Legal Research AI

Allen v. Attorney General of Maine

Court: Court of Appeals for the First Circuit
Date filed: 1996-03-26
Citations: 80 F.3d 569
Copy Citations
30 Citing Cases
Combined Opinion
                  UNITED STATES COURT OF APPEALS
                            UNITED STATES COURT OF APPEALS
                      FOR THE FIRST CIRCUIT
                                FOR THE FIRST CIRCUIT

                                             

No. 95-2057

                           RYAN ALLEN,

                      Petitioner, Appellant,

                                v.

             ATTORNEY GENERAL OF THE STATE OF MAINE,

                      Respondent, Appellee.

                                             

           APPEAL FROM THE UNITED STATES DISTRICT COURT

                    FOR THE DISTRICT OF MAINE

           [Hon. Morton A. Brody, U.S. District Judge]
                                                               

                                             

                              Before

                     Torruella, Chief Judge,
                                                     

                  Aldrich, Senior Circuit Judge,
                                                         

                    and Selya, Circuit Judge.
                                                      

                                             

     Wayne R.  Foote, with whom Foote &  Temple was on brief, for
                                                         
appellant.
     Joseph A. Wannemacher, Assistant Attorney General, with whom
                                    
Andrew Ketterer, Attorney General, was on brief, for appellee.
                         

                                             

                          March 26, 1996
                                             


          SELYA, Circuit  Judge.  Invoking federal  habeas corpus
                    SELYA, Circuit  Judge.
                                         

jurisdiction, petitioner-appellant Ryan Allen  seeks to block the

State of Maine from prosecuting him for operating a motor vehicle

under  the influence of alcohol (OUI) in violation of 29 M.R.S.A.

   1312-B  (West  Supp.  1994).1    He   insists  that  continued

prosecution of  this charge  will transgress the  Double Jeopardy

Clause.   See  U.S. Const.  amend. V.   Because  the petitioner's
                       

arguments,  though ingenious,  are  without  intrinsic merit,  we

affirm the district court's dismissal of his habeas petition.

                                I
                                          I

          On December  11, 1994,  a state trooper  arrested Allen

for  committing an  OUI  offense.   The  State preferred  charges

against him.   As directed  by law, the  Secretary of State  (the

Secretary)  then suspended  Allen's driver's  license  for ninety

days.  See 29 M.R.S.A.   1311-A, reprinted in the appendix.
                    

          It  is  said that  every action  produces an  equal and

opposite  reaction.  Having  felt the lash  of the administrative

suspension, the petitioner moved  to dismiss the pending criminal

charge on double jeopardy  grounds.  The nisi prius  court denied

the motion,  relying upon  an opinion  issued by  Maine's highest

                    
                              

     1The  state  legislature  recently  repealed,  substantially
reenacted, and recodified  the statutes in question.   See, e.g.,
                                                                          
29-A  M.R.S.A.     2411  (West Supp.  1995)  (providing  criminal
penalties  for OUI);  id.    2451  (providing for  administrative
                                   
suspension  of driver's  licenses following  OUI arrests);  id.  
                                                                         
2403  (ensuring  credit for  an  administrative  suspension if  a
suspension is later ordered  as part of a  corresponding criminal
sentence).   Because all the relevant events took place under the
previous regime, we cite  exclusively to the 1994 version  of the
statutory scheme.

                                2


tribunal  (the Law  Court)  two months  earlier.   See  State  v.
                                                                       

Savard, 659  A.2d 1265,  1268 (Me.  1995) (holding  in materially
                

identical circumstances that an administrative license suspension

did not  constitute  punishment for  double  jeopardy  purposes).

Instead  of appealing the ruling to the Law Court, the petitioner

(who had been released on bail and was, therefore, technically in

the state's  custody, see Lefkowitz v. Fair, 816 F.2d 17, 22 (1st
                                                     

Cir. 1987)),  applied for a writ  of habeas corpus in  the United

States District Court for the District of Maine.

          The federal district  court consolidated this  petition

with a  petition brought by  Lori Thompson (a  similarly situated

individual).  After due consideration, Judge Brody concluded that

the license suspension and indictment arose from the same offense

and constituted  separate proceedings,2  but that there  could be

no multiple  punishment (and, hence, no  double jeopardy) because

the   administrative  sanction   served  remedial,   rather  than

punitive, ends.    See Thompson v. Maine Atty. Gen., 896 F. Supp.
                                                             

220,  221-22  (D.  Me.  1995)  (explaining  that  the  suspension

provision "is  designed primarily to ensure the  public safety of

drivers  in Maine").    Accordingly, Judge  Brody dismissed  both

habeas petitions.  See id. at 223.  This appeal ensued.
                                    

                                II
                                          II

          Before  turning to  the merits  of the  double jeopardy

claim, we discuss two potential procedural obstacles.

                    
                              

     2The State does not challenge either of these determinations
on appeal.

                                3


                                A.
                                          A.
                                            

          The   first  procedural   hurdle  is   easily  vaulted.

Ordinarily,  a state criminal case is  ripe for the ministrations

of  a federal  habeas court  only after  completion of  the state

proceedings  (that  is,  after  the  defendant  has  been  tried,

convicted,  sentenced, and has pursued available direct appeals).

See,  e.g., Fay  v. Noia, 372  U.S. 391, 418  (1963); Nadworny v.
                                                                        

Fair, 872 F.2d 1093, 1096 (1st Cir. 1989).  In this instance, the
              

petitioner knocked on  the federal court's door  before his state

trial began.  But because of  an exception to the ripeness  rule,

this case evades the bar.

          A petition  for habeas  relief that raises  a colorable

claim  of former  jeopardy need  not invariably  await  trial and

conviction in  the  state court.    Such claims  are  distinctive

because the Constitution insists that "courts may not impose more

than  one  punishment  for   the  same  offense  and  prosecutors

ordinarily may not attempt to secure that punishment in more than

one trial."  Witte v. United States, 115 S. Ct. 2199, 2205 (1995)
                                             

(quoting Brown  v. Ohio, 432 U.S.  161, 165 (1977)).   To realize
                                 

the solemn  promise  of  this  constitutional  guaranty,  federal

habeas courts will in appropriate circumstances entertain a claim

that permitting  a nascent  (but as  yet incomplete) state  court

prosecution  to  go forward  would  violate  the Double  Jeopardy

Clause.   See, e.g., Justices of Boston  Mun. Court v. Lydon, 466
                                                                      

U.S. 294, 302-03  (1984) (plurality op.);  Gilliam v. Foster,  75
                                                                      

F.3d  881, 904  (4th Cir.  1996); Mannes  v. Gillespie,  967 F.2d
                                                                

                                4


1310, 1312 (9th Cir.  1992), cert. denied, 506 U.S.  1048 (1993).
                                                   

This  is  a nearly  classic  case  for invoking  the  exception.3

Thus,  we hold that the petitioner may seek federal habeas corpus

relief   without  first  undergoing   trial  on   the  challenged

indictment.

                                B.
                                          B.
                                            

          The   second   procedural  hurdle   results   from  the

petitioner's bypassing of  the Law  Court en route  to a  federal

forum.  This shortcut  flouts the general rule that  a petitioner

must exhaust  all available state remedies  before federal habeas

jurisdiction attaches.  See, e.g., Scarpa v. DuBois, 38 F.3d 1, 6
                                                             

(1st Cir. 1994), cert.  denied, 115 S. Ct. 940  (1995); Nadworny,
                                                                          

872 F.2d at 1096-97; see generally 28 U.S.C.   2254(b).  We think
                                            

that the shortcut is permissible in this case.

          Although the  exhaustion rule  is important, it  is not

immutable:    exhaustion  of  remedies is  not  a  jurisdictional

prerequisite  to a  habeas petition,  but, rather,  a gatekeeping

provision  rooted in  concepts  of federalism  and  comity.   See
                                                                           

Nadworny, 872 F.2d at 1096 ("Requiring that remedies be exhausted
                  

in state courts is merely  comity's juridical tool, embodying the
                    
                              

     3There are three general  classes of double jeopardy claims.
See  United States  v. Rivera-Martinez,  931 F.2d  148,  152 (1st
                                                
Cir.) (explaining that the  Double Jeopardy Clause "safeguards an
individual against (1) a second prosecution for the same offense,
following  an acquittal;  (2) a second  prosecution for  the same
offense, following a conviction; and  (3) multiple punishments"),
cert. denied, 502 U.S.  862 (1991).  While immediate  recourse to
                      
federal habeas  most  commonly occurs  in successive  prosecution
cases,  we see  no  reason  why  such  recourse  is  not  equally
propitious in  a multiple  punishments case where,  as here,  the
alleged punishments have their origins in separate proceedings.

                                5


federal sovereign's  respect for the state  courts' capability to

adjudicate federal  rights.").   Consistent with  this rationale,

the federal courts have carved a narrow futility exception to the

exhaustion  principle.   If stare  decisis looms,  that is,  if a
                                                    

state's highest court has ruled unfavorably on  a claim involving

facts  and issues  materially identical  to those  undergirding a

federal  habeas  petition and  there  is no  plausible  reason to

believe  that a  replay will  persuade the  court to  reverse its

field, then the  state judicial process becomes  ineffective as a

means   of  protecting   the  petitioner's   rights.     In  such

circumstances,  the  federal courts  may  choose  to relieve  the

petitioner of the obligation  to pursue available state appellate

remedies  as a condition precedent  to seeking a federal anodyne.

See  Piercy v.  Black, 801  F.2d 1075,  1077-78 (8th  Cir. 1986);
                               

Robinson v.  Berman, 594  F.2d 1,  3 (1st Cir.  1979).   The law,
                             

after  all,  should  not require  litigants  to  engage in  empty

gestures or to perform obviously futile acts.

          Here, Judge Brody recognized  that the Law Court's very

recent  decision  in  Savard   propelled  this  case  within  the
                                      

perimeter  of  the futility  exception  to  the exhaustion  rule.

Thus,  the judge  determined that  it would  be bootless  for the

petitioner to invite  state appellate review and excused him from

doing  so.   See  Thompson, 896  F. Supp.  at  221.   Because the
                                    

finding of  futility cannot  be faulted,  we  uphold the  court's

decision to allow the habeas case to proceed.

                               III
                                         III

                                6


          Turning  to the  merits of  the controversy,  we borrow

heavily from our decision  in United States v. Stoller,      F.3d
                                                                

    (1st Cir. 1996) [No. 95-2175].  Stoller involved a challenge,
                                                     

on  double  jeopardy  grounds,  to  a  criminal  prosecution  for

misapplication  of  bank funds  following  the  imposition of  an

administrative  sanction (a  debarment  order precluding  Stoller

from employment or other  participation in the banking industry).

See  id. at       [slip op.  at 2-3].    In addressing  Stoller's
                  

challenge, we  delineated the  analytic framework that  governs a

court's  appraisal of most civil sanctions that are alleged to be

disguised punishments.4  We explained that, in such cases, courts

must examine  "the totality  of the circumstances,  including the

source  of  the authority  under  which the  [civil  sanction] is

imposable, the  goals underpinning  the authorizing statute,  the

order  itself,  the purposes  it  serves,  and the  circumstances

attendant to its promulgation."  Id. at     [slip op. at 21].  If
                                              

this holistic  examination indicates that the  sanction is better

characterized as remedial rather than as punitive, it will not be

deemed  to constitute  punishment  for double  jeopardy purposes.

See id. at     [slip op. at 7].
                 

                    
                              

     4A  different  framework  governs  a  court's  appraisal  of
"monetary penalties designed to make the sovereign whole for harm
or  loss that is  quantifiable in actual  or approximate monetary
terms."  Stoller,      F.3d at      [slip op. at  12].  In  those
                          
cases, the  proper test requires  a determination of  whether the
sanction   can  fairly   be   seen  as   remedial  (and,   hence,
nonpunitive), or whether  it is only  explicable in deterrent  or
retributive  terms (and, hence, punitive).   See United States v.
                                                                        
Halper, 490 U.S.  435, 448-49  (1989); Stoller,      F.3d at     
                                                        
[slip op. at 12-13].

                                7


                                A.
                                          A.
                                            

          The  first step  a  court must  take  in assessing  the

aggregate circumstances is to inspect the statute under which the

sanction has been imposed.  See id. at      [slip op. at 21].  In
                                             

this instance  the  statute, 29  M.R.S.A.    1311-A,  contains  a

statement of  purpose that  simplifies the  judicial  task.   The

proviso serves to safeguard  travelers on the state's  roads, see
                                                                           

29  M.R.S.A.    1311-A(1)(A),  by  "remov[ing]  quickly from  the

public highways . . . those persons who have shown  themselves to

be a safety hazard  by operating or attempting to  operate" motor

vehicles  after  imbibing  quantities  of alcohol,  id.     1311-
                                                                 

A(1)(B).   So viewed, the  license suspension proviso  furthers a

quintessentially   remedial  goal  (public  safety)  and  it  is,

therefore,  not punitive  in the  relevant  constitutional sense.

Accord State v. Hickam, 668 A.2d 1321, 1328 (Conn. 1995) (finding
                                

similar statutory scheme to  be remedial in nature);  Savard, 659
                                                                      

A.2d at  1268 (finding 29  M.R.S.A.    1311-A to  be remedial  in

nature).

          The petitioner  does not dispute that  public safety is

both the driving force  behind the statute and a  legitimate area

of legislative concern.  Still, he attempts a  flanking maneuver.

This statute, he  argues, must  have a punitive  aim because  the

suspension period increases with the  number of violations.   See
                                                                           

29  M.R.S.A.      1311-A(5)(B),   1312-B(2).    The  argument  is

unconvincing.

          While  tying the severity of a penalty to the number of

                                8


offenses perpetrated  may indicate  a retributive intent,  such a

linkage  may  also  indicate  a protective  intent.    Here,  for

example, the escalating suspensions  plainly reflect, at least in

part, a desire to  safeguard the public by ousting  those who, on

average, present  the greatest  safety hazard    recidivist drunk

drivers    from the highways  for longer periods of  time.  Given

this perspective, we  believe that the  escalating length of  the

authorized administrative suspensions is  not so clearly punitive

as to require us to characterize the statute as penal  in nature.

See, e.g.,  Bae v.  Shalala, 44  F.3d 489,  495  (7th Cir.  1994)
                                     

(explaining that "the duration or  severity of [a civil sanction]

will not mark it as punishment  where it is intended to further a

legitimate governmental purpose").

                                B.
                                          B.
                                            

          We  turn next  to the  design and structure  of Maine's

statutory scheme.  Pointing  out that a driver loses  his license

under  29 M.R.S.A.   1311-A  only after first  being arrested and

charged with an OUI offense, the petitioner asseverates that this

fact  is  a  telltale  indication  of  punitive  intent.     This

asseveration,  which rests in large part upon a misreading of the

Court's opinion in Department  of Revenue v. Kurth Ranch,  114 S.
                                                                  

Ct. 1937 (1994), does not withstand scrutiny.

          The  petitioner contends  that,  under  Kurth Ranch,  a
                                                                       

civil  sanction   predicated  in  terms  on  a  prior  arrest  is

necessarily  punitive.    But  the  Kurth  Ranch  Court  examined
                                                          

numerous factors (including the  provenance of the legislation at

                                9


issue, the extent of  the sanction, and the relation  between the

sanction  and  the criminal  law,  see  id. at  1946-47)  without
                                                     

attaching talismanic significance  to any  one of them.   To  the

contrary, Kurth Ranch  makes it pellucid that these factors serve
                               

as  harbingers which, when  aggregated, will  cast a  sanction in

either a remedial or a punitive light.  See id. at 1947.  In this
                                                         

case,  given the  legitimate  remedial purpose  that the  license

suspension  proviso serves, we do  not find the  nexus between an

individual's arrest and the  imposition of the sanction to  be of

overriding importance.  See Stoller,     F.3d at     [slip op. at
                                             

21] ("Because our  interest is in deterrating  the overall nature

of the sanction,  no one factor, standing alone,  is likely to be

determinative.").

          In  a related  vein, the  petitioner contends  that the

legislature's inclusion  of the  license suspension proviso  in a

broader bill that  mandated several changes  in the criminal  law

portends  a punitive intent.  The contention is nothing more than

a  makeweight.    Legislatures  routinely  combine  punitive  and

remedial measures in  a single piece  of legislation, see,  e.g.,
                                                                          

id.  at      [slip  op. at  25-26],  and that  unremarkable fact,
             

without  more, tells  a  court very  little  about the  intrinsic

nature of a particular administrative sanction.

          The  petitioner's parting  structural shot  targets the

link  that  the statutory  scheme  forges  between administrative

license suspensions and court-ordered license suspensions imposed

as  part of convicted OUI  defendants' criminal sentences.   If a

                                10


defendant is found guilty  on an OUI  charge, the court not  only

must   impose   a   suspension    identical   to   that   imposed

administratively following the initial  arrest, see 29 M.R.S.A.  
                                                             

1311-A(5)(B),5 but also  must give the  defendant credit for  the

full elapsed period of the  administrative suspension, see id.   
                                                                        

1311-A(5)(C).    This   interleaving,  the  petitioner  suggests,

signifies that the civil sanction must itself be punitive.  We do

not  accept  this   syllogism.    A  remedial  sanction   is  not

transmogrified  into  a  punishment   simply  because  a  similar

sanction sometimes may be imposed as part of a criminal sentence.

See Hicks ex rel. Feiock v. Feiock, 485 U.S. 624, 631, 636 (1988)
                                            

(explaining that  the characterization of a  sanction as remedial

or punitive depends on the nature of the sanction itself, not the

proceeding in which it is imposed); United States v. Salerno, 481
                                                                      

U.S. 739,  746-47 (1987) (holding that,  although imprisonment is

generally  thought to  be  the paradigmatic  form of  punishment,

pretrial detention  to  protect the  public  is not  regarded  as

punitive).

          In  all  events,  the  credit  provision,  fairly read,

buttresses  the State's  position  on appeal.    If a  driver  is

convicted  of OUI,  the credit  provision effectively  merges the

administrative   sanction   and   the  subsequent   court-ordered

suspension,  thereby  ensuring  that   the  "punishment"  is  not
                    
                              

     5There is  an exception  to this identicality  that involves
persons arrested for  OUI while accompanied  by minors under  the
age  of sixteen.  See 29 M.R.S.A.   1311-A(5)(B-1) (providing for
                               
an  additional administrative  suspension  in such  cases).   The
exception is not implicated here.

                                11


"multiple"; and if a driver is acquitted, there will be no court-

ordered  suspension  and,  hence,   no  possibility  of  multiple

punishment.    Either  way  the  credit  provision  deflates  the

petitioner's  double jeopardy challenge  by guaranteeing  that no

more than  a single punishment can be imposed.  At the same time,

the insertion  of this feature bears witness to the legislature's

apparent desire  to avoid  any significant punitive  impact while

striving to protect the motoring public.

          For these reasons, we conclude that the architecture of

the statute  tilts in the same  direction as the text.   Both are

indicative of an intent to serve remedial ends.

                                C.
                                          C.
                                            

          The  petitioner insists that state legislators intended

the license suspension proviso to punish drunk  drivers, and that

this  intention demonstrates  the proviso's  true character.   We

acknowledge  that  the legislative  history of  a statute  can be

telling in  a close case.   Here, however, the case  is not close

and,  at  any rate,  the legislative  history  does no  more than

confirm what the  language and structure  of the statute  already

suggest.6
                    
                              

     6We undertake independent review of the legislative history,
mindful that  federal courts  must make their  own constitutional
assessments.  See, e.g., Siegfriedt v. Fair, 982 F.2d 14, 16 (1st
                                                     
Cir.  1992).   Nevertheless, while  we  do not  defer to  the Law
Court's  determination  that the  Maine  legislature  set out  to
fashion a remedy, not a punishment, see Savard, 659 A.2d at 1268,
                                                        
a  strong  argument  can be  made  that  a  federal court  should
hesitate before disavowing a  state supreme court's exposition of
the  purposes  animating a  state statute.    See, e.g.,  Hamm v.
                                                                        
Latessa,  72  F.3d 947,  954  (1st  Cir.  1995) (reaffirming  the
                 
general proposition  that federal  courts must  defer to a  state

                                12


          The  petitioner's proffer  consists of  a few  snippets

culled  from the legislative record.  As a general matter, courts

must  be chary  of  overvaluing isolated  comments by  individual

solons.  See Rhode  Island v. Narragansett Indian Tribe,  19 F.3d
                                                                 

685,  699  (1st  Cir.), cert.  denied,  115  S.  Ct. 298  (1994).
                                               

Moreover, most  of the comments  collected by the  petitioner are

attributable  to  opponents  of   the  measure.    Statements  of

legislators  who  oppose a  bill  ordinarily  add  little to  the

explication of  legislative intent,  see Selective Serv.  Sys. v.
                                                                        

Minnesota Public Interest Research Group, 468 U.S. 841, 855  n.15
                                                  

(1984), and such is the case here.

          Brushing   aside  the   parsley,   the  meat   of   the

petitioner's  entire proffer  comprises only  two comments.   See
                                                                           

Legislative  Record   House, L.D.  1749, at 1240  (June 10, 1983)

("I  don't deny  that .  . .  [suspension] is  a very  strict and

severe punishment") (statement of Rep. Hayden);  id. at 1245 ("It
                                                              

is time  to suspend those  who are playing for  time through this

court system under the present  law.") (statement of Rep. Smith).

These blemishes  are insufficient to alter the  complexion of the

challenged statute.  A reading of the entire debate regarding the
                                                      

desirability of immediate license suspensions leaves no doubt but

that  the Maine legislature meant the statute to serve a remedial

end.

          One  of  the bill's  principal  sponsors  advocated its

passage  on the  ground  that  an  OUI  arrest,  whether  or  not
                    
                              

supreme court's interpretation of a statute of the state).

                                13


sufficient for  conviction, indicated a likelihood  that a person

was  in the habit of drinking and  driving, and therefore posed a

threat  to others.   See id. at 1240  (statement of Rep. Hayden).
                                      

Other proponents of  the bill  urged its passage  to satisfy  the

legislature's "grave  obligation to remove  th[e] drunken  driver

from the  road," id. at  1242 (statement of  Rep. Joyce),  and to
                              

insulate  the populace from harm at the hands of individuals who,

having been  "picked up for drunken driving . . . keep on driving

afterwards  awaiting  trial,"  id.  at 1241  (statement  of  Rep.
                                            

Smith).  The debate  in the state senate proceeded  along similar

lines.   See Legislative Record    Senate, L.D.  1749, at 1318-20
                      

(June 15,  1983).  In the  face of statements such  as these, the

random  remarks  singled out  by  the  petitioner constitute  too

fragile a foundation on  which to build a credible  argument that

the license suspension proviso  was designed to punish offenders.

See,  e.g.,  Bae,  44  F.3d  at  494  (concluding  that  isolated
                          

references  to  individual legislators'  deterrent aims  will not

indelibly mark a sanction as punitive).

          The  petitioner  strives   to  reinforce  his   tenuous

argument by touting a letter submitted to the chairs of the House

and Senate judiciary committees  by the Governor's Highway Safety

Representative.   Allen emphasizes the letter's  suggestion "that

this bill  would be an added deterrent if a person knew that they

[sic] would be suspended within the short period of time proposed

rather  than  some unknown  date  in  the unforeseeable  future."

Letter from Albert L. Godfrey, Sr., April 15, 1983, at 2.  But in

                                14


the very next sentence, the author writes that the bill is needed

"[i]n the interests of  highway safety."  Hence, we  discount the

letter for two reasons.   First, there is no plausible basis  for

imputing the  views of  the Executive  Branch to the  Legislative

Branch.   See Northern Colo. Water Conservancy Dist. v. FERC, 730
                                                                      

F.2d 1509, 1519 (D.C.  Cir. 1984) (according little weight  to an

administrator's statement to a congressional committee).  Second,

the  blend of concerns evinced in the letter renders it ambiguous

and divests  it of any dispositive  effect.  See Bae,  44 F.3d at
                                                              

494   (explaining  that   legislative  history   reflecting  both

deterrent and  remedial concerns neither requires  nor prevents a

finding that a sanction is punitive); cf. Stowell v. Secretary of
                                                                           

HHS,  3 F.3d  539, 542-43  (1st Cir.  1993) (explaining  that "an
             

ambiguous  statute cannot  be  demystified by  resort to  equally

ambiguous legislative history").

          We add an  eschatocol of sorts.  Even if  we were prone

to give  the Godfrey letter  more weight,  it would  not tip  the

balance.  When applying the totality-of-the-circumstances test to

a  civil  sanction,  the fact  that  the  sanction  may be  aimed

partially at deterrence  is merely  one factor to  be taken  into

account  in the  decisional calculus.   See  Bae, 44 F.3d  at 494
                                                          

(explaining that "a deterrent purpose does not automatically mark

a civil  sanction as  a form of  punishment").   That factor  may

militate in favor of a finding of punitive intent, but it is not,

by itself, determinative.  See  Kurth Ranch, 114 S. Ct. at  1947;
                                                     

Stoller,     F.3d at     [slip op. at 19].
                 

                                15


          We  conclude  that the  legislative  archives, overall,

support the  suggestion that  the license suspension  proviso, 29

M.R.S.A.    1311-A, is intended  primarily to achieve  a remedial

goal.

                                IV
                                          IV

          In the final analysis,  the force of a double  jeopardy

claim  depends   upon  the   particular  circumstances  of   each

individual case.  See United States  v. Halper, 490 U.S. 435, 448
                                                        

(1989)  (mandating "a  particularized assessment  of the  penalty

imposed  and the  purposes  the penalty  may  fairly be  said  to

serve"); Stoller,      F.3d at      [slip op.  at 26]  (similar).
                          

The pivotal question is whether the sanction, as  applied, exacts

rough remedial justice.7  See Halper, 490 U.S. at 446.
                                              

          Evaluated  from this  standpoint, we  believe  that the

administrative sanction  Maine imposed  on the  petitioner passes

muster.  In purpose and effect, the ninety-day license suspension

can fairly be  viewed as  remedial inasmuch as  it is  rationally

related to the apprehended  danger and the potential harm.   That

is, the State could reasonably conclude from the petitioner's OUI

arrest  alone  that preservation  of  public  safety warranted  a
                    
                              

     7The State disagrees, proposing  that we examine instead the
universe of license suspensions in order to determine whether the
temporary  loss of  driving  privileges is,  in  the abstract,  a
punishment.  We reject  this approach.   Unlike the State, we  do
not  believe that the Court's opinion in Austin v. United States,
                                                                          
113  S.  Ct. 2801  (1993), changed  settled  law in  this regard.
There the Court held that, because  of the peculiar nature of the
forfeiture implicated by Austin's appeal, that  forfeiture should
be examined  in general and  not merely as  applied.  See  id. at
                                                                        
2812 n.14.  We believe that this special approach is best limited
to certain civil forfeitures.  It has no applicability here.

                                16


breathing  spell   (in  the   form  of  a   temporary  ninety-day

cancellation of driving privileges).

          The  petitioner  protests  that the  Secretary  neither

undertook  an individualized  determination of  his dangerousness

nor  offered him  a  chance to  show  that he  had  rehabilitated

himself  prior  to  the end  of  the  suspension  period.   These

allegations are true   but neither fact undermines the conclusion

that the  license suspension  is essentially remedial.   For  one

thing, the ninety-day suspension  is subject to relaxation should

the  petitioner  apply for  a  work-restricted license.    See 29
                                                                        

M.R.S.A.   1311-A(5-A).   Limitations of this ilk are  typical of

remedial suspension provisions.   See, e.g., Butler v. Department
                                                                           

of Pub. Safety & Corrections, 609 So.2d 790, 797 (La. 1992).  For
                                      

another thing,  the Secretary's  order is limited  temporally and

the  period of  suspension    in Allen's case,  ninety days    is

reasonable in relation to the future  harm the offender's conduct

might  portend.    In  other  contexts,  the  courts  have  found

debarments of fixed duration, based on prior misconduct, aimed at

protecting  the public  from possible  future shenanigans,  to be

nonpunitive.   See, e,g., Manocchio  v. Kusserow, 961  F.2d 1539,
                                                          

1542 (11th Cir. 1992) (finding remedial an order banning a doctor

from  participating in Medicare for  at least five years); United
                                                                           

States v. Bizzell, 921 F.2d 263, 267 (10th Cir. 1990) (discerning
                           

no  punitive intent  undergirding a  two-year ban  from accepting

government  contracts).   Such  durationally  rigid restrictions,

although   they  may  bear  the  sting  of  punishment  from  the

                                17


recipient's   perspective,   plainly   serve   the   government's

prophylactic interest.  See Stoller,     F.3d at     [slip op. at
                                             

28].  

          We need go no further.  The key to cases  of this genre

is  to  "distinguish  carefully  between  those  sanctions   that

constitute impermissible exercises  of the government's  power to

punish  and those  that constitute  permissible exercises  of the

government's remedial authority (even  if effectuating a specific

remedy  sometimes carries  with  it an  unavoidable component  of

deterrence  or retribution)."  Stoller,     F.3d at     [slip op.
                                                

at 30-31].  After analyzing the totality of the circumstances, we

conclude that the civil  sanction at issue here    the suspension

of the petitioner's  driving privileges ordered  administratively

by  the Secretary   represents a reasonable effort to protect the

public  from   motorists  who   have  demonstrated   a  dangerous

propensity to drink before they drive.  The sanction therefore is

principally in service to  a remedial goal.  Because  the license

suspension does  not  constitute a  punishment under  appropriate

double  jeopardy  analysis, the  district  court did  not  err in

refusing to issue a writ of habeas corpus.

Affirmed.
          Affirmed.
                  

                                18