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[PUBLISH]
In the
United States Court of Appeals
For the Eleventh Circuit
____________________
No. 19-15077
____________________
KARASTAN L. EDWARDS,
Petitioner,
versus
U.S. ATTORNEY GENERAL,
Respondent.
____________________
Petition for Review of a Decision of the
Board of Immigration Appeals
Agency No. A095-146-708
____________________
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2 Opinion of the Court 19-15077
Before JORDAN, NEWSOM, and ED CARNES, Circuit Judges.
ED CARNES, Circuit Judge:
After considering Karastan Edwards’ petition for rehearing
and the government’s response to it, we grant Edwards’ petition,
withdraw our previous opinion dated December 23, 2022, and
published at 56 F.4th 951, and substitute this opinion for it. This
opinion is in all material respects the same as our earlier one, ex-
cept that we explain in more detail why we must apply the retro-
activity rule from Yu v. U.S. Att’y Gen., 568 F.3d 1328, 1330 (11th
Cir. 2009). See Part III.A., infra.
Karastan Edwards petitioned for review of the Board of
Immigration Appeals’ dismissal of his appeal from an immigra-
tion judge’s removal order. That order was based on the IJ’s de-
termination that Edwards is removable, ineligible for cancellation
of removal, and ineligible for asylum because he has been con-
victed of an “aggravated felony” as the Immigration and Natural-
ization Act defines the term. The IJ also determined that Edwards
is ineligible for withholding of removal and Convention Against
Torture relief. Edwards challenges all those determinations.
I. FACTUAL AND PROCEDURAL BACKGROUND
This case traveled a long and winding path before it ended
up here. That path has included multiple appeals from the IJ to
the BIA, multiple appeals from the BIA to this Court, multiple
remands from this Court to the BIA, and multiple remands from
the BIA back to the IJ. We will summarize that procedural history
and some of the factual background.
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19-15077 Opinion of the Court 3
A. Initial Immigration Judge Removal Order
Edwards is a native and citizen of Jamaica who was admit-
ted to the United States in 2002 and who became a lawful perma-
nent resident in 2003. In February 2012 he pleaded guilty to and
was convicted of the Georgia crime of family violence battery in
violation of O.C.G.A. § 16-5-23.1. For that crime Edwards was
sentenced to 12 months confinement, but he was allowed to serve
all of it on probation.
In March 2015 the Department of Homeland Security initi-
ated removal proceedings against Edwards on the theory that his
Georgia family violence battery conviction was an “aggravated
felony” under the INA, making him removable. Edwards chal-
lenged that classification of his crime. He also filed applications
for asylum, for withholding of removal, and for CAT relief. In
those applications, he claimed membership in two social groups:
“relatives of opponents of the pervasive gang and corrupt situa-
tion” in Jamaica, and “returning Jamaicans who have spent
lengthy periods of time in industrialized developed affluent coun-
tries.”
At a removal hearing, Edwards testified about those two as-
serted social groups. He testified that his mother, who lives in
Jamaica, is part of a community organization that tries to positive-
ly influence children and that she was targeted and threatened by
gangs because of it. Another reason she was targeted, according
to Edwards, was because gang members believed that they could
use her to get money from him. Edwards also testified that while
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4 Opinion of the Court 19-15077
visiting Jamaica in 2011 he had twice been robbed by gang mem-
bers and was cut on the shoulder by a knife during one of those
robberies. He claimed that he had reported that incident to the
police and identified one of the perpetrators, but the police did
nothing about it.
An immigration judge found that the Georgia family vio-
lence battery conviction for which Edwards had been convicted
was an aggravated felony under the INA, which made him re-
movable and statutorily ineligible for both cancellation of remov-
al and asylum. The IJ also found that neither of the social groups
Edwards claimed membership in made him eligible for withhold-
ing of removal. The claimed social group of Jamaicans returning
to Jamaica was not one “perceived by Jamaican society as sharing
any common characteristics,” and gangs targeted those people
only because they might have money. As for the social group of
having family members who oppose gangs and corruption, the IJ
found that Edwards had not shown that his family relationships
would cause him any harm if he returned to Jamaica.
The IJ also determined that Edwards was ineligible for CAT
relief because he had not shown that he more likely than not
would be tortured in Jamaica. In doing so, the IJ noted evidence
of the Jamaican government’s “efforts to combat corruption in
the police and security forces as well as abuses that may rise to the
level of torture,” from which the IJ inferred that the government
had not participated in or acquiesced to any torture.
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B. First Appeal to the BIA, First State Court Sentence Modifica-
tion Order, and First Remand to the Immigration Judge
After Edwards appealed the IJ’s order to the BIA, and while
that appeal was still pending, he filed a motion to remand the case
to the IJ. He asked for a remand because after filing the appeal he
had gotten a Georgia state court judge to issue an order “modify-
ing” his sentence for the Georgia family violence battery convic-
tion.
Edwards’ motion to the state court requesting a sentence
modification had focused exclusively on the immigration conse-
quences of his 12-month sentence. The motion informed the
court that Edwards’ “misdemeanor crime in Georgia has signifi-
cant collateral effects on his status as a legal permanent resident
of the United States” and that “due to the 12 month sentence, his
misdemeanor offense is viewed as an aggravated felony by the
immigration courts.” That 12-month sentence, the motion told
the state court, “will result in his removal from the United States
and will leave his U.S. Citizen spouse and son without their pri-
mary financial and emotional support.” It continued: “Further,
[Edwards] shows this is harsh and would not be in the best inter-
est of himself or society and that same would be detrimental to
all.” In his motion, Edwards acknowledged that he had already
“completed his sentence as required by the court,” but he still re-
quested that sentence be modified “from 12 months probation to
11 months probation, a more reasonable judgment in order that
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6 Opinion of the Court 19-15077
[Edwards] may continue his contribution to society and his fami-
ly.”
The district attorney’s office for the county where Edwards
had been convicted consented to Edwards’ motion, and the state
court granted it. The order did not give a reason for granting the
motion other than stating that the “motion ha[d] been read and
considered by the Court, and the State ha[d] an opportunity to be
heard on the matter and ha[d] no objection to” it. The court or-
dered Edwards’ already-served sentence to “be modified from 12
months probation to 11 months and 27 days probation.” And the
order stated that: “All other terms and conditions of the sentence
shall remain in full force and effect as originally imposed.” The
state court issued that order in August 2015, about two-and-a-half
years after Edwards had finished serving the 12-month sentence
that had been imposed on him in February 2012.
In light of the state court’s sentence modification order, the
BIA granted Edwards’ motion to remand to the IJ. After consider-
ing the state court order, the IJ again ordered Edwards removed.
It determined that both the modification order and the original
sentence were entitled to full faith and credit, but it interpreted
the modification order as changing only Edwards’ sentence of
probation, not his sentence of confinement. Under the IJ’s inter-
pretation, Edwards’ modified sentence was “12 months or one
year of confinement with 11 months and 27 days of such sentence
suspended in favor of probation.” Based on that interpretation of
the modification order, the IJ determined that Edwards’ sentence,
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19-15077 Opinion of the Court 7
even as revised, still amounted to a term of imprisonment of at
least one year, which meant he had been convicted of an aggra-
vated felony. That made Edwards removable, ineligible for cancel-
lation of removal, and ineligible for asylum. The IJ also incorpo-
rated in the order the earlier decisions about Edwards being ineli-
gible for withholding of removal and CAT relief.
C. Second Appeal to the BIA, First Appeal to this Court, Second
State Court Sentence Modification Order, and Second Remand to
the Immigration Judge
Edwards appealed the IJ’s second order to the BIA, which
affirmed it in all respects and dismissed the appeal. In doing so,
the BIA found no clear error in the IJ’s interpretation of the state
court sentence modification order or in the determination that
Edwards had been convicted of an aggravated felony despite that
state court order. The BIA also affirmed the IJ’s determination
that Edwards was ineligible for withholding of removal. It “dis-
cern[ed] no clear error in the finding that the record does not re-
flect adequate evidence that the respondent would be targeted be-
cause he is a returnee from the United States or due to his family
ties.” It also noted record evidence that “the criminal gangs that
the respondent fears in Jamaica target victims because they seek
money, and not due to the fact they come from the United States
or otherwise.” Finally, the BIA “affirm[ed] as lacking clear error
the [IJ’s] finding that [Edwards] has not established that it is more
likely than not that he would be tortured in Jamaica or that he
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8 Opinion of the Court 19-15077
could not relocate within Jamaica and avoid the likelihood of such
harm.”
Edwards petitioned this Court for review of the BIA order.
But while that petition was pending, in February 2017 he obtained
another state court sentence modification order. It resulted from
his second motion requesting a modification, which was similar to
his first motion, borrowing much of its language. Like the first
modification motion, the second one focused exclusively on the
immigration consequences that Edwards was facing. It also al-
luded to the IJ’s interpretation of the first modification order and
asked the state court to “clarify that the original sentence has in
fact been modified from 12 months confinement allowed to be served on
probation to 11 month[s] and 27 days confinement allowed to be served
on probation.” Edwards asked for this second modification, as he
had the first one, “in order that he may continue his contribution
to society and his family.” In other words, so that he would not
be removed from this country.
The district attorney’s office, as it had with Edward’s first
sentence modification motion, consented to his second one, and
only two days after Edwards had filed that second motion the
state court granted it. As with the first modification order, the
state court gave no reason for this second one other than noting
that Edwards “has filed a new motion to modify and clarify; and
said motion having been considered by the Court and the State
having no objection, the Court grants the motion.” This time the
state court modified Edwards’ already-served sentence “to 11
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19-15077 Opinion of the Court 9
months and 27 days confinement allowed to be served on proba-
tion.” Exactly what Edwards had requested. The state court is-
sued the second modification order in February 2017, about four
years after Edwards had finished serving the 12-month sentence
that had been imposed on him in February 2012.
On the same day the state court issued the second modifi-
cation order, Edwards filed with the BIA a motion to reopen, and
in May 2017 the BIA granted it. We dismissed the petition that
had been pending with us. The BIA remanded the case to the IJ,
who again –– for the third time –– ordered Edwards removed.
The IJ determined that the second state court sentence modifica-
tion order did not change Edwards’ conviction from being for an
aggravated felony under federal immigration law. Summarizing
BIA precedent, the IJ concluded that the original sentence im-
posed on Edwards controlled because the new modification order
did not void it. Once again, the IJ incorporated by reference his
earlier decisions that Edwards is ineligible for withholding of re-
moval and CAT relief, finding that no new evidence had changed
those decisions.
D. Third Appeal to the BIA and Second Appeal to this Court
Edwards again appealed to the BIA, which affirmed the IJ
in all respects and dismissed the appeal. In doing so, the BIA
treated the second state court modification order as an order clari-
fying Edwards’ sentence and found that under this Court’s prece-
dent the “clarification” had no legal effect for immigration pur-
poses. That meant Edwards had still been convicted of an aggra-
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10 Opinion of the Court 19-15077
vated felony, and as a result he was still ineligible for cancellation
of removal or asylum. As for withholding of removal and CAT
relief, the BIA reiterated the same reasons it had previously given
for affirming the IJ’s determination that Edwards was ineligible
for both.
Edwards petitioned this Court for review. But while that
petition was pending the government filed an unopposed motion
to remand to the BIA for it to reconsider the state court’s second
modification order. The reason the government gave for the re-
quest was that the BIA may have treated the “modification” order
as a “clarification” order, which might have been contrary to BIA
precedent as it stood at the time. We granted the motion.
E. Intervening Agency Authority: Matter of Thomas and Thomp-
son
Before the BIA decided Edwards’ case on remand, the At-
torney General issued a controlling decision, Matter of Thomas, 27
I. & N. Dec. 674 (A.G. 2019). Up until then, to determine the
immigration effect of state court orders the BIA applied different
tests depending on the type of order at issue. If the order “vacat-
ed” a conviction based on a defect in the proceedings, the BIA
treated that action as having legal effect for immigration purpos-
es. Id. at 675. If the order “modified” a sentence, it was given full
faith and credit regardless of the reason for the modification,
meaning the sentence had legal effect for immigration purposes.
Id. And if the order “clarified” the sentence, the BIA used a multi-
factor test to determine if it had any immigration effect. Id. The
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19-15077 Opinion of the Court 11
different treatment given to “clarification” and “modification” or-
ders had led in two BIA cases to the two petitioners, whose situa-
tions were materially identical, getting opposite outcomes based
on nothing more than the labels that the state courts had given
the order altering each petitioner’s sentence. See id. at 679.
The Attorney General certified to himself those two BIA
decisions “to address these inconsistencies and to clarify the ap-
propriate treatment under the INA.” Id. The “appropriate treat-
ment under the INA,” according to the Attorney General, was
that the BIA precedent about the distinction between “clarifica-
tion” and “modification” orders needed to be overruled. See id. at
674–75, 690. The Attorney General interpreted the relevant statu-
tory text as meaning that Congress’ intent was that all:
state-court orders that modify, clarify, or otherwise
alter a criminal alien’s sentence . . . will be given
effect for immigration purposes only if based on a
procedural or substantive defect in the underlying
criminal proceeding; these orders will have no effect
for immigration purposes if based on reasons unre-
lated to the merits of the underlying criminal pro-
ceeding, such as rehabilitation or the avoidance of
immigration consequences.
Id. at 674, 690. So the labels a court put on the order describing
the action the court was taking would no longer determine the
immigration effect of the order. All that would matter is wheth-
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12 Opinion of the Court 19-15077
er the order was issued based on a procedural or substantive de-
fect in the underlying criminal proceeding.
F. Final BIA Decision
After Matter of Thomas overruled the “clarification” and
“modification” regime, the BIA was left with the task of applying
to this case the new regime focused on procedural or substantive
defects. Doing that, the BIA noted that Edwards “has pointed to
no evidence in the record to reflect that his criminal proceedings
were marred by procedural or substantive defect.” As a result,
under Matter of Thomas the modification order had no effect for
immigration purposes; it did not change the fact that Edwards
had been convicted of an aggravated felony under the INA.
The BIA also adopted, yet again, its past reasoning that
Edwards was ineligible for withholding of removal and CAT re-
lief. It reiterated, among other things, that Edwards had not
proved that he would be harmed because of membership in his
claimed social groups and that the IJ “did not clearly err in finding
inadequate evidence to support a finding that it was more likely
than not that [Edwards] would be tortured in Jamaica.” The BIA
dismissed Edwards’ appeal.
In his petition to us, Edwards challenges the BIA’s determi-
nation that he was convicted of an aggravated felony. His chal-
lenge attacks the validity of the Attorney General’s Matter of
Thomas decision, including the reasonableness of its statutory in-
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19-15077 Opinion of the Court 13
terpretation. Edwards also contends that the BIA erred in finding
him ineligible for withholding of removal and CAT relief. 1
II. STANDARDS OF REVIEW
“When the BIA issues its own opinion, we review only the
decision of the BIA, except to the extent the BIA expressly adopts
the IJ’s decision.” Sanchez Jimenez v. U.S. Att’y Gen., 492 F.3d 1223,
1230–31 (11th Cir. 2007) (quotation marks and ellipsis omitted).
“We review questions of law de novo, including whether a convic-
tion qualifies as an aggravated felony under the Immigration and
Nationality Act.” Talamantes-Enriquez v. U.S. Att'y Gen., 12 F.4th
1340, 1347 (11th Cir. 2021) (quotation marks omitted). We also
review de novo questions of statutory interpretation, but we do so
through the lens of Chevron, which dictates that the Attorney
General and the BIA are “entitled to deference in interpreting
ambiguous provisions of the INA.” Negusie v. Holder, 555 U.S. 511,
516 (2009) (citing Chevron U.S.A. Inc. v. Nat. Res. Def. Council, Inc.,
467 U.S. 837, 842–843 (1984)); see also I.N.S. v. Aguirre-Aguirre, 526
1 In addition, Edwards contends that the IJ should have recused him-
self and that the BIA erred in determining that the IJ did not need to recuse.
We have reviewed this contention and determined that it is entirely without
merit and warrants no further discussion. Cf., e.g., United States v. Iriele, 977
F.3d 1155, 1165 n.6 (11th Cir. 2020) (“We will not discuss why those scatter-
shot contentions lack merit.”); Tompkins v. Moore, 193 F.3d 1327, 1331 n.1
(11th Cir. 1999) (“The issues we do not write more about merit no further
discussion here beyond the statement that we agree with the district
court . . . .”); Dominguez v. Tom James Co., 113 F.3d 1188, 1190 (11th Cir. 1997)
(“None of the Company's other issues that we have listed above merit any
further discussion.”).
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14 Opinion of the Court 19-15077
U.S. 415, 425 (1999) (recognizing that “judicial deference to the
Executive Branch is especially appropriate in the immigration
context”); Herrera v. U.S. Att’y Gen., 811 F.3d 1298, 1300 (11th Cir.
2016). “Congress has charged the Attorney General with admin-
istering the INA, and a ‘ruling by the Attorney General with re-
spect to all questions of law shall be controlling.’” Negusie, 555
U.S. at 516–17 (quoting 8 U.S.C. § 1103(a)(1)). In light of that and
other considerations, the Supreme Court has held not only that
Chevron deference applies, but also that “[j]udicial deference in the
immigration context is of special importance.” Id.
Under Chevron, if the statutory text is unambiguous and
answers the question presented, we apply the text according to its
terms with no need for deference. See Hincapie-Zapata v. U.S. Att’y
Gen., 977 F.3d 1197, 1200 (11th Cir. 2020); Arevalo v. U.S. Att’y Gen.,
872 F.3d 1184, 1188 (11th Cir. 2017). But “if the statute is silent or
ambiguous with respect to the specific issue presented, we must
then determine whether the agency’s interpretation is reasonable
or based on a permissible construction of the statute.” Arevalo,
872 F.3d at 1188 (citing Chevron, 467 U.S. at 843); see also Amezcua-
Preciado v. U.S. Att’y Gen., 943 F.3d 1337, 1341 (11th Cir. 2019).
We review the BIA’s factual findings under the “highly def-
erential” substantial evidence standard, under which we may re-
verse only if the “record not only supports reversal, but compels
it.” Kazemzadeh v. U.S. Att’y Gen., 577 F.3d 1341, 1350 (11th Cir.
2009) (quotation marks omitted).
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III. AGGRAVATED FELONY ISSUE
Edwards challenges the BIA’s determination that he was
convicted of an aggravated felony. If he was, he is statutorily inel-
igible for cancellation of removal and asylum. See 8 U.S.C.
§ 1158(b)(2)(B)(i); Talamantes-Enriquez, 12 F.4th at 1347. An “ag-
gravated felony” is a “crime of violence . . . for which the term of
imprisonment [was] at least one year.” 8 U.S.C. § 1101(a)(43)(F).
The meaning of “term of imprisonment” and the other defini-
tional components of an “aggravated felony” are matters of fed-
eral law. See Talamantes-Enriquez, 12 F.4th at 1354 (“[W]e are not
bound by a state judge’s interpretation of a state court sentence
order because we are dealing with federal law and federal statutes,
not state law and state statutes.”); Herrera, 811 F.3d at 1301 (“Be-
cause words in federal statutes reflect federal understandings, the
statement of the Georgia court in its order of clarification that
[the petitioner] was not sentenced to any confinement was due no
weight in his immigration proceeding.”) (quotation marks and
citation omitted; alteration adopted); United States v. Ayala-Gomez,
255 F.3d 1314, 1319 (11th Cir. 2001) (“Words in federal statutes re-
flect federal understandings, absent an explicit statement to the
contrary, even if a state uses the word differently.”).
Edwards does not dispute that his Georgia family violence
battery conviction was for a crime of violence; what he challenges
is the BIA’s determination that his term of imprisonment was for
at least one year. Cf. United States v. Garza-Mendez, 735 F.3d 1284,
1287 (11th Cir. 2013) (“On appeal, [the defendant] does not con-
tend that his state conviction [of Georgia family violence battery]
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16 Opinion of the Court 19-15077
is not a crime of violence under 18 U.S.C. § 16; instead he argues
that he was not sentenced to an imprisonment term of at least
one year.”) (quotation marks omitted; alteration adopted). Ed-
wards makes that challenge despite the fact that under our prece-
dent his original sentence of 12 months confinement allowed to
be served on probation is undoubtedly a term of imprisonment
of at least one year. See Talamantes-Enriquez, 12 F.4th at 1353
(“Our precedent establishes that [the petitioner] was sentenced to
a term of imprisonment for at least one year for purposes of §
1101(a)(43)(F), even if he was permitted to serve part or all of that
sentence on probation.”).
Edwards’ position is that what counts for immigration pur-
poses is not his original sentence of 12 months but the modified
sentence of 11 months and 27 days that resulted from the last
state court order. Because that contention is directly foreclosed
by the Attorney General’s Matter of Thomas decision, Edwards at-
tacks that decision’s legality. He makes two broad contentions
about it: that the Attorney General lacked the authority to issue
Matter of Thomas at all; and that even if he had the authority, Mat-
ter of Thomas is an unreasonable interpretation of the INA.
A. The Attorney General’s Authority
Congress has provided that on matters of immigration law
“determination and ruling by the Attorney General with respect
to all questions of law shall be controlling.” 8 U.S.C. § 1103(a)(1).
As we have recognized: “Congress has vested in the Attorney
General the authority to decide legal questions arising under the
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immigration laws.” Farquharson v. U.S. Att’y Gen., 246 F.3d 1317,
1323 n.7 (11th Cir. 2001). “The Attorney General has delegated
this function to the Board,” but he still “retains the authority to
review final decisions of the BIA” and overrule them, as he did
here. Id.; see also 8 C.F.R. § 1003.1(h); Yu, 568 F.3d at 1333 (“The
fact that the BIA had previously construed the statute different-
ly . . . did not prohibit the Attorney General from holding other-
wise.”). Not only that, but the Attorney General can review and
overrule BIA decisions upon his own initiative, see Farquharson,
246 F.3d at 1323 n.7; 8 C.F.R. § 1003.1(h)(1)(i), as he did here.
Edwards takes issue with the Attorney General’s decision
to use adjudication instead of rulemaking in this instance. But it
“is well established . . . that agencies have discretion to choose
whether to proceed by rulemaking or adjudication.” RTC Transp.,
Inc. v. I.C.C., 731 F.2d 1502, 1505 (11th Cir. 1984). That “is true
even when adjudication is used to announce new policy after
years of contrary precedent.” Id. The Attorney General’s choice
to overrule BIA precedent through the decision in Matter of
Thomas instead of through rulemaking was well within his statu-
tory authority.
Edwards alternatively argues that the Matter of Thomas de-
cision cannot be applied retroactively to him. But we have already
rejected this kind of retroactivity argument. We addressed it in a
case where the BIA had dismissed a petitioner’s appeal based on
“the Attorney General’s intervening precedential decision” that
had overruled BIA precedent. Yu, 568 F.3d at 1330. We held that
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18 Opinion of the Court 19-15077
the “BIA did not retroactively apply a new law but instead applied
the Attorney General’s determination of what the law
had always meant.” Id. at 1333 (quotation marks omitted).
Edwards contends that, despite our precedent in Yu, we
should conduct a balancing test based on SEC v. Chenery Corp., 332
U.S. 194 (1947), to determine whether Matter of Thomas should be
retroactively applied to him. Our predecessor Court did apply the
Chenery balancing test, but it was in a case reviewing a different
agency’s decision. See McDonald v. Watt, 653 F.2d 1035 (5th Cir.
Unit A Aug. 21, 1981).
McDonald was decided long before Yu, and it might appear
that our prior panel precedent rule requires us to follow that ear-
lier decision. See, e.g., United States v. Smith, 201 F.3d 1317, 1322
(11th Cir. 2000) (“It is the firmly established rule of this Circuit
that each succeeding panel is bound by the holding of the first
panel to address an issue of law, unless and until that holding is
overruled en banc, or by the Supreme Court.”) (quoting United
States v. Hogan, 986 F.2d 1364, 1369 (11th Cir.1993)) (cleaned up).
But what might appear is not what actually is.
We’re still bound to follow Yu, and here’s why. The
McDonald decision held that a Department of Interior adjudicato-
ry rule could not be given retroactive effect because the Depart-
ment’s new interpretation reversed well-established agency prac-
tice to “the extreme prejudice,” 653 F.2d at 1045, of the plaintiffs
and hundreds of other oil and gas lease applicants who relied on
the Bureau of Land Management’s past practice when they sub-
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19-15077 Opinion of the Court 19
mitted offers that conformed to that practice but not to the newly
adopted one. Id. at 1036–37. That earlier decision in McDonald
does not free us from Yu because McDonald is distinguishable.
Under the prior panel precedent rule we have a duty to
reconcile, where possible, prior precedents that appear to be in
tension. See United States v. Hogan, 986 F.2d 1364, 1369 (11th Cir.
1993) (“Given the delicate nature of the task, it is not surprising
that one of the most favored means for resolving an inconsistency
in circuit precedents is to determine that the inconsistency is
more apparent than real. A panel of this Court is obligated, if at
all possible, to distill from apparently conflicting prior panel deci-
sions a basis of reconciliation and to apply that reconciled rule.”);
see also Corley v. Long-Lewis, Inc., 965 F.3d 1222, 1230 (11th Cir.
2020) (same).
Reconciling our two previous decisions is not difficult here.
Yu is specific to the immigration context; McDonald involves the
Bureau of Land Management and the Interior Board of Land Ap-
peals. McDonald has its own its facts, including extreme prejudice
to hundreds of oil and gas lease applicants, 653 F.2d at 1036, 1045,
and any broad statements the opinion made about agency deci-
sions applying prospectively is limited to those facts. See, e.g., Ed-
wards v. Prime, Inc., 602 F.3d 1276, 1298 (11th Cir. 2010) (“We have
pointed out many times that regardless of what a court says in its
opinion, the decision can hold nothing beyond the facts of that
case.”) (collecting cases). The facts in McDonald have nothing to
do with immigration law. More specifically, the facts in McDonald
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20 Opinion of the Court 19-15077
have nothing to do with 8 U.S.C. § 1103(a)(1) and the Attorney
General’s rulings and determinations about immigration law.
Whatever McDonald says generally about agency law and the
Chenery balancing test, it holds nothing about immigration law.
United States v. Bazantes, 978 F.3d 1227, 1244 (11th Cir. 2020) (“To
the extent that an earlier decision is distinguishable from the case
at hand, it may be a prior precedent, but it is not one that can dic-
tate the result of the current case under the prior precedent
rule.”).
In Chenery the Supreme Court reviewed a Securities and
Exchange Commission order and held that an agency is not lim-
ited to promulgating rules according to its rulemaking authority
but also has the authority to establish new rules through adjudica-
tory orders. See Chenery, 332 U.S. at 199–201. In that context the
Court stated that when an agency issues an adjudicative decision
establishing a new rule, “retroactivity must be balanced against
the mischief of producing a result which is contrary to a statutory
design or to legal and equitable principles,” and “[i]f that mischief
is greater than the ill effect of the retroactive application of a new
standard, it is not the type of retroactivity which is condemned by
law.” Id. at 203. In McDonald our predecessor Court stated that it
“accept[ed] the Chenery balancing test as the appropriate inquiry”
for determining whether the Department of Interior should have
applied its new adjudicatory rule to the particular facts of that
case. McDonald, 653 F.2d at 1043.
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19-15077 Opinion of the Court 21
Our decision in the present case does not and cannot con-
flict with Chenery because we are bound by the later holding in Yu.
Chenery was decided decades before Yu, and if Yu overlooked or
misinterpreted Chenery, that would change nothing about its bind-
ing effect on our panel. See United States v. Fritts, 841 F.3d 937, 942
(11th Cir. 2016) (“Under this Court’s prior panel precedent rule,
there is never an exception carved out for overlooked or misinter-
preted Supreme Court precedent.”); see also Smith v. GTE Corp.,
236 F.3d 1292, 1303 (11th Cir. 2001) (“[W]e categorically reject any
exception to the prior panel precedent rule based upon a per-
ceived defect in the prior panel’s reasoning or analysis as it relates
to the law in existence at the time.”). And our decision in this
case does not conflict with McDonald’s application of Chenery be-
cause, for the reasons we’ve discussed, McDonald is distinguishable
from Yu and doesn’t free us from following Yu. See Bazantes, 978
F.3d at 1244.
It’s not the first time we’ve followed Yu in an immigration
case like this one, and some other circuits have done the same.
See Alvarado v. U.S. Att’y Gen., 984 F.3d 982, 991 (11th Cir. 2020)
(“Once the Attorney General clarified the meaning of the statuto-
ry phrase particular social group in Matter of A-B-, [27 I. & N. Dec.
316 (AG 2018),] that decision became the controlling interpreta-
tion of the law and was entitled to full retroactive effect in all cas-
es still open on direct review, regardless of whether the events
predated the Attorney General’s decision.”) (citing Yu, 568 F.3d at
1333) (quotation marks omitted); accord Torres v. Holder, 764 F.3d
152, 158 (2d Cir. 2014), aff’d sub nom. Torres v. Lynch, 578 U.S. 452
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22 Opinion of the Court 19-15077
(2016) (“In relying on Matter of Bautista [, 25 I. & N. Dec. 616 (BIA
2011)], the BIA therefore did not retroactively apply a new law but
instead applied its determination of what the law ‘had always
meant.’”) (cleaned up) (quoting Yu, 568 F.3d at 1333); id. at 158–59
(“Once Matter of Bautista issued, that decision became the control-
ling interpretation of the law and was entitled to full retroactive
effect in all cases still open on direct review, regardless of whether
the events predated the decision.”) (cleaned up) (quoting Yu, 568
F.3d at 1334); Espinal-Andrades v. Holder, 777 F.3d 163, 170 (4th Cir.
2015) (same); Shou Wei Jin v. Holder, 572 F.3d 392, 397–98 (7th Cir.
2009) (holding that “[a] change in an agency’s interpretation of
the law does not constitute a ‘significant error’ that justifies the
exercise of our nunc pro tunc powers” to apply the BIA’s earlier
precedent to an asylum claim) (citing and quoting Yu, 568 F.3d at
1332); but see Zaragoza v. Garland, 52 F.4th 1006, 1023 (7th Cir.
2022) (concluding that retroactive application of the Attorney
General’s adjudicative decision “can be properly withheld” in
some cases “when to apply the new rule to past conduct or prior
events would work a manifest injustice”) (quotation marks omit-
ted).
As Judge Jordan points out in his separate concurring opin-
ion, the Second and Seventh Circuits have not consistently applied
the retroactivity rule from Yu and have sometimes taken a Chenery
balancing test approach. See, e.g., Lugo v. Holder, 783 F.3d 119, 121–
23 (2d Cir. 2015); Negrete-Rodriguez v. Mukasey, 518 F.3d 497, 503–
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19-15077 Opinion of the Court 23
04 (7th Cir. 2008). And they aren’t the only circuits that have ap-
plied the Chenery balancing test in immigration cases. 2 See, e.g., De
Niz Robles v. Lynch, 803 F.3d 1165, 1173–78 (10th Cir. 2015); Francis-
co-Lopez v. Att’y Gen. U.S., 970 F.3d 431, 436–40 (3d Cir. 2020); Reyes
v. Garland, 11 F.4th 985, 990–93 (9th Cir. 2021).
2 Our concurring colleague states that because the Attorney General’s
Thomas opinion cites Chenery for the proposition that that an agency has the
authority to announce new interpretations of a statute through rulemaking
or through adjudication, see Matter of Thomas, 27 I & N Dec. at 688, we can
“presume[]” that the Attorney General also believes that Chenery would
“govern with respect to the retroactivity of an interpretive change by adjudi-
cation.” Concurring Op. at 6 n.2. We disagree.
When a court (or the Attorney General in an adjudicative decision)
cites one part of an opinion, that does not amount to an endorsement or
agreement with every other part of the opinion. Matter of Thomas pin cites
the Chenery opinion only for the proposition that rulemaking and adjudica-
tion are equally valid paths to the same destination. And Matter of Thomas
addresses retroactivity only in terms of state court orders that attempt to al-
ter immigration consequences with post hoc changes to criminal convictions
and sentences. See 27 I & N Dec. at 677 (referring to “the immigration con-
sequences of state-court orders that retroactively alter a criminal conviction
or sentence”). Matter of Thomas does not hold or even hint anything about
Chenery’s balancing test and whether it applies to deciding if decisions of the
Attorney General on immigration matters are retroactive.
Relying on and agreeing with a decision is not an all or nothing
proposition. If it were, opinions concurring in part and dissenting in part
would not exist, yet opinions that do exactly that are abundant in the report-
ers. We have all written them.
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24 Opinion of the Court 19-15077
Yu cites 8 U.S.C. § 1103(a)(1), which seems to give the At-
torney General the final say on questions of immigration law. In
its entirety, that provision states:
The Secretary of Homeland Security shall be
charged with the administration and enforcement of
this chapter and all other laws relating to the immi-
gration and naturalization of aliens, except insofar as
this chapter or such laws relate to the powers, func-
tions, and duties conferred upon the President, At-
torney General, the Secretary of State, the officers
of the Department of State, or diplomatic or consu-
lar officers: Provided, however, That determination
and ruling by the Attorney General with respect to
all questions of law shall be controlling.
8 U.S.C. § 1103(a)(1); see also Negusie, 555 U.S. at 516–17 (“Con-
gress has charged the Attorney General with administering the
INA, and a ‘ruling by the Attorney General with respect to all
questions of law shall be controlling.’”). Section 1103(a)(1), as Yu
holds, may mean that when the Attorney General announces new
a new decision that is a reasonable interpretation of the INA and
is entitled to deference, that decision applies retroactively because
it is “the Attorney General’s determination of what the law ‘ha[s]
always meant.’” Yu, 568 F.3d at 1333 (quoting Rivers v. Roadway
Exp., Inc., 511 U.S. 298, 313, n.12 (1994) (explaining that when the
Supreme Court interprets a statute in a new way, it isn’t changing
the law but is declaring what the statute has “always meant” and is
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19-15077 Opinion of the Court 25
clarifying how inferior courts have misunderstood the will of
Congress)).
Or interpreting 8 U.S.C. § 1103(a)(1) as giving the Attorney
General final authority on the law may be a misinterpretation of
the statute. A better interpretation may be that § 1103(a)(1) actu-
ally spells out the Attorney General’s absolute authority on de-
termining questions of immigration law only in relation to other
immigration authorities who are listed in that provision. See 8
U.S.C. § 1103(a)(1); see also Ruiz v. U.S. Att’y Gen., 73 F.4th 852, 862
(11th Cir. 2023) (Newsom, J., concurring) (“Section 1103(a)(1)’s
proviso is best understood, I submit, to empower the Attorney
General to make legal determinations that are ‘controlling’ vis-à-
vis other Executive-Branch actors—but not vis-à-vis the courts.”).
Regardless, for this panel decision’s purpose, we have binding
precedent on point, and that binding precedent is Yu.
As Judge Jordan’s concurring opinion recognizes, we’re
bound to apply the Yu retroactivity rule here. 3 See Concurring
Op. at 1. The Matter of Thomas decision is based on interpreting
the statutory text to enforce its original meaning. Under Yu the
BIA’s earlier interpretation of the statute does not mean Matter of
3 Like our concurring colleague, we are “not so sure” about what the
statute means, see Concurring Op. at 13 n.4, but we would not go so far as to
say that a statute whose plain text states that a “determination and ruling by
the Attorney General with respect to all questions of law shall be control-
ling,” 8 U.S.C. § 1103(a)(1), says nothing about whether his interpretation
should be given retroactive effect, Concurring Op. at 13 n.4.
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26 Opinion of the Court 19-15077
Thomas announced new law. Instead, it means that Matter of
Thomas correctly states what the law always was and how it al-
ways should have been applied. See Yu, 568 F.3d at 1333. We
cannot hold that that it was impermissible for the BIA to apply the
Attorney General’s Matter of Thomas decision.
B. Statutory Interpretation
As we have mentioned, we review de novo questions of
statutory interpretation, subject to the principles of Chevron def-
erence that are “of special importance” in the immigration con-
text. Negusie, 555 U.S. at 517; see also Arevalo, 872 F.3d at 1187;
Amezcua-Preciado, 943 F.3d at 1341; Yu, 568 F.3d at 1331. The Chev-
ron step one question “is whether the usual rules of statutory in-
terpretation provide a clear answer” to the specific issue present-
ed. Barton v. U.S. Att’y Gen., 904 F.3d 1294, 1298 (11th Cir. 2018).
If the statutory text is unambiguous and “answers the question
presented . . . we apply the statute and determine whether the
[BIA’s] decision complies with the statutory text.” Hincapie-Zapata
v. U.S. Att’y Gen., 977 F.3d 1197, 1200 (11th Cir. 2020). If the INA
“is silent or ambiguous, we proceed to the second step [of Chev-
ron], which requires us to determine whether the agency’s inter-
pretation is a “permissible construction of the statute.’” Yu, 568
F.3d at 1331. “So long as an agency’s interpretation is reasonable,
it is controlling,” and it is reasonable if it is “not arbitrary, capri-
cious, or manifestly contrary to the statute.” Id. at 1332 (quota-
tion marks omitted).
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19-15077 Opinion of the Court 27
Before turning to the statutory text here, we define the
specific and precise issue before us, as step one of Chevron re-
quires. See, e.g., Chevron, 467 U.S. at 843 (asking whether the stat-
ute is ambiguous “with respect to the specific issue”) (emphasis
added); id. at 862 (concluding “that the legislative history as a
whole is silent on the precise issue before us”) (emphasis added); In
re Gateway, 983 F.3d at 1256 (noting that at step one of Chevron
“[w]e must ascertain whether Congress had a specific intent on
the precise question before us”) (emphasis added; quotation marks
omitted); Hincapie-Zapata, 977 F.3d at 1200 (stating that deference
may be due if “the statute is silent or ambiguous with respect to
the specific issue”) (emphasis added; quotation marks omitted);
Miccosukee Tribe of Indians of Fla. v. United States, 566 F.3d 1257,
1273 (11th Cir. 2009) (“The first question is whether Congress has
directly spoken to the precise question at issue.”) (emphasis added;
quotation marks omitted).
In this case, the facts of the state court sentence modifica-
tion order define the precise issue presented and the outer reaches
of our holding. Cf. Alim v. Gonzales, 446 F.3d 1239, 1248 (11th Cir.
2006) (holding that a prior decision that had addressed a convic-
tion vacated for a “rehabilitative” reason was not binding in a fac-
tual scenario where a conviction had been vacated because of a
defect such as a violation of a constitutional right).
The key facts are clear: Edwards’ state court sentence was
modified so that he could avoid the immigration consequences of
being an aggravated felon under federal law, and in that way avoid
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28 Opinion of the Court 19-15077
removal. We know that’s why his sentence was modified because
the state court gave no reasons for modifying Edwards’ sentence
other than stating that it had considered his motion. Edwards’
motion, in turn, was entirely about his immigration situation and
the harsh effect that removal would have on him and his family.
See supra at 5, 8. Neither of his two motions to modify men-
tioned any other reason for modifying his sentence.
In the closely analogous immigration context of state court
orders that vacate a conviction (instead of revising a sentence), we
have held that we can look to a petitioner’s state court filing to de-
termine “the reason underlying the state court’s decision to va-
cate [his] plea.” Alim, 446 F.3d at 1251. We concluded in Alim that
“we have no reason to doubt that [the] plea was vacated for the
reason provided in” the petitioner’s request for relief, and that was
“particularly so because the state did not challenge or contest [the
petitioner’s] factual allegations.” Id. The same is true here. The
state court granted Edwards’ unopposed motion for a sentence
modification solely for the reason stated in that motion. One rea-
son and one reason alone: to enable Edwards to avoid removal
under federal immigration law. The question is whether the INA
prohibits giving legal effect for immigration purposes to this kind
of state court sentence modification order.
We begin our analysis of the meaning of the statute, as we
always should, with the text of it. The relevant text comes from 8
U.S.C. § 1101(a)(48), which is located in the definitions section of
the statute. It states in full:
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19-15077 Opinion of the Court 29
(A) The term “conviction” means, with respect to
an alien, a formal judgment of guilt of
the alien entered by a court or, if adjudication of
guilt has been withheld, where—
(i) a judge or jury has found the alien guilty or
the alien has entered a plea of guilty or nolo conten-
dere or has admitted sufficient facts to warrant a
finding of guilt, and
(ii) the judge has ordered some form of punishment,
penalty, or restraint on the alien’s liberty to be im-
posed.
(B) Any reference to a term of imprisonment or a
sentence with respect to an offense is deemed to in-
clude the period of incarceration or confinement or-
dered by a court of law regardless of any suspension of
the imposition or execution of that imprisonment or sen-
tence in whole or in part.
8 U.S.C. § 1101(a)(48) (emphasis added).
Our primary focus is on the meaning of a “term of impris-
onment or a sentence.” Id. § 1101(a)(48)(B). The statute partially
defines a “term of imprisonment or a sentence” by specifying one
thing it is “deemed to include,” which is: “the period of incarcera-
tion or confinement ordered by a court of law regardless of any
suspension of the imposition or execution of that imprisonment
or sentence in whole or in part.” Id. We have held that “suspen-
sion” takes its federal meaning, which is “a procedural act that
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30 Opinion of the Court 19-15077
precedes a court’s authorization for a defendant to spend part or
all of the imposed prison sentence outside of prison.” Ayala-
Gomez, 255 F.3d at 1319. Based on that definition of “suspension,”
we have interpreted a “term of imprisonment” to “include all
parts of a sentence of imprisonment from which the sentencing
court excuses the defendant, even if the court itself follows state-
law usage and describes the excuse with a word other than ‘sus-
pend.’” Id.
The partial statutory definition of a “term of imprison-
ment” and our interpretation of it in Ayala-Gomez do not entirely
resolve the precise issue before us. Because we have held that a
“suspension” is “a procedural act that precedes” a court allowing a
defendant to avoid spending time in prison, id. (emphasis added),
that part of the partial statutory definition does not tell us about
post-sentencing modifications to an already served sentence.
And though the statute refers plainly to “the period of in-
carceration or confinement ordered by a court of law,” that does
not tell us much about the precise issue before us either. 8 U.S.C.
§ 1101(48)(B). It doesn’t because both the original sentence and
the modified sentence include a “period of incarceration or con-
finement ordered by a court of law.” Id. The question is which
period of confinement counts for purposes of immigration law,
the original one or the modified one.
The statute does not unambiguously answer that question.
But the Attorney General has. See 8 U.S.C. § 1103(a)(1); see also
Yu, 568 F.3d at 1333. And his interpretation on the precise ques-
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19-15077 Opinion of the Court 31
tion of law at issue here is “reasonable and entitled to deference.”
Yu, 568 F.3d at 1333; see also Bastias v. U.S. Att’y Gen., 42 F.4th 1266,
1274 (11th Cir. 2022) (explaining that at Chevron step two the
agency has a “range of discretion” to interpret the INA and is free
to make a policy-based decision from a variety of possible inter-
pretations).
As we have discussed, see supra at 10–11, in Matter of Thom-
as the Attorney General determined that a state court sentence
modification order issued for “avoidance of immigration conse-
quences” has no legal effect for immigration purposes. 27 I. & N.
Dec. at 674. That determination with respect to this question of
law is controlling. See 8 U.S.C. § 1103(a)(1); Yu, 568 F.3d at 1333.
Edwards’ sentence modification order was issued after he com-
pleted his sentence and after his removal proceedings began and
only for the purpose of preventing removal. Because Edwards’
modification order did not change his “term of imprisonment”
for purposes of federal immigration law, the BIA correctly deter-
mined that he is an aggravated felon, and thus removable, and in-
eligible for cancellation of removal, and ineligible for asylum.
IV. DENIAL OF WITHHOLDING OF REMOVAL
ISSUE
To qualify for withholding of removal, Edwards must show
that if he returned to Jamaica his life or freedom would be threat-
ened on account of his membership in a particular social group.
Carrizo v. U.S. Att’y Gen., 652 F.3d 1326, 1331 (11th Cir. 2011). He
bears the burden of showing that he more likely than not would
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32 Opinion of the Court 19-15077
be persecuted because of his membership in that social group. Id.
The BIA determined Edwards had failed to carry his burden of
showing that likelihood. That determination was a factual one.
See Malu v. U.S. Att’y Gen., 764 F.3d 1282, 1290–91 (11th Cir. 2014)
(explaining that the BIA made a finding “as a matter of fact” that
the petitioner failed to prove that she more likely than not would
be persecuted in the future on account of her membership in a
particular social group). Edwards’ challenge to the factual deter-
mination that he failed to prove the likelihood of future persecu-
tion is his only basis for challenging the BIA’s determination that
he is ineligible for withholding of removal.
The front gate problem with Edwards’ factual challenge to
the order denying him withholding of removal is that we do not
have jurisdiction to review it. See id. at 1289 (explaining that “[w]e
lack jurisdiction . . . to review factual findings that an alien is un-
likely to endure persecution” and “to reweigh the evidence that
the agency considered”). We have held that 8 U.S.C.
§ 1252(a)(2)(C) means that the “only relief available to [the peti-
tioner], a criminal alien, is relief predicated on errors of law, not
errors of fact.” Malu, 764 F.3d at 1290; accord Guerrero-Lasprilla v.
Barr, 140 S. Ct. 1062, 1067, 1073 (2020) (holding that under 8
U.S.C. § 1252(a)(2)(D), jurisdiction exists to review “the applica-
tion of a legal standard to undisputed or established facts,” but
that provision “will still forbid appeals of factual determinations—
an important category in the removal context”). We also held in
Malu that based on the jurisdictional bar in § 1252(a)(2)(C), we
“lack jurisdiction to review the Board’s factual finding” that a
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19-15077 Opinion of the Court 33
criminal alien has “failed to prove that she more likely than not
would be persecuted in the future on account of her membership
in” a particular social group. Malu, 764 F.3d at 1291. That hold-
ing, backed up by what the Supreme Court stated in Guerrero-
Lasprilla, bars our review of Edwards’ factual challenges to the
BIA’s finding that he failed to prove he would be harmed in Jamai-
ca because of his membership in a particular social group. Be-
cause Edwards asserts no challenges “predicated on errors of law,”
id. at 1290, we have no jurisdiction to review that part of the BIA’s
decision denying withholding of removal.
The Supreme Court’s decision in Nasrallah v. Barr, 140 S.
Ct. 1683 (2020), does not change our view about our lack of juris-
diction. Nasrallah held that appellate courts do have jurisdiction
to review under the substantial evidence standard the BIA’s factual
determinations leading to an order denying CAT relief. Id. at
1690. The Court acknowledged the government’s argument that
its decision “might lead to judicial review of factual challenges to
statutory withholding orders,” but it emphasized that the “ques-
tion is not presented in this case, and we therefore leave its resolu-
tion for another day.” Id. at 1694.
At least until that “another day,” we are bound by our prior
panel precedent to hold that we lack jurisdiction over factual chal-
lenges to orders denying withholding; the Nasrallah decision has
not overruled or undermined that precedent to the point of abro-
gation. See United States v. Steele, 147 F.3d 1316, 1317–18 (11th Cir.
1998) (en banc). For a Supreme Court decision to undermine
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34 Opinion of the Court 19-15077
panel precedent to the point of abrogation, the “decision must be
clearly on point” and “clearly contrary” to the panel precedent.
Garrett v. Univ. of Ala. at Birmingham Bd. of Trs., 344 F.3d 1288, 1292
(11th Cir. 2003) (quotation marks omitted). “In addition to being
squarely on point, the doctrine of adherence to prior precedent also
mandates that the intervening Supreme Court case actually abro-
gate or directly conflict with, as opposed to merely weaken, the holding
of the prior panel.” United States v. Kaley, 579 F.3d 1246, 1255
(11th Cir. 2009) (emphasis added).
The Nasrallah decision about CAT relief orders leaves in
force our prior panel precedent about withholding of removal or-
ders. See Main Drug, Inc. v. Aetna U.S. Healthcare, Inc., 475 F.3d
1228, 1230 (11th Cir. 2007) (“Obedience to a Supreme Court deci-
sion is one thing, extrapolating from its implications a holding on
an issue that was not before that Court in order to upend settled
circuit law is another thing.”). The Nasrallah decision was based
on statutory interpretation, and the statutory provisions inter-
preted in that decision and this one are different. See 8 U.S.C.
§ 1231(b)(3); The Foreign Affairs Reform and Restructuring Act of
1998 (FARRA), Pub. L. No. 105-277, § 1242, 112 Stat. 2681-822
(1998); Illegal Immigration Reform and Immigrant Responsibility
Act of 1996 (IIRIRA), Pub. L. No. 104-208, 110 Stat. 3009-627
(1996). Which probably is why the Supreme Court was moved to
point out in Nasrallah that it was not reaching any holding about
orders denying withholding of removal.
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19-15077 Opinion of the Court 35
Not only that but our post-Nasrallah precedent also indi-
cates that our prior panel precedent about withholding orders
continues to bind us. See Farah v. U.S. Att’y Gen., 12 F.4th 1312,
1327 (11th Cir. 2021) (reciting in the same paragraph the rule
from Nasrallah about CAT relief orders and the rule from our
prior panel precedent about withholding orders); Thamotar v. U.S.
Att’y Gen., 1 F.4th 958, 967 (11th Cir. 2021) (holding that an “order
granting a noncitizen withholding of removal is a final order of
removal”).
V. CAT RELIEF ISSUE
The BIA determined that the IJ “did not clearly err in find-
ing inadequate evidence to support a finding that it was more like-
ly than not that [Edwards] would be tortured in Jamaica.” As
we’ve already mentioned, we do have jurisdiction to review under
the substantial evidence standard the BIA’s factual determinations
about the denial of CAT relief. See Nasrallah, 140 S. Ct. at 1691.
Under that standard we can reverse the BIA only if the record
compels it. The record does not.
The definition of “torture” for CAT purposes requires se-
vere pain or suffering that was, among other things, “inflicted by
or at the instigation of or with the consent or acquiescence of a
public official acting in an official capacity or other person acting
in an official capacity.” 8 C.F.R. § 208.18(a)(1); see also Todorovic v.
U.S. Att’y Gen., 621 F.3d 1318, 1324 (11th Cir. 2010) (“[F]or CAT
relief, an applicant must show that it is more likely than not that
he will be tortured by, or with the acquiescence of, government
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36 Opinion of the Court 19-15077
officials if returned to the designated country of removal.”); Jean-
Pierre v. U.S. Att’y Gen., 500 F.3d 1315, 1323 (11th Cir. 2007).
Edwards failed to show the likelihood of government in-
volvement or acquiescence in any torture by the Jamaican gov-
ernment. As the IJ found, the Jamaican government had made
“efforts to combat corruption in the police and security forces as
well as abuses that may rise to the level of torture.” The police
also took Edwards’ statement after he was robbed by gang mem-
bers. Even if they failed to arrest the perpetrators, we have held
that “CAT does not extend so far” as to allow “a person [to] ob-
tain CAT relief merely because he was attacked by a gang of
neighborhood thugs whom the police were unable to apprehend.”
Reyes-Sanchez v. U.S. Att’y Gen., 369 F.3d 1239, 1243 (11th Cir.
2004). The record does not compel the conclusion that Edwards
has established entitlement to CAT relief.
VI. CONCLUSION
For all of those reasons, Edwards’ petition is DISMISSED in part
DENIED in part.
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19-15077 [JORDAN, J., Concurring] 1
JORDAN, Circuit Judge, Concurring.
I join the court’s opinion as to all but Part III.A. With respect to
Part III.A, I concur in the judgment, as I agree that we should ap-
ply Yu v. United States Attorney General, 568 F.3d 1328, 1330 (11th
Cir. 2009), because it is directly on point. Nevertheless, the result
we reach in Part III.A is, in my view, unsatisfactory. The Supreme
Court has told us that the retroactivity of administrative decisions
is subject to a multi-factor balancing test, and we have acknowl-
edged that command. See S.E.C. v. Chenery Corp., 332 U.S. 194, 203
(1947); McDonald v. Watt, 653 F.2d 1035 (5th Cir. Aug. 21, 1981). In
Yu, we accorded automatic retroactivity to administrative rulings
by the Attorney General in the immigration context, treating
such edicts as if they were judicial decisions by Article III tribu-
nals. And we did so without acknowledging, much less discussing,
Chenery and McDonald. I write to explain why we should convene
en banc to right our circuit law and confirm that, in the world of
administrative decisions, the Chenery balancing test governs all
retroactivity determinations.
I
This case concerns the retroactive application of a 2019 ruling by
the Attorney General—Matter of Thomas & Thompson, 27 I. & N.
Dec. 674 (A.G. 2019)—regarding the federal immigration effect of
a state court order modifying, clarifying, or otherwise altering the
sentence of a convicted noncitizen. In Thomas, the Attorney
General ruled that, in determining whether an alien has commit-
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2 [JORDAN, J., Concurring] 19-15077
ted an aggravated felony for purposes of removal under the Im-
migration and Naturalization Act, 8 U.S.C. § 1101(a)(43)(F), im-
migration officials should credit state court orders reducing or
modifying the “term of imprisonment” for a particular offense
only if the reduction was based on a “defect in the underlying
criminal proceedings,” and not, for example, potential immigra-
tion consequences. See id. at 674. This determination abrogated
the Board of Immigration Appeals’ longstanding precedent hold-
ing just the opposite—that that immigration officials are required
to give full faith and credit to all state court orders modifying sen-
tences, irrespective of their underlying reasons. See, e.g., In re Cota-
Vargas, 23 I. & N. Dec. 849 (B.I.A. 2005).
Thomas had significant potential consequences for Mr. Edwards
and his then-pending removal proceedings. Naturally, he argues
here that the Attorney General’s about-face in Thomas cannot be
retroactively applied to him. See Petitioner’s Br. at 11–15. He as-
serts, for example, that “[a]s a new rule which can bring adverse
consequences for immigrants’ past legal decisions, the new rule
must not apply to modifications of sentence or to positive immi-
gration rulings based on such modifications that occurred before
October 25, 2019, the date of publication of the Attorney Gen-
eral’s edict.” Id. at 14. 1
1 Despite making this argument, Mr. Edwards did not cite to Chenery or
McDonald in his initial brief. Those citations would have been helpful.
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19-15077 [JORDAN, J., Concurring] 3
In our initial panel opinion, we held that Thomas was fully retro-
active by applying Yu, a case in which we had accorded automatic
retroactive effect to an administrative ruling by the Attorney
General. And in today’s opinion, we explain that, notwithstanding
our recognition and application of Chenery in McDonald more than
40 years ago, Yu is the controlling precedent because McDonald
dealt with a Department of Interior rule and did not involve a de-
cision by the Attorney General.
The result we reach today, and the route we follow to get there, is
an acceptable way to harmonize Yu and McDonald. But as both a
doctrinal and practical matter, our resolution is problematic.
A
On the doctrinal side, Yu incorrectly relied on precedent related to
the retroactivity standard of judicial rather than agency decision-
making. See Yu, 568 F.3d at 1333. Judicial decisions generally apply
retroactively as a rule, while legislative (and, as we will see, ad-
ministrative) enactments and determinations are presumptively
prospective. Compare, e.g., Solem v. Stumes, 465 U.S. 638, 642 (1984),
with, e.g., Bowen v. Georgetown Univ. Hosp., 488 U.S. 204, 208–09
(1988). The difference makes sense.
Courts are charged with “say[ing] what the law is.” Marbury v.
Madison, 5 U.S. 137, 177 (1803). And “a legal system based on
precedent has a built-in presumption of retroactivity.” Solem, 465
U.S. at 642. See also Kuhn v. Fairmont Coal Co., 215 U.S. 349, 372
(1910) (Holmes, J., dissenting) (noting that judicial decisions “have
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4 [JORDAN, J., Concurring] 19-15077
had retrospective operation for near a thousand years”). The Su-
preme Court has suggested that the presumption of retroactivity
attaching to judicial decisions inheres in the Constitution’s separa-
tion of powers. See Harper v. Va. Dep’t of Taxation, 509 U.S. 86, 97
(1993). So have others. See Gutierrez-Brizuela v. Lynch, 834 F.3d
1142, 1150 (10th Cir. 2016) (Gorsuch, J., concurring) (“Precisely to
avoid the possibility of allowing politicized decisionmakers to de-
cide cases and controversies about the meaning of existing laws,
the framers sought to ensure that judicial judgments ‘may not
lawfully be revised, overturned or refused faith and credit by’ the
elected branches of government.”) (quoting Chi. & S. Air Lines v.
Waterman S.S. Corp., 333 U.S. 103, 113 (1948)).
Unlike the executive branch, the federal judiciary comes with
some built-in safeguards to protect against abrupt changes in the
law, such as the concept of stare decisis, the law of the case doc-
trine, preclusion rules, and—on a broader scale—the lifetime ap-
pointment for federal judges, which renders them less inclined to
bend to the popular politics of the day. There is also the Supreme
Court, which sits at the apex of the federal judiciary and is availa-
ble to resolve legal conflicts that arise in the lower federal courts.
As the Tenth Circuit has noted, the Constitution “invests judges
with none of the same ‘legislative Power[ ]’ to devise new rules of
general applicability,” and assigns the limited “’judicial Power’ . . .
not to avowed policymakers and politicians answerable to the
people but to judges insulated from partisan influence and retri-
bution and appointed without term.” De Niz Robles v. Lynch, 803
F.3d 1165, 1171 (10th Cir. 2015).
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19-15077 [JORDAN, J., Concurring] 5
On the other hand, administrative agencies sometimes operate in
a quasi-legislative way. Much to the chagrin of some members of
the judiciary and certain legal scholars, they sometimes “take ‘leg-
islative’ and ‘judicial’ forms” despite being “exercises of [ ] the ‘ex-
ecutive Power.’” Arlington v. FCC, 569 U.S. 290, 305 n.4 (2013)
(quoting U.S. Const. Art. II, § 1, cl. 1).
In the modern era of the administrative state, Attorneys General
and executive agencies are in part tasked with exercising their del-
egated legislative authority through quasi-judicial proceedings
and the use of administrative law judges. See Laborers’ Int’l Union
of N. Am., AFL-CIO v. Foster Wheeler Energy Corp., 26 F.3d 375, 387
n.8 (3d Cir. 1994) (“A . . . fundamental difference between agencies
and Article III courts is that an agency boasts both judicial and
legislative powers. When an agency exercises its legislative pow-
ers, neither the ‘cases’ or ‘controversies’ prerequisite, nor the rule
of stare decisis, rears its head. And, as Chenery illustrates, agencies
are free to exercise their legislative powers in adjudications.”).
Because legislation “is rarely afforded retroactive effect,” De Niz
Robles, 803 F.3d at 1169, when an administrative agency or official
exercises delegated legislative authority a presumption against ret-
roactivity may also seem to inhere from the Constitution’s sepa-
ration of powers doctrine. See Reynolds v. McArthur, 27 U.S. (2 Pet.)
417, 434 (1829) (Marshall, C.J.) (“It is a principle which has always
been held sacred in the United States, that laws by which human
action is to be regulated, look forwards, not backwards; and are
never to be construed retrospectively unless the language of the
act shall render such construction indispensable.”); Stern v. Mar-
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6 [JORDAN, J., Concurring] 19-15077
shall, 564 U.S. 462, 484 (2011) (“Article III could neither serve its
purpose . . . nor preserve the integrity of judicial decisionmaking
if the other branches of the Federal Government could confer the
Government’s ‘judicial Power’ on entities outside Article III.”).
To the extent that it denies automatic retroactivity to administra-
tion decisions, Chenery makes sense. “[T]he more an agency acts
like a legislator—announcing new rules of general applicability—
the closer it comes to the norm of legislations and the stronger
the case becomes for limiting application of the agency’s decision
to future conduct.” De Niz Robles, 803 F.3d at 1172. 2
B
Then there are the practical problems. With each change of ad-
ministrations, there come new policies. In the immigration con-
text such policies—sometimes expressed through the Attorney
General’s rulings—are often 180 degree turns from settled norms
that have widespread effects on then-pending immigration pro-
ceedings. This disruptive force is well-documented. See, e.g., Bijal
Shah, The Att’y Gen.’s Disruptive Immigration Power, 102 Iowa L.
2 Ironically, the Attorney General in Thomas—the decision at issue here—
cited to Chenery, albeit for the proposition that an agency may decide wheth-
er to announce new interpretations of a statute through rulemaking or
through adjudication. See Thomas, 27 I & N Dec. at 688. It should reasonably
be presumed, therefore, that if (in the Attorney General’s eyes) Chenery con-
trols as to the propriety of an interpretive change by adjudication, Chenery
would also govern with respect to the retroactivity of an interpretive change
by adjudication.
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19-15077 [JORDAN, J., Concurring] 7
Rev. 129, 143–44 (2017) (discussing how “many recent Attorney
General decisions can be understood to have . . . suspended the
long-term application of statute [ ] or altered the agent’s own
longstanding practices, including by virtue of partisan employ-
ment of the tool [of the referral and review mechanism]”); Joseph
Landau, DOMA and Presidential Discretion: Interpreting and Enforcing
Federal Law, 81 Fordham L. Rev. 619, 640 n.89 (2012) (referring to
the Attorney General’s review and certification powers as “power-
ful tool[s] in that [they] allow[ ] the Attorney General to pro-
nounce new standards for the agency and overturn longstanding
BIA precedent”); Richard Frankel, Deporting Chevron: Why the At-
torney General’s Immigration Decisions Should Not Receive Chevron
Deference, 54 U.C. Davis L. Rev. 547, 561 (2020) (“Through the cer-
tification power, [the Attorney General] can make law, render pol-
icy judgments, and implement the administration’s immigration
policy agenda. Because of the lack of constraints on the Attorney
General and the binding effect of his rulings, certification consti-
tutes a ‘sweeping’ and ‘potent’ tool for refashioning the landscape
of immigration law, with dramatic effects on the millions of non-
citizens subject to removal proceedings.”).
What this has meant in practice over the last two decades is that
existing immigration precedent is subject to change every four or
so years. Indeed, between the last two administrations alone,
there have been at least five vacaturs of prior precedential deci-
sions by the BIA or the Attorney General—many of those deci-
sions themselves vacaturs of even earlier precedential decisions.
See, e.g., Thomas, 27 I & N Dec. at 674, 684–85 (overturning
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8 [JORDAN, J., Concurring] 19-15077
longstanding BIA precedent regarding the applicability of state
court orders altering or amending a sentence to immigration pro-
ceedings); Matter of M-S-, 27 I & N Dec. 509 (A.G. 2019) (overrul-
ing Matter of X-K-, 23 I & N Dec. 731 (BIA 2005), which allowed
asylum-seekers with a positive credible fear determination for per-
secution or torture to be eligible for a custody redetermination
hearing before an immigration judge); Matter of A-B-, 28 I & N
Dec. 307 (A.G. 2021) (vacating Matter of A-B-, 28 I & N 199 (A.G.
2021) (restricting asylum claims based on domestic or gang vio-
lence), and Matter of A-B-, 27 I & N Dec. 316 (A.G. 2018) (itself
overruling Matter of A-R-C-G-, 26 I & N Dec. 338 (BIA 2014) (rec-
ognizing domestic violence as a basis for asylum)); Matter of A-C-
A-A-, 28 I & N Dec. 351 (A.G. 2021) (vacating Matter of A-C-A-A-,
28 I & N Dec. 84 (A.G. 2020), and directing immigration judges to
return to the “longstanding review processes” that the previous
Attorney General prohibited); Matter of L-E-A-, 28 I & N Dec. 304
(A.G. 2021) (vacating Matter of L-E-A-, 27 I & N Dec. 581 (A.G.
2019) (reversing BIA findings and abrogating previous training
guidance to immigration officers that a family may constitute a
particular social group consistent with existing case law), and in-
structing immigration judges to revert to the “preexisting state of
affairs”)); Matter of Cruz-Valdez, 28 I & N Dec. 326 (A.G. 2021) (va-
cating Matter of Castro-Tum, 27 I & N Dec. 271 (A.G. 2018)). Even
when not expressly vacated or overruled, prior precedent is often
stayed or held in abeyance, leaving the rights of many hanging in
the balance. See, e.g., Matter of Negusie, 28 I & N Dec. 120 (A.G.
2020) (stayed by Matter of Negusie, 28 I & N Dec. 399 (A.G. 2021)).
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19-15077 [JORDAN, J., Concurring] 9
One need not be a legal savant to recognize that this state of
affairs is tantamount to chaos.
This legal ping-pong has become relatively commonplace, as
more recent Attorneys General have used their certification au-
thority at a higher rate. See Am. Bar Ass’n, Resolution 121A & Re-
port 2–3, n. 9–14 (Aug. 13, 2019) (chronicling the use of the At-
torney General’s certification power throughout the Barack
Obama and Donald Trump administrations). See also Alberto R.
Gonzalez & Patrick Glen, Advancing Executive Branch Immigration
Policy Through the Attorney General’s Review Authority, 101 Iowa L.
Rev. 841, 857–58 (2016) (describing the historical use of the certifi-
cation authority, including during the George W. Bush administra-
tion). As the American Bar Association noted, “the certification
process has been used, as opposed to rulemaking (or legislative
recommendations), to establish not only procedural and docket
management policies, but also substantive questions of law gov-
erning immigration proceedings that have resulted in reversing
longstanding precedential decisions . . . .” Am. Bar. Ass’n, Resolu-
tion 121A at 2. See also Jennifer S. Breen, Labor, Law Enforcement,
and “Normal Times”: The Origins of Immigration’s Home within the
Department of Justice and the Evolution of Attorney General Control
over Immigration Adjudications, 42 Hawai’i L. Rev. 1, 58 (2019) (out-
lining the increasing use of the self-referral mechanism and noting
that “[n]ow, self-referral is the only way in which the Attorney
General asserts his review power and that power is increasingly
used to reshape immigration procedure and settled areas of im-
migration law”). And with the (seemingly) never-ending political
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10 [JORDAN, J., Concurring] 19-15077
polarization of the immigration debate, this trend will likely con-
tinue.
I don’t voice any opinion on whether these vacillating policy deci-
sions are substantively good or bad (individually or collectively)
for the body politic in general or the immigration system in par-
ticular. My point is that, in light of these mercurial changes, the
notion of automatic retroactivity (á la Yu) for Attorney General
rulings (and similar administrative decisions of general applicabil-
ity) seems ill-advised.
III
In Chenery, the Supreme Court instructed us to assess retroactivity
in the administrative realm by “weighing” the costs the affected
individual or entity would face against the benefits the agency
would enjoy. See Chenery, 332 U.S. at 199–201. The Court noted
that “retroactivity must be balanced against the mischief of pro-
ducing a result which is contrary to a statutory design or to legal
and equitable principles.” Id. at 203. This balancing is performed
to “assess[ ] the underlying due process and equal protection im-
plications associated with retroactive agency action.” Gutierrez-
Brizuela, 834 F.3d at 1147.
“When the Supreme Court speaks, we are bound to listen.” Jones
v. Smith, 786 F.2d 1011, 1013 (11th Cir. 1986) ( Johnson, J., dissent-
ing). There is no “immigration exception” to the balancing test
laid out in Chenery for the retroactivity of administrative deci-
sions. In giving automatic retroactivity to Attorney General rul-
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19-15077 [JORDAN, J., Concurring] 11
ings in immigration matters, and in doing so without acknowl-
edging or discussing Chenery, Yu erred.
As the majority notes, many of our sister circuits have ac-
corded automatic retroactivity to an Attorney General’s ruling in
immigration cases like this one. See Maj. Op. at 22–23 (collecting
cases). That, however, is not the whole story.
First, some of those circuits have also—paradoxically—applied
the Chenery balancing test in immigration cases. The Second Cir-
cuit, for example, has cases applying Chenery and cases following
the rationale of Yu in the immigration context. Compare, e.g.,
Torres v. Holder, 764 F.3d 152, 158 (2d Cir. 2014) (following Yu), with
Lugo v. Holder, 783 F.3d 119, 121–23 (2d Cir. 2015) (applying
Chenery balancing test), and Obeya v. Sessions, 884 F.3d 442, 445–50
(2d Cir. 2022) (same). So does the Seventh Circuit. Compare Shou
Wei Jin v. Holder, 572 F.3d 392, 297 (7th Cir. 2009) (following Yu),
with Negrete-Rodriguez v. Mukasey, 518 F.3d 497, 503–04 (7th Cir.
2008) (applying Chenery balancing test).
Second, just as some circuits have followed the misguided auto-
matic retroactivity approach of Yu, others have instead applied the
Chenery balancing test in immigration cases. These include the
Third, Fifth, Ninth, and Tenth Circuits. See, e.g., De Niz Robles, 803
F.3d at 1173–78; Monteon-Camargo v. Barr, 918 F.3d 423, 430–31 (5th
Cir. 2019); Francisco-Lopez v. Att’y Gen. U.S., 970 F.3d 431, 436–40
(3d Cir. 2020); Reyes v. Garland, 11 F.4th 985, 990–93 (9th Cir.
2021). The Yu approach, therefore, is not universally embraced.
On our end, we have discussed the Supreme Court’s Chenery anal-
ysis in a well-known immigration case, though not with regards
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12 [JORDAN, J., Concurring] 19-15077
to retroactivity. See Gonzalez v. Reno, 212 F.3d 1338 (11th Cir. 2000)
(citing to and analyzing Chenery when discussing the different lev-
els of deference afforded to agency adjudications). We should en-
deavor to correct course and apply Chenery correctly, especially
given the sheer volume of immigration cases that come before
us. 3
IV
Incumbent and newly-appointed Attorneys General—
sometimes “avowedly politicized administrative [officials] seeking
to pursue whatever policy whim may rule the day,” Gutierrez-
Brizuela, 834 F.3d at 1150 (Gorsuch, J., concurring)—are permitted
to overturn longstanding immigration rules from one day to the
next. And to make matters worse for those litigating in the immi-
gration system (and the lawyers who represent them), the federal
circuits have applied contradictory analyses on the retroactive
effects of those ever-changing policy decisions.
The notion of automatic retroactivity delineated in Yu relies on
the mistaken premise that a ruling by the Attorney General is a
“determination of what the law ‘had always meant.’” 568 F.3d at
1333 (quoting Rivers v. Roadway Exp., Inc., 511 U.S. 298, 313 n.12
(1994)). As explained earlier, the Attorney General should not be
3 See, e.g., Admin. Office U.S. Courts, Federal Judicial Caseload Statistics 2022
(Mar. 31, 2022), https://www.uscourts.gov/statistics-reports/federal-
judicial-caseload-statistics-2022 (“BIA appeals accounted for 87 percent of
administrative agency appeals and constituted the largest category of admin-
istrative agency appeals filed in each circuit except the DC Circuit.”).
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19-15077 [JORDAN, J., Concurring] 13
treated as an Article III federal court for retroactivity purposes. To
put it in simple terms, how can the law have always meant one
thing one day and then have always meant the exact opposite
come the following election cycle? See, e.g., Landgraf v. USI Film
Prods., 511 U.S. 244, 270 (1994) (noting that a retroactivity analysis
focuses on “considerations of fair notice, reasonable reliance, and
settled expectations”) (emphasis added). 4
I believe we should convene en banc and hold that Chenery pro-
vides the framework for determining the retroactive effect of the
Attorney General’s ruling in Thomas. Perhaps, in this mad, mad
world, the Chenery balancing test will provide a dose of sanity and
stability. 5
4 The court posits that maybe Yu can be explained by 8 U.S.C. § 1103(a)(1),
the statute which gives the Attorney General the authority to make control-
ling decisions regarding immigration law. See Maj. Op. at 23–25. I’m not so
sure. This statute may explain why some deference is due to the Attorney
General’s interpretation of an ambiguous statute, see Ruiz v. Att’y Gen., 73
F.4th 852, 858 n.3 (11th Cir. 2023), but it says nothing about whether that
interpretation should be given automatic retroactive effect by the federal
courts.
5 Tears for Fears, Mad World, on The Hurting (Mercury Records 1983).