Isakson v. Rickey

OPINION

ERWIN, Justice.

This appeal involves a challenge to a section of Alaska’s Limited Entry Act, AS 16.43.010 et seq., which was enacted by the State Legislature in 1973. The Act created the Alaska Commercial Fisheries Entry Commission and a scheme for precluding entry of some fishermen into the Alaska commercial fisheries. Appellants, all Alaska commercial fishermen, contend that a certain provision of the Act denies them equal protection of the laws and is therefore unconstitutional.

A brief review of the history of limited entry in Alaska is necessary to understand the positions of the litigants.

In the past, entry into commercial fishing was relatively easy because the industry provided inexpensive financing for boats and gear. As a consequence even people engaged in other primary employment could obtain the funds necessary to begin fishing commercially and, because it was not the major source of their livelihood, could afford to participate at marginal economic levels.1

Since 1960, the commercial use of the various authorized gear used for taking fish has required a gear license. While more than one person could participate in operating a given unit of gear, i. e., partners, crewmen, spouses or children, each unit engaged in commercial fishing generally had but one gear license. Accordingly, the number of gear licenses actively in use represented the number of units of gear actually engaged in any fishery. Between 1960 and 1972, the number of units of gear licensed in the Alaska salmon fisheries increased from 6,512 to 11,363. Thus, while the supply of salmon decreased, the fishing effort measured by the number of units of gear operating in the fisheries increased significantly.

The commercial fisheries are unquestionably an important economic resource of the State. To maintain the maximum biological and the optimum economic sustained yields for those engaged in commercial fishing, it became apparent that some action was necessary.

In August, 1972, the people of Alaska voted overwhelmingly to amend the State Constitution to permit the adoption of a limited entry program for the commercial fisheries.2 In January of 1973, the Governor proposed legislation for a limited entry program to the state legislature. As introduced, the bill required entry permits in order to operate gear after January 1, 1974. The Alaska Commercial Fisheries Entry Commission was established under the bill to determine who would receive the limited number of permits, with selection to be based upon certain hardship standards, e. g., degree of economic dependence on the fishery and extent of past participation in the fishery. It was specifically provided that those who received the entry permits could subsequently sell them at fair market value.3

With regard to who could submit applications, the original bill provided that the “commission shall establish the opening and closing dates, places and form of applica*361tion for entry permits. . . . ” 4 When the bill was before the legislature, it was modified so that only holders of gear licenses could apply for the entry permits. Finally, just prior to being sent to the Governor for approval, the bill was again changed to read:

The commission shall accept applications for entry permits only from applicants who have harvested fishery resources commercially while participating in the fishery as holders of gear licenses issued under AS 16.05.536-16.05.670, before January 1, 1973. (Emphasis added)

The case at bar concerns this added provision, hereinafter referred to as AS 16.-43.260(a).5

The plaintiffs in the action below (and the appellants herein) became holders of gear licenses after January 1, 1973. These plaintiffs sought a declaratory judgment, a preliminary injunction, and a permanent injunction against the Commercial Fisheries Entry Commission (appellees herein), to prevent enforcement of the Act. The plaintiffs argued, among other things, that the cut-off date of January 1, 1973, which prevented them from submitting an application for a free commercial fishing entry permit, denied them equal protection of the laws. Following a hearing, the motion for a preliminary injunction was denied and cross motions for summary judgment were filed. The trial court granted appellees’ motion for summary judgment.

The plaintiffs below appeal the trial court’s decision, contending that the date utilized in AS 16.43.260(a) violates the equal protection clause of the Fourteenth Amendment to the United States Constitution which prohibits states from denying “to any person within its jurisdiction the equal protection of the laws,” and under the similar provision of the Alaska Constitution, art. I, § 1. Specifically, appellants argue that the legislature devised the January 1, 1973, cut-off date to facilitate the Commission’s selection process by eliminating those applicants whom they believed would be unable to demonstrate the hardship necessary for an entry permit. From this base they submit that the January 1, 1973, date results in a classification which is overbroad and underinclusive. Appellants point out that a person who has retired or discontinued commercial fishing prior to January 1, 1973, is allowed to apply for a free permit regardless of the degree of hardship he would suffer by being excluded from the fisheries simply by virtue of fortuitously holding a gear license before the cut-off date. On the other hand, persons such as appellants, are precluded from even submitting an application because they became gear license holders after January 1, 1973. This is so despite the fact that they have engaged in commercial fishing^ endeavors in previous years and have invested large amounts of money in gear and vessels with the intention of fishing commercially for a living in the future. Thus, they submit, the classification is unconstitutional.

In the past this court has applied the traditional tests in analyzing equal protection problems. Thus, previous cases have spoken in terms of the “rational basis” test and the “compelling state interest” test, depending on whether or not the right sought to be regulated was fundamental in a constitutional sense or involved a suspect classification. Too often, however, the label applied preordained the outcome of the case. Because of this fact, recent decisions by this court noted a growing dissatisfaction with the two-tiered test.

*362In State v. Wylie,6 we observed:

Several recent decisions of the Supreme Court of the United States have evidenced discontent with the strict scrutiny standard called for by the “compelling state interest” test and the “minimal scrutiny” resulting from employment of the “rational basis” criteria. For an analysis of this development see Professor Gunther’s foreword to The Supreme Court, 1971 Term. 86 Harv.L.Rev. 1, 17-24 (1972).

In State v. Adams7 we cited the above passage from Wylie and recognized that the United States Supreme Court “may be searching for a new equal protection analysis.”

In a subsequent opinion, Lynden Transport, Inc. v. State,8 we wrote:

It has been suggested that there is mounting discontent with the rigid two-tier formulation of the equal protection doctrine, and that the United States Supreme Court is prepared to use the clause more rigorously to invalidate legislation without expansion of “fundamental rights” or “suspect” categories and the concomitant resort to the “strict scrutiny” tests. We are in agreement with the view that the Supreme Court’s recent equal protection decisions have shown a tendency towards less speculative, less deferential, more intensified means-to-end inquiry when it is applying the traditional rational basis test and we approve of this development.

Finally, in Ravin v. State,9 the court quoted the foregoing passage from Lynden Transport, and, in addition, noted that “[tjhis court has previously applied a test different from the rigid two-tier formulation to state regulations.” 10 The different test was enunciated in Wylie v. State11, despite the fact that we utilized the “compelling state interest” standard therein because the constitutional right to travel was affected by the legislation. In Wylie we articulated a “rational basis” test which was more demanding than the standard used in previous cases. Citing two United States Supreme Court cases12 in which the rational basis standard was applied in a fairly rigorous, non-deferential way we wrote:

Under the rational basis test, in order for a classification to survive judicial scrutiny, the classification “must be reasonable, not arbitrary, and must rest upon some ground of difference having a fair and substantial relation to the object of the legislation, so that all persons similarly circumstanced shall be treated alike.”13

It is this more flexible and more demanding standard which will be applied in future cases if the compelling state interest test is found inappropriate. As a result, we will no longer hypothesize facts which would sustain otherwise questionable legislation as was the case under the traditional rational basis standard. Thus, under the new test

Judicial deference to a broad range of conceivable legislative purposes and to imaginable facts that might justify classifications is strikingly diminished. Judicial tolerance of overinclusive and un-derinclusive classifications is notably reduced. Legislative leeway for unexplained pragmatic experimentation is substantially narrowed.14

*363This new standard will, in short, close the wide gap between the two tiers of equal protection by raising the level of the lower tier from virtual abdication to genuine judicial inquiry.

The threshold determination, then, is whether the compelling state interest test is applicable herein. In view of the fact that we do not consider the classification in question to be suspect and do not consider the right to a limited entry permit to be a fundamental right, the state will not be held to the higher standard in this case. Instead, we shall apply the new rational basis standard.

Therefore, the question presented is whether the circumstance of holding a gear license before January 1, 1973, bears a fair and substantial relation to the purpose sought to be advanced by AS 16.43.260(a), when examining intensively the means used and the reasons advanced therefor.

In applying this modified rational basis test, we must first look at the purpose of the challenged legislation. We note at the outset that the only committee reports which would provide an insight into the legislative history of AS 16.43.260(a) are inconclusive on the purpose of the legislation. This is understandable in view of the fact that the official records reflect that the January 1, 1973, cut-off date was a last minute change. We can, however, look to the statement of purpose of the Alaska Limited Entry Act itself upon the assumption that the provision was enacted to further that expressed purpose.15 AS 16.43.-010 provides as follows:

It is the purpose of this chapter to promote the conservation and the sustained yield management of Alaska’s fishery resource and the economic health and stability of commercial fishing in Alaska by regulating and controlling entry into the commercial fisheries in the public interest and without unjust discrimination.

To implement this policy, only holders of an entry permit would be allowed to operate gear for commercial fishing after January 1, 1974.16 To avoid unjust discrimination the Act instructed the Commission to rank applicants for the limited number of permits “according to the degree of hardship which they would suffer by exclusion from the fishery.”17

As previously noted, the bill as originally introduced by the Governor placed no limitation on prospective applicants; later, however, the legislature added the provision requiring that an applicant be a gear license holder. As appellees point out, because there was no deadline set for submitting applications, the bill encouraged fishermen to become gear license holders before the cut-off date was ultimately determined by the Commission. The figures indicate that this was indeed the case; applications for gear licenses during the first months of 1973 increased significantly over past years.18

Appellees contend that it was this rush for gear licenses which provoked the legislature to insert the contested provision that only holders of gear licenses issued before January 1, 1973, could submit applications to the Commission for an entry permit. They maintain that this justifies the classification. This argument assumes that more gear licenses meant more gear in already depleted fisheries, and that a heavy influx of gear into certain areas before entry permits were required in January of 1974 would result in detrimental economic and biological ramifications. While we agree with these assumptions, it is our view that the means for stopping the gear rush and its consequent harmful effects was *364accomplished by a provision already in the Act.

The legislature had previously inserted the provision that hardship would be determined as of January 1, 1973.19 Certainly few fishermen would be inclined to invest unnecessarily in gear if they were aware of the fact that it would not be considered by the Commission when entry permits were ultimately issued on the basis of hardship. This provision would clearly halt the gear rush that was taking place, thus obviating any potential harm to the fishing industry before entry permits were required on January 1, 1974.

In view of the fact that a provision inserted prior to the one in question prevented the gear rush, we do not think that the legislature would add another provision to accomplish the same purpose. Indeed, to do so would be to disregard the rule of statutory construction that each section of a statute is presumed to serve some useful purpose.20

When the Act is viewed as a whole, it becomes apparent that the contested provision was inserted because it was assumed that those persons who obtained gear licenses after January 1, 1973, would be unable to demonstrate the requisite hardship for an entry permit. Hence, for the sake of administrative convenience, it was decided that they need not even submit applications to the Commission. In essence, the purpose of the provision was to segregate hardship and non-hardship cases at the application phase of the permit issuance process.

In his dissent, Justice Connor takes the position that the purpose of AS 16.43.260 (a) was to alter the basic criteria by which initial free limited entry permits were to be allocated. In his view, the legislature intended these permits to go only to prior gear license holders who could demonstrate the requisite degree of hardship. We find the interpretation unpersuasive. The legislative history rather clearly demonstrates that from the outset the framers of this legislation intended “hardship” to be the determinative factor.21 In the bill originally submitted by the Governor there was no restriction on the nature or number of applications which the Commission would entertain.22 The challenged section, AS 16.43.260(a), was inserted at a late stage in the legislative process, and nothing in the committee records marshalled by the parties in the case at bar suggests an awareness of intent that AS 16.43.260(a), as revised, would alter the statute’s central allocation criteria.

The legislative history cited by our dissenting colleague does not contradict this interpretation but in fact confirms it. As pointed out in footnote 4 of the dissent, the original draftsmen intended that past participation in the fishery would be one of the criteria for determining hardship. In other words, some preference would be given to “[t]hose people who have fished the most.”23 In explaining this criteria, the draftsmen said:

The commission will also consider the extent of a person’s past participation in the fishery. ... A person who fished for 10 years would get a higher priority consideration than a person who fished four weekends a year for 10 years.
Past participation as a commercial fisherman in any capacity will be considered, not just past participation as a licensed gear operator,24

The draftsmen also made clear in the very first version of the Act that the purpose of this legislation was to regulate entry into the commercial fisheries “without unjust discrimination.”25 The report of *365the Governor’s Study Group evidences their understanding that license ownership had no real bearing on any of the substantive criteria by which entry permits were to be allocated — economic dependency, past participation, and present intention to participate. Having proposed legislation which sought to allocate entry permits in accordance with the realities of the fishing profession — i. e., according to degree of individual hardship — they doubtless would have regarded allocation based in part on license ownership precisely as “unjust discrimination.” Inasmuch as the policy against discrimination was retained throughout the passage of the Act, it seems incongruous that the legislature would have decided to revise the fundamental allocation criteria in the legislation without debate or discussion, making that intention explicit. For these reasons we are of the view that AS 16.43.260(a) was not intended to modify the allocation policy of the legislation, but rather was adopted to further that policy by simplifying the ranking process.

Thus the question presented to this court is: does holding a gear license before January 1, 1973, bear a fair and substantial relation to the purpose of the legislation, which is the segregation of hardship and non-hardship cases? In our opinion, it does not.

AS 16.43.260(a) precludes fishermen from applying for an entry permit unless they were gear license holders before January 1, 1973. As a result, many fishermen are automatically excluded from receiving entry permits, even though they might be able to demonstrate significant hardship by exclusion due to economic dependence upon the fishery. On the other hand, there is no requirement that persons applying for permits demonstrate that they were active fishermen dependent upon the fisheries, on or near the cut-off date. Hence, many people are allowed to apply for permits although they have long since sold their vessel and gear, retired from commercial fishing, and-have no intention of fishing in the future.

Because persons such as appellants are automatically excluded from the class eligible to apply for permits, in spite of active participation and economic dependence upon the fishery, the January 1, 1973, classification is under-inclusive with respect to persons allowed to apply for permits. Because persons who have long since retired and have no economic dependence upon the fishery as of the cut-off date are allowed to apply for entry permits, the classification is overbroad with respect to those allowed to apply.

In essence, the January 1, 1973, cut-off date created an irrebuttable presumption 26 that no one acquiring a license after that time could suffer the requisite hardship necessary for an entry permit. Yet a number of people in that class would be able to demonstrate substantial indicia of hardship as a result of their exclusion from commercial fishing. Appellants, for example, show both previous participation and objective manifestations of future intent to participate in the industry. Procedure by presumption is always easier than' individualized determination. But when, as here, the procedure forecloses the determinative issue of hardship, it needlessly risks running roughshod over the important interests of the fisherman whose livelihood is at stake. This must not be allowed to happen; indeed, the equal protection clause was designed to protect the fragile values of a vulnerable citizenry from the overbearing concern for efficiency and efficacy that is often characterized in the most praiseworthy legislation.27

*366We find that AS 16.43.260(a) violates appellants’ equal protection rights guaranteed by the state and federal constitutions.28 Therefore, the decision of the superior court is reversed, and this case is remanded with instructions to enter a judgment for appellants.

BOOCHEVER, C. J., not participating.

. See Governor's Study Group on Limited Entry, A Limited Entry Program for Alaska’s Fisheries, 270-71 (1973).

. Art. VIII, § 15 of the Alaska State Constitution provides:

No exclusive right or special privilege of fishery shall be created or authorized in the natural waters of the State. This section does not restrict the power of the State to limit entry into any fishery for purposes of resource conservation, to prevent economic distress among fishermen and those dependent upon them, for a livelihood and to promote the efficient development of aquaculture in the State.

. AS 16.43.170.

. H.B. 126, 8th Leg., 1st Sess. (1973).

. Section 16.43.260 was amended in 1974 and now provides: .

The commission shall accept applications for entry permits only from applicants who have harvested fishery resources commercially while participating in the fishery as holders of gear licenses issued under AS 16.06.536-16.06.670 before the qualification date established in (d) or (e) of this section.

. 516 P.2d 142, 145 n. 4 (Alaska 1973).

. 522 P.2d 1125, 1127 n. 12 (Alaska 1974).

. 532 P.2d 700, 706-07 n. 10 (Alaska 1975).

. 537 P.2d 494 (Alaska 1975).

. Id. at 498.

. 516 P.2d 142 (Alaska 1973).

. F. S. Royster Guano Co. v. Virginia, 253 U.S. 412, 415, 40 S.Ct. 560, 561, 64 L.Ed. 989, 990-91 (1920); Reed v. Reed, 404 U.S. 71, 76, 92 S.Ct. 251, 254, 30 L.Ed.2d 225, 229 (1971).

. 516 P.2d 142, 145 (Alaska 1973).

. Gunther, Foreword: In Search of Evolving Doctrine on a Changing Court: A Model for Newer, Equal Protection, 86 Harv.L.Kev. 1, 20 (1972).

. See State v. City of Anchorage, 513 P.2d 1104, 1110 (Alaska 1973); State v. American Can Co., 362 P.2d 291, 296 (Alaska 1961).

. AS 16.43.140.

. AS 16.43.250(a).

. By April 20, 1973, applications for gear licenses for trolling were up 148%, for drift gillnet 57%, and for purse seine 42%, over applications for the same period in 1972.

. AS 16.43.260(d).

. See Sands, Sutherland Statutory Construction, Vol. 2A, § 4606, p. 63 (4th Ed.1973).

. Id. at 1.

. Id.

. Id. at 1.

. Id. at 7 (emphasis added).

. Id. at 295.

. U. S. Department of Agriculture v. Murry, 413 U.S. 508, 512-14, 93 S.Ct. 2832, 2835, 37 L.Ed.2d 767, 772-73 (1973); Vlandis v. Kline, 412 U.S. 441, 452, 93 S.Ct. 2230, 2236-37, 37 L.Ed.2d 63, 71 (1973); Cleveland Board of Education v. LaFleur, 414 U.S. 632, 651, 94 S.Ct. 791, 801, 39 L.Ed.2d 52, 66 (1974); Stanley v. Illinois, 405 U.S. 645, 656, 92 S.Ct. 1208, 1215, 31 L.Ed.2d 551, 561 (1972).

. Stanley v. Illinois, 405 U.S. 645, 656, 92 S.Ct. 1208, 1215, 31 L.Ed.2d 551, 562 (1972).

. We are not, however, declaring that the entire Act violates the Federal and Alaska equal protection clauses.