F I L E D
United States Court of Appeals
Tenth Circuit
July 12, 2005
PUBLISH
UNITED STATES COURT OF APPEALS PATRICK FISHER
Clerk
TENTH CIRCUIT
PACIFIC FRONTIER, a Nevada
corporation; J & L DISTRIBUTING, a
Nevada corporation; REDWOOD
DIVISION PRO CLUB 100%, a
California corporation; ERIC
DESMOND; STEVEN MANTZ;
WILLIAM WALSH; JASMINE
JARAMILLO; LISA WALKER;
AMBER DALTON; TRAVIS
MCBRIDE,
Plaintiffs-Appellees/Cross-
Appellants,
v.
Nos. 04-4010 and 04-4018
PLEASANT GROVE CITY, a
municipal corporation; JIM
DANKLEF, in his official capacity as
Mayor of Pleasant Grove City; TOM
PAUL, in his official capacity as
Police Chief of Pleasant Grove City;
FRANK MILLS, in his official
capacity as Pleasant Grove City
Manager; JEFF WILSON; CAROL
HARMER; KEITH CORY; DAROLD
MCDADE; MARK ATWOOD, in their
official capacities as members of the
Pleasant Grove City Council;
ERNESTO FERRON,
Defendants-Appellants/Cross-
Appellees.
Appeal from the United States District Court
for the District of Utah
(D.C. No. 2:02-CV-1205 TC)
Peter Stirba, (Gary R. Guelker with him on the briefs), Stirba & Associates, Salt
Lake City, Utah, for the Defendants-Appellants/Cross-Appellees.
Craig L. Taylor, (Charles R. Ahlstrom with him on the briefs), Craig L. Taylor,
P.C., Kaysville, Utah, for the Plaintiffs-Appellees/Cross-Appellants.
Before LUCERO, MCKAY, and MURPHY, Circuit Judges.
LUCERO, Circuit Judge.
Burdened by the City of Pleasant Grove’s ordinance establishing a
solicitors licensing procedure, plaintiffs – individuals and entities engaged in
selling Kirby vacuum cleaners through door-to-door solicitations – sued under 42
U.S.C. § 1983 claiming that the licensing ordinance violated their First
Amendment commercial speech rights. The case proceeded to a preliminary
injunction hearing, following which the district court found that, in addition to
satisfying the other factors of the preliminary injunction test, plaintiffs have a
substantial likelihood of showing that two provisions of the ordinance requiring
solicitors to provide their fingerprints and post a $1,000 bond violate their
commercial speech rights. We review the grant of such preliminary injunctions
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for abuse of discretion and conclude on the record before us that the district court
did not abuse its discretion. We therefore AFFIRM the grant of injunctive relief.
I
To “protect the local citizenship against crime and to preserve the private
property, peace, and comfort of the occupants of the private residents [sic] in the
city,” Pleasant Grove enacted Chapter 5.48 of the Pleasant Grove City Code
(“Ordinance”), which requires individuals to obtain a license before engaging in
door-to-door solicitation. When applying for a license, solicitors must provide
Pleasant Grove with, inter alia, the following: (1) proof of age, address, and a
“legally recognized form of identification;” (2) two photographs of the applicant;
(3) a set of fingerprints taken by the Department of Public Safety; (4) a $20 fee to
cover the cost of processing the registration; (5) a $1,000 bond to be returned
ninety days after “the solicitor informs the City that the [sic] or she has
terminated solicitations within the City, unless the City has good cause to believe
that legal action has been or may be brought against the solicitor related to the
solicitation activities of the solicitor;” (6) a $100 annual fee; and (7) “such
information as the police department shall reasonably require.” In addition,
Pleasant Grove requires solicitors to submit to a background check before
obtaining a license.
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Pacific Frontier, Inc. is a distributor of Kirby vacuum cleaners. It engages
independent contractor dealers who perform door-to-door solicitations and in-
home demonstrations of Kirby vacuums. Because it considered the costs of
complying with the Ordinance’s licensing requirements to be “prohibitive,”
Pacific Frontier declined to apply for a license in Pleasant Grove. 1 Its
independent dealers nonetheless proceeded to engage in door-to-door solicitations
in Pleasant Grove. Pleasant Grove police arrested eight such dealers for soliciting
without a license.
Seven of those who were arrested (“individual plaintiffs”) joined three
corporations – Pacific Frontier, J & L Distributing, Inc., and Redwood Division
Pro Club 100%, Inc. – in filing a complaint in federal district court asserting that
the Ordinance violated their First Amendment right to free speech and burdened
interstate commerce. The plaintiffs sought, inter alia, a permanent injunction
against further enforcement of the Ordinance, a declaratory judgment that the
Ordinance is unconstitutional, and compensatory and special damages. In
response, Pleasant Grove filed a motion to dismiss arguing that Younger v.
Harris, 401 U.S. 37 (1971), required federal abstention due to the pending
1
Pleasant Grove had misconstrued its Ordinance for some time and
demanded a $100 fee per solicitor for each seven day period, leading to a
potential fee of $5,200 per year as opposed to the $100 fee per year required by
the Ordinance. It was not until the preliminary injunction hearing in this matter
that Pleasant Grove changed its interpretation.
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criminal actions against the individual plaintiffs. To avoid dismissal of their
federal complaint, and their claims for relief under § 1983, the individual
plaintiffs pled no contest to the criminal charges and agreed to pay the resulting
fines under protest.
After deciding that Pleasant Grove’s dismissal motion was moot, the
district court proceeded to hear arguments on the plaintiffs’ motion for a
preliminary injunction. Plaintiffs did not challenge most of Pleasant Grove’s
licensing procedure, electing to seek an injunction against only three provisions:
the Ordinance’s annual fee, bond, and fingerprinting requirements. At the
hearing, Captain Cody Cullimore of the Pleasant Grove City Police Department
testified to prior crimes committed by door-to-door salespeople. Specifically, he
related that the department had received complaints of thefts occurring when
solicitors were performing demonstrations inside homes, one complaint of a
solicitor committing sexual assault, and reports of residential burglaries after
solicitors had canvassed a particular neighborhood. Additionally, Cullimore
testified that solicitors had defrauded citizens by taking money for products and
not delivering the goods. On cross-examination, he acknowledged that police
involvement with solicitors, when compared to police responses to other
businesses, was “minimal.” In eleven years, the police department received 160
complaints relating to door-to-door solicitation. By contrast, in a ten month
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period in 1997, the department received over 2,000 complaints on “issues
impacting business.” Moreover, nearly half of the 160 calls about solicitors
involved complaints that solicitors were operating without a license. Cullimore
also admitted that there were no instances in which the fingerprints disclosed that
a solicitor should not receive a license, and that the fingerprints had never been
used to investigate or prosecute a crime.
City Attorney Christine Peterson, author of the Ordinance, explained that
the fingerprint requirement deterred solicitors from committing crime. In support
of the bond requirement, she testified that “quite often door-to-door salespeople
will collect money at the door for a product, and then we can’t find them. . . .
And in my mind that was a safeguard for the citizens to allow them to have some
sort of recourse in case they were bilked out of money.” She acknowledged that
no citizen has ever made a claim on the bond. Moreover, plaintiffs presented
unrefuted evidence that Pleasant Grove has no procedure in place through which
an aggrieved citizen can assert a claim on the bond.
On consideration of the evidence and arguments, the district court enjoined
Pleasant Grove from enforcing the bond and fingerprint requirements of the
Ordinance. The court based its decision on the Ordinance’s impact on
commercial speech and did not rule on plaintiffs’ Commerce Clause argument.
Because Pleasant Grove acknowledged and amended its misinterpretation of the
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Ordinance, the district court concluded that “[t]he $100 fee licensing requirement
is no longer at issue here.” Pleasant Grove appealed, arguing that the district
court abused its discretion in enjoining enforcement of the bond and fingerprint
provisions. Plaintiffs cross-appealed, asserting that the district court should have
enjoined the Ordinance’s annual fee requirement and should have ruled on the
Commerce Clause argument.
II
Before turning to the merits of the court’s ruling, we must address Pleasant
Grove’s argument that plaintiffs lack standing to contest the Ordinance’s
constitutionality. 2 Pleasant Grove contends that because plaintiffs challenged the
Ordinance without first applying for a license, they lack standing to advance their
First Amendment arguments. We decline to hold that solicitors must first apply
for and be denied a license before challenging a licensing ordinance’s
constitutionality.
2
Although Pleasant Grove did not raise this argument below, we
nonetheless consider it. See Board of County Comm'rs v. W.H.I., Inc., 992 F.2d
1061, 1063 (10th Cir. 1993) (“Standing may be raised at any time in the judicial
process.”); Powder River Basin Resource Council v. Babbitt, 54 F.3d 1477, 1484
(10th Cir. 1995) (same); Baca v. King, 92 F.3d 1031, 1034 (10th Cir. 1996)
(“Although issues not raised below normally may not be considered on appeal,
defenses challenging this court’s jurisdiction may be raised at any time.”)
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In Association of Community Organizations for Reform Now, ("ACORN")
v. Golden, 744 F.2d 739 (10th Cir. 1984), we heard a challenge to a municipal
ordinance requiring activists to obtain an exemption prior to engaging in door-to-
door canvassing. The City of Golden argued that “ACORN should be required to
apply for and be denied an exemption before bringing a facial challenge to the
ordinance.” Id. at 744. We held that “[a]pplying for and being denied a license
or an exemption is not a condition precedent to bringing a facial challenge to an
unconstitutional law.” Id. Further, we concluded that “[t]his principle is not
limited to cases in which an individual or organization is defending against
criminal charges. It also permits such facial challenges by suits for injunctive or
declaratory relief against laws requiring an exemption or permit.” Id. The
Supreme Court has also heard First Amendment challenges to door-to-door
canvassing permit requirements where the plaintiffs did not apply for a permit.
Watchtower Bible and Tract Soc’y of N.Y. v. Village of Stratton, 536 U.S. 150
(2002). We conclude that our decision in ACORN should extend to cases
involving commercial speech. 3
3
Pleasant Grove argues that because commercial speech is traditionally
subject to government regulation, and enjoys less protection than pure speech, we
should impose a heightened standing requirement when reviewing commercial
speech challenges. The city misconstrues the purpose of the ACORN rule, which
is to allow plaintiffs to bring facial challenges to statutes and regulations without
first requiring them to submit to potentially unconstitutional requirements.
-8-
Although failure to apply for a license does not serve as a barrier to the
facial challenge of an ordinance, plaintiffs must nonetheless meet the ordinary
requirements for standing. Under these requirements, plaintiffs must establish
that they have suffered an “injury in fact,” that there is a causal connection
between the injury suffered and the conduct in question, and that it is likely, not
speculative, that a favorable decision will redress the injury. Lujan v. Defenders
of Wildlife, 504 U.S. 555, 560-61 (1992). Plaintiffs suffer an injury in fact where
they have endured “an invasion of a legally protected interest which is
(a) concrete and particularized, . . . and (b) actual or imminent, not conjectural or
hypothetical.” Id. (quotation and citations omitted).
Plaintiffs in the case before us have suffered an injury in fact. Although
claim of a “subjective chill,” Laird v. Tatum, 408 U.S. 1, 13-14 (1972), is
insufficient to gain standing, a litigant who suffers an “ongoing injury resulting
from the statute’s chilling effect on his desire to exercise his First Amendment
rights” does have standing to sue. Wilson v. Stocker, 819 F.2d 943, 946 (10th
Cir. 1987). 4 We have concluded that a plaintiff establishes standing when “a
credible threat of prosecution or other consequences following from the statute’s
4
We have permitted plaintiffs who did not apply for a permit to sue
governments imposing permit requirements where “[t]he chilling financial reality
of the bond unnecessarily interferes with First Amendment freedoms.” American
Target Adver., Inc. v. Giani, 199 F.3d 1241, 1249 (10th Cir. 2000) (discussing the
merits of the constitutional claim as opposed to standing).
-9-
enforcement” is shown. D.L.S. v. Utah, 374 F.3d 971, 975 (10th Cir. 2004).
Because failure to submit to fingerprinting and refusal to pay a fee and post a
bond necessarily lead to a denial of a license, and because soliciting without a
license led to arrest and prosecution in this case, plaintiffs have shown sufficient
“consequences following from the statute’s enforcement,” id., to show an injury
in fact. See Lujan, 504 U.S. at 560. Furthermore, plaintiffs’ injury is directly
traceable to enforcement of the Ordinance, which would be redressed by a judicial
conclusion that the Ordinance is unconstitutional. Id.
Thus we are satisfied that Article III’s standing requirement permit
plaintiffs to bring this action, leading us to consider Pleasant Grove’s argument
that prudential considerations counsel against our hearing this case. Pleasant
Grove argues that because the individual plaintiffs pled no contest in city court to
the charge of soliciting without a license, all plaintiffs – including the corporate
entities – are precluded from seeking an injunction against enforcement of the
Ordinance in federal court. We may answer whether the district court abused its
discretion in granting injunctive relief so long as any one of the plaintiffs could
properly have sought the injunction below. Because issue preclusion does not
apply to at least one of the plaintiffs – J & L Distributing – we will consider the
merits of this case without determining whether the other plaintiffs are precluded
from presenting their claims for relief.
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Federal courts must “give preclusive effect to state-court judgments
whenever the courts of the State from which the judgments emerged would do
so.” Allen v. McCurry, 449 U.S. 90, 96 (1980). In Utah, issue preclusion
requires the presence of all four of the following factors:
(i) the party against whom issue preclusion is asserted must
have been a party to or in privity with a party to the prior
adjudication; (ii) the issue decided in the prior adjudication
must be identical to the one presented in the instant action;
(iii) the issue in the first action must have been completely,
fully, and fairly litigated; and (iv) the first suit must have
resulted in a final judgment on the merits.
Collins v. Sandy City Bd. of Adjustment, 52 P.3d 1267, 1270 (Utah 2002). “The
legal definition of a person in privity with another, is a person so identified in
interest with another that he represents the same legal right.” Searle Bros. v.
Searle, 588 P.2d 689, 691 (Utah 1978). “[F]inal adjudication of [a] plaintiff’s
claims bars subsequent litigation concerning the same subject matter against
officers or owners of a closely held corporation, partners, co-conspirators, agents,
alter egos or other parties with similar legal interests.” Press Publ’g, Ltd. v.
Matol Botanical Int’l, Ltd., 37 P.3d 1121, 1128 (Utah 2001). A person is not in
privity with another simply because of the showing of “identical rights” at issue
in the earlier litigation, “some interest in the outcome of the case,” or even
“employ[ment of] the same attorney;” rather, the person “must have had some
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control over the [earlier] litigation.” Baxter v. Utah Dep't of Transp., 705 P.2d
1167, 1169 (Utah 1985).
None of the individual plaintiffs who entered pleas of no contest were in
any way associated with J & L Distributing, much less “so identified in interest”
with that corporation that they “represent the same legal right.” Searle Bros., 588
P.2d at 691. As J & L Distributing was not “a party to or in privity with a party
to the prior adjudication,” it is not precluded from challenging the Ordinance’s
constitutionality. Collins, 52 P.3d at 1270. 5 Therefore, we may analyze whether
the district court abused its discretion in granting J & L Distributing’s motion for
injunctive relief. 6
5
Whether the individual plaintiffs, or Pacific Frontier and Pro Club, are
precluded from seeking damages under § 1983 due to the no contest pleas remains
an issue that the district court must resolve. We need not answer that question to
evaluate the district court’s grant of a preliminary injunction. Importantly, the
Utah Court of Appeals recently held that “an unconditional guilty plea does not
operate as a waiver of a facial constitutional challenge to a statute, because such a
challenge is jurisdictional in nature.” State v. Norris, 97 P.3d 732, 737 (Utah
App. 2004). The Utah Supreme Court granted certiorari in that case to answer the
following question: “Whether an unconditional guilty plea waives a defendant’s
appellate challenge to the facial constitutionality of the statute under which the
defendant was charged.” State v. Norris, 106 P.3d 743 (Utah 2004). Resolution
of that question will likely guide the district court’s determination of whether the
individual plaintiffs and Pacific Frontier and Pro Club are precluded from seeking
relief under § 1983.
6
Pleasant Grove filed a letter pursuant to Fed. R. App. P. 28(j) arguing that
the principle of judicial estoppel, adopted by this court in Johnson v. Lindon City
Corporation, 405 F.3d 1065 (10th Cir. 2005), precludes plaintiffs from
challenging the Ordinance’s constitutionality. In Lindon City, plaintiffs, in
(continued...)
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III
Although a preliminary injunction is an exceptional form of relief, we
cannot conclude that the district court abused its discretion by enjoining the
Ordinance’s bond and fingerprint provisions. See Dominion Video Satellite, Inc.
v. Echostar Satellite Corp., 269 F.3d 1149, 1153 (10th Cir. 2001) (“This court
reviews the grant of a preliminary injunction for abuse of discretion”). When
reviewing for an abuse of discretion, “the district court’s decision is overturned
only if it is arbitrary, capricious, whimsical, or manifestly unreasonable.” United
States v. Austin, 231 F.3d 1278, 1281 (10th Cir. 2000) (quotation omitted).
Under this deferential standard, we affirm the grant of injunctive relief.
6
(...continued)
exchange for a generous plea deal, had signed pleas in abeyance admitting that
they were guilty of assault and then proceeded to sue the city for unlawful arrest
and imprisonment under § 1983. Because plaintiffs had, in exchange for
leniency, admitted to actions justifying their arrest, we concluded that they could
not seek § 1983 relief on the basis of unlawful arrest. In reaching this
conclusion, we applied the doctrine of judicial estoppel, which provides that
“[w]here a party assumes a certain position in a legal proceeding, and succeeds in
maintaining that position, he may not thereafter, simply because his interests have
changed, assume a contrary position, especially if it be to the prejudice of the
party who has acquiesced in the position formerly taken by him.” Id. at 1069
(quotation omitted). Judicial estoppel is inapplicable to the case before us.
Plaintiffs admitted to no facts in city court, but rather pled no contest to the
criminal charges under protest. Moreover, in the present litigation, plaintiffs do
not dispute any facts that would support a conviction for soliciting without a
license. The positions that plaintiffs have taken in the earlier criminal
proceedings and in the present § 1983 litigation are entirely consistent.
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To obtain a preliminary injunction, a movant must show: (1) substantial
likelihood of prevailing on the merits; (2) irreparable injury if the injunction is
denied; (3) greater injury to the movant absent the injunction than that which the
opposing party will suffer under the injunction; and (4) lack of adverseness to the
public interest. Utah Licensed Bev. Ass'n v. Leavitt, 256 F.3d 1061, 1065-66
(10th Cir. 2001). Any motion for injunctive relief that seeks to alter the status
quo, such as the motion in this case, “must be more closely scrutinized to assure
that the exigencies of the case support the granting of a remedy that is
extraordinary even in the normal course.” O Centro Espirita Beneficiente Uniao
Do Vegetal v. Ashcroft, 389 F.3d 973, 975 (10th Cir. 2004) (en banc), cert.
granted sub nom Gonzales v. O Centro Espirita Beneficiente Uniao Do Vegetal,
125 S. Ct. 1846 (2005). 7
A
A municipality has the burden of justifying its regulation even on a motion
to enjoin enforcement of an ordinance. Utah Licensed Bev., 256 F.3d at 1073.
Because Pleasant Grove has not met its burden in this case, plaintiffs have shown
a substantial likelihood of prevailing on the merits. 8
7
The Ordinance at issue in this case was enforced by Pleasant Grove for
approximately two years prior to the arrests giving rise to this litigation.
8
The Supreme Court has recognized that personal solicitation is imbued
with important First Amendment interests:
(continued...)
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To defend a regulation against a First Amendment challenge, a municipality
must assert “a substantial interest to be achieved by restrictions on commercial
speech.” Cent. Hudson Gas & Elec. Corp. v. Public Serv. Comm’n, 447 U.S. 557,
564 (1980). Additionally, the restriction must directly advance that substantial
interest. If the regulation “provides only ineffective or remote support for the
government’s purpose,” it will not be upheld. Id. Finally, the regulation is
unconstitutional “if the governmental interest could be served as well by a more
limited restriction on commercial speech.” Id. Pleasant Grove “must demonstrate
that the harms it recites are real and that its restriction will in fact alleviate them
to a material degree.” Edenfield, 507 U.S. at 771. 9
8
(...continued)
Unlike many other forms of commercial expression, solicitation
allows direct and spontaneous communication between buyer and
seller. A seller has a strong financial incentive to educate the market
and stimulate demand for his product or service, so solicitation
produces more personal interchange between buyer and seller than
would occur if only buyers were permitted to initiate contact.
Personal interchange enables a potential buyer to meet and evaluate
the person offering the product or service and allows both parties to
discuss and negotiate the desired form for the transaction or
professional relation. Solicitation also enables the seller to direct his
proposals toward those consumers who he has a reason to believe
would be most interested in what he has to sell. For the buyer, it
provides an opportunity to explore in detail the way in which a
particular product or service compares to its alternatives in the
market.
Edenfield v. Fane, 507 U.S. 761, 766 (1993).
9
Of course, if a municipality required licenses of those engaging in pure
(continued...)
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Pleasant Grove’s asserted interest in passing the Ordinance is to “protect
the local citizenship against crime and to preserve the private property, peace, and
comfort of the occupants of the private residents [sic] in the city.” All parties
concede that Pleasant Grove has asserted substantial interests to be achieved by
the Ordinance, 10 but the parties dispute whether the Ordinance’s bond and
fingerprint provisions directly advance these asserted interests and whether the
regulations restrict more speech than necessary. Finding that Pleasant Grove
failed to show that the bond and fingerprint requirements had any effect on the
problems allegedly caused by door-to-door solicitors, and that Pleasant Grove
failed to show that its interests could not be served adequately by a more limited
9
(...continued)
political speech – such as those canvassing on behalf of a candidate for office –
the regulation would be subject to much more stringent review than that applied
in this case. See Edenfield, 507 U.S. at 767 (“laws restricting commercial speech,
unlike laws burdening other forms of protected expression, need only be tailored
in a reasonable manner to serve a substantial state interest in order to survive
First Amendment scrutiny.”).
10
Their concession is appropriate given longstanding Supreme Court
precedent recognizing a municipality’s right to protect its residents’ peaceful
enjoyment of their homes and to prevent crime. See, e.g., Carey v. Brown, 447
U.S. 455, 471 (1980) (“Preserving the sanctity of the home, the one retreat to
which men and women can repair to escape from the tribulations of their daily
pursuits, is surely an important value. . . . The State’s interest in protecting the
well-being, tranquility, and privacy of the home is certainly of the highest order in
a free and civilized society.”); Hynes v. Oradell, 425 U.S. 610, 616-617 (1976)
(“the Court has consistently recognized a municipality’s power to protect its
citizens from crime and undue annoyance by regulating soliciting and
canvassing.”).
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restriction on speech, the district court concluded that the bond and fingerprint
provisions of the Ordinance do not meet the final two Central Hudson
requirements.
First, we conclude that the district court did not abuse its discretion in
finding that Pleasant Grove failed to meet its burden of showing a “reasonable
fit” between its asserted interest and the bond provision. Mainstream Mktg.
Servs. v. FTC, 358 F.3d 1228, 1237 (10th Cir. 2004). Pleasant Grove defends the
bond as necessary to protect consumers who may pay for a product but do not
receive it or to compensate homeowners whose property is damaged during the
course of an in-home sales demonstration. Belying Pleasant Grove’s defense is
plaintiffs’ uncontested factual allegation that the city has no mechanism through
which an aggrieved resident could make a claim on a bond. This fact alone
confirms the district court’s conclusion that the bond provision does not “provide
effective support for the government’s purposes.” Id. at 1238. Pleasant Grove
has also failed to show why state criminal laws are inadequate to deter fraud, or
why state tort law provides insufficient relief to homeowners whose property may
be inadvertently damaged. Furthermore, other provisions of the Ordinance, such
as the background check, make it less likely that residents will confront
salespersons who engage in fraudulent or tortious activity. See American Target,
199 F.3d at 1249 (“vigorous oversight diminish[es] the likely need for a victim
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compensation fund. An ounce of prevention here is preferable to a pound of
cure.”). Pleasant Grove has failed to show that the bond provision,
unaccompanied by any procedure to recompense victims and embedded within a
scheme that effectively deters criminal and tortious conduct, mitigates the alleged
harm “to a material degree.” Greater New Orleans Broadcasting Ass’n v. United
States, 527 U.S. 173, 188 (1999) (quoting Edenfield, 507 U.S. at 770-71).
In addition, other ordinances, such as the National Institute of Municipal
Law Officers’ (“NIMLO”) model ordinance upon which the Pleasant Grove
ordinance was based, reveal that “the governmental interest could be served as
well by a more limited restriction on commercial speech.” Cent. Hudson, 447
U.S. at 564. The NIMLO ordinance applies a bond requirement only to those
solicitors who require cash deposits or the signing of finance agreements for the
future delivery of goods. Provo, Utah’s solicitation ordinance features the same
limitation as the NIMLO ordinance. Provo City Code § 6.09.020. Therefore, a
substantially narrower restriction of speech – one that exempts from the bond
requirement solicitors like Pacific Frontier who exchange goods for payment at
the time of sale and therefore do not present a risk of absconding with a cash
deposit – would adequately serve Pleasant Grove’s interests. See Mainstream
Marketing, 358 F.3d 1238 (government fails to prove reasonable fit where
“substantially narrower restrictions would have worked just as well.”). Based on
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the foregoing, we conclude that the district court did not abuse its discretion in
finding that plaintiffs have a substantial likelihood of demonstrating that the bond
provision violates the First Amendment.
Second, we cannot conclude that the district court abused its discretion in
finding that the city failed to meet its burden of defending the Ordinance’s
fingerprint requirement. 11 Pleasant Grove attempts to justify the requirement by
arguing that it furthers the city’s legitimate interests in assuring peaceful use of
private property and in protecting its citizens against crime. However, in a case
11
The Supreme Court, in dicta, has long approved regulations requiring
solicitors to provide some form of identification. In Cantwell v. Connecticut, 310
U.S. 296 (1940), the Court concluded that “a State may protect its citizens from
fraudulent solicitation by requiring a stranger in the community, before permitting
him publicly to solicit funds for any purpose, to establish his identity and his
authority to act for the cause which he purports to represent.” Id. at 306. The
Court has specifically approved the use of “identification devices [to] control the
abuse of the privilege by criminals posing as canvassers.” Martin v. Struthers,
319 U.S. 141, 148 (1943); see also Thomas v. Collins, 323 U.S. 516, 540 (1945)
(an individual who “undertakes the collection of funds or securing subscriptions
. . . enters a realm where a reasonable registration or identification requirement
may be imposed.”). A government’s power to regulate solicitors, even through
identification gathering, is of course bounded by the First Amendment. See
Martin, 319 U.S. at 149 (all regulations must provide “due respect for the
constitutional rights of those desiring to distribute literature and those desiring to
receive it”). In various contexts, the Court has struck down on First Amendment
grounds regulations requiring speakers or an association’s members to identify
themselves. See, e.g., Talley v. California, 362 U.S. 60 (1960) (striking down
municipal ordinance requiring all handbills to contain the author and distributor’s
names); Brown v. Socialist Workers ‘74 Campaign Committee, 459 U.S. 87
(1982) (holding that requirement of disclosing names and addresses of campaign
contributors cannot constitutionally be applied to the party).
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involving a municipal ordinance requiring canvassers to obtain a permit, the
Supreme Court found both justifications wanting. With respect to the privacy
justification, the Court concluded that “the ordinance, which provides for the
posting of ‘No Solicitation’ signs and which is not challenged in this case,
coupled with the resident’s right to refuse to engage in conversation with
unwelcome visitors, provides ample protection for the unwilling listener.”
Stratton, 536 U.S. at 169. Responding to the crime prevention rationale, the
Court ruled that “it seems unlikely that the absence of a permit would preclude
criminals from knocking on doors and engaging in conversations not covered by
the ordinance. They might, for example, ask for directions or permission to use
the telephone, or pose as surveyors or census takers.” Id.
Although Stratton involved religious speech, and the Court explicitly
acknowledged that the village’s arguments might justify a regulation of
commercial speech, the Court’s analysis persuades us that Pleasant Grove has not
met its burden in this case. See id. at 165. Pleasant Grove enforces compliance
with posted “No Soliciting” signs, and requires proof of age, address, and
identification, two photographs, and a background check of all applicants.
Indeed, solicitors applying for a license are required to supply all “such
information as the police department shall reasonably require.” Plaintiffs do not
challenge any of those requirements, which may assure adequately citizens’
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privacy and provide law enforcement with the means of identifying potential
criminals and deterring crime.
Pleasant Grove protests, however, that the fingerprint requirement uniquely
furthers its interest in crime prevention and investigation. For support, Pleasant
Grove relies on Captain Cullimore’s testimony that fingerprinting applicants
allows Pleasant Grove to “potentially” identify culprits in residential burglary
investigations. City Attorney Peterson testified that the fingerprint requirement
effectively deters criminal activity. When asked the basis for her belief, she
stated “well, the fact that if I was a salesperson and going door-to-door and I
knew that somebody can identify me by my fingerprints, obviously I would be less
likely to commit a crime in the neighborhood and leave my fingerprints.”
Yet, to defend successfully the fingerprint requirement, Pleasant Grove
must show that its restriction has had more than “some impact” on the alleged
harm. Greater New Orleans Broadcasting Ass’n, 527 U.S. at 189. Quite to the
contrary, Pleasant Grove failed to establish below that its fingerprint requirement
has had any impact on crime committed by solicitors. Although the city has used
the background check to deny a license to a solicitor, information gained from an
applicant’s fingerprints has never contributed to the basis for a denial. Nor has
Pleasant Grove produced any evidence of whether or how it uses fingerprints to
investigate applicants. Additionally, a solicitor’s fingerprints have never been
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used to investigate or prosecute a crime. Indeed, Pleasant Grove did not describe
its method of taking fingerprints or whether its method reliably assists in the
investigation of crime. See, e.g., Nat’l People’s Action v. Village of Wilmette,
914 F.2d 1008, 1012-13 (7th Cir. 1990) (affirming injunction against fingerprint
requirement of solicitation license on First Amendment grounds because record
does not establish that village can use the fingerprints to conduct background
checks or investigate crimes, village has never used fingerprints for either
purpose, and background checks are possible through other means). Any
speculation that fingerprints would assist with crime prevention is further
undercut by evidence that residential burglaries committed in Pleasant Grove by
those posing as solicitors involved individuals who did not apply for a license.
Captain Cullimore admitted that the fingerprint requirement would have been of
no use in those investigations. The city has provided no evidence other than
conjecture to support its argument that having solicitors’ fingerprints on file
would either deter crime or aid the investigation of a burglary. 12 Pleasant Grove
12
Pleasant Grove attempts to fall back on language from Mainstream
Marketing that “a commercial speech regulation may be justified by anecdotes,
history, consensus, or simple common sense.” Mainstream Marketing, 358 F.3d
at 1237 (citing Florida Bar v. Went for It, Inc., 515 U.S. 618, 628 (1995)). The
city argues that anecdotes and common sense justify its Ordinance. In Went for
It, the Supreme Court, over the dissent of four Justices, upheld a solicitation
regulation based on anecdotal evidence proffered by the Florida Bar. What
constituted sufficient anecdotal evidence in that case provides helpful guidance as
(continued...)
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has failed to show “that its restriction will in fact alleviate [the alleged harms] to
a material degree.” Edenfield, 507 U.S. at 771.
Municipalities have substantial interests in protecting their citizens from
crime committed by door-to-door solicitors and in preserving the privacy of their
residents. Conditioning a solicitation license on the posting of a bond or the
submission of fingerprints may legitimately advance these substantial interests
and comport with the First Amendment’s strictures, so long as a city shows that it
faces real harms, which are materially palliated by the requirements. In this case,
the district court below concluded that Pleasant Grove failed to meet its burden of
defending the bond and fingerprint requirements at issue. After reviewing the
record, we are compelled to agree. Nothing about the trial court’s ruling can be
said to be “arbitrary, capricious, whimsical, or manifestly unreasonable.” Austin,
231 F.3d at 1281.
12
(...continued)
we evaluate Pleasant Grove’s evidence. The Florida Bar conducted a two-year
study of the impact of lawyer advertising and solicitation, and compiled a 106-
page summary of its findings including survey results, newspaper editorials, and
complaints filed by citizens. Although the dissent complained that the summary
included “no actual surveys, few indications of sample size or selection
procedures, no explanations of methodology, . . . [and] no description of the
statistical universe or scientific framework,” Went for It, 515 U.S. at 640
(Kennedy, J., dissenting), the majority concluded that the evidence is “sufficient
to meet the standard elaborated in Edenfield.” Id. at 628. Pleasant Grove’s
evidence is wholly insufficient compared to that which was evaluated in Went for
It.
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B
Having concluded that the district court did not abuse its discretion in
finding that plaintiffs have a substantial likelihood of succeeding on the merits,
thus satisfying the first prong of the preliminary injunction test, we now address
the second prong and evaluate plaintiffs’ argument that they will suffer
irreparable harm if denied an injunction on the bond and fingerprint provisions.
The district court concluded that “[b]ecause Plaintiffs have established that the
Ordinance deprives them of their First Amendment rights, they are entitled to a
presumption of irreparable injury.” “[L]oss of First Amendment freedoms, for
even minimal periods of time, unquestionably constitutes irreparable injury.”
Elrod v. Burns, 427 U.S. 347, 373 (1976). We therefore assume that plaintiffs
have suffered irreparable injury when a government deprives plaintiffs of their
commercial speech rights. See Utah Licensed Bev., 256 F.3d at 1076.
Pleasant Grove argues that although courts should presume that restrictions
on commercial speech result in irreparable harm, such a presumption is
rebuttable, and is rebutted in this case because plaintiffs can be adequately
compensated for any harm done. Specifically, Pleasant Grove maintains that any
bond can be returned with interest if its bond provision is found unconstitutional,
and plaintiffs could sue to recover lost profits or secure compensation for harms
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caused by fingerprinting should a court strike down that provision. Thus,
Pleasant Grove maintains that plaintiffs’ injuries are not irreparable.
We reject Pleasant Grove’s argument that depriving plaintiffs of their First
Amendment rights does not amount to irreparable injury simply because they can
secure monetary compensation for both lost profits and the cost of complying with
the Ordinance. Implicit in its argument is the notion that the value of commercial
speech is limited to the pecuniary gain that can be secured through its exercise.
This approach “attaches more importance to the distinction between commercial
and noncommercial speech than our cases warrant and seriously underestimates
the value of commercial speech.” Cincinnati v. Discovery Network, 507 U.S.
410, 419 (1993). Commercial speech merits First Amendment protection not
simply because it enables sellers to hawk their wares and gain a profit, but
because it equips consumers with valuable information and because it contributes
to the efficiency of a market economy. See Bates v. State Bar of Arizona, 433
U.S. 350, 364 (1977). Operating in an economy featuring informed consumers
and an efficient allocation of resources clearly benefits both sellers and buyers.
Therefore, the injury incurred through the deprivation of commercial speech
rights cannot be quantified solely in terms of transaction costs and lost profits to a
single market participant. Accordingly, the district court did not abuse its
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discretion in concluding that plaintiffs suffered irreparable injury through the loss
of their First Amendment rights. 13
C
Because Pleasant Grove failed to show that the bond or fingerprint
requirements materially advance its interests, the district court found that the city
would not be seriously injured through the issuance of an injunction. Thus, the
court concluded on the third factor of the preliminary injunction test that the
threatened injury to plaintiffs’ First Amendment rights outweighs any harm that
Pleasant Grove would suffer through the issuance of an injunction. We agree.
Pleasant Grove argues that without the ability to collect a bond, it may have
to incur substantial costs in tracking down solicitors who damage private property
within the city and then flee. Although Pleasant Grove has identified a potential
harm, the fact that the city has never compensated a citizen through the bond –
and has no mechanism for doing so – makes it less likely that the city will in fact
suffer such an injury during the pendency of this litigation. Moreover, using a
background check and the other prophylactic measures contained in the Ordinance
further diminishes the likelihood of harm. Even if Pleasant Grove demonstrated
13
Given that municipal criminal cases were pending against the individual
plaintiffs, and that federal abstention would likely have been warranted as a
result, we reject Pleasant Grove’s secondary argument that plaintiffs’ delay in
seeking federal injunctive relief mitigates against a finding of irreparable harm.
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that it is likely to incur the cost of tracking down a tortfeasing solicitor, the
district court did not abuse its discretion in finding that the constitutional harm
plaintiffs will suffer outweighs the city’s claimed injury. Additionally, Pleasant
Grove argues that without the fingerprinting requirement, its cost of investigating
solicitors will increase. The fact that information gained from a solicitor’s
fingerprints has never been used to deny a license, although licenses have been
denied on the basis of the background check, belies the city’s argument.
Moreover, there is no evidence in the record detailing whether or how fingerprints
are used to investigate solicitors, much less how fingerprinting solicitors operates
as a cost-saving mechanism.
D
Under the final prong of the preliminary injunction test, plaintiffs must
show that issuing a preliminary injunction would not be adverse to the public
interest. They have succeeded in doing so. Vindicating First Amendment
freedoms is clearly in the public interest. See Utah Licensed Bev., 256 F.3d at
1076 (“Because we have held that Utah’s challenged statutes also
unconstitutionally limit free speech, we conclude that enjoining their enforcement
is an appropriate remedy not adverse to the public interest.”); Elam Constr., Inc.
v. Regional Transp. Dist., 129 F.3d 1343, 1347 (10th Cir. 1997) (“The public
interest also favors plaintiffs’ assertion of their First Amendment rights.”).
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Having reviewed all four factors of the preliminary injunction test, we are
satisfied that the district court did not abuse its discretion in preliminarily
enjoining enforcement of the Ordinance’s bond and fingerprint provisions.
IV
On cross-appeal, plaintiffs argue that the district court erred by concluding
that the Ordinance’s annual fee provision was no longer at issue in the litigation,
and urge us to instruct the district court to enjoin enforcement of the fee
requirement. Furthermore, plaintiffs assert that the district court should have
enjoined enforcement of the Ordinance because it unconstitutionally burdens
interstate commerce. We conclude that neither argument is properly before us in
this appeal of the district court’s grant of a preliminary injunction. On remand,
the court below should rule on these arguments.
With regard to the fee, the Ordinance provides that potential licensees must
pay a $100 annual fee for a license. A Pleasant Grove employee produced an
information sheet that erroneously instructed city employees to charge a fee of
$100 per week. Plaintiffs sought an injunction against enforcement of the fee
provision as applied on a weekly basis. Pleasant Grove discovered and
acknowledged its mistake prior to the hearing on plaintiffs’ motion for a
preliminary injunction and assured the court that they have amended their practice
and now comport with the terms of the Ordinance. The court concluded that the
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licensing fee no longer presented an issue on the motion for a preliminary
injunction, although it indicated at the hearing that the erroneously imposed fee
requirement may nonetheless be considered at later stages of the litigation.
Plaintiffs contend on appeal that the district court should have enjoined
enforcement of the properly applied fee provision. Because neither party had
sufficient opportunity to develop evidence or argument regarding the properly
imposed fee requirement, and the district court did not rule on the issue, we
decline to instruct the district court to enjoin this provision of the Ordinance.
In their motion for a preliminary injunction, plaintiffs based their claim for
an injunction solely on an alleged infringement of their First Amendment
freedoms. Nevertheless, in their memorandum supporting the motion for a
preliminary injunction, plaintiffs argued in addition that the Ordinance
unconstitutionally burdens interstate commerce. The district court granted the
injunction based solely on plaintiffs’ First Amendment arguments, and did not
address the Commerce Clause claim. We decline to instruct the district court to
enjoin the Ordinance’s fee, bond, and fingerprint requirements on the basis of an
alleged violation of the Commerce Clause.
Pursuant to 10th Circuit Rule 28.2(C)(2), parties must “cite the precise
reference in the record where the issue was raised and ruled on.” Doing so allows
us to examine the district court’s reasons for its decision. Where an issue has
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been raised, but not ruled on, proper judicial administration generally favors
remand for the district court to examine the issue initially. See, e.g., Singleton v.
Wulff, 428 U.S. 106, 120 (1976) (“It is the general rule . . . that a federal
appellate court does not consider an issue not passed upon below.”); In re R. Eric
Peterson Constr. Co., Inc., 951 F.2d 1175, 1182 (10th Cir. 1991) (“The district
court never reached this issue . . . . We therefore remand this issue to the district
court”). We see no reason to deviate from that practice in this case. Because the
court below ruled on neither the challenge to the annual fee provision nor
plaintiffs’ Commerce Clause argument, we remand for the district court to address
these issues.
V
We AFFIRM the grant of a preliminary injunction enjoining enforcement
of the Ordinance’s bond and fingerprint provisions and REMAND for further
proceedings consistent with this opinion.
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