Toor v. Holder ( 2010 )


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  •                       UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    __________________________________________
    )
    PAVANDEEP TOOR,                            )
    )
    Plaintiff,         )
    )
    v.                             ) Civil Action No. 09-2021 (ESH)
    )
    ERIC H. HOLDER, JR.,                       )
    Attorney General,                          )
    )
    Defendant.        )
    __________________________________________)
    MEMORANDUM OPINION
    Plaintiff Pavandeep Toor, a Canadian citizen serving a 35-month federal prison sentence
    at Moshannon Valley Correctional Institution in Philipsburg, Pennsylvania, claims that the
    United States Department of Justice (ADOJ@) prevented him from applying for transfer to a
    Canadian prison as he had sought to do pursuant to international treaties and the Transfer of
    Offenders To or From Foreign Countries Act, 
    18 U.S.C. §§ 4100-4115
    . He has sued defendant,
    alleging that its process for reviewing his transfer application violated international treaties, the
    Supremacy Clause of the United States Constitution,1 and the notice-and-comment provisions of
    Administrative Procedure Act (“APA”), 
    5 U.S.C. §§ 561-570
    . Defendant now moves to dismiss
    Toor=s claims for lack of subject matter jurisdiction and for failure to state a claim. For the
    reasons stated herein, the Court will grant this motion.
    1
    In his Opposition, plaintiff indicates that he does not oppose the dismissal of his claim
    based on the Supremacy Clause. (Opp’n at 23 n.26.)
    1
    BACKGROUND
    On August 27, 2009, after pleading guilty in the Eastern District of California to drug
    trafficking charges, plaintiff was sentenced to serve 35 months in federal prison. (Def.=s Mot. to
    Dismiss (ADef.’s Mot.@), Ex. C at 2-3 (Public Information Inmate Data).) On October 20, the
    Federal Bureau of Prisons (ABOP@) took custody of Toor – who, until then, had been in the
    custody of the United States Marshals Service – and moved him to Moshannon Valley
    Correctional Institution (AMoshannon Valley@) in Philipsburg, Pennsylvania. (Id. at 1.)
    Eight days later, on October 28, 2009, Toor filed suit in this Court, alleging that
    defendant Aprevented Toor from applying . . . in a timely fashion@ to be transferred to a Canadian
    prison for the remainder of his sentence. (Compl. at 1 ¶ 1.) Plaintiff alleges that DOJ=s transfer
    application procedure conflicts with international treaties to which the United States is signatory
    and with the APA. (Id. at 6-7 ¶¶ 12-14, 18-20.) He requests an injunction requiring DOJ to
    review his transfer application and to align the regulations governing international prisoner
    transfers with the relevant treaties and with the APA. (Id. at 7 ¶¶ 1-2.)
    After filing his complaint, Toor met with BOP-provided case workers to express his
    interest in transfer to Canada; thereafter, he submitted his transfer application to the warden at
    Moshannon Valley. (Decl. of Sandra Kaz ¶ 6.) The application was received by BOP=s Central
    Office on December 10, 2009, forwarded to DOJ=s International Prisoner Transfer Unit (AIPTU@)
    the same day, and denied on January 12, 2010. (Id.; Decl. of Paula Wolff & 6.) IPTU then
    notified its Canadian counterpart in Ottawa, the Canadian Embassy in Washington, and
    plaintiff=s counsel of its decision. (Def.’s Mot., Ex. D at 1.)
    2
    Defendant subsequently moved to dismiss, arguing that this Court lacks jurisdiction to
    hear the case, that the transfer application process does not violate international treaties or the
    APA, and that the complaint does not state a claim upon which relief can be granted. (Def.’s
    Mot. at 1-2.)
    ANALYSIS
    I.     MOOTNESS
    Defendant argues that this matter is moot, and that the Court therefore does not have
    jurisdiction to decide the case. The Court agrees.
    AFederal courts lack jurisdiction to decide moot cases because their constitutional
    authority extends only to actual cases or controversies.@ Iron Arrow Honor Soc=y v. Heckler, 
    464 U.S. 67
    , 70 (1983). The case or controversy requirement Ameans that, throughout the litigation,
    the plaintiff must have suffered, or be threatened with, an actual injury traceable to the defendant
    and likely to be redressed by a favorable judicial decision.@ Spencer v. Kemna, 
    523 U.S. 1
    , 7
    (1998) (internal quotation marks omitted). AEven where litigation poses a live controversy when
    filed, the [mootness] doctrine requires a federal court to refrain from deciding it if events have so
    transpired that the decision will neither presently affect the parties’ rights nor have a
    more-than-speculative chance of affecting them in the future.@ Clarke v. United States, 
    915 F.2d 699
    , 701 (D.C. Cir. 1990) (en banc) (internal quotation marks omitted). An intervening event
    may render a claim moot if there is no reasonable expectation that the conduct will recur.
    Pharmachemie B.V. v. Barr Labs., Inc., 
    276 F.3d 627
    , 631 (D.C. Cir. 2002). ASimply stated, a
    case is moot when the issues presented are no longer live or the parties lack a legally cognizable
    interest in the outcome.@ Larsen v. U.S. Navy, 
    525 F.3d 1
    , 3 (D.C. Cir. 2008).
    3
    Plaintiff seeks to have defendant “accept and process” his application for transfer to
    Canada. (Compl. at 7 ¶ 1.) When plaintiff commenced this action, he had not yet been able to
    submit his transfer application. By the time defendant filed its motion to dismiss, IPTU had
    processed the application, denied it, explained the decision, and notified plaintiff=s counsel. No
    live controversy remains, because plaintiff can no longer claim the harm of an unresolved
    transfer request. Therefore, a decision in this case could not affect the parties’ rights, and the
    controversy is moot.2
    Plaintiff argues that the case fits into two exceptions to the mootness doctrine: Acapable
    of repetition, yet evading review@ and Avoluntary cessation.@ Broadly, these exceptions provide
    that Aif a plaintiff=s specific claim has been mooted, [plaintiff] may nevertheless seek declaratory
    relief forbidding an agency from imposing a disputed policy in the future.@ Nat=l Air Traffic
    Controllers Ass=n v. Fed=l Serv. Impasses Panel, No. 08-5479, 
    2010 WL 2160832
    , at *6 (D.C.
    Cir. June 1, 2010) (quoting City of Houston v. Dep’t of Housing & Urban Dev., 
    24 F.3d 1421
    ,
    2
    Courts often find mootness on similar grounds when an agency action is first challenged
    as Aunlawfully withheld or unreasonably delayed@ under the APA, see 5 U.S.C. 706(1), and is
    then rendered during litigation. See, e.g., Sze v. INS, 
    153 F.3d 1005
     (9th Cir. 1998) (finding
    mootness when INS issued decision on plaintiff=s naturalization application, despite agency=s
    delay until after statutory deadline and after complaint); Agbor v. Napolitano, No. 08-CV-7801,
    
    2009 WL 2432630
    , at *2 (S.D.N.Y. Aug. 7, 2009) (“Courts have generally held that where, as
    here, a plaintiff seeks to compel the immigration authorities to adjudicate an application for
    immigration benefits, and the application is thereafter adjudicated, the case is moot and must
    therefore be dismissed for lack of subject matter jurisdiction.”). In these cases, the delay triggers
    a well-defined, legally cognizable interest in litigation – for example, an express right of action
    for the agency=s failure to meet its 120-day statutory deadline, see Sze, 
    153 F.3d at
    1010 –
    whereas in the present case, it is unclear that there is any injurious delay in the review of
    plaintiff=s application, given the law=s permissive Aas soon as practicable@ language. See infra
    Part II.C. Regardless, even where there is an express private right of action, if it is undisputed
    that agency action was unlawfully withheld or unreasonably delayed, then once the agency takes
    action, no live controversy remains as to its delay.
    4
    1429 (D.C. Cir. 1994). The exceptions do not apply here because defendant has shown that there
    is no threat of reinstating the same action against plaintiff in the future.
    A.      Capable of Repetition, Yet Evading Review
    Plaintiff’s argument that defendant’s conduct is Acapable of repetition, yet evading
    review,@ S. Pac. Terminal Co. v. ICC, 
    219 U.S. 498
    , 515 (1911), relies upon the D.C. Circuit’s
    decision in Del Monte Fresh Produce Co. v. United States, 
    570 F.3d 316
     (D.C. Cir. 2009).
    However, Del Monte is distinguishable, and its concerns are not applicable here.
    To show that a defendant’s conduct is capable of repetition yet would evade review, a
    plaintiff must demonstrate both that A(1) the challenged action is in its duration too short to be
    fully litigated prior to its cessation or expiration, and (2) there [is] a reasonable expectation that
    the same complaining party would be subjected to the same action again.@ Del Monte, 
    570 F.3d at 322
     (quoting Clarke, 
    915 F.2d at 704
    ) (alteration in original); see also City of Los Angeles v.
    Lyons, 
    461 U.S. 95
    , 109 (1983). In Del Monte, a produce distributor sued the Office of Foreign
    Assets Control (OFAC) for failing to issue an export license within a nine-day window as
    required by regulation. Id. at 320. OFAC issued the license after litigation began and argued
    that the suit was moot. Id. at 320-21. Applying the two-pronged test, the Court of Appeals
    reversed the district court=s finding that the case was moot. Id. First, the Court of Appeals found
    that the requested license would expire before the matter could be fully litigated, and second, it
    found that Del Monte=s frequent applications to OFAC for similar export licenses put the parties
    in a position to repeat the controversy in the future. Id. at 321-24. Therefore, the court had
    jurisdiction over Del Monte=s request for declaratory relief. Id. at 326.
    5
    Here, by contrast, plaintiff fails to satisfy the second requirement for the Acapable of
    repetition, yet evading review@ exception, because he has not shown any reason to anticipate the
    parties will face a similar situation in the future. In fact, plaintiff concedes that Ahe is quite
    unlikely ever to be charged again with a criminal offense@ (Opp’n at 16), and unless he is
    charged in the United States, he could never be subjected to the challenged action again. There
    is thus no Areasonable expectation@ of repetition, so the exception cannot apply.
    B.      Voluntary Cessation
    Another exception to the mootness doctrine urges that a defendant=s Avoluntary cessation@
    of a challenged practice does not moot the case, because such a result would leave the defendant
    free to “‘return to its old ways.’” Friends of the Earth, Inc. v. Laidlaw Envtl. Servs., Inc., 
    528 U.S. 167
    , 189 (2000) (quoting City of Mesquite v. Aladdin’s Castle, Inc., 
    455 U.S. 283
    , 289 n.10
    (1982)). However, if the allegedly wrongful behavior could not reasonably be expected to recur,
    then this exception does not apply, and a case may become moot after all. 
    Id.
     The voluntary
    cessation exception is typically invoked when there is a threat that the defendant will reestablish
    the challenged and ceased practice against the plaintiff after dismissal of the suit. See, e.g., id. at
    193 (finding that ceasing illegal pollution failed to moot the controversy unless defendant could
    show that it “could not reasonably be expected” to resume unlawful practices); Isenbarger v.
    Farmer, 
    463 F. Supp. 2d 13
    , 23 (D.D.C. 2006) (finding that the Army could issue a new
    extension of an officer=s active duty obligation, after it dropped the challenged extension to try to
    moot the case).
    Although the defendant did voluntarily cease the conduct at issue, there is no real threat
    of reversion. The challenged conduct was defendant’s delay in considering plaintiff=s
    6
    application, but defendant ended that delay by considering and deciding not to grant plaintiff’s
    request. This cessation cannot be reversed while plaintiff serves his current sentence. Defendant
    has demonstrated the improbability of this inmate making a future transfer request, because this
    situation can only present itself again if plaintiff is charged, convicted, and incarcerated in the
    United States for another crime and then applies for transfer. (Reply at 7.) Even plaintiff
    concedes that such a situation is Aquite unlikely.@ (Opp’n at 16.) The challenged behavior and
    the means of cessation – i.e., a final decision adverse to plaintiff – remove any threat that
    defendant will “return to its old ways.” Friends of the Earth, 
    528 U.S. at 189
    . Therefore, the
    controversy is moot and this Court lacks jurisdiction to hear it.
    II.    ALLEGED TREATY VIOLATIONS
    In the alternative, defendant argues that there is no private right of action under the
    Convention, and that even if there were, defendant did not violate the treaties in question.3
    Plaintiff alleges that defendant violated international treaties by delaying the process for
    reviewing his transfer request. Because the relevant treaties and implementing statute do not
    create a private right of action, plaintiff has failed to state a valid claim, and even assuming there
    were such a private right of action, defendant=s actions were entirely consistent with its
    obligations under international treaties.
    3
    Defendant argues that because the treaties create no private right of action, plaintiff
    lacks “standing” and the action must be dismissed for lack of jurisdiction. (See Mem. of P. &.
    A. in Supp. of Def.’s Mot. at 12.) However, the absence of a private right of action merely
    requires dismissal for failure to state a claim under Rule 12(b)(6). See, e.g., Mora v. New York,
    
    524 F.3d 183
    , 189 (2d Cir. 2008) (affirming dismissal of treaty-based claim for failure to state
    claim upon which relief could be granted, because treaty did not create private right of action);
    Cornejo v. County of San Diego, 
    504 F.3d 853
     (9th Cir. 2007) (same).
    7
    A.      Relevant Law
    The United States and Canada are parties to the Council of Europe Convention on the
    Transfer of Sentenced Persons, March 21, 1983, T.I.A.S. No. 10,824, 22 I.L.M. 530 (hereinafter
    AConvention@), which provides broad authorization for prisoner transfers among signatories.4
    Under the Convention a prisoner, the sentencing state, or the receiving state may request a
    transfer. 
    Id.
     at Art. 2, cls. 2-3. Notably, the Convention never requires a state to transfer a
    prisoner, and in fact, the agreement only allows transfer when all three parties (the prisoner and
    both states) agree to it. 
    Id.
     at Art. 3, cls. 1(d) & (f). Accordingly, the statute providing for
    international prisoner transfers pursuant to the Convention vests in the Attorney General the
    discretion to accept or deny transfer requests, to promulgate regulations implementing relevant
    treaties and statute, and to delegate implementation within DOJ. See 
    18 U.S.C. § 4102
    .
    B.      The Convention Does Not Create a Private Right of Action
    In Medellin v. Texas, 
    552 U.S. 491
     (2008), the Supreme Court endorsed “the background
    presumption . . . that ‘[i]nternational agreements, even those directly benefiting private persons,
    generally do not create private rights or provide for a private cause of action in domestic
    courts.’” 
    Id.
     at 506 n.3 (quoting 2 Restatement (Third) of Foreign Relations Law of the United
    States § 907, Comment a (1986)). In dicta, the Court noted approvingly that many circuits,
    including the D.C. Circuit, require “express language to the contrary” in order to rebut that
    4
    Both countries also previously ratified the Treaty between the United States of America
    and Canada on the Execution of Penal Sentences, March 2, 1977, 30 U.S.T. 6263, which also
    provided for prisoner transfers. While the complaint also references this 1977 bilateral treaty
    (Compl. at 3 ¶ 7), the parties’ arguments rely exclusively on the multilateral Convention, and the
    substantive similarity of the two treaties makes it unnecessary to analyze both. Moreover, this
    Court has already held that the 1977 treaty does not provide a private right of action. See
    Coleman v. Reno, 
    91 F. Supp. 2d 130
    , 131-32 (D.D.C. 2000). Accordingly, the Court=s analysis
    is focused on the Convention.
    8
    presumption and find a privately enforceable right under a treaty. 
    Id.
     (citing Canadian Transp.
    Co. v. United States, 
    663 F.2d 1081
    , 1092 (D.C. Cir. 1980)).5 Moreover, the statute that
    implements the provisions of the Convention – the Transfer of Offenders To or From Foreign
    Countries Act, 
    18 U.S.C. §§ 4100-4115
     – does not create a private right of action. Bagguley v.
    Bush, 
    953 F.2d 660
    , 662 (D.C. Cir. 1991); Coleman, 
    91 F. Supp. 2d at 132
     (discussing
    Bagguley).
    Since the Convention has no express language to rebut a presumption against a private
    right of action, plaintiff lacks standing to sue under the treaty or its implementing statute, 
    18 U.S.C. § 4102
    .
    C.        Defendant’s Actions Conform to Its Obligations under the Convention
    At the time of the complaint, plaintiff had not yet applied for transfer to his native
    Canada. This, he insists, was not for lack of effort on his part, but a result of delays built into
    defendant=s application procedure. Plaintiff asserts that these alleged delays violate the
    5
    Plaintiff disputes the applicability of Medellin, arguing that it was decided on other
    grounds. Instead, plaintiff urges this Court to view the earlier case of Hamdan v. Rumsfeld, 
    548 U.S. 557
     (2006), as controlling. Plaintiff’s reliance on Hamdan is misplaced. There, the
    Supreme Court held that a military commission lacked power to try a suspected terrorist
    “because its structure and procedures violate both the UCMJ [i.e., Uniform Code of Military
    Justice] and the Geneva Conventions.” 
    Id. at 567
    . With respect to the petitioner’s rights under
    the relevant treaty provision, the Court merely concluded that even if the Geneva Convention, on
    its own, did not “furnish[] petitioner with any enforceable right,” it was nonetheless part of the
    common law of war, which Congress had incorporated into federal statutes via the UCMJ as a
    limitation upon military commissions’ jurisdiction. See 
    id. at 627-28
    ; see also 
    id. at 602
    . Thus,
    Hamdan is inapposite and does not contradict Medellin=s more recent and more broadly stated
    presumption against private enforceability of treaty rights both as a general matter, see, e.g.,
    Mora, 524, F.3d at 201, and, even more persuasively for the instant case, specifically with
    respect to international prisoner transfer treaties. See Yosef v. Killian, 
    646 F. Supp. 2d 499
    , 506-
    07 (S.D.N.Y. 2009).
    9
    Convention by not allowing prisoners to begin the transfer application process immediately upon
    final judgment.
    When one signatory to the Convention sentences a citizen of another signatory, and the
    prisoner has requested transfer, the sentencing state Ashall so inform the administering State as
    soon as practicable after the judgment becomes final.@ Convention, Art. 4, cl. 2. Plaintiff urges
    the Court to interpret this language as Aan expectation@ that the transfer process begin on the date
    of final judgment. (Opp’n at 14.) But a plain reading of the treaty shows the error of that
    interpretation. The treaty=s language concerning the timing of final judgments is limited to two
    provisions: the instruction quoted above for when the sentencing state should notify the
    administering (i.e., receiving) state; and a condition that no prisoner may be transferred under the
    Convention before the sentencing country enters final judgment. 
    Id.
     at Art. 3, cl. 1(b). Even if
    one reads the quoted language on the timing of notification to also control the timing of the
    application process itself, the suggested timing is only Aas soon as practicable after the judgment
    becomes final,@ 
    id.
     at Art. 4, cl. 2 (emphasis added), rather than the narrow requirement, as
    plaintiff urges, Athat this is the date on which the process begins.@ (See Opp’n at 14.)
    To be sure, defendant=s process does not begin as soon as judgment becomes final, but it
    does begin as soon as practicable after the judgment becomes final. The delay in beginning
    plaintiff=s application process was the time between his sentencing and his relocation into BOP
    custody and Moshannon Valley. A prisoner requesting transfer must submit his application to
    the warden at his BOP correctional institution, so until BOP assigns him to an institution and he
    arrives there, he cannot file his transfer request. See 
    28 C.F.R. § 527.44
    .
    10
    Plaintiff was sentenced on August 27, 2009, and he arrived at Moshannon Valley on
    October 20. On November 12, plaintiff met with Moshannon Valley case workers to begin his
    application process. Thus, two months and sixteen days out of plaintiff=s 35-month sentence
    passed before his application process began. The minimal delay before BOP takes custody of a
    prisoner and before he arrives at his prison fits comfortably within the Aas soon as practicable@
    language set forth in the treaty. Even assuming that plaintiff did attempt to apply for transfer
    before his move to Moshannon Valley and that defendant prevented him from applying, the
    alleged prevention does not violate the treaty.
    D.      The Decision on Transfer Is Not Judicially Reviewable
    When a treaty and statute set out no Aparticularized standards or criteria@ on which to
    judge a transfer request, the agency reviewing the application has A completely
    unfettered@discretion. Bagguley, 
    953 F.2d at 662
     (interpreting DOJ=s discretion under
    international prisoner transfer treaties and 
    18 U.S.C. § 4102
    ) (quoting Olim v. Wakinekona, 
    431 U.S. 238
    , 249 (1983)). Because the United States= prisoner transfer agreements and 
    18 U.S.C. § 4102
     Aprovide[] no criteria to govern the sentencing state=s decision as to whether to agree to the
    transfer,@ there is no protected liberty interest in international transfer even when treaties and
    statute authorize it. Id.; see also Olim, 
    461 U.S. at 249-50
     (interpreting Hawaiian interstate
    prison transfer regulations as Aplac[ing] no substantive limitations on official discretion and thus
    creat[ing] no liberty interest@). As such, action on prisoners= transfer requests Ais committed to
    agency discretion by law,@ thus rendering such decisions unreviewable under the APA.
    Bagguley, 
    953 F.2d at 662
     (quoting 
    5 U.S.C. § 701
    (a)(2)).
    11
    To the extent that plaintiff bases his grievances on IPTU=s decision to reject his transfer
    application upon review, his claims are not justiciable. In response to this, plaintiff asserts that
    his claims address Athe right to apply to transfer rather than the decision of the Attorney General
    on his application.” (Opp’n at 9 n.16.) Yet, many of his arguments address the decision rather
    than the right to apply.6 Those arguments fail because they effectively amount to a challenge to
    agency action that is unreviewable.
    III.    ALLEGED VIOLATION OF THE APA
    Plaintiff argues that by issuing transfer policies without notice and comment, as required
    for agency rules, see 
    5 U.S.C. § 553
    , defendant has violated the APA. Defendant responds that
    the interpretive regulation in question is neither subject to notice-and-comment requirements nor
    in conflict with the relevant treaties, statutes, and rules. To the extent that plaintiff=s cause of
    action under the APA is not moot (see supra Part II), the Court concludes that it still fails
    because both DOJ=s transfer review policies and its actions in this case comply with APA
    procedures.
    To effectuate this country=s international prisoner transfer agreements, Congress
    delegates transfer decisions and procedures to the Attorney General. See 
    18 U.S.C. §§ 4102
    . In
    turn, the Attorney General can delegate those powers within DOJ, see 
    id.
     §§ 4102(11), which he
    has done by appointing BOP and IPTU to control the transfer process.
    6
    For example, in his Opposition plaintiff focuses on the economic benefits of approving
    transfer applications, allegedly improper motives behind defendant=s decision to deny his
    application, the apparent hastiness of the review, prosecutors’ dissension from the decision, and
    allegations of retaliation. (Opp’n at 2-4.) However, plaintiff=s complaint does not address the
    actual decision to deny transfer and offers no factual basis for any inference that defendant
    denied his request in retaliation for his exercise of his rights.
    12
    For its part, BOP has memorialized the transfer application procedure using two
    regulatory instruments available to agencies under the APA: notice-and-comment rulemaking
    and interpretive rules. See 
    5 U.S.C. §§ 553
    (b). The APA provides for the promulgation of
    substantive rules, see 
    id.,
     and BOP took advantage of this by issuing 28 C.F.R §§ 527.41-527.44
    (which address the transfer of Bureau of Prisons inmates to other countries) after publishing it in
    the Federal Register and accepting public comment. See Control, Custody, Care, Treatment and
    Instruction of Inmates, 
    46 Fed. Reg. 31,210
     (June 12, 1981) (proposed rulemaking and request
    for comments); 
    46 Fed. Reg. 59,506
     (Dec. 4, 1981) (final rules). In this rule, BOP sets out, inter
    alia, the process for submitting and reviewing transfer applications. See generally 
    28 C.F.R. §§ 527.42-527.44
    . The same rule requires BOP to inform eligible prisoners about the transfer
    process during prison orientation, 
    id.
     §§ 527.43(a), and requires prisoners to submit their
    applications to prison wardens. Id. § 527.44(a).
    To provide for more detailed internal procedures, BOP also issued a program statement
    on international prisoner transfers. See Bureau of Prisons, Program Statement 5140.39
    (renumbered from Program Statement 5140.34, Dec. 4, 2009), Transfer of Offenders to or from
    Foreign Countries (2009) (hereinafter “PS 5140.39”). The APA specifically excludes such
    Ainterpretive rules, general statements of policy, or rules of agency organization, procedure, or
    practice@ from the notice-and-comment process. 
    5 U.S.C. § 553
    (b)(A); see Reno v. Koray, 
    515 U.S. 50
    , 60-61 (1995) (finding that BOP program statement was exempt from notice-and-
    comment requirement because it was an Ainternal agency guideline, which is akin to an
    >interpretive rule=@). The program statement clarifies, for example, how to send a prisoner=s
    personal property to the receiving country during a transfer, see PS 5140.39 at 10, and the form
    13
    for eligible prisoners to acknowledge that BOP has made them aware of the possibility of
    transfer. Id. at 6. It also reiterates the requirement that a transfer applicant submit his request to
    a warden, id. at 7, and adds details such as the forms that make up a complete application and to
    whom the warden must forward it. Id. at 7-9.
    Plaintiff argues that the program statement violates the APA because it did not go
    through the notice and comment process. In particular, he alleges that BOP=s procedure of
    requesting transfer through prison wardens and after prison orientation, which delayed his
    opportunity to apply for transfer, is invalid for having been promulgated without notice and
    comment. But the operative provisions and transfer application requirements are embodied in a
    rule promulgated after notice and comment, in the form of 
    28 C.F.R. § 527.44
    . Therefore, BOP
    published in the Federal Register the requirements that ultimately delayed plaintiff=s application
    until his move to Moshannon Valley; the public had an opportunity to comment on them; and the
    rule was announced as final in the Federal Register, all before the rule=s official promulgation.
    The program statement added only internal BOP guidelines, so it was not subject to the notice-
    and-comment requirements of the APA.
    CONCLUSION
    For the reasons discussed above, this Court will grant defendant=s motion to dismiss for
    lack of jurisdiction or, in the alternative, for failure to state a claim on which relief can be
    granted. A separate Order accompanies this Memorandum Opinion.
    /s/
    ELLEN SEGAL HUVELLE
    United States District Judge
    Dated: June 15, 2010
    14