Lonnie Peck v. J. Thomas , 682 F.3d 1201 ( 2012 )


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  •                    FOR PUBLICATION
    UNITED STATES COURT OF APPEALS
    FOR THE NINTH CIRCUIT
    LONNIE PECK,                            
    Petitioner-Appellant,          No. 11-35283
    v.                            D.C. No.
    J. E. THOMAS,                               3:10-cv-00709-MO
    Respondent-Appellee.
    
    LOUIS D. MOON,                          
    Petitioner-Appellant,             No. 11-35296
    v.                               D.C. No.
    J.E. THOMAS, Warden,                        3:10-cv-01154-MO
    Respondent-Appellee.
    
    DEVEN SUESUE, AKA Devon                 
    Suesue,                                        No. 11-35355
    Petitioner-Appellant,
    v.                              D.C. No.
    3:10-cv-01295-MO
    J. E. THOMAS, Warden,                           OPINION
    Respondent-Appellee.
    
    Appeal from the United States District Court
    for the District of Oregon
    Michael W. Mosman, District Judge, Presiding
    Argued and Submitted
    March 7, 2012—Portland, Oregon
    Filed June 19, 2012
    7097
    7098                 PECK v. THOMAS
    Before: William A. Fletcher, Raymond C. Fisher, and
    Jay S. Bybee, Circuit Judges.
    Opinion by Judge Bybee
    PECK v. THOMAS                   7099
    COUNSEL
    Stephen R. Sady, Chief Deputy Federal Public Defender,
    Portland, Oregon, for the appellant.
    Ronald K. Silver, Assistant United States Attorney, Portland,
    Oregon, for the appellant.
    7100                        PECK v. THOMAS
    OPINION
    BYBEE, Circuit Judge:
    Petitioners Lonnie Peck, Louis Moon, and Deven Suesue
    are statutorily eligible for early release from prison in
    exchange for the successful completion of a residential drug
    abuse treatment program (“RDAP”). The Bureau of Prisons
    (“BOP”), however, has enacted a regulation disqualifying
    them from the early release incentive on the basis of their cur-
    rent convictions for felon in possession and one petitioner’s
    past conviction for robbery. See 
    28 C.F.R. § 550.55
    (b). Peti-
    tioners each filed for a writ of habeas corpus asking the dis-
    trict court to invalidate the regulation under § 706 of the
    Administrative Procedure Act (“APA”). The district court dis-
    missed the petitions, and the appeals were consolidated. We
    have jurisdiction under 
    28 U.S.C. § 1291
     and § 22531 and we
    affirm.
    I.   FACTS AND PROCEDURAL BACKGROUND
    Petitioners were each convicted of being a felon in posses-
    sion of a firearm under 
    18 U.S.C. § 922
    (g), and are either cur-
    rently serving sentences in BOP facilities or serving terms of
    supervised release. At the time of his conviction, Petitioner
    Moon had a past conviction for robbery, but he received no
    criminal history points under the Sentencing Guidelines
    because the conviction was more than 15 years old.
    1
    Although two of the three petitioners are currently serving terms of
    supervised release, “relief may still be available in the form of modifica-
    tion, amendment, or termination of their supervised release.” Arrington v.
    Daniels, 
    516 F.3d 1106
    , 1111 n.4 (9th Cir. 2008) (citing 
    18 U.S.C. § 3583
    (e)(2)); see also Paulsen v. Daniels, 
    413 F.3d 999
    , 1005 n.3 (9th
    Cir. 2005). Here, because the petitioners completed RDAP while in prison,
    a decision invalidating the regulation rendering them ineligible for early
    release in exchange for completing RDAP could provide a basis to shorten
    their terms of supervised release.
    PECK v. THOMAS                           7101
    In 1990, Congress directed the BOP to create programs to
    treat substance abuse among inmates. See 
    18 U.S.C. § 3621
    (b). To encourage participation in this program, Con-
    gress subsequently determined that inmates who successfully
    complete the program would be eligible for up to one year of
    early release from prison—as long as the inmate had been
    convicted of a “nonviolent offense.” 
    Id.
     § 3621(e)(2)(B).
    Under the authority delegated by this statute, the BOP has
    implemented a regulation that categorically excludes certain
    classes of inmates from eligibility for § 3621(e)’s early
    release incentive. See 
    28 C.F.R. § 550.55
    (b). Petitioners chal-
    lenge two aspects of this regulation: first, the exclusion of
    inmates convicted of “[a]n offense that involved the . . . pos-
    session . . . of a firearm,” 
    id.
     § 550.55(b)(5)(ii); and second,
    the exclusion of inmates who have a prior conviction for
    homicide, forcible rape, robbery, aggravated assault, arson,
    kidnapping, or child sexual abuse, regardless of the age of that
    conviction, id. § 550.55(b)(4).
    The history of the BOP’s attempts to implement these cate-
    gorical exclusions is lengthy but relevant. Initially, the regula-
    tion defined the term “nonviolent offense” in § 3621(e) with
    reference to the statutory definition of “crime of violence”
    found in 
    18 U.S.C. § 924
    (c)(3). See 
    28 C.F.R. § 550.58
    (1995). We invalidated that regulation, holding that the inclu-
    sion of a § 922(g) possession charge is not a reasonable inter-
    pretation of the term “crime of violence” in § 924(c)(3). Davis
    v. Crabtree, 
    109 F.3d 566
    , 569 (9th Cir. 1997). This eventu-
    ally created a circuit split.2
    2
    The Eighth, Tenth, and Eleventh Circuits agreed that the regulation
    adopted an unreasonable definition of “crime of violence,” see Martin v.
    Gerlinski, 
    133 F.3d 1076
    , 1079 (8th Cir. 1998); Fristoe v. Thompson, 
    144 F.3d 627
    , 631 (10th Cir. 1998); Byrd v. Hasty, 
    142 F.3d 1395
    , 1398 (11th
    Cir. 1998), but the Fourth and Fifth Circuits held otherwise, see Pelissero
    v. Thompson, 
    170 F.3d 442
    , 447 (4th Cir. 1999); Venegas v. Henman, 
    126 F.3d 760
    , 763 (5th Cir. 1997).
    7102                   PECK v. THOMAS
    To resolve this circuit split, the BOP dropped the reference
    to § 924(c)(3) and instead asserted its discretionary authority
    to determine eligibility for early release under § 3621(e). In
    1997, the BOP published an interim rule, effective immedi-
    ately, that categorically excluded from eligibility for early
    release inmates with current convictions for felony offenses
    “involv[ing] the carrying, possession, or use of a firearm.” 28
    C.F.R § 550.58(a)(1)(vi) (1998). In addition, the regulation
    continued to exclude prisoners with prior convictions for cer-
    tain offenses. Id. § 550.58(a)(1)(iv).
    We upheld the Bureau’s authority to so disqualify other-
    wise statutorily eligible inmates. See Bowen v. Hood, 
    202 F.3d 1211
    , 1220 (9th Cir. 2000) (holding that the 1997 rule’s
    exclusion based on firearms possession was a reasonable
    exercise of discretion granted by the statute); Jacks v. Crab-
    tree, 
    114 F.3d 983
    , 986 (9th Cir. 1997) (holding that the 1995
    rule’s exclusion of inmates with prior convictions for certain
    offenses was entitled to deference and was reasonable). The
    Supreme Court later agreed, holding that “the agency’s inter-
    pretation is reasonable both in taking account of preconviction
    conduct and in making categorical exclusions.” Lopez v.
    Davis, 
    531 U.S. 230
    , 242 (2001). The Court explained that
    “the Bureau need not blind itself to preconviction conduct that
    the agency reasonably views as jeopardizing life and limb. By
    denying eligibility to violent offenders, the statute manifests
    congressional concern for preconviction behavior—and for
    the very conduct leading to conviction.” 
    Id.
     The Court also
    found that “[t]he Bureau reasonably concluded that an
    inmate’s prior involvement with firearms, in connection with
    the commission of a felony, suggests his readiness to resort to
    life-endangering violence and therefore appropriately deter-
    mines the early release decision.” 
    Id. at 244
    .
    The Lopez Court declined to reach the question of whether
    the BOP had complied with the notice-and-comment provi-
    sions of the APA in promulgating the 1997 rule. 
    Id.
     at 244
    n.6. We took up this question in Paulsen v. Daniels, holding
    PECK v. THOMAS                      7103
    that the BOP had violated the APA by “implement[ing] a rule
    first, and then seek[ing] comment later.” 
    413 F.3d 999
    , 1005
    (9th Cir. 2005). We invalidated the 1997 interim rule,
    declined to reinstate the 1995 version because it was also
    invalid, and noted that the law currently in effect was a final
    rule that had been promulgated in 2000. 
    Id. at 1008
    .
    The 2000 rule finalized the 1997 interim rule without
    change. 
    Id. at 1003
    ; see 
    28 C.F.R. § 550.58
     (2001). Once
    again, we invalidated the BOP’s efforts. In Arrington v. Dan-
    iels, we held that the 2000 rule, insofar as it categorically
    excluded inmates convicted of firearm-possession offenses,
    was arbitrary and capricious under § 706(2)(A) of the APA
    because the agency failed to give a reasoned basis for its
    action. 
    516 F.3d 1106
    , 1113-14 (9th Cir. 2008). In Arrington,
    we found that the administrative record did not contain the
    rationale advanced by the agency during litigation, 
    id. at 1113
    , and concluded that the BOP had “failed to set forth a
    rationale for its decision to categorically exclude prisoners
    convicted of offenses involving the carrying, possession, or
    use of firearms from eligibility for a sentence reduction under
    § 3621(e),” id. at 1114.
    Following Arrington, we invalidated the exclusion based on
    prior convictions in Crickon v. Thomas, 
    579 F.3d 978
     (9th
    Cir. 2009). Crickon noted that “[o]ur recent ruling in Arring-
    ton squarely controls the outcome of the present case,” 
    id. at 983
    , and once again criticized the BOP for enacting a regula-
    tion without articulating a supporting rationale, 
    id. at 984-85
    .
    Not to be deterred, the BOP responded to Arrington and
    Crickon by enacting identical provisions in a 2009 rule. See
    
    28 C.F.R. § 550.55
    . It is this rule that Petitioners here
    challenge—specifically, the exclusions set forth in 
    28 C.F.R. § 550.55
    (b)(5)(ii) and § 550.55(b)(4). At the outset, we note
    that every other circuit court to consider the issue has held
    either the current or prior version of this regulation to be valid
    under the APA. See Licon v. Ledezma, 
    638 F.3d 1303
    , 1311
    7104                        PECK v. THOMAS
    (10th Cir. 2011); Giannini v. Fed. Bureau of Prisons, 405 F.
    App’x 96, 97 (8th Cir. 2010); Stevenson v. FCI Waseca, 383
    F. App’x 587, 588 (8th Cir. 2010); Handley v. Chapman, 
    587 F.3d 273
    , 282 (5th Cir. 2009); Gardner v. Grandolsky, 
    585 F.3d 786
    , 791-92 (3d Cir. 2009); Gatewood v. Outlaw, 
    560 F.3d 843
    , 848-49 (8th Cir. 2009).
    The district court issued three separate opinions, each find-
    ing that the BOP’s regulation is valid under APA § 706. Peti-
    tioners timely appealed. Petitioners argue that: (1) the
    articulated rationale is once again insufficient to justify the
    rule; (2) a heightened APA standard should apply to rules that
    involve the loss of liberty; (3) the legal error in the accomp-
    anying Program Statement infects the regulation and renders
    it invalid; (4) the BOP was required to reach a decision on the
    basis of available statistics rather than merely invoking its
    experience; and (5) the BOP’s interpretation conflicts with
    Congress’ expressed intent. In response, the BOP argues that
    it has cured the defects identified in Arrington and Crickon,
    and that the public safety rationale justifies the regulation.3
    II.   DISCUSSION
    A.     The BOP Satisfied § 706 of the APA by Articulating a
    Public Safety Rationale.
    [1] Section 706 of the APA grants authority to a reviewing
    court to “hold unlawful and set aside agency action, findings,
    and conclusions found to be . . . arbitrary, capricious, an abuse
    of discretion, or otherwise not in accordance with law.” 
    5 U.S.C. § 706
    (2)(A). “The scope of review under the ‘arbitrary
    and capricious’ standard is narrow and a court is not to substi-
    tute its judgment for that of the agency.” Motor Vehicle Mfrs.
    Ass’n v. State Farm Mut. Auto. Ins. Co., 
    463 U.S. 29
    , 43
    (1983). Agency action is presumed to be valid and must be
    3
    We review a district court’s dismissal of a petition for writ of habeas
    corpus de novo. Bowen, 
    202 F.3d at 1218
    .
    PECK v. THOMAS                         7105
    upheld if a reasonable basis exists for the agency decision.
    Sacora v. Thomas, 
    628 F.3d 1059
    , 1068 (9th Cir. 2010) (cit-
    ing Crickon, 
    579 F.3d at 982
    ). “A reasonable basis exists
    where the agency considered the relevant factors and articu-
    lated a rational connection between the facts found and the
    choices made.” Arrington, 
    516 F.3d at 1112
     (internal quota-
    tion marks omitted).
    The district court correctly found that, in enacting the cate-
    gorical exclusions at issue in this case, the agency offered a
    public safety rationale in the administrative record. The BOP
    argues that this cures the procedural defects identified by the
    Arrington and Crickon courts. Petitioners argue that, while it
    is true that we previously invalidated the regulation for the
    failure to offer any contemporaneous rationale, it is not true
    that the present regulation’s rationale cured that procedural
    defect. We uphold the regulation.
    1.     The Bureau Did Not Violate the APA in Enacting 
    28 C.F.R. § 550.55
    (b)(5)(ii).
    When enacting the 2009 regulation, the Bureau stated:
    The Director of the Bureau exercises discretion to
    deny early release eligibility to inmates who have a
    felony conviction for the offenses listed in
    § 550.55(b)(5)(i)-(iv) because commission of such
    offenses illustrates a readiness to endanger the pub-
    lic. Denial of early release to all inmates convicted
    of these offenses rationally reflects the view that, in
    committing such offenses, these inmates displayed a
    readiness to endanger another’s life.
    The Director of the Bureau, in his discretion,
    chooses to preclude from early release consideration
    inmates convicted of offenses involving carrying,
    possession or use of a firearm and offenses that pres-
    ent a serious risk of physical force against person or
    7106                       PECK v. THOMAS
    property, as described in § 550.55(b)(5)(ii) and (iii).
    Further, in the correctional experience of the Bureau,
    the offense conduct of both armed offenders and cer-
    tain recidivists suggests that they pose a particular
    risk to the public. There is a significant potential for
    violence from criminals who carry, possess or use
    firearms.
    Drug Abuse Treatment Program: Subpart Revision and Clari-
    fication and Eligibility of D.C. Code Felony Offenders for
    Early Release Consideration, 
    74 Fed. Reg. 1892
    , 1895
    (Bureau of Prisons Jan. 14, 2009).
    [2] The defect identified in Arrington—a failure to articu-
    late any supporting rationale in the administrative record, 
    516 F.3d at
    1113—has been cured here. The Bureau clearly stated
    that, “in the correctional experience of the Bureau, the offense
    conduct of both armed offenders and certain recidivists sug-
    gests that they pose a particular risk to the public.” 74 Fed.
    Reg. at 1895. The Bureau further explained that it was exer-
    cising its discretion because “[t]here is a significant potential
    for violence from criminals who carry, possess or use fire-
    arms” and that “in committing such offenses, these inmates
    displayed a readiness to endanger another’s life.” Id.
    Although the Bureau could have proffered a fuller explana-
    tion, the APA does not demand more.
    2.     The Bureau did not violate the APA in enacting 
    28 C.F.R. § 550.55
    (b)(4).
    With regard to the exclusion based on prior convictions in
    § 550.55(b)(4), the BOP explained:
    In exercising the Director’s statutory discretion,
    we considered the crimes of homicide, forcible rape,
    robbery, aggravated assault, arson, and kidnaping, as
    identified in the FBI’s Uniform Crime Reporting
    Program (UCR), which is a collective effort of city,
    PECK v. THOMAS                      7107
    county, state, tribal, and federal law enforcement
    agencies to present a nationwide view on crime. The
    definitions of these terms were developed for the
    National Incident-Based Reporting System and are
    identified in the UCR due to their inherently violent
    nature and particular dangerousness to the public.
    The Director of the Bureau exercises discretion to
    deny early release eligibility to inmates who have a
    prior felony or misdemeanor conviction for these
    offenses because commission of such offenses ratio-
    nally reflects the view that such inmates displayed
    readiness to endanger the public.
    74 Fed. Reg. at 1894.
    [3] We had previously criticized this portion of the BOP’s
    regulation because, “[b]eyond explaining that it decided upon
    the four identified categories of convictions because of the
    variation in violence level that may be found in state convic-
    tions, the BOP provided no explanation for its decision to
    look to prior convictions as the appropriate basis to determine
    categorical exclusions.” Crickon, 
    579 F.3d at 984
     (citation
    omitted). This time, the BOP has explained, minimally, that
    “commission of such offenses [homicide, forcible rape, rob-
    bery, aggravated assault, arson, and kidnaping] rationally
    reflects the view that such inmates displayed readiness to
    endanger the public.” 74 Fed. Reg. at 1894. As we and the
    Supreme Court have found, this reasoning is permissible and
    based on common sense. Lopez, 
    531 U.S. at 242
    ; Jacks, 
    114 F.3d at 985-86
    . Now that the agency has explicitly relied on
    such reasoning in the administrative record, we see no reason
    to overturn the regulation. Nor does the lack of a temporal
    restriction on prior convictions invalidate the regulation:
    implicit in the Bureau’s reasoning is the determination that a
    prior conviction for any of these offenses, no matter its age,
    “rationally reflects the view that such inmates displayed readi-
    ness to endanger the public.” 74 Fed. Reg. at 1894.
    7108                     PECK v. THOMAS
    Petitioners argue that this rationale is insufficient because
    it relies on erroneous facts. The BOP stated that it chose the
    particular crimes “as identified in the FBI’s Uniform Crime
    Reporting Program (UCR).” Id. The Bureau then explained
    that “[t]he definitions of these terms were developed for the
    National Incident-Based Reporting System and are identified
    in the UCR due to their inherently violent nature and particu-
    lar dangerousness to the public.” Id. Petitioners point out,
    however, that the crimes were actually identified in the UCR
    because they are “serious crimes, they occur with regularity
    in all areas of the country, and they are likely to be reported
    to the police.” Fed. Bureau of Investigation, Uniform Crime
    Report, Crime in the United States, 2009, at 1 (Sept. 2010),
    http://www2.fbi.gov/ucr/cius2009/documents/09offensede
    finitions.pdf.
    The Petitioners’ argument misses the mark. First, it is not
    clear that “seriousness” is a significantly different measure
    from “violent nature” and “dangerousness.” The agency is
    entitled to rely on an existing index of serious crimes to iden-
    tify crimes that are dangerous. Second, the BOP never states
    that it chose these crimes because they were listed in the UCR
    as dangerous and violent. Instead, it states that: (1) these
    crimes are listed in the UCR as dangerous and violent, and (2)
    the commission of these crimes “rationally reflects the view
    that such inmates displayed readiness to endanger the public.”
    74 Fed. Reg. at 1894. Because the agency is entitled to reach
    the latter determination, the regulation is valid under the
    APA.
    B.     This Case Does Not Call for Application of a Heightened
    APA Standard, If Any Exists.
    [4] Petitioners argue that “[t]his case calls for more scrupu-
    lous application of the State Farm standard in light of” the
    fact that it “involves human freedom,” whereas “[t]he State
    Farm standard for application of § 706 of the APA evolved
    through cases involving standard areas of administrative regu-
    PECK v. THOMAS                      7109
    lation, such as auto safety, pollution control, and financial
    transactions.”
    Petitioners cite no case that has ever adopted this proposi-
    tion. Furthermore, even if “loss of liberty” were to be
    reviewed under a hypothetically heightened standard, such a
    standard would not be applicable to this case. An inmate has
    no liberty interest in a sentence reduction in exchange for
    completion of RDAP. McLean v. Crabtree, 
    173 F.3d 1176
    ,
    1184-85 (9th Cir. 1999) (“[D]enial merely means that the
    inmate will have to serve out his sentence as expected.” (quot-
    ing Jacks, 
    114 F.3d at
    986 n.4)). If there is no liberty interest
    in the reduction, then a denial of eligibility for that reduction
    cannot affect an inmate’s liberty interest.
    Petitioners also argue that the BOP’s “history of violating
    the APA” should be taken into account when applying the
    State Farm standard. But the BOP’s unsuccessful attempts to
    enact the regulation at issue do not demonstrate willful non-
    compliance with statutory mandates, and no court has ever
    found this to be case.
    C.   The Legal Error in the Accompanying Program State-
    ment Does Not Render the Regulation Invalid.
    [5] Petitioners note that in the Program Statement accom-
    panying the 2009 rule, the BOP continued to define a felon-
    in-possession crime under 
    18 U.S.C. § 922
    (g) as a crime of
    violence. See Program Statement No. 5162.05, at 3-4 (Bureau
    of Prisons Mar. 16, 2009), available at www.bop.gov/policy/
    progstat/5162_005.pdf. This is in conflict with our pro-
    nouncement to the contrary in Davis, 
    109 F.3d at 569
    . How-
    ever, Petitioners point to nothing in the administrative record
    indicating that the BOP relied on its categorization of
    § 922(g) as a “crime of violence” when reaching its decision
    to adopt § 550.55(b)(5)(ii). Instead, Petitioners shift the bur-
    den to the agency to affirmatively demonstrate that it has not
    relied on this legal error in enacting § 550.55(b)(5)(ii), by
    7110                      PECK v. THOMAS
    arguing that “the BOP failed to establish that the legal error
    did not taint the exercise of discretion in the parallel program
    statement.” It does not make sense to require an agency to
    state all of the reasons for which it did not reach a decision,
    and Petitioners have not directed us to any authority support-
    ing the proposition that this burden is on the agency. Because
    Petitioners have not identified any evidence in the record
    showing that in promulgating § 550.55(b)(5)(ii) the BOP
    relied on the proposition that a violation of § 922(g) is cate-
    gorically a crime of violence under § 924(c)(3), they have not
    shown that the regulation is infected by the legal error con-
    tained in the program statement.
    D.     The BOP Was Not Required to Reach a Decision on the
    Basis of Statistics or Other Empirical Evidence.
    Petitioners argue that, in light of the “read[y] availab[ility]”
    of relevant “empirical data or studies,” the BOP’s decision not
    to collect and consider any of that evidence invalidates the
    regulation. Petitioners contend that the regulation fails to
    comply with the “clear road map” that “list[s] the missing
    agency actions needed for compliance with the APA” which
    we gave in Crickon.
    In Crickon, we stated:
    [T]he BOP gave no indication of the basis for its
    decision. It did not reference pertinent research
    studies, or case reviews. It did not describe the pro-
    cess employed to craft the exclusion. It did not artic-
    ulate any precursor findings upon which it relied. It
    did not reveal the analysis used to reach the conclu-
    sion that the categorical exclusion was appropriate.
    Indeed, the administrative record is devoid of any
    substantive discussion of the rationale underlying the
    BOP’s exercise of its discretion.
    
    579 F.3d at 985
    . The flaw in Petitioners’ reasoning is that
    Crickon did not indicate that these actions are necessary for
    PECK v. THOMAS                      7111
    an agency’s compliance with the APA; it merely listed several
    actions which would have been sufficient for APA compli-
    ance. Crickon does not support Petitioners’ argument that the
    BOP was required to develop and rely on detailed statistics
    before promulgating this rule.
    In Sacora v. Thomas, we noted that “[t]he BOP . . . is enti-
    tled to use its experience in interpreting and administering a
    statute.” 
    628 F.3d at 1067
    . We held that, although “[i]t may
    have been preferable for the BOP to support its conclusions
    with empirical research,” “it was reasonable for the BOP to
    rely on its experience, even without having quantified it in the
    form of a study.” 
    Id. at 1069
    . Petitioners distinguish
    Sacora because the rule at issue in that case limited half-way
    house placement to six months, and the agency did not have
    “a large trove of untapped . . . data” concerning the proposed
    change, whereas in this case, the BOP has many years of sta-
    tistics based on its past efforts to categorically exclude certain
    prisoners from the early release incentive. This distinction is
    unpersuasive. Sacora made no mention of whether it would
    have been feasible for the BOP to gather data related to half-
    way house placement, and no indication that this consider-
    ation was a factor in the decision. We follow Sacora and hold
    that the BOP is entitled to invoke its experience as a justifica-
    tion for the present rule.
    E.   The BOP’s Interpretation Does Not Conflict with
    Congress’ Expressed Intent.
    Petitioners argue that narrowing of the categories of statu-
    torily eligible inmates is inconsistent with Congress’ intent to
    “maximize the early release incentive and to reduce the prison
    population.” Although it is true that our decision in Crickon
    criticized the BOP for enacting a regulation that was “difficult
    to square with Congress’s expressed intent to provide an
    incentive to encourage maximum participation in the BOP’s
    substance abuse treatment programs,” 
    579 F.3d at 986
    , the
    idea that the regulation should be struck down solely because
    7112                     PECK v. THOMAS
    of perceived inconsistencies with congressional intent, as dis-
    tinct from congressional command, is in tension with the
    Supreme Court’s ruling in Lopez. See 
    531 U.S. at 242
     (“[A]ll
    we must decide is whether the Bureau, the agency empowered
    to administer the early release program, has filled the statu-
    tory gap in a way that is reasonable in light of the legislature’s
    revealed design. We think the agency’s interpretation is rea-
    sonable both in taking account of preconviction conduct and
    in making categorical exclusions.” (citations omitted) (inter-
    nal quotation marks omitted)).
    Furthermore, the administrative record reflects the fact that
    the Bureau has had some difficulty in accommodating all of
    the inmates who wish to participate in RDAP:
    Currently, the Bureau has over 7000 inmates wait-
    ing for residential treatment that is provided with
    limited Bureau resources. Also, inmates are selected
    for admission based on their proximity to release.
    Unfortunately, these two factors result in some
    inmates being on the waiting list for a long time.
    ....
    Because the early release is such a powerful
    incentive, as evidenced by over 7000 inmates wait-
    ing to enter treatment, the Bureau must take appro-
    priate measures to ensure that inmates requesting
    treatment actually have a substance abuse problem
    that can be verified with documentation.
    74 Fed. Reg. at 1893. It would be unreasonable to criticize the
    Bureau for failing to maximize inmate participation when the
    Bureau is already struggling with its limited resources to
    accommodate all of the inmates who currently do wish to par-
    ticipate. It is clear to us that the agency is entitled to take a
    categorical approach to solving this problem.
    PECK v. THOMAS                7113
    III.     CONCLUSION
    We join our sister circuits in holding that the Bureau has
    not violated the APA in excluding inmates from consideration
    for early release who have a current conviction for felon in
    possession or a past conviction for homicide, forcible rape,
    robbery, aggravated assault, arson, kidnapping, or child sex-
    ual abuse.
    AFFIRMED.