In the MATTER OF the Application for Licensure of Nadeen GRIEPENTROG , 2016 Minn. App. LEXIS 87 ( 2016 )


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  •                                STATE OF MINNESOTA
    IN COURT OF APPEALS
    A16-0090
    In the Matter of the Application for
    Licensure of Nadeen Griepentrog.
    Filed December 12, 2016
    Affirmed
    Jesson, Judge
    Department of Health
    OAH Docket No. 11-0900-31985
    Geoffrey P. Jarpe, Jesse D. Mondry, Kristian C.S. Weir, Maslon LLP, Minneapolis,
    Minnesota (for relator)
    Cody M. Zustiak, Assistant Attorney General, St. Paul, Minnesota (for respondent
    Department of Health)
    Anthony B. Sanders, Meagan A. Forbes, Lee U. McGrath, Institute for Justice,
    Minneapolis, Minnesota (for amicus curiae Institute for Justice)
    Considered and decided by Jesson, Presiding Judge; Stauber, Judge; and Reyes,
    Judge.
    SYLLABUS
    The supervision requirement of Minnesota Statutes section 146B.03, subdivision
    4(4) (2014), which requires 200 hours of supervision by a licensed Minnesota body-art
    technician for occupational licensing as a body-art technician in Minnesota, is not
    unconstitutional on the grounds that it unlawfully delegates legislative power, violates
    principles of equal protection, or violates the Dormant Commerce Clause.
    OPINION
    JESSON, Judge
    Relator challenges an order denying her application for a license as a body-art
    technician, arguing that the supervision requirement in the body-art licensing statute,
    Minnesota Statutes section 146B.03, which requires supervision by a licensed Minnesota
    body-art technician, is unconstitutional. Because the statutory requirement does not
    unlawfully delegate legislative power to set licensing standards to private body-art
    technicians, does not violate equal-protection rights by intentionally discriminating
    against out-of-state technicians, and does not violate the Dormant Commerce Clause by
    discriminating against out-of-state commercial interests without a legitimate purpose, we
    affirm.
    FACTS
    Relator Nadeen Griepentrog, who lives in Wisconsin, has been a licensed
    cosmetologist for ten years. In 2010, she took a 50-hour course in Wisconsin to learn
    micropigmentation, a process by which pigment is injected underneath the skin for
    cosmetic effect. From 2011-2014, she took additional training sessions and received
    further evaluation and instruction. Her total training in micropigmentation amounted to
    260 hours. She also received training in bloodborne pathogens in an approved course.
    After her training, she began performing eyeliner, eyebrow, full lip, and lip-liner
    micropigmentation procedures in Wisconsin, averaging about three procedures per
    month.
    2
    In September 2014, Griepentrog, who wished to practice micropigmentation in the
    Twin Cities, applied to the Minnesota Department of Health (MDH) for a body-art-
    technician license under the body-art licensing statute.     Minn. Stat. §§ 146B.01-.10
    (2014). Under that chapter, among other requirements, a person seeking licensure in
    Minnesota to perform body art, which includes micropigmentation and other forms of
    tattooing, must provide proof of “a minimum of 200 hours of supervised experience
    within each area for which the applicant is seeking a license.” Minn. Stat. § 146B.03,
    subd. 4(4). “Supervision” is defined as “the physical presence of a technician licensed
    under this chapter while a body art procedure is being performed.”           Minn. Stat.
    § 146B.01, subd. 28 (2014). 1
    Griepentrog initially submitted an incomplete application. MDH wrote back that
    she needed to submit the licensing fee and apply first for a temporary body-art-technician
    license and that the department did not accept reciprocity from Wisconsin. See Minn.
    Stat. § 146B.03, subd. 7 (allowing temporary, one-year license on application and a letter
    from a licensed technician who has agreed to provide the required supervision). It also
    1
    The statutory licensing scheme was amended in 2016 to provide that “supervision” may
    include either “direct” or “indirect” supervision. 2016 Minn. Laws ch. 179, § 19
    (amending Minn. Stat. § 146B.01, subd. 28). “Indirect supervision” means that “a
    licensed technician is physically present in the establishment while a body art procedure
    is being performed by the temporary licensee.” 
    Id. The licensing
    requirements have also
    been slightly modified to require provision of “a log showing the completion of the
    required supervised experience . . . that includes a list of each licensed technician who
    provided the required supervision.” 
    Id. (amending Minn.
    Stat. § 146B.03). Because an
    analysis under the amended statute may affect Griepentrog’s matured rights, we review
    this case under the 2014 statute. See McClelland v. McClelland, 
    393 N.W.2d 224
    , 226-
    27 (Minn. App. 1986) (stating that this court applies the law currently in effect unless
    doing so would alter the matured rights of a party), review denied (Minn. Nov. 17, 1986).
    3
    sent her a nonexclusive list of six body-art technicians willing to provide supervision to
    reach the 200-hour requirement for licensing in Minnesota. See Minn. Stat. § 146B.03,
    subd. 4(4). Griepentrog attempted to contact most of those technicians about the training
    they offered, but she decided not to use their services because two were located in
    northern Minnesota, one was retired, and one was willing to provide training in the Twin
    Cities, but would charge $1,500.
    Griepentrog requested an administrative hearing, alleging that she met all of the
    requirements for licensure in Minnesota, including the required hours of training, except
    that her training instructor was licensed in Wisconsin, rather than Minnesota. She further
    alleged that Minnesota Statutes section 146B.03 was unconstitutional. MDH rejected the
    request for hearing as premature because it had not actually denied Griepentrog’s
    incomplete application and informed her that she could still apply for a temporary
    license.   When she declined to do so, MDH officially denied her application for a
    permanent license.
    MDH and Griepentrog filed cross-motions for summary disposition with the office
    of administrative hearings. After a hearing, an administrative-law judge issued an order
    recommending that the Minnesota Commissioner of Health grant MDH’s motion for
    summary disposition.     The administrative-law judge determined that Griepentrog’s
    training did not meet the requirements of chapter 146B because it was not performed
    under the supervision of a Minnesota licensee and that, because she had been physically
    supervised for only 12 hours, her supervised experience fell short of the statutory
    4
    requirement. 2 The administrative-law judge determined that, although the agency lacked
    authority to address Griepentrog’s constitutional arguments, they were preserved for
    appeal.
    The commissioner issued a decision affirming the denial of         Griepentrog’s
    licensure. The commissioner determined that the undisputed facts demonstrated that
    Griepentrog failed to meet the statutory requirements for licensure and that her
    constitutional challenges to the body-art-technician licensing statute were not properly
    before the agency. Griepentrog filed this certiorari appeal.
    ISSUES
    I.     Does Minnesota Statutes section 146B.03 unlawfully delegate legislative
    power to private parties?
    II.    Does Minnesota Statutes section 146B.03 violate principles of equal
    protection?
    III.   Does Minnesota Statutes section 146B.03 violate the Dormant Commerce
    Clause?
    ANALYSIS
    Griepentrog challenges the constitutionality of Minnesota Statutes section
    146B.03 on three different grounds. First, she argues that the statute represents an
    unlawful delegation of legislative authority because it delegates legislative power to
    private persons, i.e., current Minnesota body-art-technician licensees who act as
    2
    Griepentrog’s micropigmentation trainer stated in a deposition that she had physically
    supervised Griepentrog performing procedures for 12 of the 260 hours of Griepentrog’s
    training. The trainer stated that she also spent about 20 hours with Griepentrog going
    over pictures of work that she had performed and that Griepentrog’s other training hours
    were classroom hours.
    5
    supervisors to applicants for licensure. Next, she argues that the statute denies equal-
    protection rights under the Minnesota Constitution by discriminating against out-of-state
    body-art technicians who have training and experience similar to that of Minnesota
    licensed technicians. Finally, she argues that the statute violates the Dormant Commerce
    Clause of the United States Constitution because it impermissibly discriminates against
    interstate commerce.
    Griepentrog’s allegations lead us to the heart of the state’s ability to protect the
    public through licensure. This power to regulate occupations was first invoked in the
    nineteenth century through licensure of the professions of law and medicine. See Dent v.
    West Virginia, 
    129 U.S. 114
    , 124, 
    9 S. Ct. 231
    , 234 (1889) (upholding state licensing
    statute for physicians). Using its police power, states mandated that a professional must
    meet particular qualifications in order to obtain a license to practice certain occupations.
    And those licenses were subject to suspension, revocation or other disciplinary action if a
    licensee did not meet certain standards of practice. As the United States Supreme Court
    noted in explaining the power of the state to provide for the welfare of its people:
    [I]t has been the practice of different states, from time
    immemorial, to exact in many pursuits a certain degree of
    skill and learning upon which the community may
    confidently rely; their possession being generally ascertained
    upon an examination of parties by competent persons or
    inferred from a certificate to them in the form of a diploma.
    
    Id. at 122,
    9 S. Ct. at 233.
    When determining who gained entrance to a profession through the grant of a
    license, as well as when disciplinary action against licensed professionals was
    6
    appropriate, states leaned heavily upon professional participation. See generally, Paul
    Starr, The Social Transformation of American Medicine, at 102-03 (1982) (discussing the
    growth of the medical profession). Licensure was often implemented by state boards,
    which were dominated by members of the licensed professions to such an extent that
    lines blurred, at times, between state and professional self-regulation. 3
    At the beginning of the 1900s, licensing power was extended in many states
    beyond medicine and law to require licensure for persons engaged in other occupations,
    including plumbers, barbers, funeral directors, nurses, electricians, and dentists.
    Lawrence M. Friedman, Freedom of Contract and Occupational Licensing 1890-1910: A
    Legal and Social Study, 53 Calif. L. Rev. 487, 489 (1965); see, e.g., State v. Zeno, 
    79 Minn. 80
    , 83-85, 
    81 N.W. 748
    , 749-51 (1900) (concluding that licensing statute for
    barbers, which required training and experience to perform that trade, was constitutional,
    citing public-health considerations). In 2010, Minnesota took a step further, joining
    numerous other states in requiring licensure of body-art-technicians. See 2010 Minn.
    Laws ch. 317, §§ 1-12, at 864-878.
    In examining Griepentrog’s constitutional challenge to this law, this court applies
    a de novo standard of review. Gluba ex rel. Gluba v. Bitzan & Ohren Masonry, 
    735 N.W.2d 713
    , 719 (Minn. 2007). We presume that Minnesota statutes are constitutional,
    and we will declare a statute unconstitutional only “with extreme caution and only when
    absolutely necessary.” 
    Id. The party
    challenging the statute has the burden to establish
    3
    The extent of professional participation in licensure has drawn criticism for serving the
    interests of professions rather than the public. See Carl F. Ameringer, State Medical
    Boards and the Politics of Public Protection (1999); see generally 
    Starr, supra, at 17-29
    .
    7
    beyond a reasonable doubt that the statute violates a constitutional right. IHLC of Eagan,
    LLC v. County of Dakota, 
    693 N.W.2d 412
    , 421 (Minn. 2005).              We conclude that
    Griepentrog has not sustained her burden to demonstrate that Minnesota Statutes section
    146B.03 is unconstitutional under any of three articulated theories.
    I.     Minnesota Statutes section 146B.03 (2014) is not an unlawful
    delegation of legislative power.
    Griepentrog first argues that the supervisory requirement in Minnesota Statutes
    section 146B.03 amounts to an unconstitutional delegation of legislative authority to
    private parties—in this case, licensed Minnesota body-art technicians. The United States
    Supreme Court has held that the liberty component of the Due Process Clause in the
    Fourteenth Amendment to the United States Constitution includes the general right to
    choose a field of private employment. Conn v. Gabbert, 
    526 U.S. 286
    , 291-92, 
    119 S. Ct. 1292
    , 1295-96 (1999). But this right is subject to reasonable government regulation. 
    Id. at 1292,
    119 S. Ct. at 1296. Thus, a state may regulate liberty and property rights for the
    common good, and the state’s exercise of police power through regulation of lawful
    occupations is valid if it “reasonably tend[s] to accomplish the purpose of safeguarding
    the public health and welfare without going beyond the reasonable demands of the
    occasion.” State v. Sullivan, 
    245 Minn. 103
    , 113, 
    71 N.W.2d 895
    , 901 (1955) (quotation
    omitted).
    Griepentrog, however, argues that by imposing a requirement that an applicant for
    a body-art-technician license in Minnesota must be supervised by a licensed Minnesota
    body-art technician, the state has unconstitutionally delegated its legislative authority to
    8
    private parties, who may operate in their own self-interest to exclude qualified
    practitioners from the field. Griepentrog asserts the unlawful-delegation doctrine applied
    by the United States Supreme Court in Carter v. Carter Coal Co., 
    298 U.S. 238
    , 311-12,
    
    56 S. Ct. 855
    , 872-73 (1936). In Carter Coal Co., the Supreme Court held that a federal
    act authorizing a local coal-district board to set agreed-on prices for coal
    unconstitutionally delegated federal governmental power to private parties, who were
    interested in the outcome of a business transaction. Carter Coal 
    Co., 298 U.S. at 311-12
    ,
    56 S. Ct. at 872-73. The Supreme Court also held that a municipal ordinance, which
    allowed two-thirds of abutting property owners to establish a building line on the abutting
    property, was an unreasonable exercise of police power because it conferred power on
    some property owners to control the rights of other property owners. Eubank v. City of
    Richmond, 
    226 U.S. 137
    , 143-44, 
    33 S. Ct. 76
    , 77 (1919). The unlawful-delegation
    doctrine as applied to occupational licensing posits an argument that certain state
    regulation confers government power on private parties who are not required to safeguard
    constitutional rights, allowing the government to avoid accountability by failing to
    protect those rights.   See generally Paul J. Larkin, Jr., Public Choice Theory and
    Occupational Licensing, 39 Harv. J. L. & Pub. Pol. 209, 312, 319-20 (2016).
    To review Griepentrog’s claim on this issue, we first examine applicable
    Minnesota caselaw on the doctrine of unlawful delegation.          We then analyze the
    supervision requirements of section 146B.03 in light of that law, addressing
    Griepentrog’s arguments on the lack of standards in the statute and the alleged power of
    existing body-art technicians to deny licensure. We conclude, based on this analysis, that
    9
    Minnesota Statutes section 143B.03 is not an unconstitutional delegation of legislative
    power.
    Minnesota precedent on unlawful delegation
    The Minnesota Supreme Court held in 1949 that, unless expressly authorized by
    the constitution, “the legislature . . . cannot delegate purely legislative power to any other
    body, person, board, or commission.” Lee v. Delmont, 
    228 Minn. 101
    , 112, 
    36 N.W.2d 530
    , 538 (1949). In Lee, the supreme court defined “[p]ure legislative power” as “the
    authority to make a complete law,” including the time the law takes effect and to whom it
    applies. 
    Id. at 113,
    36 N.W.2d at 538. The supreme court held, however, that the
    legislature may confer on a board or commission the discretionary power to ascertain
    operative facts and apply the law. 
    Id. Such delegation
    is not legislative if the law
    provides “a reasonably clear policy or standard of action.” 
    Id. at 113,
    36 N.W.2d at 538-
    39. If this test is met, the delegation of power is not unconstitutional. See 
    id. Applying the
    test in Lee, the supreme court invalidated as an unconstitutional
    delegation of legislative authority a nonsigner provision of the Minnesota Fair Trade Act,
    which bound nonsigning retailers to prices that had been agreed upon by other retailers in
    their contracts. Remington Arms Co. v. G.E.M. of St. Louis, Inc., 
    257 Minn. 562
    , 569,
    
    102 N.W.2d 528
    , 533 (1960). The supreme court noted that the relevant act provided “no
    standard or yardstick” by which to determine prices and granted a private party the ability
    to create a right of action for its own benefit without a hearing to protect consumer or
    nonsigning-retailer rights. 
    Id. at 572,
    102 N.W.2d at 535. The supreme court also
    applied the non-delegation doctrine to invalidate a statutory provision that conditioned
    10
    rezoning on the consent of two-thirds of the property owners whose property lay within
    100 feet of the proposed rezoning. Foster v. City of Minneapolis, 
    255 Minn. 249
    , 254, 
    97 N.W.2d 273
    , 276 (1959).
    More recently, however, the supreme court has declined to apply the doctrine of
    unconstitutional delegation in several situations.      It held that the doctrine did not
    invalidate a sports facilities commission’s authority to sell or lease advertising in a sports
    stadium on an exclusive basis. Hubbard Broad., Inc. v. Metro. Sports Facilities Comm’n,
    
    381 N.W.2d 842
    , 847-48 (Minn. 1986). In Hubbard Broad., the supreme court noted that
    the commission delegated only a ministerial duty to the party who was awarded exclusive
    advertising rights. 
    Id. The supreme
    court has also held that a statute restricting a
    unilateral reduction in teachers’ benefits without union approval did not amount to an
    unconstitutional delegation of legislative power because it did not grant authority to
    create or apply restrictions, but only discretion to determine whether to waive an existing
    restriction. West St. Paul Fed’n of Teachers v. Indep. Sch. Dist. No. 197, 
    713 N.W.2d 366
    , 376-77 (Minn. App. 2006).
    Two important guiding principles are drawn from these cases.             First, if the
    legislature may properly perform certain acts, but it is not convenient or advantageous for
    it to do so, it may authorize others to perform those acts. Remington 
    Arms, 257 Minn. at 570
    , 102 N.W.2d at 534. Second, the distinction between properly conferring authority
    or direction and improperly delegating legislative powers depends on whether a statute
    gives a private party “the arbitrary right to exercise an option to make a law operative on
    its own terms.” 
    Id. In reviewing
    Griepentrog’s challenge, we therefore examine whether
    11
    Minnesota Statutes section 146B.03 creates such an arbitrary right, or whether it imposes
    sufficient standards and safeguards so as “to protect against the injustice that results from
    uncontrolled discretionary power.” Hubbard 
    Broad., 381 N.W.2d at 847
    . We first
    address Griepentrog’s argument that the statute does not impose sufficient standards for
    licensing body-art technicians. We then examine whether the statute improperly allows
    current body-art technicians to control access to the occupation by granting them the
    power to deny licensure to prospective licensees.
    Lack of standards
    We note initially that a supervision requirement for licensing body-art technicians
    is not unique to this occupation.      Under current Minnesota law, the regulation of
    numerous professions and trades includes statutory requirements for supervision to obtain
    licensure. For instance, to obtain a license as a midwife, a person must have “supervised
    participation in 20 births,” as well as “participation as the primary birth attendant under
    the supervision of a licensed traditional midwife at an additional 20 births.” Minn. Stat.
    § 147D.17, subd. 1(6)(ii), (iii) (2014). To become a certified licensed psychologist in
    Minnesota, a person must meet requirements that include one year of supervised
    employment following a master’s or doctoral degree. Minn. Stat. § 148.907, subds. 2, 3
    (2014).   Supervision takes the form of “documented, in-person consultation” by a
    qualified mental-health professional. Minn. Stat. § 148.925, subd. 1 (2014). A person
    who wishes to obtain a license to practice mortuary science is required to “complete a
    registered internship under the direct supervision of an individual currently licensed to
    practice mortuary science in Minnesota.”       Minn. Stat. § 149A.20, subd. 6(a) (Supp.
    12
    2015). And a person who is a registered barber apprentice may practice barbering only if
    that person is “at all times under the immediate personal supervision of a registered
    barber.” Minn. Stat. § 154.03 (2014). These requirements of supervised experience for
    licensure to perform certain occupations reflect the intertwined nature of professional
    self-regulation and state regulation through licensure.
    Griepentrog argues that the supervision experience required by section 146B.03
    overreaches because it provides no standards and allows existing licensees to act as
    “gatekeepers” to deny access to licensure in Minnesota. It is true that section 146B.03
    does not contain specific standards relating to the 200 hours of required supervision. But
    we may review the content of the statute to discern its meaning in its full-act context and
    “consider sections that relate to the same subject matter.” A.A.A. v. Minn. Dep’t of
    Human Servs., 
    818 N.W.2d 552
    , 556 (Minn. App. 2012), aff’d, 
    832 N.W.2d 816
    , 825
    (Minn. 2013). Chapter 146 contains health and safety standards for body-art facilities,
    instruments, and supplies, as well as cleanliness and sanitation requirements for body-art
    procedures. See Minn. Stat. § 146B.06. Technicians are required to comport with these
    procedures. 
    Id., subd. 4.
    In addition, the statute requires informed consent from a person
    seeking body art and prohibits the administration of body art on a person under the age of
    18. Minn. Stat. § 146B.07, subds. 2-3. Construing section 146B.03 in conjunction with
    sections 146B.06 and 146B.07, we conclude that, taken together, these sections evince a
    legislative intent that a licensed body-art technician must comport with specified public-
    health and safety regulations when supervising a prospective licensee and seek to instill
    these standards in the trainee. See 
    A.A.A., 818 N.W.2d at 556
    .
    13
    This construction of the statute is supported not only by a reading of the body-art
    statute as a whole, but by its legislative history as well. See Minn. Stat. § 645.16 (7)
    (2014) (permitting consideration of contemporaneous legislative history to ascertain
    legislative intent). Here, the legislative history indicates a broad public-health-related
    goal of increasing the pool of eligible blood donors. Hearing on H.F. 677 Before the H.
    Finance Comm. (Apr. 9, 2010) (statement of Rep. Bunn). The Red Cross and the state’s
    blood banks had experienced a decline in blood donations, and they had a policy of not
    allowing blood donation from persons who had received a tattoo in the last 12 months,
    based on the lack of state-wide regulation in body-art establishments to assure proper
    client education, blood handling, and sterilization. 
    Id. By regulating
    the performance of
    body art in Minnesota, the legislature hoped to increase the pool of eligible blood donors
    because many young people were receiving tattoos. 
    Id. Examining all
    of these considerations, we conclude that the supervision
    requirement in section 146B.03 is related to the legitimate state purpose of safeguarding
    public health and welfare. See 
    Sullivan, 245 Minn. at 113
    , 71 N.W.2d at 901. And,
    unlike the delegation determined to be unlawful in Foster and Remington Arms, the
    statute contains sufficient standards to guide the exercise of authority by the licensed
    body-art technicians. We also note that MDH retains the ability to control the body-art
    trade by disciplining licensees for a number of infractions, including demonstrating a
    willful or careless disregard for a client’s welfare, health, or safety.      Minn. Stat.
    § 146B.08, subd. 3 (2014). This power is an additional safeguard that protects against
    uncontrolled power by current licensees. See Hubbard 
    Broad., 381 N.W.2d at 847
    . We
    14
    therefore reject Griepentrog’s argument that the statutory supervision requirement
    delegates legislative power to current licensees without imposing appropriate standards.
    Delegation of authority to existing technicians
    In addition, Griepentrog maintains that the supervisory requirement in section
    146B.03 delegates excessive power to existing body-art technicians licensed in
    Minnesota because those technicians will conspire to prevent out-of-state technicians
    from becoming licensed in this state. And she asserts that our analysis of this issue
    should be driven by cases in other jurisdictions holding the regulation of certain
    occupations to be an unlawful delegation of legislative power. We address these issues in
    turn.
    Griepentrog argues that the statute amounts to an unconstitutional delegation of
    power because it gives current licensed body artists the right to deny licensure. She
    maintains that a current licensee may decline to sign the required affidavit certifying that
    an applicant has completed the 200-hour supervision requirement. But the requirement
    of signing the affidavit is a ministerial task, which is routinely performed after the
    supervision requirement is completed. See Hubbard 
    Broad., 381 N.W.2d at 848
    (holding
    that sports facilities commission was not an unconstitutional delegation because it
    delegated only a ministerial function to sell or lease advertising on a stadium scoreboard).
    It does not confer power on existing body-art technicians to determine the level of
    competence of license applicants or define what level of competence is required for
    licensure.
    15
    Griepentrog further maintains that an individual body-art licensee has undue
    power because that person may decline to supervise a license applicant or may charge for
    supervision. But these prerogatives, as in other occupations, do not render the statute an
    unconstitutional delegation of power because an applicant may choose from many
    licensed body-art technicians for supervision, and the marketplace controls rates for
    supervision. 4 And to the extent that Griepentrog argues that licensees may conspire
    together to deprive her of the opportunity to practice body art, if this occurred, she would
    be able to seek a remedy for restraint of trade under the Sherman Act, 15 U.S.C. § 1
    (2012); see also Wilk v. Am. Med. Ass’n, 
    895 F.2d 352
    , 362 (7th Cir. 1990) (upholding
    decision that national medical association had engaged in unreasonable restraint of trade
    by an illegal boycott against chiropractors). She also argues that potential supervisors
    have no incentive to offer supervision because they would be training their future
    competition. But it is just as likely that a current licensee would wish to supervise a
    license applicant in order to maintain standards within the profession and ensure the
    existence of a competent pool of future practitioners. 5
    Amicus curiae Institute for Justice cites cases from other jurisdictions that have
    struck down state regulations as violating the separation of powers or violating due
    4
    Although MDH referred Griepentrog to only six potential supervisors, the statute
    permits other licensed body-art practitioners to undertake the required supervision.
    Minn. Stat. § 146B.03.
    5
    The legislative history of the statute reflects that the Minnesota body-art community
    was also concerned with the variability of local standards relating to the administration of
    body art, so that people acquiring tattoos in unregulated counties may be exposed to
    health hazards. Hearing on S.F. 525 Before the Sen. Comm. on Health, Housing, and
    Family Security (Mar. 2, 2009) (statement of Ryan Welles, tattooist).
    16
    process by delegatory lawmaking power to private parties. In some of those cases, courts
    have invoked vesting clauses in their state constitutions to hold that a statute amounts to
    an unlawful delegation of legislative power. 6 See, e.g., State Bd. of Chiropractic Exam’rs
    v. Life Fellowship of Pa., 
    272 A.2d 478
    , 481 (Pa. 1971) (holding that allowing private
    chiropractic society to set continuing education requirements for licensed chiropractors
    amounted to unconstitutional delegation of power). Amicus curiae also cites cases from
    jurisdictions in which laws have been invalidated because private parties were given an
    exclusive privilege to act in their own self-interest. See, e.g., Revne v. Trade Comm’n,
    
    192 P.2d 563
    (Utah 1948) (invalidating law that allowed majority of barber industry
    group to set prices and hours of barber shops).
    Although the Minnesota Constitution contains vesting clauses, Minn. Const. art.
    III, § 1, and art. IV, § 1, we ascertain no caselaw that requires us to invalidate the
    supervisory requirement of Minnesota Statutes section 146B.03 based on a separation-of-
    powers analysis. And we note that the Minnesota scheme for body-art regulation does
    not give significant power to body artists relating to their occupation, such as the power
    to spend public funds or to establish state-wide standards affecting the group of body
    artists generally. 7 In fact, the supervisory requirement of section 146B.03 gives the
    supervising body artist no power to influence policy relating to the body-art trade.
    6
    A vesting clause controls the allocation of power by conferring designated authority on
    a specific branch of government. See U.S. Const. art I, § 1 (conferring on Congress alone
    “all legislative powers herein granted”).
    7
    In enacting the licensure statute, legislators expressed an intent to reach the community
    of body-art practitioners, which was traditionally less organized than other occupations
    17
    We note that other jurisdictions have upheld licensing regulations and training for
    certain occupations against challenges of unconstitutional delegation. See, e.g., Trinity
    Med. Ctr. v. N. Dakota Bd. of Nursing, 
    399 N.W.2d 835
    , 847 (N.D. 1987) (holding that
    statute granting authority to establish nursing education programs was not
    unconstitutionally standardless delegation of legislative authority); Indep. Electricians &
    Elec. Contractors Ass’n v. New Jersey Bd. of Exam’rs of Elec. Contractors, 
    256 A.2d 33
    ,
    42, (N.J. 1969) (holding that electrical contractors’ occupational-licensing statute,
    sponsored by certain industry segments, did not unconstitutionally delegate legislative
    power); Nat’l Ass’n of Forensic Counselors v. Fleming, 
    759 N.E.2d 389
    , 393 (Ohio App.
    2001) (concluding that statute deferring credentialing of chemical-dependency counselors
    to state board was a proper delegation of legislative power, and “a more specific
    expression of [credentialing] standards [in the statute] would be impractical and
    unnecessary”). Our analysis of Minnesota law leads to a similar result in this case.
    We conclude, based on our review, that the supervision requirement in Minnesota
    Statutes section 146B.03 embodies a longstanding component of professional self-
    regulation in licensure. The required supervision incorporates the public health and
    safety standards set forth in the act regulating body art as a whole and is technical in
    nature. Because it does not amount to an unlawful delegation of legislative power, we
    decline to hold it unconstitutional on that basis.
    and had no formal schools. Hearing on H.F. 677 Before the H. Finance Comm. (Apr. 9,
    2010) (statement of Rep. Bunn).
    18
    II.    Minnesota Statutes section 146B.03 does not violate the Equal-
    Protection Clause of the Minnesota Constitution.
    Griepentrog also argues that Minnesota statutes section 146B.03 violates the
    Equal-Protection Clause of the Minnesota Constitution. See Minn. Const. art. I, § 2.
    That provision guarantees that “all similarly situated individuals shall be treated alike.”
    Scott v. Minneapolis Police Relief Ass’n, 
    615 N.W.2d 66
    , 74 (Minn. 2000). A party may
    assert an equal-protection challenge based either on a statute’s express terms, which is a
    facial challenge, or based on the statute’s application to a particular situation. State v.
    Richmond, 
    730 N.W.2d 62
    , 71 (Minn. App. 2007), review denied (Minn. June 19, 2007).
    A facial equal-protection challenge alleges that the statute creates at least two classes of
    individuals, which are treated differently under the statute, and that this difference in
    treatment cannot be justified. In re McCannel, 
    301 N.W.2d 910
    , 916 (Minn. 1980). An
    “as applied” challenge on equal-protection grounds alleges that the statute has been
    applied in an arbitrary or discriminatory manner. 
    Id. Griepentrog asserts
    both facial and as-applied equal-protection challenges to
    Minnesota Statutes section 146B.03. She argues that the statute is facially discriminatory
    because it treats persons who do not have 200 hours of in-state supervision differently
    from other applicants for licensure. And she maintains that MDH applied the supervision
    requirement in a discriminatory fashion to deny her a Minnesota body-art-technician
    license. Finally, she argues that the statute fails the rational-basis test applicable to equal-
    protection claims under Minnesota law. See State v. Russell, 
    477 N.W.2d 886
    , 889
    (Minn. 1991) (stating that test). We conclude that even if Griepentrog is similarly
    19
    situated to other body-art technicians, the statute is not facially discriminatory, it does not
    intentionally or purposefully discriminate against her as applied, and it satisfies the
    relevant rational-basis test.
    Similarly situated
    A party seeking to invalidate a statute on equal-protection grounds must initially
    show that he or she has been treated differently from others who are similarly situated.
    Odunlade v. City of Minneapolis, 
    823 N.W.2d 638
    , 647 (Minn. 2012); Draganosky v.
    Minn. Bd. of Psychology, 
    367 N.W.2d 521
    , 525 (Minn. 1985).                  The focus when
    determining whether groups of people are similarly situated is whether “they are alike in
    all relevant respects.” State v. Cox, 
    798 N.W.2d 517
    , 522 (Minn. 2011).
    Griepentrog alleges she was similarly situated to other body-art technicians
    receiving licenses in Minnesota because she has had equivalent experience in performing
    procedures. She argues that her experience and training give her the same relevant
    characteristics as a person practicing body art in Minnesota, based on the purpose of
    Minnesota Statutes section 146B.03 to protect public health and safety.              And she
    maintains that she is being treated differently from similarly-situated candidates because
    she is being required to undergo 200 hours of additional supervised training.
    As Griepentrog points out, in addressing recent equal-protection challenges, this
    court has concluded that personal-care attendants who are related to their patients are
    similarly situated to personal-care attendants who are not related to their patients. Weir v.
    ACCRA Care, Inc., 
    828 N.W.2d 470
    , 473 (Minn. App. 2013); Healthstar Home Health v.
    Jesson, 
    827 N.W.2d 444
    , 449 (Minn. App. 2012). We held that the relevant statutes
    20
    denied equal protection based on a premise that they treated similarly situated personal-
    care attendants differently simply because of their relationship to the patients.     
    Id. Griepentrog argues
    that her experience performing body-art procedures in Wisconsin
    makes her similarly situated to licensed body-art technicians in Minnesota. We are not
    persuaded, however, that the relevant characteristics for determining whether Griepentrog
    is similarly situated to Minnesota technicians relate only to experience, and not to
    supervision as well. It is more likely that the relevant characteristics for determining
    whether a person is similarly situated relate to whether a person has the similar
    supervised experience.    We note, for example, that the body-art-technician statute
    contains a reciprocity provision, by which the commissioner may issue a technician’s
    license to a person holding a current license, certification, or registration in another
    jurisdiction, if the commissioner determines that those credentials “meet or exceed the
    requirements for licensure stated in this chapter.” Minn. Stat. § 146B.03, subd. 8. On
    this record, the reciprocity provision would not support granting Griepentrog a license
    because she had only 12 hours of supervised experience in Wisconsin, far less than the
    200 hours required for a Minnesota license.       Thus Griepentrog may not meet the
    “similarly situated” test because she lacked similar supervised experience to applicants
    granted a license in Minnesota.
    Facial and as-applied challenges
    But even if we were to assume that Griepentrog was similarly situated to other
    body artists seeking licensure in Minnesota, we cannot conclude that the statute on its
    face or as applied treats her differently from those prospective licensees. Minnesota
    21
    Statutes section 146B.03 does not require that only Griepentrog or other out-of-state
    applicants have 200 hours of in-state supervision. That requirement applies equally to all
    applicants, including in-state applicants or any applicants who have previous experience
    in other states. See Minn. Stat. § 146B.03. Therefore, because the statute on its face
    treats her equally to other persons seeking licensure in this state, we reject Griepentrog’s
    facial equal-protection challenge.
    Griepentrog also argues that the state’s application of the statute to prevent her
    licensure denied her equal protection of the law. She maintains that she was treated
    differently based on her qualifications and work experience only because she lacked the
    required supervised hours in Minnesota. But the “unequal application [of a statute] to
    those entitled to equal treatment is not a denial of equal protection unless intentional or
    purposeful discrimination is shown.”      
    Draganosky, 367 N.W.2d at 526
    n.4 (citing
    Snowden v. Hughes, 
    321 U.S. 1
    , 8, 
    64 S. Ct. 397
    , 401 (1944)). In Draganosky, the
    Minnesota Supreme Court rejected a similar argument by a person who was seeking to
    become a licensed consulting psychologist in Minnesota. 
    Id. at 525-26.
    The supreme
    court held that the denial of the applicant’s request for a variance from a licensing rule,
    which required a doctorate from a regionally accredited institution, did not amount to a
    denial of equal protection, and that the applicant had failed to show that the licensing
    board had applied its rule in an arbitrary or discriminatory manner. 
    Id. Similarly, we
    conclude that Griepentrog has not shown that MDH was
    intentionally or purposefully discriminating against her by enforcing the 200-hour
    supervision requirement only against her, as opposed to other applicants. The record
    22
    contains no evidence that other applicants were allowed to obtain body-art licenses
    without fulfilling the 200-hour requirement.      Griepentrog points out that the statute
    originally contained a grandfathering provision for previously practicing body artists.
    Minn. Stat. § 146B.03, subd. 10 (2012) (repealed, 2013 Minn. Laws ch. 43, § 32 at 25).
    That provision required at least 2,080 hours of body work practice or more than 1,040
    hours, with at least six hours of approved coursework. 
    Id. But Griepentrog,
    who was
    physically supervised for only 12 hours, does not contend that if she had applied for
    licensure during the grandfathering period and met those requirements, she would have
    been denied a body-art license. Therefore, we conclude that Griepentrog has failed to
    meet the intentional-discrimination standard for an “as-applied” equal-protection claim.
    Rational basis test
    Finally, even if Griepentrog could proceed successfully to this stage of an equal-
    protection analysis under the Minnesota Constitution, we conclude that she is unable to
    meet the final requirement for striking down a statute when a fundamental right or
    suspect class is not involved: that it fails the rational-basis test. See 
    Russell, 477 N.W.2d at 889
    . For a challenged statute to withstand rational-basis review under Minnesota law:
    (1) the distinctions between persons included in a classification and those not included
    “must be genuine and substantial, . . . providing a natural and reasonable basis to justify
    legislation adapted to peculiar conditions and needs”; (2) “the classification must be
    genuine [and] relevant to the purpose of the law”; and (3) the statute’s purpose “must be
    one that the state can legitimately attempt to achieve.” 
    Id. at 888
    (quotation omitted).
    Here, the difference in classification of prospective body-art licensees between those who
    23
    have had the required supervised experience, and those who have not, is genuine and
    substantial because it promotes standards relating to health and safety in the
    administration of body art in Minnesota. It is relevant to that statutory purpose. And that
    purpose is a legitimate one for state regulation.        Therefore, the statute meets the
    Minnesota rational-basis test, and we reject Griepentrog’s equal-protection argument.
    III.   Minnesota Statutes section 146B.03 does not violate the Dormant
    Commerce Clause.
    Griepentrog also argues that Minnesota Statutes section 146B.03 violates the
    Dormant Commerce Clause of the United States Constitution. The Commerce Clause
    provides that “[t]he Congress shall have [the] power . . . [t]o regulate Commerce with
    foreign [n]ations and among the several States.” U.S. Const. art. I, § 8, cl. 3. Although
    the Commerce Clause refers to an affirmative grant of power to Congress, it has long
    been interpreted to contain an implied negative command, called the Dormant Commerce
    Clause, that states may not unduly burden or discriminate against interstate commerce.
    Chapman v. Comm’r of Revenue, 
    651 N.W.2d 825
    , 832 (Minn. 2002). The constraint of
    the Dormant Commerce Clause reflects concerns over economic protectionism:
    regulatory measures that are designed to benefit in-state economic interests by burdening
    out-of-state competition. New Energy Co. of Ind. v. Limbach, 
    486 U.S. 269
    , 273-74, 
    108 S. Ct. 1803
    , 1807-08 (1988). “By prohibiting States from discriminating against or
    imposing excessive burdens on interstate commerce without congressional approval, it
    strikes at one of the chief evils that led to the adoption of the Constitution, namely, state
    24
    tariffs and other laws that burdened interstate commerce.” Comptroller of Treasury of
    Md. v. Wynne, 
    135 S. Ct. 1787
    , 1794 (2015).
    Ordinarily, in evaluating a Commerce Clause challenge, this court engages in a
    two-step analysis. 
    Chapman, 651 N.W.2d at 832
    . First, we determine “whether the
    challenged statute implicates the Commerce Clause.” 
    Id. If it
    does, we “then evaluate
    whether the statute violates the Commerce Clause.” 
    Id. This involves
    determining
    whether the challenged law discriminates against interstate commerce or excessively
    burdens interstate commerce. Swanson v. Integrity Advance, LLC, 
    870 N.W.2d 90
    , 94
    (Minn. 2015) (citations omitted). If it discriminates against interstate commerce, it is not
    valid unless it furthers a legitimate local purpose that cannot be adequately served by
    reasonable alternatives that are nondiscriminatory.       
    Id. at 93.
      But if it “‘regulates
    evenhandedly to effectuate a legitimate public interest’” and has only an incidental effect
    on interstate commerce, the law “‘will be upheld unless the burden imposed on such
    commerce is clearly excessive in relation to the putative local benefits.’” 
    Id. at 94
    (quoting Pike v. Bruce Church, Inc., 
    397 U.S. 137
    , 142, 
    90 S. Ct. 844
    , 847 (1970)).
    In two discrete subsets of cases, however, courts employ a different test. Energy &
    Env’t Legal Inst. v. Epel, 
    793 F.3d 1169
    , 1171 (10th Cir. 2015). First, legislation that
    clearly discriminates against out-of-state interests is usually a per se violation of the
    Dormant Commerce Clause, unless the discrimination is justified by a factor that is not
    related to economic protectionism. 
    Id. at 1171-72
    (citations omitted). Second, state
    legislation that directly controls commerce totally outside its border is likely to be invalid
    per se.    
    Id. Certain price-control
    laws and price-affirmation laws controlling
    25
    extraterritorial conduct—conduct that occurs outside the borders of a state—may also be
    deemed per se invalid. 
    Id. (citations omitted).
    This second subset is referred to as the
    “extraterritoriality doctrine.” North Dakota v. Heydinger, 
    825 F.3d 912
    , 919 (8th Cir.
    2016). It is “the most dormant” doctrine in Dormant Commerce Clause jurisprudence.
    Energy & Env’t Legal 
    Inst., 792 F.3d at 1172
    . The United States Supreme Court has only
    relied upon the extraterritoriality doctrine to justify a holding in the context of price-
    control laws, although lower courts have used it to invalidate statutes regulating state
    environmental laws and the Internet. David M. Driesen, Must the States Discriminate
    Against Their Own Producers Under the Dormant Commerce Clause?, 
    54 Houston L
    .
    Rev. 1, 20-22 (2016); see, e.g., 
    Heydinger, 825 F.3d at 921-22
    (holding that provisions of
    the Minnesota Next Generation Energy Act, Minn. Stat. §§ 216H.01-.13 (2014), which
    established energy and environmental standards related to carbon dioxide emissions,
    violated or were preempted by federal law and violated the Dormant Commerce Claus
    under extraterritoriality doctrine).
    MDH urges this court to apply the extraterritoriality doctrine in examining the
    application of the commerce clause in this case, citing Healy v. Beer Inst., 
    491 U.S. 324
    ,
    336, 
    109 S. Ct. 2491
    , 2499 (1989), a case referring to that doctrine. MDH argues that,
    under this analysis, the Dormant Commerce Clause is inapplicable because the licensure
    requirements do not affect any commerce that takes place outside of Minnesota.
    MDH misinterprets the interaction between the extraterritoriality doctrine and the
    traditional Dormant Commerce Clause analysis. The extraterritoriality doctrine applies
    only when its narrow parameters are met; when a law, typically price regulation, controls
    26
    commerce totally outside its borders. In those rare cases, courts will strike down state
    laws as violating the Dormant Commerce Clause. See Baldwin v. G.A.F. Seelig, Inc., 
    294 U.S. 511
    , 521-22, 
    55 S. Ct. 497
    , 499-500 (1935) (striking down act prohibiting dealer
    from selling, in the state, milk produced out of state, at less than minimum price fixed for
    similar milk produced within the state); see also 
    Heydinger, 825 F.3d at 922
    (noting that
    challenged portions of statute had practical effect of controlling activities taking place
    wholly outside of Minnesota). But if a case does not fit into those narrow confines, our
    work is not complete, and the traditional Commerce Clause analysis is appropriate.
    
    Swanson, 870 N.W.2d at 94
    .
    Here, the supervision requirement in section 146B.03, does not fall within the
    narrow category of laws subject to analysis under the extraterritoriality doctrine. It does
    not apply to commerce wholly outside of Minnesota. Indeed, the focus of the statute
    addresses conduct within its borders.      It does not address price controls or price
    affirmations. See Energy & Env’t Legal 
    Inst., 793 F.3d at 1174
    . Therefore, we must
    inquire further and examine Griepentrog’s argument under a traditional Commerce
    Clause analysis.
    Whether the statute implicates the Commerce Clause
    Under that analysis, a statute may implicate interstate commerce if it affects out-of-
    state economic interests that may wish to conduct in-state operations. See Or. Waste Sys.,
    Inc. v. Dep’t of Envt’l Quality, 
    511 U.S. 93
    , 107, 
    114 S. Ct. 1345
    , 1354 (1994) (holding
    that Oregon’s facially discriminatory surcharge on waste material generated in other
    states invalid under Dormant Commerce Clause). Here Griepentrog, who lives in another
    27
    state, wishes to practice body art in Minnesota. As a result, under the traditional analysis,
    Minnesota’s regulation on supervision for licensing body-art technicians implicates
    interstate commerce. See, e.g., Serv. Mach. & Shipbldg. Corp. v. Edwards, 
    617 F.2d 70
    ,
    73-76 (5th Cir. 1980) (striking a city ordinance that required only nonresident itinerant
    laborers to register their employment as unconstitutional under Dormant Commerce
    Clause because “[t]he movement of persons falls within the protection of the commerce
    clause”).
    Burden on interstate commerce
    Even if a licensing scheme implicates interstate commerce, however, in order to be
    held invalid under the Dormant Commerce Clause, it must also discriminate against or
    excessively burden interstate commerce.        A statute discriminates against interstate
    commerce if it accords “differential treatment [to] in-state and out-of-state economic
    interests that benefits the former and burdens the latter.” Or. 
    Waste, 511 U.S. at 99
    , 114
    S. Ct. at 1350. This discrimination may occur in one of three ways: either the statute is
    facially discriminatory, it has a discriminatory intent, or it has an effect of unduly
    burdening interstate commerce. Mayo Collaborative Servs., Inc. v. Comm’r of Revenue,
    
    698 N.W.2d 408
    , 412 (Minn. 2005).          Griepentrog first argues that the supervision
    requirement in Minnesota Statutes section 146B.03 discriminates on its face between in-
    state and out-of-state applicants for body-art-technician licensure. She does not argue
    that the statute was motivated by a discriminatory intent. But she also argues that, even if
    it is not facially discriminatory, the statute has the effect of unduly burdening interstate
    commerce
    28
    Minnesota Statutes section 146B.03 does not discriminate on its face between in-
    state applicants for licenses and out-of-state applicants for licenses: both categories of
    applicants are required to receive 200 hours of training by a Minnesota-licensed
    technician. Because the statute has the same requirements for both in-state and out-of-
    state prospective licensees, Griepentrog’s facial-discrimination claim lacks merit.
    Griepentrog also argues that, even if not facially discriminatory, the licensure
    requirement unduly burdens interstate commerce because an out-of-state applicant who
    wishes to obtain a Minnesota license is required to travel to Minnesota and obtain 200
    hours of training there.     She maintains that she is particularly burdened by this
    requirement because she has already received training in Wisconsin and is proficient in
    micropigmentation.
    A constitutional burden under the Dormant Commerce Clause “refers to a
    hindering of the interstate commercial system.” Studor, Inc. v. State, 
    781 N.W.2d 403
    ,
    411 (Minn. App. 2010) (quotation omitted), review denied (Minn. July 20, 2010). A
    statute generally does not discriminate against interstate commerce if it regulates
    evenhandedly, with only incidental effects on interstate commerce. Or. 
    Waste, 511 U.S. at 99
    , 114 S. Ct. at 1350. And if a nondiscriminatory regulation has only incidental
    effects on interstate commerce, that regulation is valid unless the burden imposed is
    “‘clearly excessive in relation to the putative local benefits.’” Studor, 
    Inc., 781 N.W.2d at 411
    (quoting 
    Pike, 397 U.S. at 142
    , 90 S. Ct. at 847).
    We note that courts in other jurisdictions have upheld the regulation of other
    occupations against Dormant-Commerce-Clause arguments.           See, e.g., Kirkpatrick v.
    29
    Shaw, 
    70 F.3d 100
    , 103 (11th Cir. 1995) (holding that Florida state bar’s character and
    fitness requirement for attorneys did not violate Dormant Commerce Clause); Excelsior
    Coll. v. Cal. Bd. of Registered Nursing, 
    39 Cal. Rptr. 3d 618
    , 630 (Cal. Ct. App. 2006)
    (holding that alleged burden on out-of-state college whose distance learning program did
    not comply with California nursing-program requirements was clearly outweighed by
    benefit to state citizens of insuring a minimum level of competency in nurses).
    We similarly conclude that the supervision requirement of Minnesota Statutes
    section 146B.03 does not excessively burden interstate commerce when weighed against
    the benefit to the public welfare of insuring competency in body artists practicing in this
    state. Minnesota is not alone in requiring supervision of prospective body-art licensees. 8
    And as discussed above, the supervision provision in chapter 146B furthers the state
    purpose of ensuring that license applicants receive training by a current licensee who
    observes state-approved health and safety standards.
    Nor is the burden on a prospective licensee from out of state excessive. The
    Minnesota statutory scheme allows the commissioner to issue a body-art-technician
    8
    An examination of body-art licensing requirements reveals a wide variation among
    states. In Oregon, for instance, a license requires a 360-hour course and 50 completed
    procedures, including 150 hours of practical tattooing experience, conducted under the
    supervision of an Oregon licensed tattoo artist. Or. Admin. R. 331-915-0005 (2016). In
    Arkansas, a prospective tattoo artist must complete a written examination and a six-
    month apprenticeship with a person who has been certified in that state for at least three
    years. Ark. Code Ann. § 20-17-1507 (West 2016). In other states, although a license or
    permit is required, more limited training in bloodborne pathogens and/or first aid is
    necessary. See Iowa Admin. Code R. 641-22.10 (135) (2016); Mont. Admin. R.
    37.112129 (2016). And still other states do not regulate tattoo artists, but impose health-
    and-safety requirements on tattooing establishments. See Ky. Rev. Stat. § 211.760
    (2015).
    30
    license to a person licensed in another state if the standards for licensure in that
    jurisdiction meet or exceed the Minnesota requirements. Minn. Stat. § 146B.03, subd. 8. 9
    The burden on an out-of-state practitioner is also mitigated by the ability to receive
    temporary Minnesota licensure as a guest artist under Minnesota Statutes section
    146B.04. See Minn. Stat. § 146B.04 (stating that a person may work as a guest artist for
    up to 30 days per calendar year on application and proof of completed coursework on
    bloodborne pathogens, prevention of disease transmission, aseptic technique, and
    infection control). The record does not reflect that Griepentrog applied for such a license
    in Minnesota.
    The Dormant Commerce Clause does not intend to prevent states from legislating
    on subjects that relate to their citizens’ health, life, and safety. Colon Health Ctrs. of
    Am., LLC v. Hazel, 
    813 F.3d 145
    , 158 (4th Cir. 2016). Here, Griepentrog’s burden of
    undertaking additional training is outweighed by the benefits of ensuring that all licensed
    Minnesota body-art technicians have been trained by technicians who practice in
    conformity with state-approved health and safety requirements. We reject Griepentrog’s
    Dormant-Commerce-Clause claim.
    DECISION
    The state has long had the power to regulate occupations to ensure the health and
    safety of its citizens. In this case, it has done so by setting clear standards for licensing
    9
    Although Griepentrog would be unable to avail herself of that provision, she is able to
    practice body art in other jurisdictions, including Wisconsin, that have a lesser or no
    supervision requirement. See Wis. Admin. Code SPS § 221-04 (2016) (containing
    requirements for licensing body-art technicians in Wisconsin, not including supervision).
    31
    body-art technicians, which, in turn, provide standards for supervision. If members of a
    particular occupation abuse their power to exclude new members, antitrust laws provide
    redress for such claims. Because the supervision requirements of Minnesota Statutes
    section 146B.03 do not unconstitutionally delegate legislative power to private parties, do
    not violate principles of equal protection, and do not impermissibly burden interstate
    commerce, we affirm the denial of Griepentrog’s application for body-art licensure in
    Minnesota.
    Affirmed.
    32
    

Document Info

Docket Number: A16-90

Citation Numbers: 888 N.W.2d 478, 2016 Minn. App. LEXIS 87

Judges: Jesson, Stauber, Reyes

Filed Date: 12/12/2016

Precedential Status: Precedential

Modified Date: 10/19/2024

Authorities (29)

Comptroller of Treasury of Md. v. Wynne , 135 S. Ct. 1787 ( 2015 )

McClelland v. McClelland , 1986 Minn. App. LEXIS 4758 ( 1986 )

New Energy Co. of Indiana v. Limbach , 108 S. Ct. 1803 ( 1988 )

Ind. Elec. Assoc. of NJ v. NJ Bd. of Exam. , 54 N.J. 466 ( 1969 )

State v. Richmond , 2007 Minn. App. LEXIS 48 ( 2007 )

Hubbard Broadcasting, Inc. v. Metropolitan Sports ... , 1986 Minn. LEXIS 728 ( 1986 )

State Ex Rel. Foster v. City of Minneapolis , 255 Minn. 249 ( 1959 )

Scott v. Minneapolis Police Relief Ass'n , 2000 Minn. LEXIS 476 ( 2000 )

State v. Sullivan , 245 Minn. 103 ( 1955 )

Draganosky v. Minnesota Board of Psychology , 1985 Minn. LEXIS 1074 ( 1985 )

Mayo Collaborative Services, Inc. v. Commissioner of Revenue , 698 N.W.2d 408 ( 2005 )

STUDOR, INC. v. State , 2010 Minn. App. LEXIS 57 ( 2010 )

Remington Arms Co. v. G. E. M. of St. Louis, Inc. , 1960 Minn. LEXIS 562 ( 1960 )

Neal Kirkpatrick v. Leander J. Shaw, Jr., John H. Moore , 70 F.3d 100 ( 1995 )

Carter v. Carter Coal Co. , 56 S. Ct. 855 ( 1936 )

Service MacHine & Shipbuilding Corp. v. Edwin W. Edwards , 617 F.2d 70 ( 1980 )

Gluba Ex Rel. Gluba v. Bitzan & Ohren Masonry , 2007 Minn. LEXIS 440 ( 2007 )

McCannel v. County of Hennepin , 1980 Minn. LEXIS 1611 ( 1980 )

Lee v. Delmont , 228 Minn. 101 ( 1949 )

ILHC OF EAGAN, LLC v. County of Dakota , 2005 Minn. LEXIS 113 ( 2005 )

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