourth Circuit reviewed the remaining evidence and determined
that, aside from historical background, the remaining factors of Arlington Heights did
not support a finding of discriminatory intent. Id. at 303. Specifically, the Fourth
Circuit acknowledged the federal district court’s finding that there were no
procedural irregularities leading up to the enactment of Senate Bill 824 and that
minority voters disproportionately lacked the forms of identification required by the
law before the federal appellate court determined that the federal district court had
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erred in discrediting the bill’s bipartisan support, the impact of the intervening
constitutional amendment, and the effect of the law’s mitigating features. Id. at 305–
10. The Fourth Circuit therefore reversed, explaining that it did not do so because
the federal district court weighed the available evidence differently than the federal
appellate court would have, but instead because “of the fundamental legal errors that
permeate[d] the [lower court’s] opinion.” Id. at 310–11.
As a previous composition of this Court noted, Raymond was decided in an
entirely different procedural posture and on an entirely different factual record. As
the trial court in the instant case acknowledged, quoting Holdstock v. Duke University
Health System, 270 N.C. App. 267, 280 (2020), “the [C]ourt of [A]ppeals cannot ask
questions that might help resolve issues or prompt responses necessary to create a
complete record.” For this reason, appellate courts rely upon the trial courts to
develop sufficient factual records from which the higher tribunals can make their own
determinations upon appellate review; furthermore, an appellate court’s
determinations will necessarily be premised upon the presence or absence of
sufficient record evidence, as opposed to some abstract absolute truth. Whereas the
trial court’s decision here was based on a full and final record developed after the
completion of a three-week bench trial, the federal district court in Cooper issued its
opinion based upon a preliminary pretrial record and without the benefit of much of
the evidence that was provided to the trial court in this case.
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As a result, the federal district court’s findings of fact, upon which the Fourth
Circuit based its own review, differed significantly from those made by the trial court
in the present case. For example, while the federal district court in Cooper found that
the events leading up to the passage of Senate Bill 824 lacked any “procedural
irregularity,” 430 F. Supp. 3d at 32, the trial court in Holmes made numerous findings
on the irregularities leading up to the enactments of both House Bill 1092 and Senate
Bill 824 based upon expert testimony that the federal district court in Cooper did not
receive. Likewise, the trial court here received and credited expert testimony
discussing the disproportionate impact that Senate Bill 824’s reasonable impediment
provisions would have on Black voters that was unavailable to the federal district
court in Cooper, and therefore to the Fourth Circuit in Raymond.
The trial court’s findings in this case flowed directly from the evidentiary
record before it, rather than from an improperly inverted assignment of the burden
of proof. Whereas the federal district court’s analysis in Cooper repeatedly paralleled
the Perez court’s improper legal standard nearly verbatim, the trial court in this case
never ascribed the “discriminatory taint” of House Bill 589 to the legislature that had
passed Senate Bill 824. Compare Cooper, 430 F. Supp. 3d at 43 (“[R]ather than trying
to cleanse the discriminatory taint which had imbued H.B. 589, the legislature sought
ways to circumvent state and federal courts and further entrench itself.”), and Cooper,
430 F. Supp. 3d at 35 (“Rather than taking steps to purge the taint of discriminatory
intent, the bill’s supporters expressed their resolve to circumvent McCrory and stave
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off future legal challenges.”), with Perez, 274 F. Supp. 3d at 649 (“Further, the
Legislature did not engage in a deliberative process to ensure that the 2013 plans
cured any taint from the 2011 plans.”). By contrast, the majority decision here largely
relies upon one instance in which the trial court supposedly inverted the evidentiary
burden; namely, where the trial court had found that Senate Bill 824’s substantive
departures from House Bill 589 were not made for the purpose of alleviating the
racially disparate impact that had been previously observed under House Bill 589. In
doing so, the trial court did not, however, ascribe the previous legislature’s intent to
that legislative body which had passed Senate Bill 824, nor did it purport by its order
that defendants were required to cleanse, purge, or cure any discriminatory intent
which had traversed from House Bill 589 to Senate Bill 824.
For these reasons, inasmuch as the Fourth Circuit’s decision in Raymond was
explicitly based on the federal district court’s “fundamental legal errors that
permeate[d] the opinion,” 981 F.3d at 311, and a full consideration of the particular
evidentiary record before the Fourth Circuit, Raymond provides no meaningful grist
for the majority’s mill: the trial court’s findings were derived from an entirely
different and more extensive evidentiary record, and the trial court never required
defendants to prove that they had purged Senate Bill 824 of the discriminatory taint
of House Bill 589.
C. The Majority’s Reconsideration of the Evidence
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The remainder of the majority’s opinion engages in an improper and self-
serving reweighing evaluation of the evidence presented to the trial court which bears
on disparate impact. While it is elementary that reweighing evidence upon appellate
review is fundamentally wrongful, the egregiousness of the majority’s act is
particularly pronounced since the case is back on rehearing. The correct standard of
review for a trial court’s findings of fact is highly deferential. “[T]he trial court’s
findings of fact . . . are conclusive on appeal if there is competent evidence to support
them, even [if] the evidence could be viewed as supporting a different finding.” In re
Estate of Skinner, 370 N.C. at 139 (quoting Bailey, 348 N.C. at 146). Findings of fact
“supported by competent, material and substantial evidence in view of the entire
record[ ], are conclusive upon a reviewing court and not within the scope [of its]
reviewing powers.” Id. at 139 (alteration in original) (quoting In re Revocation of
Berman, 245 N.C. at 616–17). Furthermore, a finding of “overwhelming” disparate
impact is not required under Arlington Heights. McCrory, 831 F.3d at 231. Instead,
the pertinent inquiry is merely whether Senate Bill 824 “bears more heavily” on Black
voters. Arlington Heights, 429 U.S. at 266 (quoting Washington, 426 U.S. at 242).7 In
7 The majority repeatedly cites cases which consider whether state legislative acts
imposed a “substantial burden” upon the right to vote through requirements related to voter
identification. Notably, these analyses occurred not under Arlington Heights but under
separate constitutional principles which limit legislatures’ ability to encumber exercise of the
constitutionally protected right to vote even when acting without racially discriminatory
purpose. See, e.g., Lee v. Va. State Bd. of Elections, 843 F.3d 592, 605–06 (4th Cir. 2016);
Crawford v. Marion Cnty. Election Bd., 553 U.S. 181, 190–91 (2008). Although these cases
have some bearing on what types of voter-related requirements and restrictions have been
determined to be facially unconstitutional, they do not stand for the proposition that
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other words, whether the law actually “produces disproportionate effects.” Hunter, 471
U.S. at 227;8 see also McCrory, 831 F.3d at 231 (“[T]he district court’s findings that
African Americans . . . disproportionately lacked the photo ID required by SL 2013-
381, if supported by the evidence, establishes sufficient disproportionate impact for
an Arlington Heights analysis.”).
Here, the trial court received evidence over the course of a three-week trial
which included extensive expert testimony before determining that (1) Black voters
were more likely to lack qualifying forms of identification than white voters and (2)
the burdens of obtaining qualifying forms of identification and navigating the
reasonable impediment process fell more heavily upon Black voters than white
voters. Plaintiffs’ expert Professor Kevin Quinn showed that, similar to House Bill
589, Senate Bill 824 was very likely to have a disproportionate impact on Black
voters, who were approximately 39% more likely than white voters to lack qualifying
forms of identification; when the professor’s data analysis was restricted to active
voters, Black voters were more than twice as likely to lack qualifying identification
claimants under Arlington Heights must demonstrate the imposition of a substantial burden
along racial lines.
8 In its newly proposed standard, the majority contends that the relevant inquiry is
whether a law produces a meaningful disparate impact along racial lines, separate and apart
from the court’s determination of whether the legislature acted with discriminatory intent.
It is unclear what, if any, additional burden this standard imposes upon plaintiffs, but this
too is a departure from Arlington Heights, which provided discriminatory effect as one
relevant but not all-consuming factor in its constitutional analysis. 429 U.S. at 265 (holding
that, although not “irrelevant,” disproportionate impact is “not the sole touchstone of an
invidious racial discrimination” (quoting Washington, 426 U.S. at 242)).
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as white voters. A majority of this Court concludes that Professor Quinn’s evidence
was “fatally deficient” because he was unable to access data concerning all forms of
qualifying identification9 even though he testified that, while accounting for these
forms of identification would likely decrease the absolute number of individuals
lacking any form of qualifying identification as defined by Senate Bill 824, the
ultimate racial disparity was likely to be even greater than originally estimated. 10
The trial court also heard testimony indicating that Senate Bill 824’s ameliorative
provisions failed to sufficiently mitigate the law’s disparate impact on Black people.
The trial court considered and credited evidence from the implementation of House
Bill 589 which indicated that the bill’s similar reasonable impediment provision had
not been “uniformly provided to voters” and that the reasonable impediment process
was “susceptible to error and implicit bias.” To this end, the trial court found that
those voters whose ballots were not counted were “much more likely” to be Black than
the electorate’s ballots as a whole. Finally, the trial court specifically discounted the
testimony of defendants’ experts as unpersuasive and incapable of rebutting the
abovementioned findings.
9 Specifically, Professor Quinn was unable to acquire identification databases for
passports, military IDs, and veterans’ IDs. He noted that these databases, by their very
nature, contain highly confidential information and are not typically available for access.
10 This is due to the fact that these forms of identification are more likely to be held
by whites than Blacks; for example, the trial court found that white voters are 2.4 times as
likely to possess unexpired passports as Black voters.
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In order to posit that these findings were not supported by competent evidence,
the majority usurps the trial court’s fact-finding function through its own credibility
determinations and assigning its own weights to the plethora of evidence presented
to the trial court. Where the majority cannot legitimately deny the trial court’s
statistical findings, the majority simply determines them to be overstated. In doing
so, the majority both abandons the applicable standard of review and inflates
plaintiffs’ burden under Arlington Heights. See In re I.K., 377 N.C. 417, 426 (2021)
(“[T]his Court reviews the trial court’s order to determine whether competent
evidence supports the finding of fact and cannot reweigh the evidence when making
this determination.”); In re J.A.M., 372 N.C. 1, 11 (2019) (holding that because “the
trial court is uniquely situated to make . . . credibility determination[s] . . . appellate
courts may not reweigh the underlying evidence presented at trial”).
III. Conclusion
Our precedent, stretching back nearly 150 years into this Court’s history,
makes it exceedingly clear that those few and distinguished cases brought back before
the Court for rehearing ought to be reconsidered only with tremendous caution.11
11 See Watson v. Dodd, 72 N.C. 240, 240 (1875) (“The weightiest considerations make
it the duty of the Courts to adhere to their decisions. No case ought to be reversed upon
petition to rehear, unless it was decided hastily, or some material point was overlooked, or
some direct authority was not called to the attention of the Court.”); Weisel v. Cobb, 122 N.C.
67, 69 (1898) (“As the highest principles of public policy favor a finality of litigation,
rehearings are granted by us only in exceptional cases, and then every presumption is in
favor of the judgment already rendered.”); Hicks v. Skinner, 72 N.C. 1, 2 (1875) (“[U]nless we
have clearly mistaken some important fact, or overlooked some express and weighty
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Indeed, every presumption is construed in favor of the Court’s previous holding, and
we allow ourselves to upset our previous judgment if, and only if, we are able to
determine that the previous majority either clearly mistook some important fact or
overlooked an express and weighty authority in contradiction to its prior ruling. This
principle exists precisely to ensure that the Court’s judgments are not subject to
immediate reversal upon a change in the direction of political winds. See Weisel, 122
N.C. at 70; Devereux v. Devereux, 81 N.C. 12, 16–17 (1879). Rather than abide by that
lofty philosophy which has always permeated the fabric of this Court, the majority
instead prefers to dismember both state and federal jurisprudence in order to
demonstrate its alacrity to brandish its audacity to achieve its purposes, all while
claiming to act in the name of judicial restraint. Perhaps the Chief Justice said it best
when he once chose to dissent from a majority opinion of this Court when decrying
judicial activism: “The ultimate damage to our jurisprudence and public trust and
confidence in our judicial system is yet to be determined.” Robinson, 375 N.C. at 214
(Newby, J., dissenting).
For these reasons, I respectfully dissent.
Justice EARLS joins in this dissenting opinion.
authority, we must adhere to our decisions. We consider every case with care, and decide
nothing with a venture.”).
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