Guedes v. Bureau of Alcohol, Tobacco, Firearms, and Explosives ( 2019 )


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  •                                UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    DAMIEN GUEDES, et al.,
    Plaintiffs,
    v.
    No. 18-cv-2988 (DLF)
    BUREAU OF ALCOHOL, TOBACCO,
    FIREARMS, AND EXPLOSIVES, et al.,
    Defendants.
    DAVID CODREA, et al.,
    Plaintiffs,
    v.
    No. 18-cv-3086 (DLF)
    WILLIAM P. BARR, 1 Attorney General, et
    al.,
    Defendants.
    MEMORANDUM OPINION
    On October 1, 2017, a lone gunman fired several hundred rounds of ammunition at a
    crowd gathered for an outdoor concert in Las Vegas, killing 58 people and wounding hundreds
    more. According to the Bureau of Alcohol, Tobacco, Firearms, and Explosives (ATF), the
    gunman used multiple “bump stocks” in the attack, which increased his rate of fire. In response
    to this tragedy, the President, Members of Congress, and others urged ATF to reconsider its prior
    1
    When this suit began, Matthew G. Whitaker was the Acting Attorney General. When William
    P. Barr became Attorney General, he was automatically substituted. See Fed. R. Civ. P. 25(d).
    position that a bump stock is not a “machinegun” within the meaning of the National Firearms
    Act of 1934 (NFA). On December 26, 2018, ATF issued a final rule amending the regulatory
    definition of “machinegun” to include “bump-stock-type devices.” As a result, if the rule
    becomes effective on March 26, 2019, as scheduled, bump stocks will be banned under the
    Firearms Owners’ Protection Act of 1986 (FOPA).
    To prevent the rule from taking effect, the plaintiffs—Damien Guedes, the Firearms
    Policy Coalition, David Codrea, and their co-plaintiffs—filed three motions for a preliminary
    injunction in which they raised overlapping statutory and constitutional challenges. All of the
    plaintiffs contend that ATF violated the Administrative Procedure Act (APA) when it
    promulgated the rule. Guedes also argues that ATF violated certain procedural requirements in
    18 U.S.C. § 926(b), which grants the agency rulemaking authority. Codrea further argues that
    the rule violates the Takings Clause of the Fifth Amendment. And all of the plaintiffs contend
    that then–Acting Attorney General Matthew Whitaker lacked authority to promulgate the rule
    under either the Appointments Clause of the Constitution or 28 U.S.C. § 508 (the AG Act), a
    succession statute specific to the Office of the Attorney General. Because none of the plaintiffs’
    arguments support preliminary injunctive relief, the Court will deny all three motions.
    Most of the plaintiffs’ administrative law challenges are foreclosed by the Chevron
    doctrine, which permits an agency to reasonably define undefined statutory terms. See Chevron
    v. Nat. Res. Def. Council, 
    467 U.S. 837
    (1984). Here, Congress defined “machinegun” in the
    NFA to include devices that permit a firearm to shoot “automatically more than one shot, without
    manual reloading, by a single function of the trigger,” 26 U.S.C. § 5845(b), but it did not further
    define the terms “single function of the trigger” or “automatically.” Because both terms are
    ambiguous, ATF was permitted to reasonably interpret them, and in light of their ordinary
    2
    meaning, it was reasonable for ATF to interpret “single function of the trigger” to mean “single
    pull of the trigger and analogous motions” and “automatically” to mean “as the result of a self-
    acting or self-regulating mechanism that allows the firing of multiple rounds through a single
    pull of the trigger.” ATF also reasonably applied these definitions when it concluded that bump
    stocks permit a shooter to discharge multiple rounds automatically with a single function of the
    trigger. That this decision marked a reversal of ATF’s previous interpretation is not a basis for
    invalidating the rule because ATF’s current interpretation is lawful and ATF adequately
    explained the change in interpretation.
    The Court also rejects the plaintiffs’ procedural challenges. ATF adequately responded
    to the objections raised by the plaintiffs during the comment period, and ATF was not required to
    disclose evidence on which it did not rely when it promulgated the rule. Nor did ATF violate
    § 926(b) by refusing to hold an oral hearing. Finally, any error ATF may have committed by
    failing to extend the comment period by five days because of technical glitches was harmless.
    As for the Takings Clause challenge, the plaintiffs have not shown that preliminary
    injunctive relief rather than future compensation is appropriate.
    The plaintiffs’ statutory and constitutional challenges to Whitaker’s authority fare no
    better. As a statutory matter, the plaintiffs argue that the AG Act requires the Deputy Attorney
    General to serve as Acting Attorney General when there is a vacancy and that nothing in the
    Federal Vacancies Reform Act (FVRA) empowers the President to change that result. The plain
    text and structure of both statutes, however, demonstrate that they were intended to coexist: the
    AG Act provides a line of succession, and the FVRA gives the President discretion to depart
    from that line, subject to certain limitations met here.
    3
    As a constitutional matter, the plaintiffs argue that the Appointments Clause generally
    requires an acting principal officer to be either the principal officer’s first assistant or appointed
    by the President with the advice and consent of the Senate. But that theory is foreclosed by
    Supreme Court precedent and historical practice, both of which have long approved temporary
    service by non-Senate confirmed officials, irrespective of their status as first assistants.
    Separately, the plaintiffs argue that the Appointments Clause at a minimum requires the
    role of an acting principal officer to be filled by an inferior officer and not a mere
    employee. Whitaker, the plaintiffs contend, was not an officer because the FVRA did not
    authorize the President to “appoint” him and because his role as an acting official was
    temporary. The Court disagrees. Whitaker’s designation under the FVRA was a Presidential
    appointment. And if the temporary nature of Whitaker’s service prevented him from becoming
    an officer, then the President was not constitutionally obligated to appoint him at all.
    I.     BACKGROUND
    A. Procedural History
    On December 18, 2018, Guedes, Firearms Policy Coalition (the Coalition), Firearms
    Policy Foundation, and Madison Society Foundation filed a complaint and a motion for a
    preliminary injunction. Guedes’s Compl., Dkt. 1, No. 18-cv-2988; Guedes’s Mot., Dkt. 2, No.
    18-cv-2988. Although their complaint contained eight claims, they moved for a preliminary
    injunction only on the grounds that (1) ATF’s rule violated the APA and 18 U.S.C. § 926(b), and
    (2) Whitaker lacked authority to promulgate the bump stock rule. Compare Guedes’s Compl.,
    with Guedes’s Br., Dkt. 2-1, No. 18-cv-2988. At the parties’ request, the Court extended the
    time for briefing and held a hearing on the motion for a preliminary injunction on January 11,
    2019. Minute Order, Dec. 21, 2018, No. 18-cv-2988.
    4
    Less than a week after filing the motion, Guedes and the Coalition elected to pursue
    separate lawsuits. On December 26, 2018, the Coalition voluntarily dismissed its claims, Notice
    of Voluntary Dismissal at 2, Dkt. 8, No. 18-cv-2988, and Guedes filed an amended complaint
    that alleged the original eight causes of action minus the challenge to Whitaker’s authority,
    Guedes’s Am. Compl., Dkt. 9, No. 18-cv-2988. The Coalition simultaneously filed a new
    complaint in this District that elaborated on the original challenge to Whitaker’s authority and
    raised several additional claims based on Whitaker’s allegedly infirm designation as Acting
    Attorney General. See Firearms Pol’y Coal.’s Compl., Dkt. 1, No. 18-cv-3083. The Coalition
    also filed a motion for a preliminary injunction. Firearms Pol’y Coal.’s Mot., Dkt. 2, No. 18-cv-
    3083.
    In response to the recent government shutdown, the government filed unopposed motions
    to stay in each case in late December. See Gov’t’s Mot. for a Stay in Guedes, Dkt. 7, No. 18-cv-
    2988; Gov’t’s Mot. for a Stay in Firearms Pol’y Coal., Dkt. 8, No. 18-cv-3083. Both motions
    were granted. Minute Order in Guedes, Dec. 27, 2018, No. 18-cv-2988; Minute Order in
    Firearms Pol’y Coal., Dec. 27, 2018, No. 18-cv-3083.
    On January 3, 2019, Firearms Policy Coalition was transferred to the undersigned as a
    related case and, with the consent of the parties, consolidated with Guedes. See Reassignment of
    Civil Case in Firearms Pol’y Coal., Dkt. 12, No. 18-cv-3083; Minute Order in Guedes, Jan. 8,
    2019, No. 18-cv-2988. A few days later, the Court granted the plaintiffs’ motion to lift the stay
    and set a revised briefing schedule. Minute Order in Guedes, Jan. 11, 2019, No. 18-cv-2988.
    Meanwhile, on December 27, 2018, Codrea filed yet another action challenging the bump
    stock rule, and he moved for a preliminary injunction several weeks later on January 18, 2019.
    See Codrea’s Compl., Dkt. 1, No. 18-cv-3086; Codrea’s Mot., Dkt. 5, No. 18-cv-3086. Like the
    5
    other plaintiffs, Codrea seeks to enjoin the rule on the grounds that ATF violated the APA and
    Whitaker lacked authority to promulgate the rule. Codrea’s Br. at 13–14, Dkt. 5-1, No. 18-cv-
    3086. Codrea also argues that a preliminary injunction is appropriate because ATF violated the
    Takings Clause of the Fifth Amendment. 
    Id. at 13.
    Codrea was transferred to the undersigned
    as a related case, see Reassignment of Civil Case in Codrea, Dkt. 14, No. 18-cv-3086, but at the
    request of the parties, the Court did not consolidate Codrea with Guedes.
    On February 6, 2019, the Court held a hearing in Guedes. On February 19, 2019, after
    briefing was complete, the Court held a second hearing in Codrea. This opinion resolves all
    three of the pending motions for a preliminary injunction.
    B. The Statutory Framework and Regulatory History of Bump Stock Prohibitions
    The National Firearms Act of 1934 (NFA) and the Firearm Owners Protection Act of
    1986 (FOPA) provide the statutory basis for the bump stock rule. The NFA provides the
    following definition for the term “machinegun”: 2
    The term “machinegun” means any weapon which shoots, is designed to shoot, or
    can be readily restored to shoot, automatically more than one shot, without manual
    reloading, by a single function of the trigger. The term shall also include the frame
    or receiver of any such weapon, any part designed and intended solely and
    exclusively, or combination of parts designed and intended, for use in converting a
    weapon into a machinegun, and any combination of parts from which a machinegun
    can be assembled if such parts are in the possession or under the control of a person.
    26 U.S.C. § 5845(b). Congress later passed the FOPA, which generally makes it “unlawful for
    any person to transfer or possess” a newly manufactured “machinegun,” 18 U.S.C. § 922(o), and
    incorporates the NFA’s definition of that term, 18 U.S.C. § 921(a)(23) (“The term ‘machinegun’
    has the meaning given such term in . . . the National Firearms Act.”). The FOPA also amended a
    2
    The U.S. Code uses an uncommon spelling of “machinegun.” See United States v. Carter, 
    465 F.3d 658
    , 661 n.1 (6th Cir. 2006) (discussing the spelling of machine gun). Except when quoting
    the relevant statutes, the Court uses the more common, two-word spelling of machine gun.
    6
    previous grant of rulemaking authority to provide that “[t]he Attorney General may prescribe
    only such rules and regulations as are necessary to carry out the provisions of this chapter.” 18
    U.S.C. § 926(a); see also Nat’l Rifle Ass’n v. Brady, 
    914 F.2d 475
    , 478 (4th Cir. 1990)
    (discussing the statutory change). The key question here is whether the NFA’s definition of
    “machinegun” encompasses devices that are colloquially referred to as “bump stocks.”
    The parties do not dispute the basic mechanics of standard bump stock devices. A bump
    stock replaces a semiautomatic rifle’s standard stock—the part of the rifle that rests against the
    shooter’s shoulder—and enables the shooter to achieve a faster firing rate. To use a bump stock
    as intended, the shooter must maintain forward pressure on the barrel and, at the same time, pull
    the trigger and maintain rearward pressure on the trigger. Once the shooter pulls the trigger, a
    bump stock helps harness and direct the firearm’s recoil energy, thereby forcing the firearm to
    shift back and forth, each time “bumping” the shooter’s stationary trigger finger. In this way, the
    shooter is able to reengage the trigger without additional physical manipulation, though the
    process may cause small involuntary movements of the trigger finger.
    ATF first began to regulate bump stocks in 2006 when it determined that the term
    “machinegun” encompassed the “Akins Accelerator,” a specific bump stock model with an
    internal spring that pushed the firearm forward after the shooter pulled the trigger. See Akins v.
    United States, 312 F. App’x 197, 198 (11th Cir. 2009) (per curiam). ATF initially determined in
    2002 and again in 2004 that the Akins Accelerator did not qualify as a “machinegun” because it
    did not permit a shooter to discharge multiple rounds with a “single function of the trigger.” 
    Id. at 199.
    But the agency reversed course in 2006, when it reinterpreted a “single function of the
    trigger” to mean a “single pull of the trigger.” 
    Id. at 200.
    Under that new interpretation, ATF
    determined that the Akins Accelerator qualified as a “machinegun” because the device enabled
    7
    the shooter to discharge multiple rounds with only one “pull,” even though the trigger
    mechanically reset between rounds. 
    Id. The Eleventh
    Circuit later upheld ATF’s decision,
    reasoning that ATF’s interpretation of “single function of the trigger” was “consonant with the
    [NFA] and its legislative history.” 
    Id. For years,
    ATF declined to classify as “machineguns” other standard bump stock models
    that did not include an internal spring. 83 Fed. Reg. at 66517. ATF reasoned that, although
    standard bump stock devices permit a shooter to discharge multiple rounds with a single function
    of the trigger, they do not operate “automatically.” 
    Id. But ATF’s
    interpretation of the term
    “automatically” remained unclear. At times, ATF focused on whether a given bump stock
    device “initiate[d] an automatic firing cycle that continue[d] until either the finger [wa]s released
    or the ammunition supply [wa]s exhausted.” 
    Id. at 66518
    (internal quotation marks omitted).
    Other times, it focused on whether the device had “automatically functioning mechanical parts or
    springs” or “performed . . . mechanical functions when installed.” 
    Id. (alterations adopted
    and
    internal quotation marks omitted).
    C. The Final Bump Stock Rule
    The call for action in the wake of the 2017 mass shooting in Las Vegas, Nevada was
    immediate and widespread. Members of Congress and others requested that ATF reconsider its
    position with respect to standard bump stock devices. 
    Id. at 66516.
    And after ATF issued an
    Advance Notice of Proposed Rulemaking, President Trump released a memorandum urging the
    Attorney General, “as expeditiously as possible, to propose for notice and comment a rule
    banning all devices that turn legal weapons into machineguns.” 
    Id. at 66517
    (quoting
    Application of Machinegun to ‘Bump Fire’ Stocks and Other Similar Devices, 83 Fed. Reg. 7949
    (Feb. 20, 2018)).
    8
    On March 29, 2018, ATF proposed the bump stock rule and formally provided the public
    with 90 days, as required by 18 U.S.C. § 926(b), to submit written comments online, by mail, or
    by facsimile. Bump-Stock-Type Devices, 83 Fed. Reg. at 13442 (proposed Mar. 29, 2018). The
    first few days of the comment period did not go smoothly. According to Guedes, several
    commenters faced technological difficulties that prevented them from submitting online
    comments. Guedes’s Br. at 22–25. Some online users, for example, received a “Comment
    Period Closed” notification on the proposed rule’s FederalRegister.gov page—though the page
    also included a contradictory notice stating that the proposed rule had a comment period that
    would end several days in the future. Guedes’s Am. Compl. Ex. A, at 14, Dkt. 9-1, No. 18-cv-
    2988. Meanwhile, a search for “bump stock” on another rulemaking website, Regulations.gov,
    directed commenters to the correct page, and ATF did in fact receive comments submitted during
    the first few days of the comment period. 83 Fed. Reg. at 66542. In addition to submitting
    written comments, a few of the plaintiffs sought an opportunity to participate in a public, oral
    hearing, Guedes’s Br. at 6, but ATF refused those requests, 83 Fed. Reg. at 66542. ATF
    explained that “a public hearing would [not] meaningfully add data or information” that would
    assist the agency in drafting the final rule. 
    Id. In the
    final rule published on December 26, 2018, ATF reversed its earlier position and
    concluded that a standard bump stock device is a “machinegun” as defined in the NFA. 
    Id. at 66543,
    66553. Consistent with its 2006 Akins Accelerator determination, ATF interpreted the
    term “single function of the trigger” to mean a “single pull of the trigger.” 
    Id. at 66553.
    ATF
    also interpreted “automatically” to mean “as the result of a self-acting or self-regulating
    mechanism that allows the firing of multiple rounds through a single pull of the trigger.” 
    Id. Based on
    these definitions, ATF added a sentence to the regulatory definition of “machinegun”
    9
    to make clear that the term “machinegun” in the NFA includes “bump-stock-type device[s],”
    which “allow[] a semi-automatic firearm to shoot more than one shot with a single pull of the
    trigger by harnessing the recoil energy of the semi-automatic firearm to which it is affixed so that
    the trigger resets and continues firing without additional physical manipulation of the trigger by
    the shooter.” 
    Id. at 66553–54.
    Under the rule, “current possessors” of bump stocks must either
    destroy them or abandon them at an ATF office. 
    Id. at 66530.
    The rule is set to become
    effective on March 26, 2019.
    D. The Constitutional and Statutory Framework for the Designation of Acting
    Attorneys General
    The Constitution’s Appointments Clause provides that the President “shall appoint . . .
    Officers of the United States” “by and with the Advice and Consent of the Senate,” but “the
    Congress may by Law vest the Appointment of such inferior Officers, as they think proper, in the
    President alone, in the Courts of Law, or in the Heads of Departments.” U.S. Const. art. II, § 2,
    cl. 2. The Constitution does not provide clear guidance about whether and when an individual
    may temporarily serve as an acting principal officer without Senate confirmation. Instead, a
    series of statutes provide the primary framework for the designation of acting officers. See
    NLRB v. SW Gen., 
    137 S. Ct. 929
    , 934 (2017).
    In 1868, Congress enacted the first Vacancies Act, a predecessor to the Federal
    Vacancies Reform Act (FVRA). Act of July 23, 1868, ch. 227, 15 Stat. 168 (1868). The
    Vacancies Act, which established the basic statutory framework that continues to operate today,
    created a default rule that in the case of a vacancy “of the head of any executive department of
    the government, the first or sole assistant thereof shall . . . perform the duties of such head until a
    successor be appointed, or such absence or sickness shall cease.” 
    Id. § 1,
    15 Stat. at 168. But the
    Vacancies Act also permitted the President to override that first-assistant default rule and
    10
    designate another Senate-confirmed official to serve temporarily on an acting basis. 
    Id. § 3;
    see
    also SW 
    Gen., 137 S. Ct. at 935
    . Until recently, with the enactment of the modern FVRA, the
    President could not invoke the override authority established in the Vacancies Act to designate
    an Acting Attorney General; the first-assistant default rule always applied. 5 U.S.C. § 3347
    (1994) (providing that the President’s authority to designate acting officials under the FVRA
    “d[id] not apply to a vacancy in the office of the Attorney General”).
    In addition to the Vacancies Act, Congress has enacted a series of agency-specific
    statutes, including the AG Act, 28 U.S.C. § 508. The AG Act provides that “[i]n case of a
    vacancy in the office of Attorney General, or of his absence or disability, the Deputy Attorney
    General may exercise all the duties of that office, and for the purpose [of the first-assistant
    default rule] the Deputy Attorney General is the first assistant to the Attorney General.” 
    Id. § 508(a).
    The AG Act then provides a further order of succession: “When by reason of absence,
    disability, or vacancy in office, neither the Attorney General nor the Deputy Attorney General is
    available to exercise the duties of the office of Attorney General, the Associate Attorney General
    shall act as Attorney General,” and “[t]he Attorney General may designate the Solicitor General
    and the Assistant Attorneys General, in further order of succession, to act as Attorney General.”
    
    Id. § 508(b).
    In 1998, Congress enacted the FVRA. Like the earlier Vacancies Act, the FVRA
    includes a first-assistant default rule, but it permits the President to override that rule in one of
    two ways. 5 U.S.C. § 3345(a)(1). First, “the President . . . may direct a person who serves in an
    office for which appointment is required to be made by the President, by and with the advice and
    consent of the Senate, to perform the functions and duties of the vacant office temporarily.” 
    Id. § 3345(a)(2).
    Second, “the President . . . may direct an officer or employee of such Executive
    11
    agency to perform the functions and duties of the vacant office temporarily” if that individual has
    served in the agency for at least 90 days in the 365–day period preceding the vacancy in a
    position that receives pay “equal to or greater than the minimum rate of pay payable for a
    position at GS-15 of the General Schedule.” 
    Id. § 3345(a)(3).
    In a break from the earlier
    Vacancies Act, the FVRA also eliminated the exception for the Office of the Attorney General,
    so the President can override the first-assistant default rule even for that Office. Compare 5
    U.S.C. § 3347 (1994), with 5 U.S.C. § 3347 (2018). And the FVRA increased the amount of
    time during which an acting official may serve to 210 days, subject to certain statutory
    exceptions. See 
    id. § 3346;
    see also SW 
    Gen., 137 S. Ct. at 935
    –36.
    The FVRA includes an exclusivity provision that explains how the FVRA interacts with
    agency-specific statutes like the AG Act. Under § 3347(a), the FVRA is “the exclusive means
    for temporarily authorizing an acting official to perform the functions and duties of any office of
    an Executive agency . . . for which appointment is required to be made by the President, by and
    with the advice and consent of the Senate, unless . . . a statutory provision expressly” either
    “authorizes the President, a court, or the head of an Executive department, to designate an officer
    or employee” to serve in an acting capacity or “designates an officer or employee” to serve in an
    acting capacity. 5 U.S.C. § 3347(a).
    E. The Designation of Matthew Whitaker to Serve as Acting Attorney General
    On November 7, 2018, the Attorney General, Jefferson B. Sessions, III, resigned.
    Guedes’s Compl. ¶ 50–51. The next day, the President invoked his authority under the FVRA
    and “directed” Whitaker, then the Attorney General’s Chief of Staff, to “perform the functions
    and duties of the office of Attorney General, until the position is filled by appointment or
    subsequent designation.” Firearms Pol’y Coal.’s Mot. App. A, Dkt. 2-2, No. 18-cv-3083.
    Whitaker served as Acting Attorney General until Barr was confirmed as Attorney General on
    12
    February 15, 2019. See 165 Cong. Rec. S1397 (daily ed. Feb. 14, 2019). While serving as
    Acting Attorney General, Whitaker issued the bump stock rule at issue here. See 83 Fed. Reg. at
    66554.
    II.      LEGAL STANDARDS
    A. Preliminary Injunctions
    A preliminary injunction is “an extraordinary remedy that may only be awarded upon a
    clear showing that the plaintiff is entitled to such relief.” Sherley v. Sebelius, 
    644 F.3d 388
    , 392
    (D.C. Cir. 2011) (quoting Winter v. Nat. Res. Def. Council, 
    555 U.S. 7
    , 22 (2008)). To prevail, a
    party seeking preliminary relief must make a “clear showing that four factors, taken together,
    warrant relief: likely success on the merits, likely irreparable harm in the absence of preliminary
    relief, a balance of the equities in its favor, and accord with the public interest.” League of
    Women Voters v. Newby, 
    838 F.3d 1
    , 6 (D.C. Cir. 2016) (internal quotation marks omitted). If
    the plaintiff fails to establish a likelihood of success on the merits, the court “need not proceed to
    review the other three preliminary injunction factors.” Ark. Dairy Coop. Ass’n v. U.S. Dep’t of
    Agric., 
    573 F.3d 815
    , 832 (D.C. Cir. 2009). The plaintiff cannot prevail without a “substantial
    indication of likely success on the merits.” Archdiocese of Wash. v. Wash. Metro. Area Transit
    Auth., 
    281 F. Supp. 3d 88
    , 99 (D.D.C. 2017) (“[A]bsent a substantial indication of likely success
    on the merits, there would be no justification for the Court’s intrusion into the ordinary processes
    of administration and judicial review.” (internal quotation marks omitted)), aff’d, 
    897 F.3d 314
    (D.C. Cir. 2018).
    B. Judicial Review of Agency Action
    The APA provides that a court must “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). Under the familiar Chevron framework, “[i]f
    13
    Congress has directly spoken to [an] issue, that is the end of the matter.” Confederated Tribes of
    Grand Ronde Cmty. v. Jewell, 
    830 F.3d 552
    , 558 (D.C. Cir. 2016) (discussing Chevron, 
    467 U.S. 837
    ). “[T]he court, as well [as] the agency, must give effect to the unambiguously expressed
    intent of Congress.” Lubow v. U.S. Dep’t of State, 
    783 F.3d 877
    , 884 (D.C. Cir. 2015) (quoting
    
    Chevron, 467 U.S. at 842
    –43). But if the text is silent or ambiguous, courts must “determine if
    the agency’s interpretation is permissible, and if so, defer to it.” Confederated Tribes of Grand
    Ronde 
    Cmty., 830 F.3d at 558
    . “This inquiry, often called Chevron Step Two, does not require
    the best interpretation, only a reasonable one.” Van Hollen, Jr. v. FEC, 
    811 F.3d 486
    , 492 (D.C.
    Cir. 2016) (internal quotation marks omitted); see also 
    id. (“We are
    bound to
    uphold agency interpretations regardless [of] whether there may be other reasonable, or even
    more reasonable, views.” (alteration adopted and internal quotation marks omitted)).
    Further, even when an interpretation is reasonable under Chevron, “agency action is
    always subject to arbitrary and capricious review under the APA.” Confederated Tribes of
    Grand Ronde 
    Cmty., 830 F.3d at 559
    . An interpretation is arbitrary and capricious if the agency
    “relied on factors that Congress has not intended it to consider, entirely failed to consider an
    important aspect of the problem, offered an explanation” that “runs counter to the evidence
    before the agency, or is so implausible that it could not be ascribed to a difference in view or the
    product of agency expertise.” Agape Church v. FCC, 
    738 F.3d 397
    , 410 (D.C. Cir. 2013)
    (quoting Motor Vehicle Mfrs. Ass’n v. State Farm Mut. Auto. Ins., 
    463 U.S. 29
    , 43 (1983)). Put
    simply, “[t]he agency must ‘articulate a satisfactory explanation for its action including a rational
    connection between the facts found and the choice made.’” Nat’l Lifeline Ass’n v. FCC, No. 18-
    1026, 
    2019 WL 405020
    , at *5 (D.C. Cir. Feb. 1, 2019) (quoting State 
    Farm, 463 U.S. at 43
    ).
    14
    Often the inquiry under Chevron Step Two overlaps with arbitrary and capricious review
    because “under Chevron step two, the court asks whether an agency interpretation is arbitrary
    and capricious in substance.” Agape 
    Church, 738 F.3d at 410
    (alteration adopted) (quoting
    Judulang v. Holder, 
    565 U.S. 42
    , 52 n.7 (2011)). At bottom, a reviewing court must decide
    whether an agency action is “within the scope of [the agency’s] lawful authority” and supported
    by “reasoned decisionmaking.” Tripoli Rocketry Ass’n v. ATF, 
    437 F.3d 75
    , 77 (D.C. Cir. 2006)
    (internal quotation marks omitted); see also 
    id. (“Not only
    must an agency’s decreed result be
    within the scope of its lawful authority, but the process by which it reaches that result must be
    logical and rational.” (internal quotation marks omitted)).
    When an agency changes its position, it must “display awareness” of the change, but it is
    not required to meet a “heightened standard for reasonableness.” Mary V. Harris Found. v.
    FCC, 
    776 F.3d 21
    , 24 (D.C. Cir. 2015) (internal quotation marks omitted). “A reasoned
    explanation is needed for disregarding facts and circumstances that underlay or were engendered
    by the prior policy.” Nat’l Lifeline Ass’n, 
    2019 WL 405020
    , at *6 (alteration adopted and
    internal quotation marks omitted). But “[s]o long as any change is reasonably explained, it is not
    arbitrary and capricious for an agency to change its mind in light of experience, or in the face of
    new or additional evidence, or further analysis or other factors indicating that [an] earlier
    decision should be altered or abandoned.” New England Power Generators Ass’n v. FERC, 
    879 F.3d 1192
    , 1201 (D.C. Cir. 2018). Put differently, the agency need only “show that the new
    policy is permissible under the statute, that there are good reasons for it, and that the agency
    believes it to be better” than the previous policy. Mary V. Harris 
    Found., 776 F.3d at 24
    –25
    (emphasis and internal quotation marks omitted).
    15
    III.   ANALYSIS
    None of the plaintiffs’ challenges merit preliminary injunctive relief: the plaintiffs are
    unlikely to succeed on the merits of their administrate law challenges; preliminary injunctive
    relief is not available for Codrea’s Takings Clause challenge; and the plaintiffs are unlikely to
    succeed on the merits of their statutory and constitutional challenges to the authority of then–
    Acting Attorney General Whitaker.
    A. Likely Success on the Merits of the Plaintiffs’ Administrative Law Challenges
    The Court considers and rejects each of the plaintiffs’ administrative law challenges in
    turn. First, it determines that ATF reasonably interpreted and applied the NFA’s definition of
    “machinegun.” Second, it explains that the agency did not violate the APA either by reversing
    its previous position that bump stocks were not machine guns or by failing to provide its
    previous interpretations in the rulemaking docket. Third, it explains that ATF did not deny
    commenters a meaningful opportunity to comment or adequate responses to their comments.
    Finally, it concludes that ATF did not violate 18 U.S.C. § 926(b) by refusing to hold an oral
    hearing and that any error it may have made by refusing to extend the comment period by five
    days was harmless.
    1.      ATF’s Interpretation of the NFA’s Definition of “Machinegun”
    As noted, the NFA defines “machinegun” as follows:
    The term “machinegun” means any weapon which shoots, is designed to shoot, or
    can be readily restored to shoot, automatically more than one shot, without manual
    reloading, by a single function of the trigger. The term shall also include the frame
    or receiver of any such weapon, any part designed and intended solely and
    exclusively, or combination of parts designed and intended, for use in converting a
    weapon into a machinegun, and any combination of parts from which a machinegun
    can be assembled if such parts are in the possession or under the control of a person.
    26 U.S.C. § 5845(b) (emphases added). Congress did not shed further light on the definition of
    “machinegun” in 1934, when it enacted the NFA, or in 1986, when it incorporated the NFA’s
    16
    definition into the FOPA, see 18 U.S.C. § 921(a)(23) (“The term ‘machinegun’ has the meaning
    given such term in . . . the National Firearms Act.”).
    Invoking its general rulemaking authority under § 926(a), ATF promulgated the bump
    stock rule based on its interpretation of “single function of the trigger” and “automatically,” two
    terms that Congress left undefined. ATF defined the phrase “single function of the trigger” to
    mean a “single pull of the trigger and analogous motions.” 83 Fed. Reg. at 66553. And it
    defined “automatically” to mean “functioning as the result of a self-acting or self-regulating
    mechanism that allows the firing of multiple rounds through a single function of the trigger.” 
    Id. Applying these
    definitions, it added a sentence to the regulatory definition of “machinegun” that
    explicitly states that the term “includes a bump-stock-type device,” which “allows a semi-
    automatic firearm to shoot more than one shot with a single pull of the trigger by harnessing the
    recoil energy of the semi-automatic firearm to which it is affixed so that the trigger resets and
    continues firing without additional physical manipulation of the trigger by the shooter.” 
    Id. at 66553–54.
    The plaintiffs suggest that ATF lacked the authority to state explicitly that the NFA’s
    definition of “machinegun” includes bump stocks, and they take particular issue with the
    possibility that policy considerations may have influenced ATF’s legal interpretation. Guedes’s
    Br. at 17; Guedes’s Reply at 3–5, Dkt. 5-1, No. 18-cv-2988; Codrea’s Br. at 4; Codrea’s Reply at
    6–7, Dkt. 18, No. 18-3086. But these arguments are premised on a misunderstanding of the
    Chevron doctrine. Under Chevron, courts “presume that when an agency-administered statute is
    ambiguous with respect to what it prescribes, Congress has empowered the agency to resolve the
    ambiguity.” Util. Air Regulatory Grp. v. EPA, 
    573 U.S. 302
    , 315 (2014). Agencies are therefore
    entitled to deference when they reasonably define ambiguous terms—including ambiguous terms
    17
    in a statutory definition—and apply those terms to new circumstances. See Loving v. IRS, 
    742 F.3d 1013
    , 1016 (D.C. Cir. 2014) (“Under Chevron, we must accept an agency’s authoritative
    interpretation of an ambiguous statutory provision if the agency’s interpretation is reasonable.”);
    see also, e.g., Whitaker v. Thompson, 
    353 F.3d 947
    , 950–52 (D.C. Cir. 2004) (deferring to the
    Food and Drug Administration’s interpretation of statutory definitions in the Federal Food, Drug,
    and Cosmetic Act). Courts must defer even when agencies “make policy choices in interpreting
    [a] statute,” “as long as [they] stay[] within [Congress’] delegation [of authority].” Arent v.
    Shalala, 
    70 F.3d 610
    , 615 (D.C. Cir. 1995); see also Mayo Found. for Med. Educ. & Research v.
    United States, 
    562 U.S. 44
    , 55–56 (2011) (“Chevron recognized that the power of an
    administrative agency to administer a congressionally created program necessarily requires the
    formulation of policy and the making of rules to fill any gap left, implicitly or explicitly, by
    Congress.” (alterations adopted and internal quotation marks omitted)).
    That is why courts have regularly recognized ATF’s authority to interpret and apply the
    statutes that it administers, including the NFA’s definition of “machinegun.” See, e.g., Akins,
    312 F. App’x at 200 (deferring to ATF’s decision to classify the Akins Accelerator as a machine
    gun); see also York v. Sec’y of Treasury, 
    774 F.2d 417
    , 419–20 (10th Cir. 1985) (upholding
    ATF’s decision to classify a particular firearm as a machine gun); cf. 
    Brady, 914 F.2d at 480
    (holding that ATF has discretion to define the term “business premises” in another firearms
    statute).
    The question is therefore not whether ATF considered the policy implications when it
    formulated the bump stock rule, but whether ATF exceeded its authority by either contravening
    18
    the plain meaning of the NFA under Step One of the Chevron doctrine or adopting an
    unreasonable interpretation of ambiguous terms under Step Two. 3
    To determine “whether a statute is ambiguous” and “ultimately . . . whether [an] agency’s
    interpretation is permissible or instead is foreclosed by the statute,” courts “employ all the tools
    of statutory interpretation.” 
    Loving, 742 F.3d at 1016
    . Most importantly, courts “interpret the
    words [of a statute] consistent with their ordinary meaning at the time Congress enacted the
    statute.” Wisconsin Cent. Ltd. v. United States, 
    138 S. Ct. 2067
    , 2070 (2018) (alteration adopted
    and internal quotation marks omitted); see also Antonin Scalia & Bryan A. Garner, Reading
    Law: The Interpretation of Legal Texts 78 (2012) (“Words must be given the meaning they had
    when the text was adopted.”). Generally, courts rely on dictionaries from the time statutes
    became law to interpret the words of a statute. See MCI Telecomms. Corp. v. AT&T, 
    512 U.S. 218
    , 228 (1994); PHH Corp. v. CFPB, 
    881 F.3d 75
    , 130 (D.C. Cir. 2018) (en banc) (Griffith, J.,
    concurring in the judgment) (collecting cases demonstrating that the Supreme Court “generally
    begins [an interpretive task] with dictionaries”).
    a. A “Single Function of the Trigger”
    Unfortunately, dictionaries from the time of the NFA’s enactment are of little help in
    defining a “single function of the trigger.” The 1933 version of Webster’s New International
    3
    Despite ATF’s clear authority to interpret and administer the NFA and the FOPA, Guedes
    suggests that the congressional findings in the FOPA limit ATF’s authority to interpret the
    definition of “machinegun.” Guedes’s Br. at 14–15. The general findings to which Guedes
    refers do not come close to stripping ATF of its authority to define terms included in the
    statutory definition of “machinegun”—a type of firearm expressly banned with few exceptions
    by the FOPA. 18 U.S.C. § 922(o). And even if the findings were more concrete and specific to
    the issues presented here, a “statement of congressional findings is a rather thin reed upon which
    to base a requirement . . . neither expressed nor . . . fairly implied in the operative sections of [a
    statute].” Nat’l Org. for Women v. Scheidler, 
    510 U.S. 249
    , 260 (1994).
    19
    Dictionary defines “function” as “[t]he natural and proper action of anything.” Webster’s New
    International Dictionary 876 (1933). Similarly, the 1933 Oxford English Dictionary defines the
    term to mean “[t]he special kind of activity proper to anything; the mode of action by which it
    fulfills its purpose.” 4 Oxford English Dictionary 602 (1933). Neither definition sheds any light
    on the key question here: whether, as the plaintiffs argue, a “single function of the trigger” means
    a mechanical act of the trigger, or whether, as ATF argued in the rule, a “single function of the
    trigger” means a single pull of the trigger from the perspective of the shooter. Under the first
    interpretation, each trigger function ends when the trigger resets. Under the second
    interpretation, a single act by the shooter—a single pull—is a “function.” Because the statute
    does not provide any additional guidance on the correct interpretation, the Court concludes that
    the term is ambiguous.
    The question then becomes whether ATF’s interpretation was reasonable. To be sure, the
    interpretation offered by the plaintiffs is reasonable. But the same is true of ATF’s
    interpretation. Indeed, in 2009, the Eleventh Circuit upheld ATF’s decision to treat Akins
    Accelerators as machine guns because “a single application of the trigger by a gunman”—a
    single pull—caused the gun with the affixed bump stock to “fire continuously . . . until the
    gunman release[d] the trigger or the ammunition [wa]s exhausted.” Akins, 312 F. App’x at 200.
    Tellingly, courts have instinctively reached for the word “pull” when discussing the
    statutory definition of “machinegun.” The Supreme Court, for example, has explained that the
    statutory definition encompasses a weapon that “fires repeatedly with a single pull of the
    trigger,” meaning “once its trigger is depressed, the weapon will automatically continue to fire
    until its trigger is released or the ammunition is exhausted.” Staples v. United States, 
    511 U.S. 600
    , 602 n.1 (1994) (emphasis added). The Court then contrasted automatic machine guns with
    20
    semiautomatic weapons that “fire[] only one shot with each pull of the trigger” and “require[] no
    manual manipulation by the operator to place another round in the chamber after each round is
    fired.” 
    Id. Likewise, the
    Tenth Circuit has held that a uniquely designed firearm was “a machine
    gun within the statutory definition” because “the shooter could, by fully pulling the trigger, and it
    only, at the point of maximum leverage, obtain automation with a single trigger function.”
    United States v. Oakes, 
    564 F.2d 384
    , 388 (10th Cir. 1977) (emphasis added).
    Based on the above contemporaneous dictionary definitions and court decisions, the
    Court concludes that ATF acted reasonably in defining the phrase “single function of the trigger”
    to mean a “single pull of the trigger and analogous motions.” 83 Fed. Reg. at 66553.
    b. “Automatically”
    Dictionary definitions of “automatically” are only marginally more helpful. The 1933
    Webster’s New International Dictionary provides that “automatically” is the adverbial form of
    “automatic,” Webster’s New International 
    Dictionary, supra, at 157
    , and it defines the related,
    adjectival form as “self-acting or self-regulating,” especially as applied “to machinery or devices
    which perform parts of the work formerly or usually done by hand,” 
    id. at 156.
    The 1933 Oxford
    English Dictionary likewise defines “automatic” as “[s]elf-acting under conditions fixed for it,
    going of itself,” especially as applied to “machinery and its movements, which produce results
    otherwise done by hand.” 1 Oxford English 
    Dictionary, supra, at 574
    . Applying these
    definitions to the NFA’s definition of “machinegun,” the Seventh Circuit concluded that the
    “adverb ‘automatically,’ as it modifies the verb ‘shoots,’ delineates how the discharge of
    multiple rounds from a weapon occurs: as the result of a self-acting mechanism . . . that is set in
    motion by a single function of the trigger and is accomplished without manual reloading.”
    United States v. Olofson, 
    563 F.3d 652
    , 658 (7th Cir. 2009) (footnote omitted). Consistent with
    these contemporaneous dictionary definitions and the Seventh Circuit’s decision in Olofson, ATF
    21
    correctly defined “automatically” to mean “functioning as the result of a self-acting or self-
    regulating mechanism that allows the firing of multiple rounds through a single function of the
    trigger.” 83 Fed. Reg. at 66553.
    But even this definition retains a key ambiguity: how much of the “work formerly or
    usually done by hand” must be performed by the “self-acting or self-regulating device” for the
    automatic label to apply? Webster’s New International 
    Dictionary, supra, at 156
    . According to
    Webster’s New International Dictionary, the “automatic” label applies when a device performs
    only “parts”—not all—of the work otherwise performed by hand. 
    Id. And that
    definition
    comports with everyday experience. Automatic devices regularly require some degree of manual
    input. An automatic sewing machine, for example, still requires the user to press a pedal and
    direct the fabric. Because the statute does not specify how much manual input is too much, the
    Court concludes that the term “automatically” is ambiguous, with or without the gloss added by
    the rule. And as discussed below, ATF reasonably interpreted this ambiguous term to describe
    bump stocks.
    c. ATF’s Application of the NFA’s Definition of “Machinegun” to Bump Stocks
    After defining a “single function of the trigger” to mean a “single pull of the trigger” and
    “automatically” to mean “functioning as the result of a self-acting or self-regulating mechanism
    that allows the firing of multiple rounds through a single function of the trigger,” 83 Fed. Reg. at
    66553, ATF added a sentence to the regulatory definition of “machinegun” to clarify that ATF
    considered bump stocks to be machine guns, 
    id. at 66553–54.
    The plaintiffs advance two
    primary arguments to attack the reasonableness of this interpretation. Neither is persuasive.
    First, the plaintiffs suggest that bump stocks do not operate with a “single function of the
    trigger” because a shooter must still “manipulate” the trigger to discharge multiple rounds.
    Unless the trigger makes repeated contact with the shooter’s finger, they assert, the firearm will
    22
    not reset between rounds and fire multiple times. Guedes’s Reply at 14; see also 
    id. at 12;
    Codrea’s Br. at 16. Repackaging the same argument, Guedes further argues that ATF’s
    interpretation would bring all “semiautomatic” rifles, as that term is defined by statute, within the
    NFA’s definition of “machinegun.” Guedes’s Reply at 5–6. In support, Guedes cites the Crime
    Control Act of 1990, which defines “semiautomatic rifle” to mean “any repeating rifle which
    utilizes a portion of the energy of a firing cartridge to extract the fired cartridge case and
    chamber the next round, and which requires a separate pull of the trigger to fire each cartridge.”
    Pub. L. No. 101-647, § 2204(a)(28), 104 Stat. 4789, 4857 (Nov. 29, 1990) (codified at 18 U.S.C.
    § 921(a)(28)).
    The Court concludes that it was reasonable for ATF to determine that a bump stock
    operates with a single “pull” of the trigger because a bump stock permits the shooter to discharge
    multiple rounds by, among other things, “maintaining the trigger finger on the device’s extension
    ledge with constant rearward pressure.” 83 Fed. Reg. at 66532 (internal quotation marks
    omitted). Although operating a bump stock may cause slight movements of the trigger finger, it
    does not require a shooter to consciously and repeatedly exert force to depress the trigger
    multiple times. After the initial exertion of force, a shooter is able to discharge multiple rounds
    by maintaining constant pressure on the trigger. And contrary to Guedes’s claim, ATF’s
    determination will not bring all semiautomatic rifles within the NFA’s definition of
    “machinegun” because, without a bump stock or similar device attached, semiautomatic rifles do
    “require[] a separate pull of the trigger to fire each cartridge.” 18 U.S.C. § 921(a)(28).
    Second, the plaintiffs argue that ATF acted unreasonably because a bump stock does not
    operate “automatically.” See, e.g., Codrea’s Reply at 12–13. Although this is a closer question,
    the Court also concludes that it was reasonable for ATF to determine that a bump stock relieves a
    23
    shooter of enough of the otherwise necessary manual inputs to warrant the “automatic” label. To
    be sure, a firearm with an affixed bump stock requires some manual inputs: the shooter must
    “maintain[] constant forward pressure with the non-trigger hand on the barrel-shroud or fore-grip
    of the rifle, and maintain[] the trigger finger on the device’s extension ledge with constant
    rearward pressure.” 83 Fed. Reg. at 66532 (internal quotation marks omitted). But as noted, the
    definition of “automatically” does not mean that an automatic device must operate spontaneously
    without any manual input. ATF reasoned that a bump stock permits a firearm to function
    automatically by “directing the recoil energy of the discharged rounds into the space created by
    the sliding stock . . . in constrained linear rearward and forward paths” so that the shooter can
    maintain a “continuous firing sequence.” 
    Id. at 66532
    (internal quotation marks omitted). And it
    explained that “without [such a] device,” the shooter would have to “manually capture, harness,
    or otherwise utilize th[e] [recoil] energy to fire additional rounds” and “bump fire” a gun. 
    Id. In other
    words, the bump stock makes it easier to bump fire because it controls the distance the
    firearm recoils and ensures that the firearm moves linearly—two tasks the shooter would
    ordinarily have to perform manually. In this way, a bump stock creates a “self-acting
    mechanism” that permits “the discharge of multiple rounds” with “a single function of the trigger
    . . . without manual reloading.” 
    Olofson, 563 F.3d at 658
    (defining the term “automatically” in
    the NFA’s definition of “machinegun”).
    Of course, even if an interpretation is reasonable under Chevron, all final agency actions
    must still survive review under the APA’s arbitrary and capricious standard. See Confederated
    Tribes of Grand Ronde 
    Cmty., 830 F.3d at 559
    . Often, “[t]he analysis of disputed agency action
    under Chevron Step Two and arbitrary and capricious review is . . . ‘the same, because under
    Chevron [S]tep [T]wo, the court asks whether an agency interpretation is arbitrary or capricious
    24
    in substance.’” Agape 
    Church, 738 F.3d at 410
    (alteration adopted) (quoting 
    Judulang, 565 U.S. at 52
    n.7). But in addition to the substantive reasonableness already addressed, the arbitrary and
    capricious standard also requires an agency to “articulate a satisfactory explanation for its action
    including a rational connection between the facts found and the choice made.” Nat’l Lifeline
    Ass’n, 
    2019 WL 405020
    , at *5. The Court therefore turns to the plaintiffs’ remaining challenges
    to the adequacy of ATF’s explanation for the bump stock rule.
    2.      ATF’s Treatment of Prior Interpretations
    The plaintiffs characterize ATF’s new position as an unlawful departure from its previous
    interpretations, which excluded standard bump stocks from the NFA’s definition of
    “machinegun.” See, e.g., Guedes’s Br. at 12–14, 19, 26–27, 30–31; Codrea’s Reply at 12; see
    also generally Guedes’s Compl. Ex. B, Dkt. 22-1, No. 18-cv-2988. Guedes further challenges
    the lawfulness of ATF’s rulemaking process on the ground that ATF failed to make public its
    previous interpretations. See Guedes’s Br. at 21; Guedes’s Reply at 7–8. Neither argument is
    persuasive.
    It is well established that an agency may change its prior policy if “the new policy [is]
    permissible under the statute, and the agency . . . acknowledge[s] it is changing its policy and
    show[s] that there are good reasons for the new policy and that the agency believes it to be
    better, which the conscious change of course adequately indicates.” Nat’l Lifeline Ass’n, 
    2019 WL 405020
    , at *6 (emphasis and internal quotation marks omitted); see also Mary V. Harris
    
    Found., 776 F.3d at 24
    (“What the [agency] did in the past is of no moment . . . if its current
    approach reflects a permissible interpretation of the statute.”). ATF acknowledged in the final
    rule that it was “reconsider[ing] and rectify[ing]” its previous classification decisions based on
    its legal analysis of the statutory terms “automatically” and “single function of the trigger.” 83
    Fed. Reg. at 66516 (quoting Akins, 312 F. App’x at 200). It discussed the history of its
    25
    regulation of Akins Accelerators and the Eleventh Circuit’s decision in Akins. 
    Id. at 66517
    . It
    also explained that it had previously determined that “semiautomatic firearms modified with
    [standard] bump-stock-type devices did not fire ‘automatically,’ and thus were not
    ‘machineguns.’” 
    Id. at 66516.
    The mass shooting in Las Vegas then prompted ATF to
    reconsider its prior interpretations, 
    id. at 66528–29,
    none of which provided “extensive legal
    analysis of the statutory terms ‘automatically’ or ‘single function of the trigger,’” 
    id. at 66516.
    Accordingly, ATF reviewed dictionary definitions of “automatically,” relevant judicial
    decisions—including Staples, Olofson, and Akins—and the NFA’s legislative history to
    determine whether standard bump stocks constitute machine guns. 
    Id. at 66518
    –19. It then
    concluded that its previous interpretations “did not reflect the best interpretation of
    ‘machinegun,’” 
    id. at 66514,
    and that the rule’s interpretations of “automatically” and “single
    function of the trigger” better “accord with the plain meaning of those terms,” 
    id. at 66527.
    This
    record reveals that ATF satisfied its obligation to “reasonably explain[]” its change of position.
    New England Power Generators 
    Ass’n, 879 F.3d at 1201
    .
    Guedes’s argument that ATF was required to release its previous interpretations as part of
    the rulemaking process is no more persuasive. True, the APA requires agencies to “ma[k]e
    public in the proceeding and expose[] to refutation” “the most critical factual material that is
    used to support the agency’s position on review.” Chamber of Commerce v. SEC, 
    443 F.3d 890
    ,
    900 (D.C. Cir. 2006) (internal quotation marks omitted); see also, e.g., Conn. Light & Power Co.
    v. Nuclear Regulatory Comm’n, 
    673 F.2d 525
    , 530–31 (D.C. Cir. 1982) (“An agency commits
    serious procedural error when it fails to reveal portions of the technical basis for a proposed rule
    in time to allow for meaningful commentary.”). But ATF’s explanations for its prior legal
    interpretations are not “critical factual material[s]” that were “used to support the agency’s
    26
    position.” Chamber of 
    Commerce, 443 F.3d at 900
    (internal quotation marks omitted). This
    case does not turn on any factual dispute; the parties agree about how a bump stock operates.
    And ATF’s prior legal interpretations contradict rather than support its current interpretation.
    Thus, ATF was not required to release its prior opinions during the rulemaking process.
    3.      ATF’s Responses to Comments and Its Consideration of Other Evidence
    The plaintiffs next raise a series of arguments challenging the transparency of ATF’s
    rulemaking process and ATF’s failure to consider other evidence. First, they argue that ATF
    relied on evidence that bump stocks were used in the Las Vegas shooting without releasing that
    evidence or any other evidence suggesting that bump stocks have been used to commit crimes.
    See, e.g., Codrea’s Reply at 9; Guedes’s Br. at 21, 28. As explained, however, the bump stock
    rule was based on a legal, rather than a factual, determination; crime statistics did not play any
    role in ATF’s analysis. The Las Vegas attack served as the impetus for ATF’s decision to
    reconsider its legal interpretation of “machinegun,” but it did not provide a factual basis for the
    rule. And under the APA, ATF was required to make public only “critical factual material.”
    Chamber of 
    Commerce, 443 F.3d at 900
    (internal quotation marks omitted).
    Second, Guedes argues that the “underlying premise” of the rule is “completely arbitrary
    and capricious” because certain “individuals can achieve, with greater accuracy, faster cyclic
    rates than [other individuals] utilizing bump-stock-devices.” Guedes’s Br. at 29. As noted,
    however, the “premise” of the rule was not the relative firing rates of guns with attached bump
    stocks (or any other factual determination for that matter); the rule change was based on ATF’s
    legal interpretation of the statutory term “machinegun.” See 83 Fed. Reg. at 66533 (“[ATF]
    disagrees with any assertion that the rule is based upon the increased rate of fire. While bump-
    stock-type devices are intended to increase the rate at which a shooter may fire a semiautomatic
    firearm, this rule classifies these devices based upon the functioning of these devices under the
    27
    statutory definition.”). Moreover, ATF did not represent that bump stocks always produce a
    faster rate of fire; it stated merely that bump stocks are used by individual shooters to produce a
    relatively faster rate of fire. 
    Id. Third, Guedes
    takes issue with ATF’s failure to respond to statements made by former
    ATF official Rick Vasquez and to an analytical video demonstrating how bump stocks operate.
    Guedes’s Reply at 10–13. But although an agency must “respond to relevant and significant
    public comments,” City of Portland v. EPA, 
    507 F.3d 706
    , 713 (D.C. Cir. 2007) (internal
    quotation marks omitted), it “is not required to discuss every item of fact or opinion included in
    the submissions made to it in informal rulemaking,” Pub. Citizen, Inc. v. FAA, 
    988 F.2d 186
    , 197
    (D.C. Cir. 1993) (alteration adopted and internal quotation marks omitted). An agency “need
    only enable [a reviewing court] to see what major issues of policy were ventilated and why the
    agency reacted to them as it did.” 
    Id. (alteration adopted
    and internal quotation marks omitted).
    The record reveals that ATF adequately addressed Guedes’s arguments, including the argument
    that a bump stock requires the shooter to manipulate the trigger to discharge multiple rounds.
    For example, ATF explained in the rule that it “disagrees that a shooter repeatedly actuates,
    functions, or pulls the trigger of a semiautomatic firearm using a bump-stock-type device”;
    instead, “the shooter ‘pulls’ the trigger once and allows the firearm and attached bump-stock-
    type device to operate until the shooter releases the trigger finger or the constant forward
    pressure with the non-trigger hand.” 83 Fed. Reg. at 6532. 4
    4
    To the extent Guedes argues that Vasquez’s views are entitled to special weight because he is a
    former ATF official, Guedes is incorrect. The deference afforded under Chevron extends only to
    the agency’s official interpretations, not to the views of its former officials. See Via Christi
    Reg’l Med. Ctr. v. Leavitt, No. 04-1026, 
    2006 WL 2773006
    , at *13 n.3 (D. Kan. Sept. 25, 2006),
    aff’d, 
    509 F.3d 1259
    (10th Cir. 2007).
    28
    Fourth, the plaintiffs argue that the agency acted arbitrarily and capriciously because a
    shooter can also bump fire a gun using a rubber band or a belt loop. Guedes’s Br. at 27; see also
    Codrea’s Reply at 8. 5 ATF did not specifically include such everyday items in the rule, as it did
    bump stocks, but it has not yet made a formal determination about whether they fall within the
    NFA’s definition of “machinegun.” See Feb. 6, 2019 Hr’g Tr. at 30. To the extent the plaintiffs
    are arguing that the agency failed to respond adequately and reasonably to comments
    highlighting the similarities between bump stocks and household objects that can be repurposed
    to facilitate bump firing, the Court disagrees. ATF explained in the rule that bump firing using a
    rubber band or belt loop does not involve automatic fire because “no device is present to capture
    and direct the recoil energy; rather, the shooter must do so.” 83 Fed. Reg. at 66533. In other
    words, unlike a bump stock, a “belt loop or a similar manual method requires the shooter to
    control the distance that the firearm recoils and the movement along the plane on which the
    firearm recoils.” 
    Id. Although Guedes
    and Codrea “attack the merits of [ATF’s] responses,
    [ATF] clearly thought about [their] objections and provided reasoned replies,” which is “all the
    APA requires.” City of 
    Portland, 507 F.3d at 714
    .
    The related argument that ATF unreasonably distinguished between binary triggers and
    bump stocks, see, e.g., Codrea’s Br. at 6–7; Codrea’s Reply at 7, fails for a similar reason. As
    ATF explained, binary triggers discharge one round when the shooter pulls the trigger and
    another when the shooter releases the trigger. Gov’t’s Opp’n in Codrea at 18, Dkt. 16, No. 18-
    cv-3086; Codrea’s Br. at 6. ATF defined a “single function of the trigger” to mean a pull and
    5
    Guedes also argues that a shooter can achieve the same effect by “train[ing] [his] trigger finger
    to fire more rapidly.” Guedes’s Br. at 27 (internal quotation marks omitted). As discussed
    above, however, the rates at which a shooter can fire a gun with and without a bump stock are
    irrelevant. Even the most skilled shooter cannot discharge multiple rounds “automatically” with
    a “single function of the trigger.”
    29
    analogous motions, such as pushing a button or flipping a switch. 83 Fed. Reg. at 66515, 66534–
    35, 66553. It then reasonably distinguished binary triggers, which in ATF’s view require two
    functions of the trigger—a pull and a release—to discharge multiple rounds. See 
    id. at 66534.
    In
    sum, ATF adequately and reasonably responded to comments arguing that the “proposed
    regulatory text encompasses . . . binary triggers.” 
    Id. 4. The
    Length of the Comment Period and the Necessity of a Hearing
    Guedes makes two final procedural arguments based on the text of 18 U.S.C. § 926(b),
    which provides that “[t]he Attorney General shall give not less than ninety days public notice,
    and shall afford interested parties opportunity for hearing, before prescribing . . . rules and
    regulations.” Guedes argues that ATF violated § 926(b) by failing to provide commenters with a
    public hearing and by failing to provide an additional five days for public comment after some
    commenters experienced technical difficulties at the beginning of the scheduled comment period.
    Guedes’s Br. at 22–25; Guedes’s Reply at 8–10. The Court disagrees.
    First, Guedes assumes that all “hearings” must be oral hearings, but “[t]he term ‘hearing’
    in its legal context . . . has a host of meanings,” including the mere opportunity to submit written
    comments. United States v. Fla. E. Coast Ry. Co., 
    410 U.S. 224
    , 239 (1973); see also 
    id. at 241–
    42. And it is well established that the requirement for a “hearing,” as opposed to a “hearing on
    the record,” generally does not require a formal, oral hearing. See 
    id. at 251;
    Nat’l Classification
    Comm’n v. United States, 
    765 F.2d 1146
    , 1150 (D.C. Cir. 1985) ([U]nder Florida East Coast
    there is a strong presumption that the procedural guarantees of [the notice-and-comment
    provisions] of the APA are sufficient unless Congress specifically indicates to the contrary.”);
    Mobil Oil Corp. v. Fed. Power Comm’n, 
    483 F.2d 1238
    , 1250 (D.C. Cir. 1973) (Although
    “[t]here is some danger in according too much weight to magic words such as ‘on the record[,]’
    . . . Florida East Coast . . . emphasized the importance of this phrase and virtually established it
    30
    as a touchstone test of when [formal, oral] proceedings are required.”). Indeed, the Fourth
    Circuit has held that the hearing requirement in § 926(b) requires only that the Secretary
    “provide interested parties with the opportunity to submit written comments.” 
    Brady, 914 F.2d at 485
    . The Court sees no reason to depart from that interpretation here.
    Second, any error ATF may have made by refusing to extend the comment period by five
    days was harmless. Section 706 of the APA requires courts to take “due account . . . of the rule
    of prejudicial error.” 5 U.S.C. § 706. The D.C. Circuit has therefore held that “[i]f [an] agency’s
    mistake did not affect the outcome, if it did not prejudice the petitioner, it would be senseless to
    vacate and remand for reconsideration.” PDK Labs. v. DEA, 
    362 F.3d 786
    , 799 (D.C. Cir.
    2004); see also Ozark Auto. Distributors v. NLRB, 
    779 F.3d 576
    , 582 (D.C. Cir. 2015) (“In
    administrative law, as in federal civil and criminal litigation, there is a harmless error rule . . . .”
    (internal quotation marks omitted)). Despite the technical difficulties some online commenters
    faced during the first five days of the comment period, it is undisputed that a search for the term
    “bump stock” on Regulations.gov brought commenters to the correct web page; some online
    commenters submitted comments during the first five days; frustrated online users were able to
    submit comments during the remaining 85 days of the comment period; and finally, commenters
    were able to submit comments by mail and facsimile throughout the comment period. In light of
    these undisputed facts, it is unsurprising that Guedes does not even attempt to show that he was
    prejudiced by the technical problems. Without a showing of prejudice, Guedes’s procedural
    challenge fails.
    B. The Availability of Injunctive Relief for Codrea’s Takings Clause Challenge
    Codrea also asserts that the bump stock rule violates the Takings Clause because it fails
    to provide compensation to current bump stock owners who must destroy or abandon their
    31
    property. Codrea’s Br. at 17. Regardless of the merits of Codrea’s takings challenge, however,
    it does not justify preliminary injunctive relief.
    The Takings Clause of the Fifth Amendment provides that private property shall not “be
    taken for public use, without just compensation.” U.S. Const. amend. V. It “is designed not to
    limit the governmental interference with property rights per se, but rather to secure compensation
    in the event of otherwise proper interference amounting to a taking.” First English Evangelical
    Lutheran Church of Glendale v. Los Angeles County, 
    482 U.S. 304
    , 315 (1987). It follows that,
    “in general, ‘equitable relief is not available to enjoin an alleged taking of private property for a
    public use, duly authorized by law, when a suit for compensation can be brought against the
    sovereign subsequent to that taking.’” Bldg. Owners & Managers Ass’n Int’l v. FCC, 
    254 F.3d 89
    , 99 (D.C. Cir. 2001) (alteration adopted) (quoting United States v. Riverside Bayview Homes,
    
    474 U.S. 121
    , 127–28 (1985)). Indeed, “the Fifth Amendment does not require that just
    compensation be paid in advance of or even contemporaneously with the taking.” Preseault v.
    ICC, 
    494 U.S. 1
    , 11 (1990). It requires only “the existence of a reasonable, certain and adequate
    provision for obtaining compensation at the time of the taking.” 
    Id. (internal quotation
    marks
    omitted). The plaintiffs have made no showing that a suit for compensation under the Tucker
    Act, 28 U.S.C. § 1491(a)(1), or the Little Tucker Act, 28 U.S.C. § 1346(a)(2), is inadequate to
    satisfy the demands of the Fifth Amendment—or that any other doctrinal exception applies.
    Preliminary injunctive relief is therefore unavailable.
    32
    C. Likely Success on the Merits of the Challenges to Whitaker’s Authority as
    Acting Attorney General
    The plaintiffs, led by the Coalition, 6 conclude by challenging the authority of then–
    Acting Attorney General Whitaker to promulgate the bump stock rule on statutory and
    constitutional grounds. The Court divides its analysis of this final challenge into two parts.
    First, it concludes that the AG Act did not bar Whitaker’s selection under the FVRA. Second, it
    concludes that the President’s designation of Whitaker to serve as Acting Attorney General did
    not violate the Appointments Clause. 7
    1.      The Statutory Challenge to Whitaker’s Designation
    The parties’ statutory dispute turns on when the FVRA and the AG Act apply to
    vacancies in the Office of the Attorney General. The statutory provisions most relevant to this
    issue are §§ 3345 and 3347 of the FVRA and § 508 of the AG Act.
    Section 3345(a) of the FVRA creates a default rule that applies whenever an official
    otherwise subject to the advice and consent of the Senate “dies, resigns, or is otherwise unable to
    perform the functions and duties of the office.” 5 U.S.C. § 3345(a). In such a case, the FVRA
    provides that “the first assistant to the office of such officer shall perform the functions and
    duties of the office temporarily in an acting capacity,” subject to certain time limitations. 
    Id. § 3345(a)(1).
    The FVRA further provides that “the President . . . may direct an officer or
    6
    Because the Coalition advances the most comprehensive challenge to Whitaker’s authority, the
    Court refers only to the Coalition’s arguments in this section.
    7
    This Court is not the first to reject a challenge to Whitaker’s designation as Acting Attorney
    General. Three other district courts have already upheld the President’s statutory and
    constitutional authority to designate Whitaker as Acting Attorney General, though those
    decisions did not consider the precise theories advanced here. See United States v. Smith, No.
    18-cr-0015, 
    2018 WL 6834712
    , at *1–4 (W.D.N.C. Dec. 28, 2018); United States v. Peters, No.
    17-cr-55, 
    2018 WL 6313534
    , at *2–5 (E.D. Ky. Dec. 3, 2018); United States v. Valencia, No. 17-
    cr-882, 
    2018 WL 6182755
    , at *2–4 (W.D. Tex. Nov. 27, 2018).
    33
    employee of such Executive agency to perform the functions and duties of the vacant office
    temporarily in an acting capacity” so long as that individual served in the agency for at least 90
    days in the 365-day period preceding the vacancy in a position compensated at a rate “equal to or
    greater than the minimum rate of pay payable for a position at GS-15 of the General Schedule.”
    
    Id. § 3345(a)(3).
    The same time limitations that govern the default rule also apply here. 
    Id. Section 3347(a)
    of the FVRA, the Act’s “exclusivity” provision, explains how the FVRA
    interacts with agency-specific statutes: it is the “exclusive means for temporarily authorizing an
    acting official” to serve in a position otherwise subject to the advice and consent of the Senate
    “unless . . . a statutory provision expressly . . . designates an officer or employee to perform the
    functions and duties of a specified office temporarily in an acting capacity.” 
    Id. § 3347(a).
    Section 508(a) of the AG Act, the agency-specific statute for the Department of Justice,
    provides that “[i]n case of a vacancy in the office of Attorney General, . . . the Deputy Attorney
    General may exercise all the duties of that office.” 28 U.S.C. § 508(a). It also provides that
    when “neither the Attorney General nor the Deputy Attorney General is available . . ., the
    Associate Attorney General shall act as Attorney General,” and “[t]he Attorney General may
    designate the Solicitor General and the Assistant Attorneys General, in further order of
    succession, to act as Attorney General.” 
    Id. § 508(b).
    The parties do not dispute that Whitaker satisfies the eligibility criteria in the FVRA and
    that both the FVRA and the AG Act apply to the Office of the Attorney General. They disagree
    only about when each statute applies. The government argues that the statutes operate
    “alongside” each other: the President may choose to select an Acting Attorney General under the
    FVRA, or the Deputy Attorney General “may” assume those duties as soon as a vacancy arises.
    Gov’t’s Opp’n in Codrea at 24. The government maintains that the President lawfully selected
    34
    Whitaker under the FVRA, even though the Deputy Attorney General was available to fill the
    vacancy under the AG Act.
    The Coalition, by contrast, argues that the AG Act displaces the FVRA unless and until
    the line of succession set forth in the AG Act has been exhausted. In the Coalition’s view, the
    President may select an Acting Attorney General under the FVRA, but only if all of the
    successors listed in the AG Act are “unavailable.” Firearms Pol’y Coal.’s Br. at 13, Dkt. 2-1,
    No. 18-3083. Under this interpretation, Whitaker could not lawfully assume the responsibilities
    of Attorney General because the Deputy Attorney General was available to serve as Acting
    Attorney General.
    In determining which party has the better reading of the statutes, the Court begins, as it
    must, with the text of the FVRA. Gross v. FBL Fin. Servs., Inc., 
    557 U.S. 167
    , 175 (2009)
    (“Statutory construction must begin with the language employed by Congress and the
    assumption that the ordinary meaning of that language accurately expresses the legislative
    purpose.” (internal quotation marks omitted)). The plain language of the FVRA, and its
    exclusivity provision in particular, substantially undercuts the Coalition’s exhaustion theory.
    Under § 3347(a), the FVRA is the “exclusive” means of selecting an acting official “unless” an
    agency-specific statute designates a successor. 5 U.S.C. § 3347(a). Where, as here, an agency-
    specific statute designates a successor, the FVRA is no longer the exclusive means of filling a
    vacancy, but it remains a means of filling the vacancy. When faced with a vacancy in the Office
    of the Attorney General, the President may choose to invoke the FVRA and select an Acting
    Attorney General, or the President may permit the Deputy Attorney General to assume the
    responsibilities of Attorney General under the AG Act.
    35
    This reading of the statute is consistent with the decisions of other courts interpreting the
    FVRA. See Hooks v. Kitsap Tenant Support Servs., 
    816 F.3d 550
    , 556 (9th Cir. 2016) (where
    the FVRA and an agency-specific statute apply, “the President is permitted to elect between the[]
    two statutory alternatives” to fill the vacancy); English v. Trump, 
    279 F. Supp. 3d 307
    , 319
    (D.D.C. 2018) (“[T]he FVRA’s exclusivity provision makes clear that it was generally intended
    to apply alongside agency-specific statutes, rather than be displaced by them.”), appeal
    dismissed, No. 18-5007, 
    2018 WL 3526296
    (D.C. Cir. July 13, 2018).
    The Coalition unpersuasively attempts to distinguish Hooks and English by highlighting
    insignificant factual distinctions. It argues that Hooks is distinguishable because, unlike the AG
    Act, the agency-specific statute in that case did not designate a first assistant. Firearms Pol’y
    Coal.’s Br. at 33. The statute stated simply that the President was “authorized” to designate an
    official to serve in an acting capacity. 29 U.S.C. § 153(d). As a result, the President invoked a
    different provision of the FVRA, 5 U.S.C. § 3347(a)(1)(A), under which the FVRA is “exclusive
    . . . unless . . . a statutory provision expressly . . . authorizes the President . . . to designate an
    officer or employee to perform the functions and duties of a specified office temporarily in an
    acting capacity.” This authorization provision contrasts slightly with the designation provision at
    issue here, 5 U.S.C. § 3347(a)(1)(B), under which the FVRA is “exclusive . . . unless . . . a
    statutory provision expressly . . . designates an officer or employee to perform the functions and
    duties of a specified office temporarily in an acting capacity.” But as another judge on this Court
    has explained, this subtle difference did not affect the analysis of the Hooks court. See 
    English, 279 F. Supp. 3d at 320
    (“[T]here is nothing in Hooks to suggest that the court’s interpretation of
    the FVRA would turn on this distinction, nor does the text of the FVRA provide any reason to
    36
    think so.”). In reaching its conclusion, the Hooks court relied instead on the “exclusive . . .
    unless” structure that is common to both provisions of the FVRA. See 
    Hooks, 816 F.3d at 556
    .
    As for English, the Coalition argues that the factual circumstances of that case were
    “extremely unusual” and that the court’s decision relied on an express-statement requirement in
    the agency-specific statute at issue. Firearms Pol’y Coal.’s Br. at 33. But the “unusual” facts of
    English did not affect the court’s reasoning. Nor did the court’s analysis of the agency-specific
    statute affect the court’s analysis of the text of the FVRA. The court made clear that the FVRA’s
    text demonstrates “that it was generally intended to apply alongside agency-specific statutes,
    rather than be displaced by them.” 
    English, 279 F. Supp. 3d at 319
    . 8
    The statutory structure of the FVRA further confirms this interpretation. See Util. Air
    Regulatory 
    Grp., 573 U.S. at 320
    (explaining that it is a “fundamental canon of statutory
    construction that the words of a statute must be read in their context and with a view to their
    place in the overall statutory scheme” (internal quotation marks omitted)). Section 3349c of the
    FVRA explicitly excludes several offices from the FVRA. It provides, for example, that the
    FVRA “shall not apply” to certain multi-member commissions and members of the Surface
    Transportation Board. 5 U.S.C. § 3349c. Congress could have chosen to exclude the Office of
    the Attorney General by using similar language, but it did not.
    Moreover, far from seeking to exclude the Office of the Attorney General from the
    FVRA’s coverage, the statutory history reveals that Congress affirmatively acted to bring the
    8
    As the Coalition notes, Firearms Pol’y Coal.’s Br. at 33, the English court acknowledged that
    the plaintiff there would have had a stronger case for displacement if Congress had used the term
    “vacancy” in the agency-specific statute at issue, and the court specifically cited the AG Act to
    show that Congress knew how to use that term, see 
    English, 279 F. Supp. 3d at 322
    . But the
    English court did not go so far as to suggest that the AG Act and every other agency-specific
    statute that uses the term “vacancy” displaces the FVRA.
    37
    Office within the scope of the FVRA. Prior to the FVRA’s enactment, § 3347 provided that the
    President’s authority to override the first-assistant default rule “d[id] not apply to a vacancy in
    the office of the Attorney General.” 5 U.S.C. § 3347 (1994). Congress eliminated that
    restriction when it enacted the FVRA, thus making clear that the President has the authority to
    override the first-assistant default rule when a vacancy arises in the Office of the Attorney
    General. The Court will not assume that “Congress . . . intend[ed] sub silentio to enact statutory
    language that it . . . earlier discarded in favor of other language.” INS v. Cardoza-Fonseca, 
    480 U.S. 421
    , 442–43 (1987); see also Murphy v. Smith, 
    138 S. Ct. 784
    , 789 (2018) (similar).
    Nothing in the AG Act, which predates the FVRA, suggests otherwise. Indeed, the AG
    Act includes a cross-reference to the FVRA that suggests that Congress intended the two statutes
    to operate alongside one another. Specifically, the AG Act provides that, “for the purpose of
    section 3345 of title 5[,] the Deputy Attorney General is the first assistant to the Attorney
    General.” 28 U.S.C. § 508(a). Under the Coalition’s reading, this provision is nonsensical
    because the FVRA will only ever apply when the Deputy Attorney General is unavailable. A
    more sensible reading is that Congress included a cross-reference in the AG Act because it
    intended the two statutes to operate alongside one another: the FVRA establishes a first-assistant
    default rule that operates in tandem with the AG Act, but it also permits the President to override
    the AG Act when a vacancy arises in the Office of the Attorney General by using one of the
    presidential selection provisions in the FVRA. See United States v. Jicarilla Apache Nation, 
    564 U.S. 162
    , 185 (2011) (“[W]e are hesitant to adopt an interpretation of a congressional enactment
    which renders superfluous another portion of that same law.” (internal quotation marks
    omitted)).
    38
    Even if the text of the two statutes did not suggest that Congress intended the FVRA and
    the AG Act to operate alongside each other, the Court has an affirmative duty to adopt such an
    interpretation because “when two statutes are capable of coexistence, it is the duty of the courts,
    absent a clearly expressed congressional intention to the contrary, to regard each as effective.”
    Howard v. Pritzker, 
    775 F.3d 430
    , 437 (D.C. Cir. 2015) (quoting J.E.M. Ag Supply v. Pioneer
    Hi–Bred Int’l, 
    534 U.S. 124
    , 143–44 (2001)); see also 
    id. (“The courts
    are not at liberty to pick
    and choose among congressional enactments.” (quoting Morton v. Mancari, 
    417 U.S. 535
    , 551
    (1974))). The AG Act provides that the Deputy Attorney General “may” assume the
    responsibilities of the Attorney General during a vacancy, not that he “must” or “shall” assume
    those responsibilities. And “[t]he word ‘may’ customarily connotes discretion,” rather than a
    mandatory requirement. Jama v. ICE, 
    543 U.S. 335
    , 346 (2005). Although the AG Act states
    that when “neither the Attorney General nor the Deputy Attorney General is available . . ., the
    Associate Attorney General shall act as Attorney General,” 28 U.S.C. § 508(b) (emphasis
    added), that provision by itself does not prove that the two statutes are incapable of coexistence;
    it merely suggests that if the President does not exercise his authority under the FVRA, then the
    Associate Attorney General must step in if the Deputy Attorney General is unavailable. And, as
    discussed, another judge on this Court has held that even an agency-specific statute that provides
    that the first-in-line successor “shall” serve during a vacancy operates alongside the FVRA
    because that statute’s “shall” is “implicitly qualified by the FVRA’s ‘may.’” English, 279 F.
    Supp. 3d at 323. By comparison, the AG Act’s use of the word “shall” when listing a second-in-
    line successor provides little reason to adopt a “disfavored construction” of an irreconcilable
    conflict between the two statutes. 
    Howard, 775 F.3d at 437
    (internal quotation marks omitted).
    39
    Faced with the text and structure of the FVRA and the AG Act, the Coalition cannot
    argue that the FVRA never applies to the Office of the Attorney General. Instead, it argues that
    the AG Act imposes an exhaustion requirement such that the FVRA applies if and only if none
    of the successors identified in the AG Act are available. According to the Coalition, this
    miniscule role for the FVRA explains why, for example, Congress did not list the Office of the
    Attorney General in § 3349c, the “applicability” provision that excludes certain offices from the
    FVRA. But the Coalition’s interpretation lacks textual support and relies primarily on
    inapplicable contextual and substantive canons.
    As evidence of textual support, the Coalition stresses that the FVRA’s exclusivity
    provision, 5 U.S.C. § 3347, includes the word “designates,” which means to “choose.” Firearms
    Pol’y Coal.’s Br. at 28 (quoting Black’s Law Dictionary 541 (10th ed. 2014)). According to the
    Coalition, the FVRA must be inapplicable because the AG Act automatically “chooses” the
    acting official. But the Coalition’s own theory proves that the word “designates” cannot bear
    that weight. Under the Coalition’s interpretation, the AG Act would always “designate” or
    “choose” the First Assistant—or another successor listed in the AG Act—and the FVRA would
    never apply, even when all of the AG Act successors are unavailable. The Coalition concedes
    that, at least in those circumstances, the text of the FVRA permits the President to select an
    Acting Attorney General, but it cannot explain why. The more sensible interpretation of § 3347
    takes into account the “exclusive . . . unless” structure and recognizes that the FVRA is
    nonexclusive, but not inapplicable, when read in conjunction with an agency-specific statute,
    such as the AG Act. The President may elect to fill a vacancy by invoking the FVRA, or, if he
    fails to do so, the successors listed in the AG Act may serve as Acting Attorney General.
    40
    The Coalition also invokes the “well established canon of statutory interpretation” that
    “the specific governs the general,” RadLAX Gateway Hotel v. Amalgamated Bank, 
    566 U.S. 639
    ,
    645 (2012) (internal quotation marks omitted), to support its argument that the AG Act should be
    given effect over the more general FVRA, Firearms Pol’y Coal.’s Br. at 28. Although this canon
    is usually applied where a general statute and a specific statute directly contradict each other,
    “the canon has full application as well to statutes . . . in which a general authorization and a more
    limited, specific authorization exist side-by-side.” RadLAX Gateway 
    Hotel, 566 U.S. at 645
    . In
    that circumstance, “the canon avoids not contradiction but the superfluity of a specific provision
    that is swallowed by the general one.” 
    Id. But here,
    the AG Act is hardly “swallowed” by the
    FVRA. Each of the statutes imposes unique requirements that provide alternative mechanisms
    for filling a vacancy. The AG Act establishes a specific order of succession based on title and
    does not limit the length of time an individual may serve in an acting capacity. By contrast, the
    FVRA defines eligibility based on other criteria. For example, under the FVRA, a nominee to
    fill a vacancy is generally prohibited from serving in an acting capacity, see 5 U.S.C.
    § 3345(b)(1), and any individual appointed under § 3345(a)(3) of the FVRA must have served in
    the agency for 90 of the preceding 365 days in a position that receives pay equal to or greater
    than the minimum rate for GS-15 of the General Schedule. The FVRA also imposes specific
    time limits on acting service. See 
    id. § 3346.
    As a result, some individuals who are eligible to
    serve in an acting capacity under the AG Act may not be eligible under the FVRA, and vice
    versa.
    Because “the text is clear,” the Court “need not consider [the] extra-textual evidence”
    cited by the Coalition. SW 
    Gen., 137 S. Ct. at 942
    . Nevertheless, the Court briefly considers and
    rejects the Coalition’s remaining arguments. The Coalition argues that “there is no serious
    41
    reason Congress would want to permit the President” to override the AG Act by invoking the
    FVRA. Firearms Pol’y Coal.’s Br. at 30. It further contends that the “purpose” of the FVRA
    was to limit the President’s authority to select acting officers, not to expand it. 
    Id. And it
    states
    that had Congress desired to give the President a choice between two statutory schemes “it
    would have done so expressly,” Firearms Pol’y Coal.’s Reply at 18, Dkt. 17, No. 18-cv-2988, or
    at least indicated as much in some piece of legislative history, 
    id. at 21–23.
    Regardless of the myriad policy reasons that might support or oppose the result here,
    Congress spoke clearly enough in the text of the FVRA. The exclusivity provision and the
    statutory history of the FVRA show that Congress understood, when it enacted the FVRA, that it
    was creating a new vacancies statute with its own allowances and restrictions that would apply to
    the Office of the Attorney General. Moreover, Congress did discuss this very issue in a Senate
    Report that accompanied a failed 1998 bill that preceded the FVRA. In considering language
    similar to the current exclusivity provision, the Report stated that the bill would retain several
    agency-specific statutes but that “the Vacancies Act would continue to provide an alternative
    procedure for temporarily occupying the office.” S. Rep. No. 105-250, at 17 (1998). The
    legislative history not only speaks to the issue; it confirms the government’s interpretation.
    Agency-specific statutes like the AG Act were expected to operate alongside the FVRA, not to
    displace it.
    The Coalition accuses the government of misrepresenting the Senate Report because the
    cited statement refers to what “would” occur if Congress were “to repeal [agency-specific]
    statutes in favor of the procedures contained in the Vacancies Act.” Firearms Pol’y Coal.’s
    Reply at 23 (quoting S. Rep. No. 105-250, at 17). But the Report explains that “various
    authorizing committees” might consider whether to repeal the different agency-specific statutes
    42
    in the future, and that “in any event,” the FVRA will “continue to provide an alternative
    procedure.” S. Rep. No. 105-250, at 17. In context, it is clear that the cited statement from the
    Report refers to the 1998 bill.
    The Coalition next cites an introductory section of the Senate Report that refers to a
    variety of “express exceptions” to the FVRA and states that “current [agency-specific] statutes
    . . . are maintained.” 
    Id. at 2.
    The Coalition argues that by referring to these statutes as
    “exceptions,” the Report suggests that the FVRA does not operate alongside agency-specific
    statutes. Firearms Pol’y Coal.’s Reply at 23. But this interpretation does not even comport with
    the Coalition’s own theory, which purports to retain a role for the FVRA if and when the
    individuals in the AG Act’s line of succession are unavailable. Regardless, this general and
    vague discussion is a weak basis for discounting more specific language in the same Report.
    In passing, the Coalition also mentions that a footnote from a 2001 White House Counsel
    memorandum adopted the Coalition’s interpretation. See Memorandum from Alberto R.
    Gonzales, Counsel to the President, to the Heads of Fed. Exec. Dep’ts. & Agencies & Units of
    the Exec. Off. of the President, Re: Agency Reporting Requirements Under the Vacancies
    Reform Act 2 n.2 (Mar. 21, 2001). In this context, however, as the Coalition itself
    acknowledges, the legal positions of the Executive Branch are not entitled to deference from this
    Court, and even if they were, subsequent Office of Legal Counsel opinions reached the opposite
    conclusion. See Firearms Pol’y Coal.’s Reply at 24–25. 9
    9
    For its part, the government places considerable weight on the history of presidential
    designations under the FVRA, arguing that “Presidents have consistently and explicitly invoked
    their FVRA authority to make acting-officer designations that would be barred if [agency]-
    specific statutes were read to set out exclusive, mandatory succession plans.” Gov’t’s Opp’n in
    Guedes at 51. But the FVRA was enacted a mere two decades ago, and the government
    identifies only a few designations that bypassed a first assistant. 
    Id. at 51–52
    & n.29. “In this
    43
    The Coalition places the most weight on the constitutional-avoidance canon, arguing that
    the Court should adopt its interpretation because it is at least doubtful whether the President may
    constitutionally designate a non-confirmed official to serve in an acting capacity when a first
    assistant is available. Firearms Pol’y Coal.’s Br. at 25. The problem for the Coalition, however,
    is that the government’s reading does not raise a “serious doubt” about the FVRA’s
    constitutionality. Jennings v. Rodriguez, 
    138 S. Ct. 830
    , 842 (2018) (internal quotation marks
    omitted). As discussed below, the constitutional legitimacy of acting officers has long been
    settled. And the avoidance canon “comes into play only when, after the application of ordinary
    textual analysis, the statute is found to be susceptible of more than one construction.” 
    Id. (internal quotation
    marks omitted). As demonstrated above, the Coalition’s interpretation is
    foreclosed by “ordinary textual analysis.” 
    Id. (internal quotation
    marks omitted); see also 
    id. at 836
    (“[A] court relying on [the avoidance] canon still must interpret the statute, not rewrite it.”).
    2.     The Appointments Clause Challenge to Whitaker’s Designation
    The Appointments Clause requires the President to “nominate, and by and with the
    Advice and Consent of the Senate, . . . appoint” all “Officers of the United States,” but it permits
    Congress “by Law” to “vest the Appointment of such inferior Officers, as they think proper, in
    the President alone, in the Courts of Law, or in the Heads of Departments.” U.S. Const. art. II,
    § 2, cl. 2.
    For Appointments Clause purposes, federal officials fall into three categories:
    (1) “principal officers,” who must be appointed by the President with the advice and consent of
    context, Congress’s failure to speak up does not fairly imply that it has acquiesced in the
    [government’s] interpretation.” SW 
    Gen., 137 S. Ct. at 943
    (rejecting a similar argument based
    on “post-enactment practice” under the FVRA).
    44
    the Senate; (2) “inferior officers,” who, by default, must be appointed by the President with the
    advice and consent of the Senate, but whose appointment Congress may choose to vest solely in
    the President, department heads, or courts; and (3) “employees,” who can be hired without any
    particular process mandated by the Appointments Clause. See Lucia v. SEC, 
    138 S. Ct. 2044
    ,
    2051 & n.3 (2018).
    The Appointments Clause “is more than a matter of etiquette or protocol; it is among the
    significant structural safeguards of the constitutional scheme.” Edmond v. United States, 
    520 U.S. 651
    , 659 (1997) (internal quotation marks omitted). “The Framers envisioned it as ‘an
    excellent check upon a spirit of favoritism in the President’ and a guard against ‘the appointment
    of unfit characters from family connection, from personal attachment, or from a view to
    popularity.’” SW 
    Gen., 137 S. Ct. at 935
    (alteration adopted) (quoting The Federalist No. 76, at
    457 (Alexander Hamilton) (Clinton Rossiter ed., 1961)). “By requiring the joint participation of
    the President and the Senate, the Appointments Clause was designed to ensure public
    accountability for both the making of a bad appointment and the rejection of a good one.”
    
    Edmond, 520 U.S. at 660
    .
    Yet “[t]he constitutional process of Presidential appointment and Senate confirmation
    . . . can take time.” SW 
    Gen., 137 S. Ct. at 935
    . And neither the President nor the Senate “may
    desire to see the duties of [a] vacant office go unperformed in the interim.” 
    Id. Thus, “[s]ince
    President Washington’s first term, Congress has given the President limited authority to appoint
    acting officials to temporarily perform the functions” of offices that otherwise require Senate
    confirmation. 
    Id. Congress provided
    this limited authority in 1792 and has refined it in various
    ways through the years, including in 1998, when it enacted the FVRA. See 
    id. at 935–36.
    45
    The Coalition argues that the Appointments Clause generally prevents the President from
    designating a non-Senate-confirmed official other than the first assistant to serve as an acting
    principal officer in the event of a vacancy. See, e.g., Firearms Pol’y Coal.’s Br. at 11–12.
    Alternatively, the Coalition argues that the Appointments Clause at least requires an acting
    principal officer to be appointed as an inferior officer and that Whitaker’s designation as Acting
    Attorney General under the FVRA did not qualify as an “appointment.” See, e.g., 
    id. at 11.
    The
    Court considers and rejects each argument in turn.
    a. President Trump’s Decision to Designate Whitaker Without Obtaining the
    Advice and Consent of the Senate
    Conveniently, both parties agree that the President may sometimes direct a person to
    perform the duties of a principal office temporarily without first obtaining the Senate’s advice
    and consent. See Firearms Pol’y Coal.’s Reply at 12; Gov’t’s Opp’n in Guedes at 53, Dkt. 16,
    No. 18-cv-3083. 10 But they disagree about why, and how to reconcile this settled practice with
    the Appointments Clause.
    The government argues that it is the limited duration of acting service that makes it
    permissible under the Appointments Clause. See, e.g., Gov’t’s Opp’n in Guedes at 53. In the
    government’s view, as long as an official performs the duties of a principal office only
    temporarily, in an acting capacity, the official may do so without actually becoming the principal
    officer. This understanding, the government argues, is reflected not only in binding Supreme
    Court precedent but also in the longstanding historical practice of the political branches. 
    Id. The Coalition
    acknowledges the same precedent and history but seeks to explain it in
    terms of supervision. See, e.g., Firearms Pol’y Coal.’s Br. at 20–21. According to the Coalition,
    10
    The parties also agree that the Office of the Attorney General is a principal office. See
    Firearms Pol’y Coal.’s Br. at 2; Gov’t’s Opp’n in Guedes at 11.
    46
    what matters is not how long the temporary service lasts but who performs it. In the Coalition’s
    view, the Appointments Clause does not permit just any individual to serve, even temporarily, as
    an acting principal officer. Rather, it permits one specific person to do so: the first assistant who
    is generally supervised by the principal officer and whose pre-defined job responsibilities include
    stepping in when the principal officer becomes unavailable. 
    Id. at 3.
    Because first assistants are
    supervised both before and after the principal office is vacant, the Coalition argues, they qualify
    as “inferior” officers whose inferior status remains unaltered even when their superior is sick or
    away, or has resigned or died. 
    Id. at 21.
    It follows, according to the Coalition, that the FVRA
    becomes unconstitutional if and when the President uses it to displace an available first assistant
    and directs someone who is neither a first assistant nor a Senate-confirmed appointee to perform
    the duties of a principal office. 
    Id. at 25.
    These competing explanations lead to different results in this case because, although
    Whitaker’s service as Acting Attorney General was temporary, 11 Whitaker was neither the first
    assistant to the previous Attorney General nor Senate confirmed at the time of his designation
    under the FVRA.
    Important as this debate may be, it has long been settled by Supreme Court precedent and
    historical practice. Beginning with precedent, the Supreme Court has repeatedly embraced the
    government’s view that it is the temporary nature of acting duties that permits an individual to
    perform them without becoming a principal officer under the Appointments Clause. The Court
    first addressed the constitutionality of acting service in United States v. Eaton, 
    169 U.S. 331
    (1898). In Eaton, the “consul general” to Siam—a principal officer—had fallen ill and decided
    11
    Whitaker’s service ended on February 15, 2019 when Barr became the Attorney General. See
    165 Cong. Rec. S1397 (daily ed. Feb. 14, 2019).
    47
    to return to America, where he expected to die. 
    Id. at 331–32.
    To “protect the interests of the
    government during his absence, and until the . . . expected arrival” of his replacement, he asked a
    local missionary, Lewis Eaton, “to take charge of the consulate.” 
    Id. Less than
    a month before
    the consul general left for America, he swore Eaton in as “vice consul general,” 
    id. at 332,
    and
    charged him “with the duty of temporarily performing the functions of the consular office,” 
    id. at 343.
    When the consul general departed a few weeks later, Eaton took over as acting consul for a
    period of 310 days. 
    Id. at 333–34.
    In the course of ruling that Eaton was entitled to compensation for that period, the Court
    determined that his acting service was consistent with the Appointments Clause. 
    Id. at 343–44.
    Specifically, the Court held that a subordinate “charged with the performance of the duty of the
    superior for a limited time, and under special and temporary conditions” is not “thereby
    transformed into the superior and permanent official.” 
    Id. at 343
    (emphases added).
    In reaching that conclusion, the Court relied on evidence of the prevailing historical
    practice. It acknowledged that the role of “vice consul” had not always been a temporary
    position. 
    Id. at 344.
    In “earlier periods of the government,” vice consuls “were not subordinate
    and temporary”—like Eaton—but were instead “permanent and in reality principal officials.”
    
    Id. (emphases added).
    They were therefore appointed with the advice and consent of the Senate.
    
    Id. But even
    when “the office of vice consul was considered as an independent and separate
    function, requiring confirmation by the senate, where a vacancy in a consular office arose by
    death of the incumbent, and the duties were discharged by a person who acted temporarily,
    without any appointment whatever,” the “practice prevailed of paying such officials as de facto
    officers.” 
    Id. (emphasis added).
    48
    The Court found this historical practice compelling and quoted at length from an opinion
    by Attorney General Taney on “whether the son of a deceased consul”—who had no apparent
    government position but had “remained in the consular office, and discharged its duties”—was
    entitled to compensation for his temporary service. 
    Id. Taney concluded
    that the son “was the
    de facto consul for the time” and that “[t]he practice of the government sanction[ed]” paying him
    accordingly. 
    Id. (quoting Provision
    for Widows of Consuls Who Die in Office, 2 Op. Att’y Gen.
    521, 523 (1832)). After all, Taney observed, “[t]he public interest requires that the duties of the
    office should be discharged by some one; and where, upon the death of the consul, a person who
    is in possession of the papers of the consulate enters on the discharge of its duties, and fulfills
    them to the satisfaction of the government,” there is no reason “why he should not be recognized
    as consul for the time he acted as such.” 
    Id. (quoting 2
    Op. Att’y Gen. at 524). Relying on this
    opinion and the historical practice it reflected, the Court adopted “the theory that a vice consul is
    a mere subordinate official” and upheld the constitutionality of Eaton’s service. 
    Id. The Coalition
    insists that Eaton is consistent with its position because the Court merely
    permitted a first assistant—the “vice consul”—to take on the duties of his superior. See, e.g.,
    Firearms Pol’y Coal.’s Reply at 7, 10–11, 14. But to the extent Eaton involved a first assistant at
    all, it involved one only in the most superficial and formalistic sense. Eaton was a missionary
    with no evident prior government experience who was sworn in as vice consul for the sole and
    express purpose of assuming the consul general’s duties when the consul left for America less
    than a month later. There is no hint in the Court’s decision that Eaton was ever subjected to the
    consul general’s direction or control, or that the potential for such supervision played any role in
    the Court’s analysis. Indeed, the Court expressly relied on Attorney General Taney’s opinion
    approving the temporary performance of consular duties by a consul’s son, who evidently was
    49
    not the vice consul and whose qualifications consisted of being physically present and “in
    possession of the papers.” 
    Eaton, 169 U.S. at 344
    .
    To be sure, the Eaton Court did identify the core feature that made vice consuls inferior
    officers. But it was not their supervision by the consul general or their status as second in
    command. It was the fact that Congress had chosen to “limit” their “period of duty” and
    “thereby to deprive them of the character of ‘consuls,’ in the broader and more permanent sense
    of that word.” 
    Id. at 343
    .
    The Supreme Court has since reaffirmed Eaton, and each time it has described Eaton’s
    holding in durational terms without ever suggesting that it is limited to first assistants. In
    Morrison v. Olson, the Court expressly weighed the “temporary” duration of the Office of
    Independent Counsel as a factor in assessing whether the office required Senate confirmation.
    
    487 U.S. 654
    , 672 (1988). In justifying that approach, the Court cited Eaton and described it as
    approving regulations that permitted executive officials “to appoint a ‘vice-consul’ during the
    temporary absence of the consul.” 
    Id. (emphasis added).
    The Court went on to quote Eaton’s
    core holding that a subordinate officer who performs the duties of a principal office “for a
    limited time and under special and temporary conditions” is not “transformed into the superior
    and permanent official.” 
    Id. (quoting Eaton,
    169 U.S. at 343).
    And when the Court later refined the test for identifying principal officers in Edmond, it
    again cited Eaton favorably and described it as holding that “a vice consul charged temporarily
    with the duties of the consul” was an inferior 
    officer. 520 U.S. at 661
    (emphasis added).
    Although the Court clarified that, “[g]enerally speaking,” the test for identifying an inferior
    50
    officer is “whether he has a superior,” 
    id. at 662,
    it did not disturb Eaton’s 99-year-old holding
    approving temporary, acting service during a principal office vacancy, see 
    id. at 661.
    12
    In short, the Supreme Court has held and subsequently reaffirmed that an official
    designated to perform the duties of a principal office temporarily, on an acting basis, need not
    undergo Senate confirmation. The Court has never suggested that such temporary service must
    be performed by a first assistant, if available.
    This understanding, binding on this Court, is further confirmed by an unbroken string of
    legislative enactments. See NLRB v. Noel Canning, 
    573 U.S. 513
    , 524 (2014) (courts “put
    significant weight upon historical practice” when interpreting constitutional provisions that
    concern “the allocation of power” between Congress and the Executive Branch). In 1792, the
    Second Congress authorized the President to appoint “any person . . . at his discretion to perform
    the duties” of the Secretaries of State, Treasury, or War in the event of a death, absence, or
    illness “until a successor be appointed, or until such absence or inability by sickness shall cease.”
    Act of May 8, 1792, ch. 37, § 8, 1 Stat. 279, 281 (emphasis added). Three years later, in 1795,
    Congress extended this authority to apply to any “vacancy” in those departments—regardless of
    the cause—while simultaneously limiting the duration of acting service to six months. Act of
    12
    Individual Justices have likewise understood Eaton to permit temporary, acting service. In SW
    General, Justice Thomas expressed constitutional concerns with using the FVRA to accomplish
    effectively permanent appointments. 
    See 137 S. Ct. at 946
    n.1 (Thomas, J., concurring). But
    even in that context, he took Eaton’s durational holding as a given and took pains to distinguish
    it, concluding that there was “nothing ‘special and temporary’” about the appointment in SW
    General, which had lasted “more than three years in an office limited by statute to a 4-year
    term.” 
    Id. (quoting Eaton,
    169 U.S. at 343). Then-Judge Kavanaugh described Eaton’s holding
    even more unequivocally in Free Enterprise Fund, explaining that “[t]he temporary nature of the
    office is the . . . reason that acting heads of departments are permitted to exercise authority
    without Senate confirmation.” Free Enter. Fund v. Pub. Co. Accounting Oversight Bd., 
    537 F.3d 667
    , 708 n.17 (D.C. Cir. 2008) (Kavanaugh, J., dissenting) (emphasis omitted) (citing 
    Eaton, 169 U.S. at 343
    ), aff’d in part, rev’d in part, and remanded, 
    561 U.S. 477
    (2010).
    51
    Feb. 13, 1795, ch. 21, 1 Stat. 415, 415. Notably absent from these early congressional
    enactments is any limitation on whom the President could authorize to perform acting duties—
    much less any hint that the President was required to choose the first assistant. This early
    legislative practice, in force from President Washington’s first term until the middle of the Civil
    War, “provide[s] contemporaneous and weighty evidence of the Constitution’s meaning.” Alden
    v. Maine, 
    527 U.S. 706
    , 743–44 (1999) (internal quotation marks omitted)); see also Golan v.
    Holder, 
    565 U.S. 302
    , 321 (2012) (“[T]he construction placed upon the Constitution” by
    members of the early Congresses, “many of whom were members of the convention which
    framed [the Constitution], is of itself entitled to very great weight.” (internal quotation marks
    omitted)).
    The Coalition minimizes these enactments by suggesting that Congress must have
    assumed that the President’s broad statutory discretion would be narrowed by the Constitution.
    Firearms Pol’y Coal.’s Reply at 6–7. But if that is true, early courts did not get the message. In
    the words of one court, “it was doubtless considered when the act of 1792 was passed that it was
    expedient to allow to the President an unlimited range of selection, and hence the use of the
    broad and comprehensive language of [the 1792] act.” Boyle v. United States, 
    1857 WL 4155
    , at
    *4 (Ct. Cl. Jan. 19, 1857). This “unlimited” authority, granted at such an “early day in the
    history of the federal constitution,” was considered “safely . . . entrusted to [the President]” not
    because it was subject to unspecified further limits under the Appointments Clause but because
    the President was “in the daily exercise of higher and much more important powers” and could
    therefore be trusted to fill temporary vacancies. 
    Id. Eventually, Congress
    did set limits on whom the President could appoint as an acting
    principal. But even then, it did not require the President to choose the first assistant. In 1863,
    52
    Congress narrowed the President’s options from “any person,” Act of May 8, 1792, § 8, 1 Stat. at
    281, to any department head or “other officer” whose “appointment is vested in the President,”
    Act of Feb. 20, 1863, ch. 45, § 1, 12 Stat. 656, 656. Five years later, in 1868, Congress passed
    the Vacancies Act, which curbed the President’s temporary appointment power in significant
    ways. See Act of July 23, 1868, 15 Stat. 168. For vacancies caused by death or resignation,
    Congress limited the term of acting service to a mere ten days. 
    Id. § 3,
    15 Stat. at 168. And for
    the first time, Congress provided that the first assistant would automatically perform the duties of
    the department head in the event of a vacancy. See 
    id. § 1.
    But like its predecessors, the
    Vacancies Act still authorized the President to choose someone other than the first assistant if he
    wished, specifically, any department head or other Senate-confirmed officer. 
    Id. § 3.
    This new pool of already-confirmed candidates may have been narrow, but the
    Coalition’s theory cannot explain it. Although an officer’s prior appointment may have been
    important to Congress, it would have been irrelevant for purposes of the Appointments Clause
    unless the officer’s new acting duties were somehow “germane to the office[] already held.”
    Shoemaker v. United States, 
    147 U.S. 282
    , 301 (1893). That would plainly not be the case for
    department heads tapped to lead other, unrelated departments, which the Vacancies Act
    expressly allowed. See Act of July 23, 1868, § 3, 15 Stat. at 168. Nor could the President’s
    authority to direct department heads to lead other departments be explained in terms of
    supervision or pre-existing duties. By definition, a department head is not supervised by anyone
    but the President. And the remote possibility of filling in for a fellow principal officer at the
    President’s request cannot plausibly be considered one of the routine responsibilities of leading a
    department.
    53
    Over the next 130 years, Congress made minor adjustments to the President’s temporary
    appointment authority, for the most part expanding the length of acting service. See, e.g., Act of
    Feb. 6, 1891, ch. 113, 26 Stat. 733, 733 (extending ten-day limit to thirty days); Presidential
    Transitions Effectiveness Act, Pub. L. No. 100-398, § 7(b), 102 Stat 985, 988 (1988) (extending
    limit to 120 days). Finally, in 1998, Congress passed the FVRA, which explicitly authorized the
    President to designate certain inferior officers and senior employees to serve as acting principal
    officers. See 5 U.S.C. 3345(a)(3).
    Thus, from the time of the founding to today, Congress has continuously authorized the
    President to direct persons who are not first assistants and who lack any constitutionally relevant
    Senate confirmation to perform the duties of a principal office temporarily on an acting basis.
    This unbroken legislative practice confirms Eaton’s holding that it is the “special and temporary
    conditions” of acting service, 
    Eaton, 169 U.S. at 343
    —and not the identity of the acting
    official—that makes such service constitutional. See United States v. Curtiss-Wright Export
    Corp., 
    299 U.S. 304
    , 327–28 (1936) (“A legislative practice . . . marked by the movement of a
    steady stream for a century and a half of time, goes a long way in the direction of proving the
    presence of unassailable ground for the constitutionality of the practice.”).
    This understanding is further confirmed by the longstanding practice of the Executive
    Branch. See The Pocket Veto Case, 
    279 U.S. 655
    , 689 (1929) (“Long settled and established
    practice is a consideration of great weight in a proper interpretation of constitutional provisions
    . . . .”). As both parties acknowledge, a practice emerged early on in our Nation’s history of
    appointing a non-Senate confirmed “chief clerk” to serve as the Acting Secretary—or Secretary
    “ad interim”—when the principal Office of Secretary had become vacant. Gov’t’s Opp’n in
    Guedes at 56–57; Firearms Pol’y Coal.’s Reply at 12; see also Designating an Acting Attorney
    54
    General, 42 Op. Off. Legal Counsel –––, 
    2018 WL 6131923
    , at *8 (2018) (reporting over 100
    instances of chief clerks serving as acting principal officers from 1809 to 1860).
    The Coalition argues that this practice supports its theory because chief clerks were
    simply the historical analogue to today’s first assistants. See, e.g., Firearms Pol’y Coal.’s Reply
    at 12. But for chief clerks to have functioned as the Coalition maintains first assistants do, it
    would have to be true that they stepped in for their superiors automatically and subject to a
    general form of continual supervision. See Firearms Pol’y Coal.’s Br. at 3–4. That description
    may have been true of some clerks, see Firearms Pol’y Coal.’s Reply at 16 (identifying two
    statutes authorizing the chief clerk to fill in for the principal officer automatically in the event of
    a vacancy), but it was not true of all of them, or even most of them, see 1 Trial of Andrew
    Johnson, President of the United States, Before the Senate of the United States, on Impeachment
    by the House of Representatives for High Crimes and Misdemeanors 575–81 (1868) (hereinafter
    Trial of Andrew Johnson) (listing dozens of examples of Presidents “appoint[ing],”
    “authoriz[ing],” or “empower[ing]” chief clerks to perform the duties of a Secretary during a
    vacancy).
    More importantly, the Coalition’s account contrasts sharply with how the practice of
    appointing chief clerks was described and justified at the time. When chief clerks sought
    compensation for their acting service in federal court, the resulting decisions made clear that the
    position of Acting Secretary was viewed neither as a continuation of the chief clerk’s duties as
    chief clerk nor as an appointment to become the Secretary, but as a unique and temporary office
    that arose solely from the President’s exercise of discretionary authority under the relevant
    vacancy statute. See Boyle, 
    1857 WL 4155
    , at *3–4. As the Court of Federal Claims put it in
    Boyle, “[t]he office of Secretary ad interim” was “a distinct and independent office in itself,
    55
    when it [wa]s conferred on the chief clerk,” and was “so conferred not because it pertain[ed] to
    him ex officio, but because the President, in the exercise of his discretion, s[aw] fit to appoint
    him.” 
    Id. at *4.
    Thus, while the court explained that the Secretary ad interim “may be the chief
    clerk,” he could also be “any other person, at the discretion of the President.” 
    Id. (emphases added).
    Although “[e]xperience ha[d] taught” that “this discretion” could “be very judiciously
    exercised by conferring the appointment on the chief clerk,” the “broad terms of the [1792] act
    would fully warrant the President in selecting any other person; and it would, moreover, be his
    duty to do so, if, in his discretion, he should deem it most expedient.” 
    Id. (emphasis added).
    The reason these discretionary appointments were understood not to violate the
    Appointments Clause was plain: “[t]he office of Secretary ad interim [wa]s temporary in its
    character, whilst that of Secretary [wa]s of a more permanent nature.” 
    Id. at *3
    (emphases
    added). As a result, “the one” was “considered inferior to the other,” and did not require the
    advice and consent of the Senate. 
    Id. Thus, while
    it is true that Presidents often directed the chief clerk to serve in the event of
    a vacancy, Presidents made that decision voluntarily, as an exercise of statutory discretion, and
    not because the chief clerks’ existing duties made such service automatic. Moreover, the
    contemporaneous justification for this accepted practice was found not in the role of chief clerk
    but in the role of Acting Secretary and its temporary nature.
    Given this understanding, it is no surprise that Presidents frequently looked beyond chief
    clerks to fill temporary vacancies. Indeed, they regularly designated other cabinet members and
    department heads as acting principal officers. See Designating an Acting Attorney General,
    
    2018 WL 6131923
    , at *8 (reporting that during the Washington, Adams, and Jefferson
    Administrations, other cabinet members and Chief Justice John Marshall “were used as
    56
    temporary or ‘ad interim’ officials”); Letter from James Buchanan, President of the United
    States, to the Senate of the United States (Jan. 15, 1862), in 5 A Compilation of the Messages and
    Papers of the Presidents 1789–1902, at 3191 (James D. Richardson ed., 1902) (describing
    Presidents’ frequent use of department heads, among others, to fill vacancies in other
    departments); Trial of Andrew 
    Johnson, supra, at 575
    –81 (listing over twenty instances of
    department heads serving as acting heads of other departments). And again, although these
    officials had been previously confirmed, their prior confirmations would have been irrelevant for
    constitutional purposes unless their prior duties were somehow germane to the duties of their
    new offices. See 
    Shoemaker, 147 U.S. at 301
    (an existing appointment may authorize additional
    duties only if those duties are “germane” to the office already held).
    In addition, on at least three occasions, a President—each time, President Jackson—
    authorized someone with no prior government role whatsoever to serve as an acting principal
    officer. On his first day in office, President Jackson directed James A. Hamilton to “take charge
    of the Department of State” until then-Governor Martin Van Buren “arrive[d] in the city.” Trial
    of Andrew 
    Johnson, supra, at 575
    ; see also Biographical Directory of the American Congress,
    1774–1961, at 16 (1961). And on two other occasions, he directed William B. Lewis to serve as
    Acting Secretary of War. See Trial of Andrew 
    Johnson, supra, at 575
    . Although these examples
    are few, and limited to a single administration, they comport with the understanding articulated
    in Boyle that it is the temporary nature of an acting appointment—and not the former position of
    the appointee—that makes it unnecessary for the President to obtain the advice and consent of
    the Senate before filling a vacancy with an acting official. 13
    13
    There appear to be other examples where an individual who was neither the chief clerk nor a
    Senate-confirmed official stepped in as an acting principal officer. See 
    Eaton, 169 U.S. at 344
    57
    To be sure, the Coalition’s position is not without its virtues. For one, it represents an
    attempt to reconcile Eaton’s focus on duration with the now-dominant criterion of supervision.
    See 
    Edmond, 520 U.S. at 662
    (“Generally speaking, the term ‘inferior officer’ connotes a
    relationship with some higher ranking officer or officers below the President.”); see also Free
    Enter. 
    Fund, 537 F.3d at 708
    n.17 (Kavanaugh, J., dissenting) (explaining that, “for offices that
    are not temporary,” Edmond “controls the inferior-officer Appointments Clause analysis,” and
    noting that Edmond “expressly purport[ed] to set forth a definitive test for inferior officer status
    governing future cases”). For another, it offers a clear constitutional boundary that could
    minimize manipulation by the Executive Branch.
    But despite these virtues, the Coalition’s theory suffers from fatal flaws. First, as already
    discussed, it cannot account for the Supreme Court’s holding in Eaton, an unbroken line of
    congressional enactments, or the longstanding practice of the Executive Branch (as understood at
    the time).
    Second, it rests on a weak conceptual foundation. Doctrinally, it relies on the premise
    that first assistants are “generally” supervised. See Firearm Pol’y Coal.’s Br. at 4, 21. By that,
    the Coalition appears to mean that they are supervised before and after they serve as acting
    principal officers. 14 But that is just another way of stating that they are not supervised during the
    (describing a consul’s son who served temporarily as consul when his father passed); Boyle,
    
    1857 WL 4155
    , at *5 (describing a “navy agent” who served temporarily as an acting “purser”);
    Firearms Pol’y Coal.’s Br. at 26 n.2 (acknowledging “several instances, when the first assistant
    was apparently unavailable,” in which “the President designated a non-confirmed subordinate to
    the first assistant or other senior department officer without objection”).
    14
    Of course, Whitaker himself was supervised both before and after his designation, as Chief of
    Staff to the Attorney General and as Senior Counselor in the Office of the Associate Attorney
    General. See Whitaker Remains at Justice Dept. but in Different Role, Wash. Post (Feb. 15,
    2019), https://www.washingtonpost.com/politics/whitaker-remains-at-justice-dept-but-in-
    different-role/2019/02/15/a332f0da-3142-11e9-8781-763619f12cb4_story.html.
    58
    one window that counts: when carrying out their acting appointment. Although a loose form of
    ongoing supervision might be said to apply when the principal officer is merely ill or absent,
    surely any such supervision ceases when the principal officer dies or resigns. Perhaps in these
    situations the next principal is able to exercise a form of retroactive supervision by ratifying or
    rejecting the acting official’s actions after the fact. But if such anticipated, backward-looking
    supervision could cure a first assistant’s temporary service, it could cure anyone’s. It therefore
    provides no basis for distinguishing first assistants from any other person approved for acting
    service under the FVRA.
    Third, the Coalition’s position admits of exceptions that lack a coherent or persuasive
    justification. For example, the Coalition appears to accept that the President can displace an
    available first assistant with any Senate-confirmed official, see, e.g., 
    id. at 5,
    but it does not
    explain how that can be the case when the officer’s previous position was not “germane” to his
    new, acting duties, see 
    Shoemaker, 147 U.S. at 301
    (a prior appointment cannot justify the
    performance of new responsibilities “dissimilar to, or outside the sphere of” an officer’s previous
    “official duties”). 15 In addition, the Coalition appears to suggest that the President may ignore
    the Appointments Clause altogether if the first assistant is unavailable. See, e.g., Firearms Pol’y
    Coal.’s Br. at 4, 12, 25–26 n.2. But, again, it is not clear why. If the legal fiction justifying the
    first assistant’s temporary service is that the temporary service is merely a continuation of the
    first assistant’s existing inferior office, see 
    id. at 3–4,
    that justification vanishes once the
    President chooses some other subordinate in the same department whose predefined job
    15
    If the answer is merely the functional consideration that requiring a previous confirmation
    ensures some quality control by the Senate, then it is not clear why Whitaker’s previous
    appointment as a United States Attorney would not suffice. See 150 Cong. Rec. S6467 (daily ed.
    Jun. 3, 2004).
    59
    responsibilities cannot realistically be stretched to include stepping in as the acting principal in
    the event of a vacancy. The Coalition suggests that the unavailability of the first assistant
    triggers an “exigency” that excuses what would otherwise be a constitutional violation, see 
    id. at 25–26
    n.2, but the Court is hesitant to embrace a freestanding “exigency” exception with no
    basis in the constitutional text.16
    The Coalition insists that adopting the government’s interpretation will wreak havoc on
    the Separation of Powers, see, e.g., 
    id. at 1–2,
    but the Court is not persuaded. Congress has set
    limits on the President’s temporary appointment authority, see 5 U.S.C. §§ 3345, 3346, and can
    expand those limits as it sees fit, see, e.g., Act of July 23, 1868, § 3, 15 Stat. at 168 (imposing a
    ten-day limit on acting appointments and limiting the President’s appointment authority to
    officials already serving in a Senate-confirmed role). Moreover, the “special and temporary
    conditions” that Eaton requires are no mere 
    formality. 169 U.S. at 343
    . At some point, courts
    can and must play a role in policing “acting” appointments that are effectively permanent. See
    SW 
    Gen., 137 S. Ct. at 946
    n.1 (Thomas, J., concurring) (explaining that a three-year
    appointment to an office with a four-year term was not “special and temporary” under Eaton
    (internal quotation marks omitted)). This case, however, does not concern the pretextual use of
    16
    This “exigency” exception also appears inconsistent with the Coalition’s separate argument
    that an acting principal officer must at least be an inferior officer and not a mere employee. See
    Firearms Pol’y Coal.’s Br. at 25–26 n.2. The Coalition cites with approval examples of the
    President designating “a non-confirmed subordinate to the first assistant” and of a consul’s son
    taking charge of the consulate upon his father’s death. 
    Id. at 26
    n.2. But the Coalition does not
    address the possibility that these scenarios involved individuals who were not officers—and, in
    the case of the consul’s son, not even an employee—serving in what the Coalition considers a
    principal office. As far as the Court can discern, the Coalition’s position is that all constitutional
    bets are off as soon as the first assistant is unavailable, both at the employee/officer boundary
    and the inferior/principal officer boundary.
    60
    the “temporary” label to circumvent the Senate’s advice and consent role, and the Coalition has
    not argued otherwise.
    At any rate, the constitutional rule was laid down in Eaton and has since been reaffirmed:
    an official who is “charged with the performance of the duty of the superior for a limited time,
    and under special and temporary conditions,” need not be appointed by the President with the
    advice and consent of the Senate. 
    Eaton, 169 U.S. at 343
    ; see also 
    Morrison, 487 U.S. at 672
    ;
    
    Edmond, 520 U.S. at 661
    . Whitaker’s temporary service as the Acting Attorney General satisfies
    that test. He served as Acting Attorney General for a mere 100 days during the special
    circumstance of a vacancy triggered by the resignation of Attorney General Sessions. As a
    result, he did not become a principal officer under the Appointments Clause.
    b. Whitaker’s Appointment Under the FVRA
    The Coalition makes two additional constitutional arguments based on the implicit
    premise that the Constitution requires the Acting Attorney General to be at least an inferior
    officer, rather than an employee. First, it argues that the text of the FVRA authorizes the
    President to “direct” an individual to serve in an acting capacity but does not authorize the
    President to “appoint” that individual to become an inferior officer. Firearms Pol’y Coal.’s Br. at
    17–19. 17 Second, it argues that an employee can never be “appointed” to serve in an acting
    17
    Although the Coalition cites the word “direct” in § 3345(a)(3) in its motion, see Firearms
    Pol’y Coal.’s Br. at 18–19, it appears to shift its focus to the word “designates” in
    § 3347(a)(1)(b) in its reply, see Firearms Pol’y Coal.’s Reply at 5. The Court assumes that the
    Coalition intended to continue to argue that the word “direct” creates the constitutional problem.
    In any event, the Court doubts the difference matters since the terms are synonymous in this
    context. See SW 
    Gen., 137 S. Ct. at 946
    (Thomas, J., concurring) (“When the President ‘directs’
    a person to serve as an acting officer, he is ‘assigning’ or ‘designat[ing]’ that person to serve as
    an officer.” (alterations adopted)).
    61
    capacity because an acting position is temporary and an officer must hold a permanent position.
    
    Id. at 19–20.
    Neither argument is persuasive.
    Assuming without deciding that Whitaker was an employee before his designation and
    that an employee’s service as Acting Attorney General first requires an appointment, the FVRA
    authorized such an appointment and the President carried it out. As Justice Thomas recently
    explained, at the time of the framing, “the verb ‘appoint’ meant ‘to establish anything by decree’
    or ‘to allot, assign, or designate.’” SW 
    Gen., 137 S. Ct. at 946
    (Thomas, J., concurring)
    (alterations adopted and internal citations omitted). Therefore, “[w]hen the President ‘directs’
    someone to serve as an officer pursuant to the FVRA, he is ‘appointing’ that person as an ‘officer
    of the United States’ within the meaning of the Appointments Clause.” 
    Id. (alterations adopted
    ).
    The Supreme Court’s decision in Weiss is not to the contrary. See Weiss v. United States,
    
    510 U.S. 163
    (1994). In Weiss, the Court considered whether military judges assigned to serve
    as judges by various Judge Advocate Generals under the Uniform Code of Military Justice
    (UCMJ) were lawfully appointed. The Court reasoned that the military judges involved were
    “commissioned officers when they were assigned to serve as judges,” so “they had already been
    appointed by the President with the advice and consent of the Senate.” 
    Id. at 170.
    It then
    rejected the petitioners’ arguments that “either Congress ha[d], by implication, required a second
    appointment, or the Appointments Clause, by constitutional command, require[d] one.” 
    Id. In the
    course of rejecting the first argument, the Court compared other statutes governing the
    appointment of military officers to the sections of the UCMJ relating to military judges. It
    stressed that in the first set of statutes, Congress used the term “appoint,” but in “[t]he sections of
    the UCMJ relating to military judges,” it “sp[oke] explicitly and exclusively in terms of ‘detail’
    or ‘assign’; nowhere in these sections [wa]s mention made of a separate appointment.” 
    Id. at 62
    172. “This difference negate[d] any permissible inference that Congress intended that military
    judges should receive a second appointment, but in a fit of absentmindedness forgot to say so.”
    
    Id. The Coalition
    seizes on this case to argue that the FVRA does not permit the appointment
    of an acting official because Congress did not use the word “appoint” in the FVRA. See
    Firearms Pol’y Coal.’s Br. at 18–19; Firearms Pol’y Coal.’s Reply at 5. But the discussion in
    Weiss turned on the specific text of various military statutes and placed particular weight on the
    use of the words “assigned” and “detailed,” neither of which are at issue here. Moreover, the
    question in Weiss was whether Congress intended to impose an additional appointment
    requirement on military judges, not whether a statute designed to permit such appointments
    failed because it lacked certain magic words. Congress clearly contemplated that the FVRA
    would confer appointment authority on the President, and its use of the word “direct” was
    sufficient to confer that authority.
    The Coalition’s separate argument that Whitaker cannot be an inferior officer because his
    duties are only temporary fails for a more elementary reason: if the temporary nature of
    Whitaker’s duties prevented him from becoming an officer, then the temporary nature of his
    duties also prevented him from needing an appointment at all—under the FVRA or otherwise.
    The Coalition relies primarily on Lucia, in which the Supreme Court explained that “an
    individual must occupy a ‘continuing’ position established by law to qualify as an officer.”
    
    Lucia, 138 S. Ct. at 2051
    . But that decision merely established who must be appointed by a
    President, court, or department head; not who may be. In any event, Eaton makes clear that the
    temporary nature of acting duties cures any constitutional problem; it does not create one. To the
    extent the Coalition contends that officers must hold permanent positions and that there is no
    63
    exception for acting principal officers, then acting officials are not officers and Whitaker did not
    need to be appointed at all. Cf. Peters, 
    2018 WL 6313534
    , at *4 n.11 (“[T]he Supreme Court’s
    delineation of constitutional ‘Officer’ characteristics suggests that an ‘Acting’ official could be
    considered a ‘lesser functionar[y]’ employee for which ‘the Appointments Clause cares not a
    whit about who named them.’” (quoting 
    Lucia, 138 S. Ct. at 2051
    )). For these reasons, the
    Coalition is unlikely to succeed on these final challenges to the bump stock rule.
    CONCLUSION
    Because the plaintiffs have not met their burden of showing entitlement to a preliminary
    injunction, the Court denies their motions.
    ________________________
    DABNEY L. FRIEDRICH
    United States District Judge
    February 25, 2019
    64
    

Document Info

Docket Number: Civil Action No. 2018-2988

Judges: Judge Dabney L. Friedrich

Filed Date: 2/25/2019

Precedential Status: Precedential

Modified Date: 2/26/2019

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Winter v. Natural Resources Defense Council, Inc. , 129 S. Ct. 365 ( 2008 )

Chevron U. S. A. Inc. v. Natural Resources Defense Council, ... , 104 S. Ct. 2778 ( 1984 )

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