Cmty. Success Initiative v. Moore ( 2023 )


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  •                IN THE SUPREME COURT OF NORTH CAROLINA
    No. 331PA21
    Filed 28 April 2023
    COMMUNITY SUCCESS INITIATIVE; JUSTICE SERVED NC, INC; WASH
    AWAY UNEMPLOYMENT; NORTH CAROLINA STATE CONFERENCE OF THE
    NAACP; TIMOTHY LOCKLEAR; DRAKARUS JONES; SUSAN MARION;
    HENRY HARRISON; ASHLEY CAHOON; and SHAKITA NORMAN
    v.
    TIMOTHY K. MOORE, in his official capacity as Speaker of the North Carolina
    House of Representatives; PHILIP E. BERGER, in his official capacity as President
    Pro Tempore of the North Carolina Senate; THE NORTH CAROLINA STATE
    BOARD OF ELECTIONS; DAMON CIRCOSTA, in his official capacity as
    Chairman of the North Carolina State Board of Elections; STELLA ANDERSON,
    in her official capacity as Secretary of the North Carolina State Board of Elections;
    KENNETH RAYMOND, in his official capacity as Member of the North Carolina
    State Board of Elections; JEFF CARMON, in his official capacity as Member of the
    North Carolina State Board of Elections; and DAVID C. BLACK, in his official
    capacity as Member of the North Carolina State Board of Elections
    Appeal pursuant to N.C.G.S. § 7A-27(b) from a final judgment and order
    entered on 28 March 2022 by a three-judge panel in Superior Court, Wake County,
    following transfer of the matter to the panel pursuant to N.C.G.S. § 1-267.1. On 4
    May 2022, pursuant to N.C.G.S. § 7A-31(a) and (b)(2), the Supreme Court allowed
    plaintiffs’ petition for discretionary review prior to determination by the Court of
    Appeals. Heard in the Supreme Court on 2 February 2023.
    Forward Justice, by Daryl Atkinson, Whitley Carpenter, Kathleen F. Roblez,
    Ashley Mitchell, and Caitlin Swain; Arnold & Porter Kaye Scholer LLP, by R.
    Stanton Jones and Elisabeth S. Theodore; and Protect Democracy Project, by
    Farbod K. Faraji, for plaintiff-appellees.
    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    Cooper & Kirk, PLLC, by Nicole J. Moss, David Thompson, Peter A. Patterson,
    Joseph O. Masterman, and William V. Bergstrom; and K&L Gates, by Nathan
    A. Huff, for defendant-appellants Legislative Defendants.
    Tin, Fulton, Walker & Owen, PLLC, by Abraham Rubert-Schewel, for Cato
    Institute and Due Process Institute, amici curiae.
    Poyner Spruill LLP, by Caroline P. Mackie; and Karl A. Racine, Attorney
    General for the District of Columbia, by Caroline S. Van Zile, Solicitor General,
    for the District of Columbia and the States of California, Connecticut,
    Delaware, Hawaii, Illinois, Maine, Maryland, Massachusetts, Michigan,
    Nevada, New Jersey, New York, Rhode Island, and Washington, amici states.
    Law Offices of F. Bryan Brice, Jr., by Anne M. Harvey; and Proskauer Rose
    LLP, by Lloyd B. Chinn and Joseph C. O’Keefe, for Institute for Innovation in
    Prosecution at John Jay College, amicus curiae.
    North Carolina Justice Center, by Sarah Laws, Laura Holland, and Quisha
    Mallette, for the North Carolina Justice Center and Down Home NC, amici
    curiae.
    Patterson Harkavy LLP, by Paul E. Smith and Burton Craige, for the
    Sentencing Project, the Lawyers’ Committee for Civil Rights Under Law, and
    the Southern Poverty Law Center, amici curiae.
    ALLEN, Justice.
    Our state constitution ties voting rights to the obligation that all citizens have
    to refrain from criminal misconduct. Specifically, it denies individuals with felony
    convictions the right to vote unless their citizenship rights are restored “in the
    manner prescribed by law.” N.C. Const. art. VI, § 2(3). No party to this litigation
    disputes the validity of Article VI, Section 2(3) of the North Carolina Constitution.
    This case is therefore not about whether disenfranchisement should be a consequence
    of a felony conviction. The state constitution says that it must be, and we are bound
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    by that mandate.
    This case involves instead challenges to N.C.G.S. § 13-1, the statute that sets
    out the criteria that felons must satisfy to be eligible for re-enfranchisement. In the
    early 1970s, the General Assembly embarked on a series of reforms to section 13-1
    and related statutory provisions. The first round of reforms eliminated complicated
    petition-and-hearing procedure that had long hindered attempts by eligible felons to
    regain their rights. The second round left us with essentially the version of section
    13-1 in effect today, under which felons automatically regain the right to vote once
    they complete their sentences, including any periods of probation, parole, or post-
    release supervision to which they are subject.1
    Nearly fifty years after the legislature rewrote section 13-1 to make re-
    enfranchisement automatic for all eligible felons, plaintiffs filed suit alleging equal
    protection and other state constitutional challenges to the requirement that felons
    complete their probation, parole, or post-release supervision before they regain their
    voting rights. In particular, plaintiffs alleged that the legislators who imposed this
    1 “Probation” refers to a term of court-ordered supervision that eligible offenders may
    serve in the community instead of in confinement. See generally N.C.G.S. ch. 15A, art. 82
    (2021) (Probation). The term “parole” refers to the early release, subject to conditions, of
    persons serving sentences of imprisonment for convictions of impaired driving under
    N.C.G.S. § 20-138.1. N.C.G.S. § 15A-1370.1 (2021); see generally N.C.G.S. ch. 15A, art. 85
    (Parole). Certain inmates whose crimes occurred before the Structured Sentencing Act took
    effect on 1 October 1994 are also eligible for parole. “Post-release supervision” refers to a
    “period of supervised release, similar to probation, that an inmate serves in the community
    upon release from prison.” James M. Markham, The North Carolina Justice Reinvestment
    Act 5 (UNC School of Government 2012); see generally N.C.G.S. ch. 15A, art. 84A (2021) (Post-
    Release Supervision).
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    requirement intended to discriminate against African Americans. To prove this claim,
    plaintiffs introduced statistical evidence to show that African Americans constitute a
    disproportionate share of felons on probation, parole, or post-release supervision.
    Plaintiffs also argued that the requirement perpetuates the racist intent behind
    nineteenth century laws enacted to disenfranchise or suppress the votes of African
    Americans.
    The trial court ruled in plaintiffs’ favor and entered an order allowing all felons
    not in jail or prison to register and vote. In so doing, the trial court misapplied the
    law and overlooked facts crucial to its ruling. The statistical evidence relied on by the
    court does not establish that requiring felons to finish their sentences prior to re-
    enfranchisement disproportionately affects African American felons. Moreover, the
    trial court wrongly imputed the discriminatory views of nineteenth century
    lawmakers to the legislators who made it easier for eligible felons of all races to regain
    their voting rights. The changes to section 13-1 appear to have been undertaken in
    good faith.
    The evidence does not prove that legislators intended their reforms to section
    13-1 in the early 1970s to disadvantage African Americans, nor does it substantiate
    plaintiffs’ other constitutional claims. It is not unconstitutional to insist that felons
    pay their debt to society as a condition of participating in the electoral process. We
    therefore reverse the trial court’s final order and judgment.
    I.      Background
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    Laws prohibiting persons convicted of felonies from voting have long been
    common features of the American legal system. When the Fourteenth Amendment to
    the United States Constitution was ratified in 1868, twenty-nine of the nation’s then
    thirty-seven states had provisions in their state constitutions that either denied
    felons the right to vote or allowed their respective legislatures to enact legislation to
    that effect. Richardson v. Ramirez, 
    418 U.S. 24
    , 48 (1974). “Today, almost all States
    disenfranchise felons in some way, although the recent trend is toward expanding
    access to the franchise.” Jones v. Governor of Fla., 
    975 F.3d 1016
    , 1029 (11th Cir.
    2020) (en banc).
    North Carolina’s 1776 constitution did not prohibit felons from voting. Rather,
    “the 1776 constitution . . . granted the franchise indiscriminately to all ‘freemen’ who
    met the property qualification, including free blacks.” John V. Orth and Paul Martin
    Newby, The North Carolina State Constitution 14 (2d ed. 2013) [hereafter State
    Constitution].
    In 1835 the citizens of North Carolina ratified a group of extensive
    amendments to the 1776 constitution regulating elections and office-holding. John V.
    Orth, North Carolina Constitutional History, 
    70 N.C. L. Rev. 1759
    , 1771 (1992)
    [hereafter Constitutional History]. One noted the loss of citizenship rights by “any
    person convicted of an infamous crime” but authorized the General Assembly to “pass
    general laws regulating” the restoration of such rights. N.C. Const. of 1776, amends.
    of 1835, art. I, § 4, cls. 3–4. Another amendment deprived free African Americans of
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    the right to vote. N.C. Const. of 1776, amends. of 1835, art. I, § 3, cl. 3.
    In 1841 the General Assembly enacted legislation providing for the restoration
    of citizenship rights for persons convicted of infamous crimes. An Act Providing for
    Restoring to the Rights of Citizenship Persons Convicted of Infamous Crimes, ch. 36,
    §§ 1–6, 
    1841 N.C. Sess. Laws 68
    , 68–69. The legislation instituted a lengthy and
    burdensome petition-and-hearing procedure for rights restoration. A petitioner had
    to wait a minimum of four years after his conviction to file his petition. 
    Id.
     § 3.
    Notwithstanding where the petitioner resided, he had to file the petition in the
    superior court of the county where he had been indicted. Id. § 4. The petition had to
    set out the petitioner’s “conviction and the punishment inflicted,” as well as his
    current residence, his occupation since conviction, and the “meritorious causes”
    justifying the restoration of his rights. Id. § 1. The clerk of court then had to advertise
    the substance of the petition at the courthouse door for three months prior to the
    petitioner’s proposed hearing date. Id. At the hearing, the petition’s contents had to
    be “proved” by “five respectable witnesses” who had known the petitioner for the three
    years immediately preceding the petition’s filing date and who could confirm “his
    character for truth and honesty.” Id. If the five witnesses supplied the necessary
    character evidence and the court was “satisfied of the truth of the facts set forth in
    the petition,” the court was to “decree [the petitioner’s] restoration to the lost rights
    of citizenship.” Id.
    Following the Civil War, North Carolinians ratified a new state constitution
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    Opinion of the Court
    drafted by a convention held in compliance with federal Reconstruction legislation.
    State Constitution at 19. The 1868 constitution removed all property qualifications
    for voting and extended voting rights to all male citizens, regardless of race, who had
    reached the age of twenty-one and satisfied certain residency requirements. N.C.
    Const. of 1868, art. I, § 22 (eliminating property qualifications for voting); id. art. VI,
    § 1 (designating as an “elector” every male aged twenty-one or older who fulfilled
    specified residency requirements). Although the 1868 constitution did not expressly
    prohibit felons from voting, it repeated the “infamous crimes” language that had been
    added to the 1776 constitution in 1835. Id. art. II, § 13.
    In 1875 the General Assembly called a convention to propose amendments to
    the 1868 constitution. An Act to Call a Convention of the People of North Carolina,
    ch. 222, 1874–75 N.C. Sess. Laws 303, 303–05. Ratified by voters in 1876, the thirty
    amendments approved by the convention contained several racially discriminatory
    measures. One amendment banned interracial marriage between whites and African
    Americans, N.C. Const. of 1868, amend. XXX of 1875, while another mandated
    racially segregated schools, id. amend. XXVI. Other amendments that did not
    mention race had the deliberate effect of reducing the political influence of African
    Americans. One such amendment restored the General Assembly’s power to appoint
    local government officials. See id. amend. XXV. “[A]s was well understood,” the
    purpose of that amendment “was to block control of local government in the eastern
    counties by blacks who were in the majority there.” State Constitution at 26.
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    The 1875 amendments contained the state’s first constitutional provision
    expressly denying the franchise to individuals convicted of felonies. Under that
    provision, “no person . . . adjudged guilty of [a] felony, or of any other crime infamous
    by the laws of this State” could vote without first having been “restored to the rights
    of citizenship in a mode prescribed by law.” N.C. Const. of 1868, amend. XXIV of 1875.
    In 1877 the General Assembly criminalized voting by felons whose rights had not
    been restored.2 An Act to Regulate Elections, ch. 275, §§ 10, 62, 
    1877 N.C. Sess. Laws 516
    , 519–20, 537. The 1877 law did not articulate the steps that felons had to follow
    to have their citizenship rights restored, so the procedures set out in the 1841 rights
    restoration legislation remained in place, including the four-year waiting period and
    the petition-and-hearing requirements.
    Between 1897 and 1941, the General Assembly enacted legislation that relaxed
    some of the rules for petitions filed by felons seeking restoration of their citizenship
    rights. See, e.g., An Act to Amend Section 2940 of the Code in Reference to Restoration
    of Citizenship, ch. 110, § 1, 
    1897 N.C. Sess. Laws 155
    , 155–56 (allowing a petitioner
    to file in the county of indictment or county of residence). Some of the enactments
    reduced the waiting period for felons in designated categories. See, e.g., An Act to
    Amend Section Two Thousand Nine Hundred and Forty-One of the Code, and to
    Facilitate the Restoration to the Rights of Citizenship in Certain Cases, ch. 44, § 1,
    2 It remains a crime for any felon whose rights have not been restored to vote in a
    primary or general election. N.C.G.S. § 163-275(5) (2021).
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    1899 N.C. Sess. Laws 139
    , 139 (shortening to one year the waiting period after
    conviction when the petitioner (1) had not been sentenced to a term of imprisonment
    and (2) had been pardoned by the Governor); An Act to Amend Chapter 44, Acts of
    1899, and to Facilitate the Restoration to the Rights of Citizenship in Certain Cases,
    ch. 547, § 2, 
    1905 N.C. Sess. Laws 553
    , 554 (allowing a petitioner to file at any time
    after conviction and without alleging or proving a pardon if the court suspended
    judgment); An Act to Provide for the Return of Rights of Citizenship to Offenders
    Committed to Certain Training Schools, ch. 384, § 1, 
    1937 N.C. Sess. Laws 713
    , 713
    (reducing to one year after discharge the waiting period for felons committed to
    certain “training schools”). In 1933, the legislature replaced the requirement that
    felons wait four years after conviction to file their petitions with a requirement that
    they wait two years after being discharged. An Act to Amend Consolidated Statutes
    with Reference to Restoration to Citizenship, ch. 243, § 1, 
    1933 N.C. Sess. Laws 370
    ,
    370.
    By 1969 the General Assembly had codified the rules for the restoration of
    felons’ citizenship rights as Chapter 13 of our General Statutes. N.C.G.S. § 13-1
    (1969) (repealed 1971). On 2 July 1969, the General Assembly passed legislation to
    submit what became our current state constitution to the electorate for approval. An
    Act to Revise and Amend the Constitution of North Carolina, ch. 1258, 
    1969 N.C. Sess. Laws 1461
    . Voters ratified the new constitution in the 1970 general election,
    and it went into effect on 1 July 1971.
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    The 1971 constitution continues our state’s general prohibition against voting
    by felons:
    No person adjudged guilty of a felony against this State or
    the United States, or adjudged guilty of a felony in another
    state that also would be a felony if it had been committed
    in this State, shall be permitted to vote unless that person
    shall be first restored to the rights of citizenship in the
    manner prescribed by law.
    N.C. Const. art. VI, § 2(3). The text of Article VI, Section 2(3) tracks that of the
    corresponding 1876 amendment, though there are differences. Article VI, Section 2(3)
    does not refer to infamous crimes. It encompasses not just individuals convicted of
    felonies under our state’s laws but also persons convicted of felonies under federal
    law or, if the conduct would have been felonious here, convicted of felonies in other
    states. Id.
    During the 1971 legislative session, Representatives Joy Johnson of Robeson
    County and Henry Frye of Guilford County3—then the only African American
    members of the General Assembly—introduced a bill to amend Chapter 13 of the
    General Statutes.4 In its original form, the bill provided for the automatic restoration
    of citizenship rights for any felon “upon the full completion of his sentence or upon
    [his] receiving an unconditional pardon.” A legislative committee amended the bill to
    3 Representative Henry Frye subsequently served as an Associate Justice and then as
    Chief Justice of this Court.
    4 The trial court’s final judgment and order states that Representatives Johnson and
    Frye both introduced the bill to amend Chapter 13. However, the copy of the bill in the record
    names only Representative Johnson as a sponsor.
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    CMTY. SUCCESS INITIATIVE V. MOORE
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    remove the word “automatically” and to clarify that the phrase “full completion of his
    sentence” included “any period of probation or parole.” The final form of the bill
    passed into law by the legislature in 1971 repealed Chapter 13 “in its entirety” and
    enacted “a new Chapter 13.” An Act to Amend Chapter 13 of the General Statutes to
    Require the Automatic Restoration of Citizenship to Any Person Who Has Forfeited
    Such Citizenship Due to Committing a Crime and has Either Been Pardoned or
    Completed His Sentence, ch. 902, § 1, 
    1971 N.C. Sess. Laws 1421
    , 1421.
    The new Chapter 13 did not make rights restoration automatic, but it did
    dramatically streamline the process, largely by eliminating the petition-and-hearing
    requirements. Under N.C.G.S. § 13-1, anyone convicted of a felony became eligible for
    rights restoration if (1) the Department of Correction recommended restoration at the
    time of release, (2) the individual received an unconditional pardon, or (3) “two years
    ha[d] elapsed since [the person’s] release by the Department of Correction, including
    probation or parole.” Id. Once any of the three conditions was met, the eligible felon
    could regain his citizenship rights by going “before any judge of the General Court of
    Justice in Wake County or in the county where [the felon] reside[d] or in which [the
    felon] was last convicted” and taking an oath verifying compliance with section 13-1
    and pledging loyalty and obedience to “the Constitution and laws of the United States,
    and the Constitution and laws of North Carolina not inconsistent therewith.” Id.
    In 1973 Representatives Johnson and Frye, joined by a new African American
    legislator, Representative (later Senator) Henry Michaux Jr., tried again to make the
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    restoration of citizenship rights automatic for some felons. Their bill as introduced
    amended section 13-1 to make rights restoration automatic “[u]pon the unconditional
    discharge of an inmate by the Department of Correction or Department of Juvenile
    Correction, of a probationer by the Probation Commission, or of a parolee by the
    Board of Paroles[,] . . . [o]r upon [a felon’s] receiving an unconditional pardon.” The
    version of the bill ultimately passed by the General Assembly did not differ materially
    from the initial bill. See An Act to Provide for the Automatic Restoration of
    Citizenship, ch. 251, § 1, 
    1973 N.C. Sess. Laws 237
    , 237–38.
    The few changes that the legislature has made to section 13-1 since 1973 have
    no bearing on the issues raised in this litigation. In its current form, section 13-1
    reads as follows:
    Any person convicted of a crime, whereby the rights of
    citizenship are forfeited, shall have such rights
    automatically restored upon the occurrence of any one of
    the following conditions:
    (1) The unconditional discharge of an inmate, of a
    probationer, or of a parolee by the agency of the
    State having jurisdiction of that person or of a
    defendant under a suspended sentence by the
    court.
    (2) The unconditional pardon of the offender.
    (3) The satisfaction by the offender of all conditions
    of a conditional pardon.
    (4) With regard to any person convicted of a crime
    against the United States, the unconditional
    discharge of such person by the agency of the
    United States having jurisdiction of such person,
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    the unconditional pardon of such person or the
    satisfaction by such person of a conditional
    pardon.
    (5) With regard to any person convicted of a crime in
    another state, the unconditional discharge of
    such person by the agency of that state having
    jurisdiction of such person, the unconditional
    pardon of such person or the satisfaction by such
    person of a conditional pardon.
    N.C.G.S. § 13-1 (2021). The parties to this litigation agree that subsection (1) of
    section 13-1 renders persons convicted of felonies in our state courts ineligible for
    rights restoration until they have finished any applicable period of probation, parole,
    or post-release supervision (collectively, felony supervision).
    Plaintiffs consist of four nonprofit organizations (plaintiff-organizations) that
    work with or advocate for persons involved with the criminal justice system and six
    individuals with felony convictions (plaintiff-felons) who are unable to vote while on
    felony supervision. On 20 November 2019, plaintiffs filed suit against defendants in
    their official capacities challenging section 13-1 as facially unconstitutional under
    various provisions of our state constitution.5 Specifically, plaintiffs alleged that
    section 13-1 is unconstitutional in that it violates (1) the Equal Protection Clause in
    Article I, Section 19 by discriminating against African Americans in intent and effect;
    5    Defendants Timothy K. Moore, Speaker of the North Carolina House of
    Representatives, and Philip E. Berger, President Pro Tempore of the North Carolina Senate,
    are pursuing this appeal. Plaintiffs’ lawsuit also named as defendants the North Carolina
    State Board of Elections and members of the same, but none of those defendants appealed
    the trial court’s order.
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    (2) the Equal Protection Clause in Article I, Section 19 and the Property
    Qualifications Clause in Article I, Section 11 by conditioning the restoration of
    citizenship rights on the ability to pay court costs, fines, or restitution; (3) the Equal
    Protection Clause in Article I, Section 19 by depriving convicted felons of the
    “fundamental right” to vote on “equal terms” and with “substantially equal voting
    power”; and (4) the Free Elections Clause in Article I, Section 10 by producing
    elections that do not reflect the will of the people.6
    Pursuant to N.C.G.S. § 1-267.1, the Chief Justice assigned the case to a three-
    judge panel in the Superior Court, Wake County. With one judge dissenting in part,
    the trial court granted partial summary judgment and a preliminary injunction in
    favor of plaintiffs, finding that section 13-1 “condition[s] the restoration of the right
    to vote on the ability to make financial payments” in violation of the Equal Protection
    Clause and the Property Qualifications Clause. On 28 March 2022, following a trial
    on the remaining claims, the court in another two-to-one decision issued a final
    judgment and order ruling that section 13-1 discriminates against African Americans
    and deprives felons of the fundamental right to vote in violation of the Equal
    Protection Clause and results in elections that do not reflect the will of the people
    contrary to the Free Elections Clause. The trial court issued a permanent injunction
    6 Plaintiffs likewise challenged section 13-1 under Article I, Sections 12 (right of
    assembly and petition) and 14 (freedom of speech and press). The trial court granted
    summary judgment in favor of defendants on those claims, and plaintiffs did not appeal that
    ruling.
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    under which any person otherwise eligible to vote and “not in jail or prison for a felony
    conviction . . . may lawfully register and vote in North Carolina.” Defendants timely
    appealed.
    On 26 April 2022, a split panel of the Court of Appeals issued a partial writ of
    supersedeas, staying the trial court’s injunction for the “elections on 17 May 2022 and
    26 July 2022.” The panel also ordered the State Board of Elections “to take actions to
    implement” the trial court’s order “for subsequent elections.” On 4 April 2022, and in
    accordance with N.C.G.S. § 7A-31, plaintiffs filed in this Court a petition for
    discretionary review prior to a determination by the Court of Appeals. This Court
    allowed the petition on 4 May 2022.
    II.      Jurisdiction
    Defendants argue that plaintiffs lack standing to dispute the constitutionality
    of section 13-1. “Standing refers to whether a party has a sufficient stake in an
    otherwise justiciable controversy such that he or she may properly seek adjudication
    of the matter.” Am. Woodland Indus. v. Tolson, 
    155 N.C. App. 624
    , 626, 
    574 S.E.2d 55
    , 57 (2002). “A plaintiff must establish standing in order to assert a claim for relief.”
    United Daughters of the Confederacy v. City of Winston-Salem, 
    383 N.C. 612
    , 625, 
    881 S.E.2d 32
    , 44 (2022). We must therefore address defendants’ standing arguments
    before we may reach the substance of the trial court’s rulings.
    Defendants contend that plaintiffs lack standing because (1) plaintiffs have
    “challenged the wrong law” and (2) plaintiffs’ claims are not judicially redressable. In
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    support of their first argument, defendants point out that plaintiffs have been
    disenfranchised by Article VI, Section 2(3) of the North Carolina Constitution, not by
    section 13-1, which merely sets out the “manner prescribed by law” for felon re-
    enfranchisement. With respect to their redressability argument, defendants maintain
    that, since only the legislature has the power to define the rights restoration process
    for persons disenfranchised under Article VI, Section 2(3), a final judgment striking
    down section 13-1 would not open the door to voting by individuals on felony
    supervision; rather, it would “close[ ] off the sole avenue by which a felon may regain
    the franchise while leaving in place the constitutional provision that strips it away in
    the first place.” Hence, as defendants see things, the real impact of a final judgment
    in plaintiffs’ favor would be to deny to all felons whose rights have not yet been
    restored any path to regaining the franchise.
    Plaintiffs insist that they do have standing to challenge the constitutionality
    of section 13-1 because that statute “prevents people from registering and voting as
    long as they are on felony probation, parole, or post-release supervision.” Plaintiffs
    argue that any rights restoration legislation enacted by the General Assembly
    pursuant to Article VI, Section 2(3) “must comport with all other provisions of the
    North Carolina Constitution.” They further contend that the remedy ordered by the
    trial court falls within the judiciary’s broad discretion to fashion equitable remedies
    for constitutional violations. Plaintiffs cite decisions in which the Supreme Court of
    the United States has ordered federal agencies to extend benefits to classes of persons
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    that federal law unconstitutionally excluded. See, e.g., Califano v. Westcott, 
    443 U.S. 76
    , 92–93 (1979) (affirming a lower court’s order that a federal benefits program offer
    the same financial support to dependent children of unemployed mothers that the
    law provided for dependent children of unemployed fathers).
    The standing requirements articulated by this Court are not themselves
    mandated by the text of the North Carolina Constitution. See Comm. to Elect Dan
    Forest v. Emps. Pol. Action Comm., 
    376 N.C. 558
    , 599, 
    853 S.E.2d 698
    , 728 (2021)
    (“[T]he ‘judicial power’ provision [in Article IV] of our Constitution imposes no
    particular requirement regarding ‘standing’ at all.”). This Court has developed
    standing requirements out of a “prudential self-restraint” that respects the
    separation of powers by narrowing the circumstances in which the judiciary will
    second guess the actions of the legislative and executive branches. 
    Id.
    When a plaintiff challenges the constitutionality of a statute, “[t]he ‘gist of the
    question of standing’ is whether” the plaintiff “has ‘alleged such a personal stake in
    the outcome of the controversy as to assure that concrete adverseness which sharpens
    the presentation of issues upon which the court so largely depends for illumination of
    difficult constitutional questions.’ ” Stanley v. Dep’t of Conservation and Dev., 
    284 N.C. 15
    , 28, 
    199 S.E.2d 641
    , 650 (1973) (quoting Flast v. Cohen, 
    392 U.S. 83
    , 99
    (1968)). To ensure the requisite concrete adverseness, “a party must show they
    suffered a ‘direct injury.’ The personal or ‘direct injury’ required in this context could
    be, but is not necessarily limited to, ‘deprivation of a constitutionally guaranteed
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    personal right or an invasion of his property rights.’ ” Forest, 376 N.C. at 607–08, 853
    S.E.2d at 733 (citations omitted).
    “[T]he rule requiring direct injury to challenge the constitutionality of a statute
    is based on the rationale ‘that only one with a genuine grievance, one personally
    injured by a statute, can be trusted to battle the issue.’ ” Id. at 594, 853 S.E.2d at 724.
    (quoting Stanley, 
    284 N.C. at 28
    , 
    199 S.E.2d at 650
    ). The direct injury criterion
    applies even where, as here, a plaintiff assails the constitutionality of a statute
    through a declaratory judgment action. See United Daughters, 383 N.C. at 629, 881
    S.E.2d at 46–47 (“[P]laintiff is still required to demonstrate that it has sustained a
    legal or factual injury arising from defendants’ actions as a prerequisite for
    maintaining the present declaratory judgment action.”).
    Defendants make plausible arguments in urging us to throw out plaintiffs’
    lawsuit on standing grounds. The amended complaint repeatedly mischaracterizes
    section 13-1 as “North Carolina’s felony disenfranchisement statute.” Section 13-1
    does not disenfranchise anyone. Like other felons, plaintiff-felons had their right to
    vote eliminated by Article VI, Section 2(3). Had the General Assembly not enacted
    section 13-1 or some other statute providing for the restoration of their citizenship
    rights, plaintiff-felons and all other felons in this state would be disenfranchised
    permanently. See Richardson v. Ramirez, 
    418 U.S. 24
    , 56 (1974) (holding that the
    federal constitution’s Equal Protection Clause did not bar California from denying
    the vote to felons who had completed their sentences and periods of parole).
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    Opinion of the Court
    Moreover, the trial court may well have exceeded the bounds of its remedial
    powers by ordering that all felons not in jail or prison be allowed to register and vote.
    In depriving felons of the right to vote unless their citizenship rights have been
    restored “in the manner prescribed by law,” Article VI, Section 2(3) unquestionably
    assumes that the General Assembly—not the courts—will set the conditions for
    rights restoration, and as discussed above, the legislature has declined to extend
    automatic rights restoration to persons on felony supervision.
    Despite the force of defendants’ standing arguments, we hold that plaintiff-
    felons have standing to bring their claims against defendants. While it is true that
    section 13-1 confers a statutory benefit that the General Assembly was under no legal
    obligation to grant, it is also true that the legislature may not condition eligibility for
    a statutory benefit on criteria that violate the North Carolina Constitution. See, e.g.,
    Harvey v. Brewer, 
    605 F.3d 1067
    , 1079 (9th Cir. 2010) (“Even a statutory benefit can
    run afoul of the Equal Protection Clause . . . if it confers rights in a discriminatory
    manner . . . . For instance, a state could not choose to re-enfranchise voters of only
    one particular race . . . .”).
    The amended complaint alleges that the General Assembly has imposed
    unconstitutional conditions on the restoration of felons’ voting rights. For example,
    the law makes payment of any court-ordered costs, fines, and restitution a condition
    of probation. N.C.G.S. § 15A-1343(b)(9) (2021). If a felon is found to have violated this
    condition, his time on probation—and thus his ineligibility to vote—can be extended.
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    Opinion of the Court
    N.C.G.S. §§ 15A-1342(a) (2021), 15A-1344(a), (d) (2021). The amended complaint
    asserts that, by tying a felon’s eligibility to vote to the completion of probation, section
    13-1 “condition[s] the right to vote on whether people have a type of property—
    money.” According to the amended complaint, this condition violates Article I, Section
    11 of the state constitution, which provides that “no property qualification shall affect
    the right to vote or hold office.” N.C. Const. art. I, § 11. We ultimately reject this
    claim, but it does not follow that plaintiff-felons lacked standing to bring it or their
    other constitutional claims. The amended complaint alleges that plaintiff-felons are
    on   felony   supervision    and   subject    to    the    allegedly   unconstitutional   re-
    enfranchisement conditions of which they complain. Plaintiff-felons thus have been
    “personally injured by [the] statute” and “can be trusted to battle the issue.” Stanley,
    
    284 N.C. at 28
    , 
    199 S.E.2d at 650
    .
    Furthermore, the constitutional violations alleged in the amended complaint
    are redressable. The question of redressability turns not on whether a plaintiff can
    obtain her preferred form of relief but on whether the law provides a remedy for the
    plaintiff’s injury. See Lozano v. City of Hazleton, 
    620 F.3d 170
    , 192 (3d Cir. 2010)
    (“Redressability . . . does not require that a court be able to solve all of a plaintiff’s
    woes. Rather, [it] need only be able to redress, to some extent, the specific injury
    underlying the suit.”), vacated and remanded for further consideration, 
    563 U.S. 1030
    (2011), aff’d in part and rev’d in part on other grounds, 
    724 F.3d 297
     (3d Cir. 2013).
    The essence of the amended complaint’s claims is that section 13-1 attaches
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    conditions to the restoration of citizenship rights that unlawfully distinguish between
    felons based on race or wealth. A court order that simply struck down section 13-1
    would leave plaintiff-felons and all other felons whose rights had not already been
    restored in precisely the same position regardless of race or wealth: disenfranchised
    without any avenue for re-enfranchisement. This outcome would not give plaintiff-
    felons what they want, but it would halt the alleged violations of the North Carolina
    State Constitution.
    Although plaintiff-felons have standing, some plaintiff-organizations clearly do
    not. For a legal entity other than a natural person to have standing, it or one of its
    members “must suffer some immediate or threatened injury.” River Birch Assocs. v.
    City of Raleigh, 
    326 N.C. 100
    , 129, 
    388 S.E.2d 538
    , 555 (1990). “An association may
    have standing in its own right to seek judicial relief from injury to itself and to
    vindicate whatever rights and immunities the association itself may enjoy.” 
    Id.
    (quoting Warth v. Seldin, 
    422 U.S. 490
    , 511 (1975)). Standing exists for an association
    to bring a lawsuit on behalf of its members when “(a) its members would otherwise
    have standing to sue in their own right; (b) the interests it seeks to protect are
    germane to the organization’s purpose; and (c) neither the claim asserted nor the
    relief requested requires the participation of individual members in the lawsuit.” Id.
    at 130, 
    388 S.E.2d at 555
     (quoting Hunt v. Wash. State Apple Advert. Comm’n, 
    432 U.S. 333
    , 343 (1977)).
    The amended complaint alleges that plaintiff-organizations Community
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    Success Initiative, Justice Served N.C., Inc., and Wash Away Unemployment have
    standing because they work to reintegrate into society “people who find themselves
    entangled in the criminal justice system” and that section 13-1 forces them to redirect
    some of their resources “to educate people, including people disenfranchised under
    [section] 13-1, about their voting rights (or lack thereof).” Such vague allegations of
    resource reallocation do not evince the kind of direct injury necessary for an
    association acting in its own right to attack the constitutionality of a statute, nor do
    they offer grounds to believe that section 13-1 infringes on any rights or immunities
    that these three plaintiff-organizations may possess. Additionally, inasmuch as the
    amended complaint does not allege that Community Success Initiative, Justice
    Served N.C., Inc., and Wash Away Unemployment have any members who could
    challenge section 13-1, they lack standing to sue on behalf of their members. See 
    id.
    Similarly,   the   amended     complaint’s     allegations   concerning   plaintiff-
    organization North Carolina State Conference of the NAACP do not establish that it
    has standing in its own right to dispute the validity of section 13-1. In language that
    echoes the descriptions of “harm” allegedly suffered by other plaintiff-organizations,
    the amended complaint alleges that the North Carolina NAACP “is currently forced
    to divert organizational resources away from activities core to its mission in
    furtherance of education and voter engagement efforts required to assist potential
    voters . . . in understanding North Carolina’s felony-based disenfranchisement laws.”
    Again, this vague allegation of resource reallocation does not identify a direct injury
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    for standing purposes.
    The amended complaint’s factual allegations are sufficient, however, to show
    that the North Carolina NAACP qualifies under River Birch to sue on behalf of its
    members. The amended complaint alleges that some of those members are ineligible
    for re-enfranchisement under section 13-1. It ties the interest of those members in
    regaining the franchise to the North Carolina NAACP’s “fundamental mission of . . .
    advanc[ing] and improv[ing] . . . the political, civil, educational, social, and economic
    status of minority groups.” Finally, because plaintiffs brought a declaratory judgment
    action, it appears that the North Carolina NAACP can obtain relief for its members
    without their participation in the lawsuit. See 
    id.
     (“When an organization seeks
    declaratory or injunctive relief on behalf of its members, ‘it can reasonably be
    supposed that the remedy, if granted, will inure to the benefit of those members of
    the association actually injured.’ ” (quoting Warth, 
    422 U.S. at 515
    )).
    Plaintiff-felons and one plaintiff-organization have standing to pursue the
    claims alleged in the amended complaint. Accordingly, we now take up defendants’
    legal challenges to the merits of the trial court’s ruling.
    III.   Standard of Review
    Whether made at summary judgment or at trial, a trial court’s ruling on the
    constitutionality of a statute receives de novo review on appeal. State v. Whittington,
    
    367 N.C. 186
    , 190, 
    753 S.E.2d 320
    , 323 (2014); Hart v. State, 
    368 N.C. 122
    , 130–31,
    
    774 S.E.2d 281
    , 287 (2015). Under de novo review, this Court “ ‘considers the matter
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    anew and freely substitutes its own judgment’ for that of the lower tribunal.” State v.
    Williams, 
    362 N.C. 628
    , 632–33, 
    669 S.E.2d 290
    , 294 (2008) (quoting In re Appeal of
    Greens of Pine Glen Ltd., 
    356 N.C. 642
    , 647, 
    576 S.E.2d 316
    , 319 (2003)). When the
    trial court has conducted a trial without a jury, we examine whether the trial court’s
    findings of fact support its conclusions of law. Blanton v. Blanton, 
    40 N.C. App. 221
    ,
    225, 
    252 S.E.2d 530
    , 533 (1979). “[T]he trial court’s findings of fact have the force and
    effect of a jury verdict and are conclusive on appeal if there is competent evidence to
    support them, even though the evidence could be viewed as supporting a different
    finding.” In re Estate of Skinner, 
    370 N.C. 126
    , 139, 
    804 S.E.2d 449
    , 457 (2017)
    (quoting Bailey v. State, 
    348 N.C. 130
    , 146, 
    500 S.E.2d 54
    , 63 (1998)).
    We review permanent injunctions for abuse of discretion. See Roberts v.
    Madison Cnty. Realtors Ass’n, 
    344 N.C. 394
    , 399, 
    474 S.E.2d 783
    , 787 (1996) (“When
    equitable relief is sought, courts claim the power to grant, deny, limit, or shape that
    relief as a matter of discretion.”). “A [trial] court by definition abuses its discretion
    when it makes an error of law.” State v. Rhodes, 
    366 N.C. 532
    , 536, 
    743 S.E.2d 37
    , 39
    (2013) (alteration in original) (quoting Koon v. United States, 
    518 U.S. 81
    , 100 (1996)).
    IV.    Analysis
    Given the number and complexity of the legal issues raised by the parties to
    this appeal, we briefly review the fundamental principles that guide our inquiry when
    an appeal squarely presents a state constitutional challenge to the validity of a
    statute. One such principle is that we defer to legislation enacted by the General
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    Assembly. See State ex rel. Martin v. Preston, 
    325 N.C. 438
    , 448, 
    385 S.E.2d 473
    , 478
    (1989) (“Since our earliest cases applying the power of judicial review under the
    Constitution of North Carolina, . . . we have indicated that great deference will be
    paid to acts of the legislature . . . .”).
    We defer to legislative enactments for at least two reasons. The first is the
    status of legislative enactments in our constitutional order. In this state, “[a]ll
    political power is vested in and derived from the people; all government of right
    originates from the people, is founded upon their will only, and is instituted solely for
    the good of the whole.” N.C. Const. art. I, § 2. Ordinarily, the people exercise this
    sovereign power through their elected representatives in the General Assembly. State
    ex rel. Ewart v. Jones, 
    116 N.C. 570
    , 570, 
    21 S.E. 787
    , 787 (1895). This Court therefore
    looks upon laws enacted by our General Assembly as expressions of the people’s will.
    Preston, 
    325 N.C. at 448
    , 
    385 S.E.2d at 478
    . It follows that we may not strike down a
    law unless it violates federal law or the supreme expression of the people’s will, the
    North Carolina Constitution. See 
    id.
     at 448–49, 
    385 S.E.2d at 478
    ; see also State v.
    Emery, 
    224 N.C. 581
    , 583, 
    31 S.E.2d 858
    , 860 (1944) (“The will of the people as
    expressed in the Constitution is the supreme law of the land.”).
    The second reason for deference is more practical. Almost by definition,
    legislation involves the weighing and accommodation of competing interests, and “it
    is the role of the legislature, rather than this Court, to balance disparate interests
    and find a workable compromise among them.” Beaufort Cnty. Bd. of Educ. v.
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    Beaufort Cnty. Bd. of Comm’rs, 
    363 N.C. 500
    , 502, 
    681 S.E.2d 278
    , 280 (2009). When
    a statute constitutes a permissible exercise of legislative authority, we must uphold
    the statute regardless of whether we agree with the General Assembly’s public policy
    choices. See In re Appeal of Philip Morris U.S.A., 
    335 N.C. 227
    , 231, 
    436 S.E.2d 828
    ,
    831 (1993) (“[T]he determination of whether a particular policy is wise or unwise is
    for determination by the General Assembly.”); Martin v. N.C. Hous. Corp., 
    277 N.C. 29
    , 41, 
    175 S.E.2d 665
    , 671 (1970) (“[Q]uestions as to public policy are for legislative
    determination.”). Put differently, “[t]his Court will only measure the balance struck
    in the statute against the minimum standards required by the constitution.” Beaufort
    Cnty. Bd. of Educ., 
    363 N.C. at 502
    , 
    681 S.E.2d at
    280–81.
    Consistent with the deference owed to legislative enactments, when this Court
    is called upon to decide the constitutionality of a statute, we start with a strong
    presumption of the statute’s validity. Am. Equitable Assurance Co. v. Gold, 
    249 N.C. 461
    , 462–63, 
    106 S.E.2d 875
    , 876 (1959); see also Hart, 
    368 N.C. at 131
    , 774 S.E.2d
    at 287 (“We therefore presume that a statute is constitutional . . . .”). The burden is
    on the party challenging the statute to demonstrate its unconstitutionality. Raleigh
    Mobile Home Sales, Inc. v. Tomlinson, 
    276 N.C. 661
    , 669, 
    174 S.E.2d 542
    , 548 (1970).
    To prevail, the challenger must demonstrate that the law is unconstitutional beyond
    a reasonable doubt. See Hart, 
    368 N.C. at 126
    , 774 S.E.2d at 284; see also Glenn v.
    Bd. of Educ., 
    210 N.C. 525
    , 529–30, 
    187 S.E. 781
    , 784 (1936) (“If there is any
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    reasonable doubt [as to a law’s constitutionality], it will be resolved in favor of the
    lawful exercise of their powers by the representatives of the people.”).
    Notwithstanding our deference to legislative enactments, when a challenger
    proves the unconstitutionality of a law beyond a reasonable doubt, this Court will not
    hesitate to pronounce the law unconstitutional and to vindicate whatever
    constitutional rights have been infringed. Glenn, 
    210 N.C. at 529
    , 
    187 S.E. at 784
    ; see
    also Roller v. Allen, 
    245 N.C. 516
    , 518, 
    96 S.E.2d 851
    , 854 (1957) (“An Act will be
    declared unconstitutional and its enforcement will be enjoined when it clearly
    appears either that property or fundamental human rights are denied in violation of
    constitutional guarantees.”); N.C. Real Est. Licensing Bd. v. Aikens, 
    31 N.C. App. 8
    ,
    11, 
    228 S.E.2d 493
    , 495 (1976) (“[T]he courts of this State have not hesitated to strike
    down regulatory legislation [that is] repugnant to the State Constitution.” (citing
    Roller, 
    245 N.C. 516
    , 
    96 S.E.2d 851
    ; State v. Ballance, 
    229 N.C. 764
    , 
    51 S.E.2d 731
    (1949); State v. Harris, 
    216 N.C. 746
    , 
    6 S.E.2d 854
     (1940))).
    Plaintiffs have brought a facial challenge to section 13-1. In contrast to an as-
    applied challenge, which “represents a plaintiff’s protest against how a statute was
    applied in the particular context in which plaintiff acted or proposed to act,” Town of
    Beech Mountain v. Genesis Wildlife Sanctuary, Inc., 
    247 N.C. App. 444
    , 460, 
    786 S.E.2d 335
    , 347 (2016) (quoting Frye v. City of Kannapolis, 
    109 F. Supp. 2d 436
    , 439
    (M.D.N.C. 1999)), a facial challenge “is an attack on a statute itself as opposed to a
    particular application,” Holdstock v. Duke Univ. Health Sys., Inc., 
    270 N.C. App. 267
    ,
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    272, 
    841 S.E.2d 307
    , 311 (2020) (quoting City of L.A. v. Patel, 
    576 U.S. 409
    , 415
    (2015)). “[A] facial challenge to the constitutionality of an act . . . is the most difficult
    challenge to mount successfully.” Hart, 
    368 N.C. at 131
    , 774 S.E.2d at 288. To
    establish the unconstitutionality of a statute beyond a reasonable doubt on a facial
    challenge, “[a] party must show that there are no circumstances under which the
    statute might be constitutional.” Beaufort Cnty. Bd. of Educ., 
    363 N.C. at 502
    , 
    681 S.E.2d at 280
     (emphasis added). “The fact that a statute ‘might operate
    unconstitutionally under some conceivable set of circumstances is insufficient to
    render it wholly invalid.’ ” State v. 
    Thompson, 349
     N.C. 483, 491, 
    508 S.E.2d 277
    , 282
    (1998) (quoting United States v. Salerno, 
    481 U.S. 739
    , 745 (1987)).
    Of course, this Court cannot properly evaluate a challenge to the
    constitutionality of a statute without understanding the meaning of the
    constitutional provision at issue. Our interpretive endeavor begins with the text of
    the provision. “[W]here the meaning is clear from the words used, we will not search
    for a meaning elsewhere.” Preston, 
    325 N.C. at 449
    , 
    385 S.E.2d at 479
    . If the text does
    not resolve the matter, we examine the available historical record in an effort to
    isolate the provision’s meaning at the time of its ratification. See Sneed v. Greensboro
    City Bd. of Educ., 
    299 N.C. 609
    , 613, 
    264 S.E.2d 106
    , 110 (1980) (“Inquiry must be
    had into the history of the questioned provision and its antecedents, the conditions
    that existed prior to its enactment, and the purposes sought to be accomplished by its
    promulgation.”). We also seek guidance from any on-point precedents from this Court
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    interpreting the provision. Elliott v. State Bd. of Equalization, 
    203 N.C. 749
    , 753, 
    166 S.E. 918
    , 921 (1932). With these fundamental principles in mind, we now direct our
    attention to the constitutional issues raised by this appeal.
    A. Racial Discrimination
    The trial court concluded that “[s]ection 13-1’s denial of the franchise to people
    on felony supervision” unconstitutionally discriminates against African Americans in
    “intent and effect” and “denies [them] substantially equal voting power on the basis
    of race” in violation of our state constitution’s Equal Protection Clause. Defendants
    argue that this Court should reverse the trial court because “[s]ection 13-1’s historical
    background demonstrates definitively that the law as it currently stands was not
    motivated by racial discrimination.” Plaintiffs urge us to affirm the trial court,
    contending that section 13-1 is the successor to earlier felon voting legislation
    designed to discriminate against African Americans; that the passage of time did not
    purge section 13-1 of that racially discriminatory intent; and that the General
    Assembly’s refusal in the 1970s to extend the franchise to individuals on felony
    supervision “was independently motivated by racism.”
    “The civil rights guaranteed by the Declaration of Rights in Article I of [the
    North Carolina] Constitution are individual and personal rights entitled to protection
    against state action . . . .” Corum v. Univ. of N.C., 
    330 N.C. 761
    , 782, 
    413 S.E.2d 276
    ,
    289 (1992). Article I, Section 19 reads in part: “No person shall be denied the equal
    protection of the laws; nor shall any person be subjected to discrimination by the
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    State because of race, color, religion, or national origin.” N.C. Const. art I, § 19.
    Because the text of this provision does not tell us how to analyze plaintiffs’ claims of
    racial discrimination, we turn to the provision’s historical context and pertinent
    caselaw for assistance.
    Unlike most other provisions in Article I, which “may be traced back through
    [this state’s] 1868 constitution to [its] Revolutionary Constitution of 1776[,]” State
    Constitution at 45, the Equal Protection Clause and the Nondiscrimination Clause in
    Article I, Section 19 did not become part of our fundamental law until 1971, when the
    current state constitution went into effect. The drafters of the two clauses based their
    work on the Equal Protection Clause in the Fourteenth Amendment to the United
    States Constitution and on federal nondiscrimination laws. Id. at 68. Accordingly,
    “[t]his Court’s analysis of the State Constitution’s Equal Protection Clause generally
    follows the analysis of the Supreme Court of the United States in interpreting the
    corresponding federal clause.” Blankenship v. Bartlett, 
    363 N.C. 518
    , 522, 
    681 S.E.2d 759
    , 762 (2009). “However, in the construction of the provision of the State
    Constitution, the meaning given by the Supreme Court of the United States to even
    an identical term in the Constitution of the United States is, though highly
    persuasive, not binding upon this Court.”7 Bulova Watch Co. v. Brand Distribs. of N.
    Wilkesboro, Inc., 
    285 N.C. 467
    , 474, 
    206 S.E.2d 141
    , 146 (1974).
    7  Of course, this Court must follow Supreme Court precedent when we interpret
    provisions of the United States Constitution.
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    Section 13-1 makes no reference to race and thus appears to be race neutral.
    Yet even an apparently race-neutral statute can violate equal protection if enacted
    with a racially discriminatory purpose. See Vill. of Arlington Heights v. Metro. Hous.
    Dev. Corp., 
    429 U.S. 252
    , 265 (1977) (“Proof of racially discriminatory intent or
    purpose is required to show a violation of the Equal Protection Clause.”).
    Decisions by the Supreme Court of the United States describe a burden-
    shifting framework that federal courts must employ when a plaintiff alleges that an
    apparently race-neutral law was motivated by a racially discriminatory purpose
    contrary to the Fourteenth Amendment’s Equal Protection Clause. Under that
    framework, “the burden of proof lies with the challenger, not the State.” Abbott v.
    Perez, 
    138 S. Ct. 2305
    , 2324 (2018). Moreover, the court must approach any evidence
    introduced by the plaintiff with a presumption that the legislature acted in good faith.
    See Miller v. Johnson, 
    515 U.S. 900
    , 915 (1995) (“[T]he good faith of a state legislature
    must be presumed . . . .”).
    To overcome the presumption of good faith and carry the burden of proof, the
    plaintiff must almost always do more than show that the statute “produces
    disproportionate effects along racial lines.”8 Hunter v. Underwood, 
    471 U.S. 222
    , 227
    8  In rare cases, statistical evidence alone can establish discriminatory intent.
    McCleskey v. Kemp, 
    481 U.S. 279
    , 293–94 (1987) (“[S]tatistical proof normally must present
    a ‘stark’ pattern to be accepted as the sole proof of discriminatory intent under the
    Constitution . . . .” (quoting Arlington Heights, 
    429 U.S. at 266
    )). Here, however, plaintiffs do
    not argue that the statistical evidence presented at trial suffices to prove an equal protection
    violation.
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    CMTY. SUCCESS INITIATIVE V. MOORE
    Opinion of the Court
    (1985); see also Arlington Heights, 
    429 U.S. at
    264–65 (“[O]fficial action will not be
    held unconstitutional solely because it results in a racially disproportionate impact.”).
    In its Arlington Heights decision, the Supreme Court identified other, nonexclusive
    factors that can support federal equal protection challenges to ostensibly race-neutral
    government actions: (1) the historical background of an action; (2) the legislative or
    administrative history of an action; and (3) deviations from normal procedures.
    Arlington Heights, 
    429 U.S. at
    267–68.
    If the plaintiff proves that racial discrimination motivated the legislature, “the
    burden shifts to the law’s defenders[,]” Hunter, 471 U.S. at 228, and “judicial
    deference [to the legislature] is no longer justified[,]” Arlington Heights, 
    429 U.S. at 266
    . To avoid defeat on the plaintiff’s federal equal protection claim at that point, the
    defenders must show that the statute would have been enacted even if the legislature
    had not intended to discriminate on racial lines. Hunter, 471 U.S. at 228.
    Here, the parties and the trial court assumed that the Supreme Court’s
    burden-shifting framework applies to plaintiffs’ racial discrimination claims. We are
    not bound by their assumption, however. See Baxley v. Nationwide Mut. Ins. Co., 
    104 N.C. App. 419
    , 422, 
    410 S.E.2d 12
    , 14 (1991) (“Generally, parties may stipulate as to
    matters which involve individual rights and obligations of the parties but may not
    stipulate as to what the law is.”), aff’d, 
    334 N.C. 1
    , 
    430 S.E.2d 895
     (1993). When
    resolving claims that a facially neutral law discriminates against persons of a
    particular race in violation of our state Equal Protection Clause, we are free to depart
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    from the federal burden-shifting framework if we deem it incompatible with the
    principles that guide our review of state constitutional challenges to the validity of
    statutes. Nonetheless, applying that framework to this case solely for the sake of
    argument, we hold that the trial court erred in ruling that section 13-1 unlawfully
    discriminates based on race. The court misapplied the framework to the evidence by
    ignoring Supreme Court precedent that should have informed its approach.
    Furthermore, and contrary to the court’s findings of fact and conclusions of law, the
    available evidence does not show that racial discrimination inspired the General
    Assembly to require that felons complete their felony supervision before they regain
    the right to vote.
    1. Trial Court’s Findings of Discriminatory Intent not Binding
    The trial court committed legal error by failing to apply the presumption of
    legislative good faith to the General Assembly’s 1971 enactment of a new section 13-
    1 and 1973 amendments to the same. That presumption applied notwithstanding the
    lamentable catalogue of measures adopted by legislators in times past for the purpose
    of disenfranchising African Americans. See Abbott, 
    138 S. Ct. at 2324
     (“The allocation
    of the burden of proof and the presumption of legislative good faith are not changed
    by a finding of past discrimination.”). Rather than presuming good faith, the trial
    court assumed that past discrimination infected the 1971 and 1973 felon voting
    legislation because “[t]he legislature cannot purge through the mere passage of time
    an impermissibly racially discriminatory intent.” As explained below, this is precisely
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    the kind of error criticized by the Supreme Court of the United States in Abbott.
    Inasmuch as the trial court did not presume legislative good faith, its findings
    of fact concerning the discriminatory intent allegedly infecting section 13-1 are not
    binding on appeal. See 
    id. at 2326
     (“[W]hen a finding of fact is based on the application
    of an incorrect burden of proof, the finding cannot stand.” (citing Bose Corp. v.
    Consumers Union of U.S., Inc., 
    466 U.S. 485
    , 501 (1984) (referring to “an appellate
    court’s power to correct errors of law, including those that may infect a so-called
    mixed finding of law and fact, or a finding of fact that is predicated on a
    misunderstanding of the governing rule of law”))).
    2. Arlington Heights Factors
    Serious defects in its treatment of the Arlington Heights factors led the trial
    court to the erroneous conclusion that section 13-1 embodies an unconstitutional
    legislative intent to suppress the votes of African Americans. The evidence
    corresponding to each factor should have led the trial court to render judgment in
    favor of defendants.
    a. Disproportionate Impact
    “Determining whether invidious discriminatory purpose was a motivating
    factor demands a sensitive inquiry into such circumstantial and direct evidence of
    intent as may be available. The impact of the official action—whether it bears more
    heavily on one race than another—may provide an important starting point.”
    Arlington Heights, 
    429 U.S. at 266
     (internal quotation marks and citation omitted).
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    According to the trial court, the statistical evidence presented by plaintiffs
    reveals that “North Carolina’s denial of the franchise [to those] on felony . . .
    supervision disproportionately affects African Americans by wide margins.” At the
    statewide level, “African Americans comprise 21% of North Carolina’s voting-age
    population, but over 42% of those denied the franchise due to felony . . . supervision
    from a North Carolina state court conviction alone. . . . In comparison, White people
    comprise 72% of the voting-age population, but only 52% of those denied the
    franchise.” Moreover, “[i]n total, 1.24% of the entire African American voting-age
    population in North Carolina are denied the franchise due to felony . . . supervision,
    whereas only 0.45% of the White voting-age population are denied the franchise.” The
    result is that African Americans are “denied the franchise at a rate 2.76 times as high
    as the rate of the White population.”
    The trial court likewise found that “[e]xtreme racial disparities in denial of the
    franchise to persons on [felony] supervision also exist at the county level.” For
    instance, “[i]n 77 counties, the rate of African Americans denied the franchise due to
    felony . . . supervision is high (more than 0.83% of the African American voting-age
    population), whereas there are only 2 counties where the rate of African American
    disenfranchisement is low (less than 0.48% of the African American voting-age
    population).” On the other hand, “the rate of White disenfranchisement is high in
    only 10 counties, while the rate of White disenfranchisement is low in 53 counties.”
    Indeed, “[a]mong the 84 counties where there is sufficient data for comparison,
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    African Americans are denied the franchise due to felony . . . supervision at a higher
    rate than White people in every single county.” With respect to felony convictions in
    our state courts, “the percentage [in 44 counties] of the African American voting-age
    population that is denied the franchise due to [felony] supervision . . . is more than
    three times greater than the comparable percentage of the White population.” Taken
    together, in the trial court’s view, the statewide data and county-level data show that
    “North Carolina’s denial of the franchise to persons on felony . . . supervision has an
    extreme disparate impact on African American people.”
    The trial court’s disparate impact analysis suffers from at least two major
    flaws. First, the court incorrectly held section 13-1 responsible for the
    disenfranchisement of individuals on felony supervision. Like other felons, felons in
    that category have been disenfranchised by Article VI, Section 2(3) of the state
    constitution, not by section 13-1. If the General Assembly were to repeal section 13-1
    tomorrow, Article VI, Section 2(3) would still exclude anyone on felony supervision
    from the electoral process. Affording the trial court the benefit of the doubt, we
    assume it meant that the criteria imposed by section 13-1 for felon re-enfranchisement
    operate to the peculiar disadvantage of African Americans.
    Second, the trial court erred by not making any findings concerning the racial
    makeup of the overall felon population. Absent such findings, the court could not
    determine whether section 13-1 affects African American felons differently than
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    white felons.9 Defendants’ expert witness, Dr. Keegan Callanan, stated that African
    Americans constitute forty-two percent of the total felon population. The trial court
    found that, despite his expertise in the “broad field of political science,” Dr. Callanan
    lacked expertise in the “particular issues” presented by this case and thus that his
    opinions were entitled to “no weight.” The percentage of felons who are classified as
    African Americans is not a matter of opinion, however, and none of plaintiffs’ experts
    disputed the forty-two percent figure.
    On its face, the fact that African Americans make up about forty-two percent
    of the felon population seems to account for the disproportionate share (forty-two
    percent) of African Americans on felony supervision. In other words, the trial court’s
    findings provide no reason to believe that section 13-1 re-enfranchises African
    American felons at a rate that differs from the re-enfranchisement rate for white
    felons.10
    9 The dissent contends that our reasoning could have been employed by defenders of
    the poll tax to argue that, since “African Americans were disproportionately poor . . . wealth
    inequality, rather than laws implementing poll taxes, was to blame for the disproportionate
    number of African Americans barred from voting.” The dissent misapprehends our position.
    We do not hold that a court must refuse to credit a plaintiff’s disparate impact showing unless
    the plaintiff can also prove that race alone accounts for the disparity. Rather, we point out
    that the trial court should have compared the percentages of African American felons and
    white felons ineligible for re-enfranchisement under section 13-1 with the racial makeup of
    the total felon population because, unlike the poll tax that all would-be voters had to pay,
    section 13-1’s scope is limited to individuals with felony convictions.
    10 Our disparate impact analysis might have come out differently if, for instance, the
    evidence had shown that African American felons are significantly more likely than white
    felons to be placed on felony supervision and thus to be ineligible for re-enfranchisement
    under section 13-1. On those facts, plaintiffs would have had a credible argument that section
    13-1 disproportionately affects African American felons.
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    Interestingly, if the statistics cited by the trial court amount to proof of
    disparate impact, the court’s own remedy becomes vulnerable to equal protection
    objections. Since a disproportionately large percentage of felons are African
    American, it stands to reason that African Americans constitute a disproportionate
    share of felons currently incarcerated. Thus, if we accept the trial court’s logic,
    extending the franchise to persons on felony supervision but not to felons in jail or
    prison would almost certainly have a disparate impact on African Americans. It may
    be that the only practical way to avoid this kind of “disparate impact” is to allow all
    felons to vote. Were we to construe the Equal Protection Clause in Article I, Section
    19 to require such a solution, we would essentially hold that the felon voting
    prohibition in Article VI, Section 2(3) violates Article I, Section 19. Because we must
    give effect to both provisions, we may not adopt that interpretation. See Leandro v.
    State, 
    346 N.C. 336
    , 352, 
    488 S.E.2d 249
    , 258 (1997) (“Plaintiffs are essentially
    reduced to arguing that one section of the North Carolina Constitution violates
    another. It is axiomatic that the terms or requirements of a constitution cannot be in
    violation of the same constitution—a constitution cannot violate itself.”).
    The trial court’s findings of fact do not support its ultimate finding that section
    13-1 has a disproportionate impact on African Americans. Undisputed evidence in
    the record but ignored by the trial court undermines the court’s position. Accordingly,
    the trial court’s disparate impact finding cannot be relied upon to sustain its
    conclusion that the General Assembly enacted a new section 13-1 in 1971 and then
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    amended it in 1973 with the intent of discriminating against African Americans.
    b. Historical Background
    The “historical background” of a legislative enactment is relevant to
    discriminatory motive determinations, “particularly if it reveals a series of official
    actions taken for invidious purposes.” Arlington Heights, 
    429 U.S. at 267
    . The trial
    court’s order contains extensive findings about the efforts of many white North
    Carolinians in the nineteenth century to manipulate the legal system to exclude
    African Americans from the political process. For example, the order discusses an
    “extensive campaign” in the late 1860s by “White former Confederates” to “convict[ ]
    African American men of petty crimes en masse and whip[ ] them to disenfranchise
    them ‘in advance’ of the Fifteenth Amendment.” (At the time, receiving an “infamous
    punishment,” such as a public whipping, could disqualify someone from voting.)
    According to the trial court’s order, an 1867 article in the National Anti-Slavery
    Standard reported that “in all country towns the whipping of Negroes is being carried
    on extensively,” the motive being “to guard against their voting in the future.”
    Regarding the 1876 constitutional ban on felon voting and the corresponding 1877
    felon voting legislation, the trial court found that “[t]he goal of the felony
    disenfranchisement regime established in 1876 and 1877, including the 1877
    expansion of the onerous 1840 [sic] rights restoration regime to apply to all felonies,
    was to discriminate against and disenfranchise African American people.”
    Far from denying the incontrovertible record of racism that mars the history
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    just described, defendants’ legal counsel conceded at trial:
    The plaintiffs here presented a lot of evidence; much of it,
    if not all of it, all of it, troubling and irrefutable. You can’t
    — I can’t say anything about a newspaper report that says
    what it says. I can’t say anything about the history that is
    in the — in the archives. What I can say is that the
    evidence . . . presented certainly demonstrates a shameful
    history of our state’s use of laws, and with regard to voting
    in particular, to suppress the African American population.
    That I can’t — I can’t contest that. We never tried to contest
    that.
    The trial court’s historical findings say little about the period between 1877
    and 1971, the year in which Representatives Johnson and Frye introduced their first
    proposal to reform the procedures for the restoration of felons’ citizenship rights.
    According to the trial court, “[b]etween 1897 and 1970, the legislature made various
    small adjustments to the procedure for restoration of rights and recodified that law
    at N.C.G.S. § 13-1, but the substance of the law was largely unchanged.” The court’s
    order does remark that, while “the requirements for rights restoration were slightly
    relaxed . . . during th[e] period [between 1877 and 1971], none of those changes were
    likely to help African American people, who had been ‘effectively’ disenfranchised by
    this time ‘by other means,’ including North Carolina’s poll tax and literacy test
    established in 1899.”
    The pre-1971 events recounted in the trial court’s order, along with much of
    the history summarized at the beginning of this opinion, paint a profoundly troubling
    portrait of a legal system used time and again to deny African Americans a voice in
    government by banning or restricting their participation in elections. Yet it is not
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    those deplorable measures that are in dispute. Plaintiffs have challenged section 13-
    1 as enacted in 1971 and amended in 1973. The question therefore is whether the
    trial court rightly understood the relevance of the pre-1971 history to its deliberations
    on the constitutionality of section 13-1.
    The conclusions of law in the trial court’s order indicate that the pre-1971
    history of felon voting laws in North Carolina was a substantial factor in the outcome.
    The order asserts that “[t]he legislature cannot purge through the mere passage of
    time an impermissibly racially discriminatory intent.” As legal authority for the
    importance that it assigns to pre-1971 events, the order cites the 1985 decision of the
    Supreme Court of the United States in Hunter v. Underwood, 
    471 U.S. 222
     (1985).
    There, the plaintiffs brought an equal protection challenge to a provision in the 1901
    Alabama Constitution that disenfranchised persons convicted of certain crimes, some
    of them minor offenses. 
    Id.
     at 226–29. The evidence overwhelmingly showed that the
    constitutional convention at which the provision had been adopted “was part of a
    movement that swept the post-Reconstruction South to disenfranchise blacks.” 
    Id. at 229
    . In his opening remarks, the convention’s president publicly announced that the
    goal of the 1901 convention was “to establish white supremacy” in Alabama “within
    the limits imposed by the Federal Constitution.” 
    Id.
     Additionally, “the crimes selected
    for inclusion in [the 1901 felon voting provision] were believed by the delegates to be
    more frequently committed by blacks.” 
    Id. at 227
    . Influenced by those facts and the
    provision’s ongoing discriminatory impact on African Americans, the Supreme Court
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    held that the provision violated the federal Equal Protection Clause. 
    Id. at 233
    . The
    Court expressly declined to decide, though, whether the provision “would be valid if
    enacted today without any impermissible motivation.” 
    Id.
    The Hunter decision is plainly not on point. Unlike Hunter, this case does not
    concern the constitutionality of a now 122-year-old provision adopted at a proceeding
    held for the avowed purpose of ensuring white supremacy. As previously observed,
    the General Assembly in 1971 repealed Chapter 13 of the General Statutes “in its
    entirety” and enacted “a new Chapter 13” with a new section 13-1. An Act to Amend
    Chapter 13 of the General Statutes to Require the Automatic Restoration of
    Citizenship to Any Person Who Has Forfeited Such Citizenship Due to Committing a
    Crime and has Either Been Pardoned or Completed His Sentence, ch. 902, § 1, 
    1971 N.C. Sess. Laws 1421
    , 1421. The new Chapter 13 was much friendlier to felons than
    its predecessor legislation. It replaced the onerous petition-and-hearing procedure
    with a simple oath requirement. 
    Id.
     It also eliminated the waiting period for “[a]ny
    person convicted of a [felony when] . . . the Department of Correction at the time of
    release recommend[ed] restoration of citizenship.” 
    Id.
     The legislature’s amendments
    to Chapter 13 in 1973 terminated the oath requirement altogether, making the
    restoration of citizenship rights automatic upon a felon’s unconditional discharge. An
    Act to Provide for the Automatic Restoration of Citizenship, ch. 251, § 1, 
    1973 N.C. Sess. Laws 237
    , 237–38. In short, the Hunter decision does not apply to a case such
    as this one, where the legislature repealed allegedly discriminatory laws and replaced
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    them with a substantially different statutory scheme.
    The trial court should have looked to the Supreme Court’s more recent decision
    in Abbott v. Perez, 
    138 S. Ct. 2305 (2018)
    , which arose from the Texas legislature’s
    adoption in 2011 of new maps for state legislative and congressional districts. Id. at
    2313. Litigation immediately ensued over claims that the 2011 maps improperly took
    race into account, and a federal district court in Texas drew up interim maps for the
    state’s upcoming primaries without deferring to the maps enacted by the legislature.
    Id. at 2315–16. Texas challenged the interim maps, and the Supreme Court reversed
    and remanded, directing the district court to start with the 2011 maps drawn by the
    Texas legislature and modify them as necessary to comply with federal law. Id. at
    2316. In 2013 the Texas legislature repealed the original 2011 maps and enacted the
    interim maps as modified by the district court. Id. at 2317. Litigation again ensued,
    and the district court struck down the 2013 maps, reasoning that (1) the 2011
    legislature had intended the original maps to discriminate on the basis of race and
    (2) the 2011 legislature’s discriminatory intent should be attributed to the 2013
    legislature because the latter “had failed to engage in a deliberative process to ensure
    that the 2013 plans cured any taint from the 2011 plans.” Id. at 2318 (internal
    quotation marks and citations omitted).
    Texas appealed again, and the Supreme Court reversed the district court a
    second time, primarily because the maps adopted by the 2013 legislature were not
    the original 2011 maps. Id. at 2325. “Under these circumstances,” said the Court,
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    “there can be no doubt about what matters: It is the intent of the 2013 Legislature.”
    Id. Furthermore, the Court explained, a finding of past discrimination did not alter
    the burden of proof or the presumption of legislative good faith. Id. at 2324–25 (“[P]ast
    discrimination cannot, in the manner of original sin, condemn governmental action
    that is not itself unlawful.” (alteration in original) (quoting City of Mobile v. Bolden,
    
    446 U.S. 55
    , 74 (1980) (plurality opinion))). The district court thus erred by
    “revers[ing] the burden of proof” and “impos[ing] on the State the obligation of
    proving that the 2013 Legislature had experienced a true ‘change of heart’ and had
    ‘engage[d] in a deliberative process to ensure that the 2013 plans cured any taint
    from the 2011 plans.’ ” Id. at 2325 (third alteration in original) (quoting Perez v.
    Abbott, 
    274 F. Supp. 3d 624
    , 649 (D.C. Cir. 2017)). The district court should have held
    the plaintiffs “to their burden of overcoming the presumption of [legislative] good
    faith and proving discriminatory intent.” 
    Id.
     Examining the available evidence, the
    Supreme Court held that it was “plainly insufficient to prove that the 2013
    Legislature acted in bad faith and engaged in intentional discrimination.” Id. at 2327.
    The “direct evidence” of intent in the record revealed that the 2013 legislature
    adopted the modified interim maps for the acceptable purpose of shortening any
    redistricting litigation that might follow. Id. Inasmuch as those maps had already
    been approved by the district court in earlier litigation, the 2013 legislature had “good
    reason to believe that [they] were legally sound.” Id. at 2328.
    When applied to this case, Abbott leads us to conclude that the trial court erred
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    as a matter of law by requiring the General Assembly to prove that it had purged
    past discriminatory intent prior to its enactment of a new section 13-1 in 1971. While
    it would be an overstatement to say that the trial court should have ignored the pre-
    1971 history recounted in its order, plaintiffs’ claims must finally rise or fall on
    whether their evidence overcomes the presumption of legislative good faith and
    proves that discriminatory intent motivated the legislators who voted in the early
    1970s to reduce the barriers to felon re-enfranchisement. See id. at 2327 (“[W]e do
    not suggest . . . that the intent of the 2011 Legislature is irrelevant . . . . Rather, . . .
    the intent of the 2011 Legislature . . . [is] relevant to the extent that [it] naturally
    give[s] rise to—or tend[s] to refute—inferences regarding the intent of the 2013
    Legislature.”).
    Before proceeding, we observe that the trial court’s order omits a major historic
    development close in time to the General Assembly’s 1971 and 1973 rewrites of
    section 13-1: the legislature’s approval in 1969 of what became our current state
    constitution. As noted above, that document incorporated equal protection and
    nondiscrimination guarantees that had not appeared in our previous state
    constitutions. State Constitution at 45, 68. In other words, not long before it took
    action to dismantle procedural obstacles to the restoration of eligible felons’
    citizenship rights, the General Assembly adopted a draft constitution that explicitly
    prohibited government discrimination based on race, color, religion, or national
    origin. The trial court should have considered the relevance of this event to plaintiffs’
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    racial discrimination claims.
    c. Legislative History
    For a court conducting an Arlington Heights inquiry, “[t]he legislative or
    administrative history may be highly relevant, especially where there are
    contemporary statements by members of the decisionmaking body, minutes of its
    meetings, or reports.” Arlington Heights, 
    429 U.S. at 268
    . The principal findings of
    fact in the trial court’s order that chronicle the events of 1971 and 1973 read as
    follows:
    42.    In 1971, Reps. Joy Johnson and Henry Frye
    proposed a bill amending section 13-1 to eliminate the
    petition and witness requirement and to “automatically”
    restore citizenship rights to anyone convicted of a felony
    “upon the full completion of his sentence.” But their
    proposal was rejected. Their proposed bill was amended to
    retain section 13-1’s denial of the franchise to people living
    in North Carolina’s communities. In particular, the African
    American legislators’ 1971 proposal was successfully
    amended in committee to specifically require the
    completion of “any period of probation or parole”—words
    that had not appeared in Rep. Johnson and Frye’s original
    proposal—and then successfully amended again to require
    “two years [to] have elapsed since release by the
    Department of Corrections, including probation or parole.”
    The amendments also deleted the word “automatically”
    and added a requirement to take an oath before a judge to
    obtain rights restoration. The 1971 revision to section 13-1
    passed as amended. It thus required people with felony
    convictions to wait two years from the date of the
    completion of their probation or parole, and then to go
    before a judge and take an oath to secure their voting
    rights.
    43.  Rep. Frye explained on the floor of the North
    Carolina House of Representatives in July 1971 that “he
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    preferred the bill’s original provisions which called for
    automatic restoration of citizenship when a felon had
    finished his prison sentence, but he would go along with
    the amendment if necessary to get the bill passed.”
    44.    In 1973, the three African American
    legislators were able to convince their 167 White colleagues
    to further amend the law to eliminate the oath requirement
    and to eliminate the two-year waiting period after
    completion of probation and parole, but they were not able
    to reinstate voting rights upon release from incarceration.
    Senator Michaux explained, with respect to the 1973
    revision, that “[o]ur aim was a total reinstatement of
    rights, but we had to compromise to reinstate citizenship
    voting rights only after completion of a sentence of parole
    or probation.” “To achieve even that victory, we vehemently
    argued and appealed to our colleagues that if you had
    served your time, you were entitled to your rights.
    Ultimately, what we achieved was a compromise.”
    45.    The record evidence is clear and irrefutable
    that the goal of these African American legislators and the
    NC NAACP was to eliminate section 13-1’s denial of the
    franchise to persons released from incarceration and living
    in the community, but that they were forced to compromise
    in light of opposition by their 167 White colleagues to
    achieve other goals, such as eliminating the petition
    requirement. Both Henry Frye’s statement on the House
    floor and Senator Michaux’s affidavit make[ ] clear that the
    African American legislators wanted disenfranchisement
    to end at the conclusion of “prison” or “imprisonment.” But
    as Senator Michaux explained: “We understood at the time
    that we would have to swallow the bitter pill of the original
    motivations of the law—the disenfranchisement at its core
    was racially motivated—to try to make the system
    practiced in North Carolina somewhat less discriminatory
    and to ease the burdens placed on those who were
    disenfranchised by the state.”
    ....
    49.     Rep. Jim Ramsey, who chaired the House
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    Committee offering the committee substitute adding back
    in the words “probation and parole,” openly acknowledged
    in 1971 that the provision governing restoration of voting
    rights was “archaic and inequitable.” Rep. Ramsey
    provided no explanation for the Committee’s decision to
    nonetheless      preserve      the      existing     law’s
    disenfranchisement of people after their release from any
    incarceration.
    (First and second alterations in original) (citations omitted).
    The only evidence cited by the trial court in the above findings to show that
    racial discrimination motivated white legislators in 1971 and again in 1973 consists
    of (1) committee amendments to the initial 1971 bill and (2) statements by three
    legislators. It does not take much inspection to perceive the meagerness of this
    evidence. We have already seen that, even as amended by committee, the 1971
    legislation streamlined the rights restoration process for all eligible felons by, inter
    alia, substituting an oath requirement for the time-consuming and complicated
    petition-and-hearing procedure.
    A closer examination of the contemporaneous records pertaining to the 1973
    amendments to section 13-1 further undercuts the trial court’s findings. To begin
    with, though the trial court ignored this fact, the automatic restoration bill
    introduced by Representatives Johnson, Frye, and Michaux in 1973 did not cover
    individuals on felony supervision; rather, it expressly excluded felons on probation or
    parole. Moreover, the record shows that white legislators voted down attempts to
    weaken the legislation. They rejected, for instance, an amendment that would have
    retained the oath requirement. The final legislation enacted by the General Assembly
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    in 1973 did not differ materially from the original bill. It ended the waiting period
    and mandated automatic rights restoration for eligible felons. An Act to Provide for
    the Automatic Restoration of Citizenship, ch. 251, § 1, 
    1973 N.C. Sess. Laws 237
    ,
    237–38.
    With the enactment of the 1973 amendments to Chapter 13, Representatives
    Johnson, Frye, and Michaux obtained everything they had sought, save automatic
    restoration for individuals on felony supervision, and their 1973 bill did not even
    propose automatic restoration for felons in that category. Especially when viewed
    through the presumption of legislative good faith, the unwillingness of their white
    colleagues to compromise on this one issue hardly substantiates a charge of racism.
    As Senator Michaux himself testified during his deposition on 24 June 2020,
    “everything that comes out of that legislature is a compromise.” See NLRB v. SW
    Gen., Inc., 
    580 U.S. 288
    , 306 (2017) (“Passing a law often requires compromise, where
    even the most firm public demands bend to competing interests.”).
    Similarly, the legislators’ statements relied on by the trial court provide a
    thoroughly inadequate foundation for its conclusion that racism drove the
    legislature’s refusal to restore the rights of individuals on felony supervision. As the
    Supreme Court has explained:
    Inquiries into congressional motives or purposes are
    a hazardous matter. When the issue is simply the
    interpretation of legislation, the Court will look to
    statements by legislators for guidance as to the purpose of
    the legislature, because the benefit to sound decision-
    making in this circumstance is thought sufficient to risk
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    Opinion of the Court
    the possibility of misreading Congress’ purpose. It is
    entirely a different matter when we are asked to void a
    statute that is, under well-settled criteria, constitutional on
    its face, on the basis of what fewer than a handful of
    Congressmen said about it. What motivates one legislator
    to make a speech about a statute is not necessarily what
    motivates scores of others to enact it, and the stakes are
    sufficiently high for us to eschew guesswork.
    United States v. O’Brien, 
    391 U.S. 367
    , 383–84 (1968) (emphasis added) (footnote
    omitted).
    The statements by Representatives Frye and Ramsey are the only ones cited
    by the trial court that were made during the General Assembly’s consideration of the
    1971 legislation. They appeared in a brief 1971 newspaper article reporting on the
    House’s debate. Significantly, there is no mention of race in the article, much less any
    allegation that racism played a role in the legislation’s development.
    The trial court’s order does not quote or reference any statements made by
    legislators during the General Assembly’s consideration of the 1973 amendments to
    Chapter 13. The statements by Senator Michaux quoted in Findings of Fact 44 and
    45 come from an affidavit executed on 7 May 2020, roughly 50 years after the
    legislative actions that plaintiffs challenge. While the affidavit broadly alleges that
    many state legislators held racist views in 1973, it contains few details and speculates
    a great deal about the motives of Senator Michaux’s white colleagues. In recounting
    the defeat of a “Landlord-Tenant rights bill[,]” for instance, Senator Michaux opined,
    “[The] bill . . . was ultimately defeated based, I believe, on bias in the legislative
    body.”
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    Taken at face value, the comments by Representatives Frye and Ramsey do
    not so much as imply that racism had anything to do with amendments to the 1971
    bill introduced by Representatives Johnson and Frye. In any case, “floor statements
    by individual legislators rank among the least illuminating forms of legislative
    history.” SW Gen., Inc., 580 U.S. at 307. The only statements by a legislator that
    accuse the white legislators who voted to amend section 13-1 in 1973 of racially
    discriminatory motives were made by Senator Michaux nearly half a century after
    the fact. The probative value of those statements is diminished by the length of time
    between the statements and the events they recount, as well as the general and
    speculative quality of the statements. The trial court should have heeded the warning
    in O’Brien against striking down a law based on the comments of a few legislators,
    however respected and distinguished they may be. See O’Brien, 
    391 U.S. at
    383–84.
    Finally, the trial court’s inference of discriminatory intent from the legislative
    history seems curiously at odds with the cumulative effect of the 1971 and 1973
    legislation, which has been to restore automatically the citizenship rights of all felons,
    whatever their race, who have completed their sentences. To the degree that African
    Americans make up a disproportionate share of the felon population, this sea change
    in the law may well have led to a disproportionate number of African American felons
    regaining the right to vote. In light of the legislation’s impact and the absence of
    reliable evidence of discriminatory intent, the legislative history in this case did little,
    if anything, to help plaintiffs prove that racial prejudice motivated the white
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    Opinion of the Court
    legislators who reformed our felon re-enfranchisement statutes in 1971 and 1973.
    d. Procedural Sequence
    “Departures from the normal procedural sequence might also afford evidence
    that improper purposes are playing a role” in a government action. Arlington Heights,
    
    429 U.S. at 267
    . In this case, there is no contention by plaintiffs or finding by the trial
    court that the General Assembly deviated from its normal procedures during its
    consideration and enactment of felon rights legislation in 1971 and 1973. Like the
    other Arlington Heights factors, this one favors defendants.
    e. Arlington Heights Conclusion
    The trial court misapplied the Arlington Heights factors and relied on
    manifestly insufficient evidence to bolster its conclusion that racial discrimination
    prompted the General Assembly in 1971 and again in 1973 not to restore the
    citizenship rights of persons on felony supervision. When viewed through the
    presumption of legislative good faith, as it must be, the statistical and historical
    evidence presented by plaintiffs does not show racial discrimination “to have been a
    ‘substantial’ or ‘motivating’ factor behind” the 1971 repeal and replacement of section
    13-1 or the 1973 amendments to that statute. Hunter, 
    471 U.S. at 228
    . Consequently,
    the burden of proof did not shift to defendants “to demonstrate that the law[s] would
    have been enacted without this factor.” 
    Id.
     The trial court should have rendered
    judgment for defendants on plaintiffs’ claim that section 13-1 discriminates against
    African Americans in violation of our state Equal Protection Clause.
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    B. Wealth-Based Classification
    State law makes the payment of court costs, fines, and restitution a condition
    of probation, parole, and post-release supervision. N.C.G.S. §§ 15A-1343(b)(9) (2021)
    (probation); 15A-1374(b)(11a)–(11b) (2021) (parole); 15A-1368.4(e)(11)–(12) (2021)
    (post-release supervision). In its order granting partial summary judgment to
    plaintiffs, the trial court offered an example of how this requirement can interact with
    section 13-1 to postpone the restoration of a felon’s right to vote: “[P]robation may be
    extended for up to five years, then an additional three with the consent of the
    probationer, to allow time for the compliance with the financial obligation of
    restitution. The impact is that a person remains disenfranchised for up to eight years
    because he has been unable to pay . . . .” The court concluded that, “by requiring an
    unconditional discharge that includes payments of all monetary obligations imposed
    by the court, [section] 13-1 creates a wealth classification” in violation of the Equal
    Protection Clause in Article I, Section 19.
    Defendants argue that the trial court “relied on the . . . mistaken premise that
    felons have a fundamental right to vote to apply strict scrutiny to [p]laintiffs’ claim
    that [s]ection 13-1 creates an impermissible wealth classification.” Defendants
    further contend that “[s]ection 13-1 does not create a wealth classification[,]” and
    even if it did, the trial court erred in subjecting that classification to strict scrutiny.
    Plaintiffs would have us affirm the trial court’s ruling, contending that equal
    protection “ ‘bars a system which excludes’ from the franchise those unable to pay a
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    fee[,]’ ” quoting Harper v. Va. State Bd. of Elections, 
    383 U.S. 663
    , 668 (1966), and
    that the trial court rightly applied strict scrutiny to their wealth classification claim.
    “The Equal Protection Clause necessarily operates as a restraint on certain
    activities of the State that either create classifications of persons or interfere with a
    legally recognized right.” Blankenship, 363 N.C. at 521–22, 681 S.E.2d at 762. For
    most equal protection claims, this Court employs one of three tiers of scrutiny. “The
    upper tier of equal protection analysis requiring strict scrutiny of a governmental
    classification applies only when the classification impermissibly interferes with the
    exercise of a fundamental right or operates to the peculiar disadvantage of a suspect
    class.” White v. Pate, 
    308 N.C. 759
    , 766, 
    304 S.E.2d 199
    , 204 (1983). When a statute
    draws such a classification, strict scrutiny “requires that the government
    demonstrate that the classification it has imposed is necessary to promote a
    compelling governmental interest.” 
    Id.
    On the other hand, when a statute does not burden a fundamental right or
    peculiarly disadvantage a suspect class, we typically apply rational basis review, “the
    lowest tier of review.” Rhyne v. K-Mart Corp., 
    358 N.C. 160
    , 181, 
    594 S.E.2d 1
    , 16
    (2004). A statute survives rational basis review so long as the classification at issue
    “bear[s] some rational relationship to a conceivable legitimate interest of the
    government.” White, 
    308 N.C. at
    766–67, 
    304 S.E.2d at 204
    ; see also Rhyne, 
    358 N.C. at
    180–81, 
    594 S.E.2d at 15
     (“Rational basis review is ‘satisfied so long as there is a
    plausible policy reason for the classification, the legislative facts on which the
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    Opinion of the Court
    classification is apparently based rationally may have been considered to be true by
    the governmental decisionmaker, and the relationship of the classification to its goal
    is not so attenuated as to render the distinction arbitrary or irrational.’ ” (quoting
    Nordlinger v. Hahn, 
    505 U.S. 1
    , 11 (1992))).
    We have applied intermediate scrutiny to one kind of equal protection claim
    under Article I, Section 19. In Blankenship, we held that intermediate scrutiny is the
    proper standard of review for claims that superior court districts drawn by the
    General Assembly deny citizens “the right to vote in superior court elections on
    substantially equal terms.” 363 N.C. at 525–26, 681 S.E.2d at 765. Under
    intermediate scrutiny, “[j]udicial districts will be sustained if the legislature’s
    formulations advance important governmental interests unrelated to vote dilution
    and do not weaken voter strength more than necessary to further those interests.” Id.
    at 527, 681 S.E.2d at 766.
    Although “[t]he right to vote on equal terms is a fundamental right[,]”
    Northampton Cnty. Drainage Dist. No. One v. Bailey, 
    326 N.C. 742
    , 747, 
    392 S.E.2d 352
    , 356 (1990), the suffrage provisions in Article VI limit the scope of that right.
    Pursuant to Article VI, Section 1, for instance, no one under the age of eighteen has
    the right to vote.11 We thus would not apply strict scrutiny to a claim that denying
    11“Every person born in the United States and every person who has been naturalized,
    18 years of age, and possessing the qualifications set out in this Article, shall be entitled to
    vote at any election by the people of the State, except as herein otherwise provided.” N.C.
    Const. art. VI, § 1.
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    the vote to sixteen-year-olds violates the Equal Protection Clause. Likewise, the
    default rule under Article VI, Section 2(3) is that felons do not have the right to vote.
    The provision authorizes the General Assembly to adopt a process by which felons
    may regain that right, but it leaves the details to the legislature’s sound discretion.
    Usually, then, laws that set out the process by which felons may have their rights
    restored do not trigger strict scrutiny. See Jones v. Governor of Fla., 
    975 F.3d 1016
    ,
    1030 (11th Cir. 2020) (en banc) (“[A]bsent a suspect classification that independently
    warrants heightened scrutiny, laws that govern felon disenfranchisement and
    reenfranchisement are subject to rational basis review.”).
    The trial court applied strict scrutiny to section 13-1 because the statute
    conditions felons’ eligibility to vote on their ability to pay any court costs, fines, or
    restitution owed. According to the court, “when a wealth classification is used to
    restrict the right to vote or in the administration of justice, it is subject to heightened
    scrutiny, not the rational basis review urged by Defendants in this case.”
    The trial court got the standard wrong. The Supreme Court case cited by the
    court to justify its use of strict scrutiny did not concern voting rights. See M.L.B. v.
    S.L.J., 
    519 U.S. 102
    , 107 (1996) (holding that a state may not “condition appeals from
    trial court decrees terminating parental rights on the affected parent’s ability to pay
    record preparation fees”). Moreover, federal appellate courts that have confronted
    claims akin to plaintiffs’ wealth classification argument have not resorted to strict
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    Opinion of the Court
    scrutiny.12
    In Jones, the United States Court of Appeals for the Eleventh Circuit, sitting
    en banc, used rational basis review to evaluate an equal protection challenge to
    Florida laws that allowed felons to regain their voting rights upon completion of their
    sentences, “including imprisonment, probation, and payment of any fines, fees, costs,
    and restitution.” 975 F.3d at 1025. The court noted that under the federal Equal
    Protection Clause felons do not have a fundamental right to vote and wealth is not a
    suspect classification. Id. at 1029–30; see also Harvey v. Brewer, 
    605 F.3d 1067
    , 1079
    (9th Cir. 2010) (stating that the plaintiffs “cannot complain about their loss of a
    fundamental right to vote because felon disenfranchisement is explicitly permitted
    under the terms of” the Supreme Court’s decision in Richardson v. Ramirez, 
    418 U.S. 24
     (1974)); Wesley v. Collins, 
    791 F.2d 1255
    , 1261 (6th Cir. 1986) (“It is undisputed
    that . . . the right of felons to vote is not fundamental.”). The court distinguished
    Florida’s requirement that felons pay fines, fees, costs, and restitution to regain their
    voting rights from a poll tax. “Unlike [a] poll tax . . . , that requirement is highly
    relevant to voter qualifications. It promotes full rehabilitation of returning citizens
    and ensures full satisfaction of the punishment imposed for the crimes by which
    felons forfeited the right to vote.” Jones, 975 F.3d at 1031 (citation omitted); see also
    Harvey, 
    605 F.3d at 1080
     (“That restoration of [the plaintiff-felons’] voting rights
    12  The dissent argues that strict scrutiny should apply to plaintiffs’ wealth
    classification claim but does not cite a single case that supports the application of strict
    scrutiny in this context.
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    requires them to pay all debts owed under their criminal sentences does not
    transform their criminal fines into poll taxes.”).
    The Eleventh Circuit further reasoned:
    The only classification at issue is between felons who
    have completed all terms of their sentences, including
    financial terms, and those who have not. This classification
    does not turn on membership in a suspect class: the
    requirement that felons complete their sentences applies
    regardless of race, religion, or national origin. Because this
    classification is not suspect, we review it for a rational
    basis only.
    Jones, 975 F.3d at 1030; see also Johnson v. Bredesen, 
    624 F.3d 742
    , 746 (6th Cir.
    2010) (applying rational basis review to felon re-enfranchisement law); Hayden v.
    Paterson, 
    594 F.3d 150
    , 170 (2d Cir. 2010) (applying rational basis review to statutes
    disenfranchising felons); Owens v. Barnes, 
    711 F.2d 25
    , 27 (3d Cir. 1983) (“[T]he
    standard of equal protection scrutiny to be applied when the state makes
    classifications relating to disenfranchisement of felons is the traditional rational
    basis standard.”); Shepherd v. Trevino, 
    575 F.2d 1110
    , 1114–15 (5th Cir. 1978)
    (holding that state laws on felon re-enfranchisement receive rational basis review).
    Employing rational basis review, the Eleventh Circuit held that Florida’s felon
    re-enfranchisement laws were reasonably related to legitimate government interests.
    Jones, 975 F.3d at 1035. The state could rationally have believed “that felons who
    have completed all terms of their sentences, including paying their fines, fees, costs,
    and restitution, are more likely to responsibly exercise the franchise than those who
    have not.” Id.
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    We find the Eleventh Circuit’s approach in Jones persuasive. The trial court
    should have subjected section 13-1 to rational basis review on plaintiffs’ claim that
    the statute unconstitutionally conditions felon re-enfranchisement on the capacity of
    felons to satisfy the financial terms of their sentences. The statute unquestionably
    survives rational basis review because the General Assembly could reasonably have
    believed in 1971 and 1973 that felons who pay their court costs, fines, or restitution
    are more likely than other felons to vote responsibly. The legislature could also have
    rationally viewed the requirement as an incentive for felons to take financial
    responsibility for their crimes.
    In their brief to this Court, plaintiffs argue that, under our current re-
    enfranchisement laws, “[t]wo North Carolinians could be convicted of the same crime,
    receive the same sentence, and each complete all other terms of their probation, but
    the person with financial means to pay will be re-enfranchised while the person
    without will remain barred from voting.” Even if that assertion is correct, it does not
    save plaintiffs’ equal protection claim. Practically every law affects those who come
    within its ambit differently based on their individual situations. The question under
    rational basis review is whether distinctions drawn by the law are reasonable and
    connected to a legitimate government interest. When it comes to section 13-1’s
    requirement that felons satisfy the conditions of their felony supervision, the answer
    to that question is undoubtedly yes. Once again, we find the Eleventh Circuit’s
    analysis convincing:
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    To be sure, the line Florida drew might be imperfect.
    The classification may exclude some felons who would
    responsibly exercise the franchise and include others who
    are arguably less deserving. But Florida was not required
    to draw the perfect line nor even to draw a line superior to
    some other line it might have drawn. The Constitution
    requires only a rational line. The line between felons who
    have completed their sentences and those who have not
    easily satisfies that low bar.
    Jones, 975 F.3d at 1035.
    We should add that, even if the scenario posed by plaintiffs were
    constitutionally problematic, it would not be enough to sustain their equal protection
    claim. Plaintiffs brought a facial challenge to section 13-1, “the most difficult
    challenge to mount successfully.” Hart v. State, 
    368 N.C. 122
    , 131, 
    774 S.E.2d 281
    ,
    288 (2015). To prevail, they must show that “there are no circumstances under which
    the statute might be constitutional.” Beaufort Cnty. Bd. of Educ. v. Beaufort Cnty.
    Bd. of Comm’rs, 
    363 N.C. 500
    , 502, 
    681 S.E.2d 278
    , 280 (2009) (emphasis added). “The
    fact that a statute might operate unconstitutionally under some conceivable set of
    circumstances is insufficient to render it wholly invalid.” State v. 
    Thompson, 349
     N.C.
    483, 491, 
    508 S.E.2d 277
    , 282 (1998).
    Section 13-1 does not impermissibly condition the right to vote on a felon’s
    ability to pay whatever court costs, fines, or restitution the felon may owe. Because
    this equal protection claim lacks merit, the trial court should have granted summary
    judgment for defendants. See N.C.G.S. § 1A-1, Rule 56(c) (2021) (“Summary
    judgment, when appropriate, may be rendered against the moving party.”).
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    C. Property Qualifications
    The Property Qualifications Clause in our state constitution declares: “As
    political rights and privileges are not dependent upon or modified by property, no
    property qualification shall affect the right to vote or hold office.” N.C. Const. art. I,
    § 11. In granting summary judgment for plaintiffs on their Property Qualifications
    Clause claim, the trial court reasoned that, “when legislation is enacted that restores
    the right to vote, thereby establishing qualifications which certain persons must meet
    to exercise their right to vote, such legislation must not do so in a way that makes the
    ability to vote dependent on a property qualification.” The trial court opined that
    section “13-1 does exactly that” by making the re-enfranchisement of felons depend
    on whether they satisfy the financial terms of their sentences.
    Defendants argue that section 13-1 does not violate the Property Qualifications
    Clause because “[t]he requirement that felons complete their sentences, including
    financial aspects of their sentences, is a predicate for felons having their rights
    restored, not a qualification for exercising their rights.” In defendants’ view, “[t]he
    Constitution’s demand that ‘political rights and privileges’ not be made ‘dependent
    upon or modified by property’ is inapplicable to felons who have no political right to
    vote until [that right is] reinstated by [s]ection 13-1.” Defendants also maintain that
    the trial court’s interpretation conflicts with the original understanding of property
    qualifications. Plaintiffs argue in response that money constitutes a form of property
    and consequently the Property Qualifications Clause prohibits the state from
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    Opinion of the Court
    withholding the franchise over a felon’s nonpayment of court costs, fines, or
    restitution.
    The Property Qualifications Clause does not exist in a textual vacuum. It
    forbids the imposition of property qualifications on “the right to vote,” but it does not
    define that right. Other provisions in the state constitution give that right content.
    Thus, for example, Article I, Section 9 guarantees anyone entitled to vote in North
    Carolina the right to do so in elections that are held frequently. See N.C. Const. art.
    I, § 9 (“[E]lections shall be often held.”). Under Article I, Section 10, those frequent
    elections must be conducted “free from interference or intimidation.” State
    Constitution at 56; see also N.C. Const. art. I, § 10 (“[E]lections shall be free.”). Article
    VI sets out the qualifications that individuals must satisfy to have the right to vote
    in the frequent and free elections mandated by Article I, Sections 9 and 10. In general,
    as we have seen, that right belongs to anyone who has reached eighteen years of age
    and meets certain residency requirements. N.C. Const. art. VI, § 1, § 2(1)–(2).
    Article VI expressly disqualifies from voting, however, anyone “adjudged guilty
    of a felony . . . unless that person shall first be restored to the rights of citizenship in
    the manner prescribed by law.” Id. § 2(3). The obvious import of these words is that
    felons whose rights have not been restored as provided by law have no right to vote
    under our state constitution. Put differently, felon re-enfranchisement through
    section 13-1 “is not a . . . right; it is a mere benefit that” the General Assembly could
    “choose to withhold entirely.” Harvey, 
    605 F.3d at 1079
    . Because felons whose
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    citizenship rights have not been restored have no state constitutional right to vote,
    requiring them to fulfill the financial terms of their sentences as a condition of re-
    enfranchisement cannot be said to violate the Property Qualifications Clause.
    Financial obligations imposed on individuals who already lack the right to vote
    simply do not trigger that provision.
    The historical background of the Property Qualifications Clause lends weight
    to our interpretation of the provision’s scope. Under the 1776 constitution, all freemen
    aged twenty-one or older who satisfied a one-year residency requirement and had
    paid “public taxes” could vote for members of the state house. N.C. Const. of 1776,
    Declaration of Rights, § VIII. When it came to voting for a member of the state senate,
    though, a freeman could not vote unless he met the residency requirement and was
    “possessed of a freehold within the same county of fifty acres of land for six months
    next before, and at the day of election.” Id. § VII. The 1776 constitution also imposed
    property ownership qualifications on the governor and members of the legislature.13
    The property qualifications in the 1776 constitution were meant to ensure that
    the people who voted and those for whom they voted had a personal investment in
    the governance of the state. “Although [Article I, Section 11 of the current state
    13 “[M]embership in the senate was restricted to men with ‘not less than three hundred
    acres of land in fee,’ while each member of the house of commons had to hold ‘not less than
    one hundred acres of land in fee, or for the term of his own life.’ The governor had to be a
    man of still more substantial property, possessed of ‘a freehold in lands and tenements, above
    the value of one thousand pounds.’ ” John V. Orth, Fundamental Principles in North Carolina
    Constitutional History, 
    69 N.C. L. Rev. 1357
    , 1361 (1991) (footnotes omitted) (citing N.C.
    Const. of 1776, §§ 5–6, 15).
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    constitution] confidently declare[s] that politics and property are not related . . . , the
    fact was not self-evident to the generation that made the Revolution. On the contrary,
    the state’s 1776 constitution excluded paupers from the franchise: Those without
    property had, it was thought, no stake in society.” State Constitution at 57.
    The 1835 amendments to the state constitution left the property qualifications
    intact. “In 1857, voters approved the only amendment submitted to them between
    1836 and [their ratification of the 1868 constitution]. The amendment . . . abolished
    the 50-acre land ownership requirement for voters to cast ballots in state senate
    races.”14   John   L.   Sanders,    Our    Constitutions:    An    Historical   Perspective,
    https://www.sosnc.gov/static_forms/publications/North_Carolina_Constitution_Our_
    Co.pdf (last visited Apr. 14, 2023). The 1857 amendment did not alter property
    qualifications for governor and members of the legislature, which remained in effect
    until after the Civil War. State Constitution at 57.
    The Property Qualifications Clause that now resides in Article I, Section 11
    first appeared in the 1868 constitution. It banned—and continues to ban—property
    qualifications for voting or officeholding. “[A] milestone on the road to modern
    democracy[,]” the provision owes its existence to Republican delegates to the 1868
    constitutional convention, who insisted “that popular sovereignty not be limited by
    14 “Every free white man of the age of twenty-one years, being a native or naturalized
    citizen of the United States and who has been an inhabitant of the State for twelve months
    immediately preceding the day of an election, and shall have paid public taxes, shall be
    entitled to vote for a member of the senate for the district in which he resides.” N.C. Const.
    of 1776, amends. of 1857.
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    Opinion of the Court
    property.” Id.
    The requirement that felons pay what they owe differs in kind and purpose
    from the 1776 constitution’s property qualifications. As we have seen, the framers of
    the 1776 constitution restricted voting and certain offices to owners of real property
    in the belief that propertyless individuals lacked a stake in the conduct of government
    affairs. Insisting that felons pay their court costs, fines, and restitution is not the
    same thing as mandating that they own real or personal property in particular
    amounts. Nothing prohibits a relative, for instance, from paying a felon’s court costs.
    Moreover, section 13-1’s re-enfranchisement criteria are not premised on the
    outdated notion that the poor have no interest in how the state is run.
    Plaintiffs cite Wilson v. Board of Aldermen, 
    74 N.C. 748
     (1876), for the
    proposition that money constitutes property for purposes of the Property
    Qualifications Clause. There, the plaintiff disputed the constitutionality of a
    provision in the City of Charlotte’s charter that endowed the city with the power to
    tax his bonds and income. 
    Id.
     at 748–49. The plaintiff based his argument on Article
    VII, Section 9 of the 1868 constitution, which directed that any property taxes levied
    by counties or municipalities be “uniform and ad valorem” 
    Id. at 754
     (quoting N.C.
    Const. of 1868, art. VII, § 9). The plaintiff interpreted Article VII, Section 9 to confine
    local government property taxes to tangible property. Id. We disagreed, pointing out
    that other provisions in the 1868 constitution, such as the Property Qualifications
    Clause, used the term “property” more generally. Id. at 755–56.
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    The Wilson case does not lead to the conclusion that section 13-1 violates the
    Property Qualifications Clause. While money is a form of property, the Property
    Qualifications Clause bans laws that make property ownership a condition of voting,
    and we have just explained that section 13-1 does not mandate that felons own
    property.15
    The trial court erred in ruling that section 13-1 violates the Property
    Qualifications Clause. When read alongside related constitutional provisions, the
    Property Qualifications Clause does not bar the General Assembly from requiring
    that felons satisfy the financial terms of their sentences before they regain the
    franchise. The history behind the Property Qualifications Clause reenforces this view.
    Section 13-1 does not implicate “the purposes sought to be accomplished by [the]
    promulgation” of the Property Qualifications Clause. Sneed v. Greensboro City Bd. of
    Educ., 
    299 N.C. 609
    , 613, 
    264 S.E.2d 106
    , 110 (1980). Defendants were entitled to
    summary judgment on this claim.
    D. Free Elections Clause
    In its final order, the trial court ruled that section 13-1 “violates the Free
    Elections Clause [in Article I, Section 10 of the North Carolina Constitution] by
    preventing elections that ascertain the will of the people.” The trial court reasoned
    that “North Carolina’s elections do not faithfully ascertain the will of the people when
    15 The dissent incorrectly asserts that we construe the Property Qualifications Clause
    to refer to real property only.
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    Opinion of the Court
    such an enormous number of people living in communities across the state—over
    56,000 individuals [on felony supervision]—are prohibited from voting.”16
    Defendants argue that section 13-1 does not violate the Free Elections Clause
    because (1) felons have no right to vote under the state constitution and thus fall
    outside the scope of the Free Elections Clause; (2) section 13-1 cannot be said to
    contravene the Free Elections Clause because it is more lenient on felons than the
    version of section 13-1 that was in effect when voters ratified the current state
    constitution in 1970; and (3) “[p]laintiffs have failed to prove that [s]ection 13-1
    constrains any voter’s choice in voting for particular candidates.” According to
    plaintiffs, the Free Elections Clause requires allowing individuals on felony
    supervision to vote because elections must “reflect to the greatest extent possible the
    will of all people living in North Carolina communities.”
    We hold that section 13-1 does not violate the Free Elections Clause in Article
    I, Section 10. Like the Property Qualifications Clause in Article I, Section 11, the Free
    Elections Clause must be harmonized with the provisions of Article VI. Pursuant to
    Article VI, Section 2(3), only those felons whose citizenship rights have been restored
    in the manner prescribed by law have the right to vote. Accordingly, the Free
    Elections Clause is not violated when felons whose rights have not been restored are
    16The trial court further concluded that section 13-1 “strikes at the core of the Free
    Elections Clause . . . because of its grossly disproportionate effect on African American
    people.” We explained earlier in this opinion why the trial court’s disparate impact findings
    are unreliable.
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    Opinion of the Court
    excluded from the electoral process. In plain English, it is not unconstitutional merely
    to deny the vote to individuals who have no legal right to vote.
    The historical background of the Free Elections Clause substantiates our
    holding. Our opinion issued today in Harper v. Hall, No. 413PA21-2 (N.C. Apr. 28,
    2023), discusses that background in detail, so we need not duplicate the discussion
    here. Suffice to say that a free elections guarantee has appeared in each of our state’s
    constitutions, the first of which declared that “elections of members, to serve as
    Representatives in General Assembly, ought to be free.” N.C. Const. of 1776,
    Declaration of Rights, § VI. The wording of the free elections guarantee in the 1776
    constitution echoes a parallel provision in the 1689 Bill of Rights adopted by the
    English Parliament following the overthrow of King James II. See Bill of Rights 1689,
    1 W. & M. Sess. 2, ch. 2, § I, cl. 13 (“[E]lection of Members of Parlyament ought to be
    free.”); State Constitution at 56 (“The word [‘free’ as used in the Free Elections Clause]
    originally derives . . . from the English Declaration of Rights (1689)[.]”).
    As explained in Harper, “the drafters of the English Bill of Rights sought to
    secure a ‘free [P]arliament,’ a Parliament where the electors could vote for candidates
    of their choice, and the members, once elected, could legislate according to their own
    consciences without threat of intimidation or coercion from the monarch.” Harper,
    slip op. at 111–12 (alteration in original) (quoting Michael Barone, Our First
    Revolution: The Remarkable British Upheaval that Inspired America’s Founding
    Fathers 230 (2007)) The framers of our 1776 constitution hoped to achieve a similar
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    Opinion of the Court
    goal: state legislative elections “free from interference or intimidation.” State
    Constitution at 56.
    This Court’s decisions interpreting the Free Elections Clause further
    illuminate the contours of that provision. In Swaringen v. Poplin, 
    211 N.C. 700
    , 
    191 S.E. 746
     (1937), the plaintiff alleged that the county board of elections had
    fraudulently altered the results of his county commissioner race, thereby depriving
    him of office. 
    Id.
     at 700–01, 
    191 S.E. at 746
    . We rejected the defendant’s argument
    that the complaint failed to state a claim and held that, under the Free Elections
    Clause, “[a] free ballot and a fair count must be held inviolable to preserve our
    democracy.” 
    Id. at 702
    , 
    191 S.E. at 747
    . We thus construed the Free Elections Clause
    to prohibit fraudulent vote counts.
    In Clark v. Meyland, 
    261 N.C. 140
    , 
    134 S.E.2d 168
     (1964), the plaintiff
    challenged a statutory requirement that voters seeking to change their party
    affiliation take an oath promising to support their new party’s nominees until “in
    good faith” they changed their party affiliation again. 
    Id. at 141
    , 
    134 S.E.2d at 169
    .
    We held that the portion of the oath requiring support for future candidates violated
    the Free Elections Clause because “[i]t denie[d] a free ballot—one that is cast
    according to the dictates of the voter’s judgment.” 
    Id. at 143
    , 
    134 S.E.2d at 170
    . We
    explained that “the Legislature [was] without power to shackle a voter’s conscience
    by requiring the objectionable part of the oath as a price to pay for his right to
    participate in his party’s primary.” 
    Id.
     In summary, “[b]ased upon . . . this Court’s
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    Opinion of the Court
    precedent, the free elections clause means a voter is deprived of a ‘free’ election if (1)
    a law prevents a voter from voting according to one’s judgment, or (2) the votes are
    not accurately counted.” Harper, slip op. at 117 (citations omitted).
    “[A] constitution cannot violate itself[,]” Leandro, 
    346 N.C. at 352
    , 
    488 S.E.2d at 258
    , so denying the franchise to felons as required by Article VI, Section 2(3) cannot
    be a violation of the Free Elections Clause. Furthermore, excluding felons whose
    rights have not been restored from the electoral process does not expose our elections
    to the sort of interference, intimidation, fraud, or infringements on conscience that
    the Free Exercise Clause exists to prevent. The trial court therefore erred in ruling
    that section 13-1 contravenes the Free Elections Clause.
    E. Fundamental Right to Vote
    Lastly, the trial court concluded that section 13-1 unconstitutionally
    “interferes with the fundamental right to vote on equal terms[,]” reasoning that felons
    “on felony supervision share the same interest as . . . North Carolina residents who
    have not been convicted of a felony or [felons] who have completed their supervision.”
    We have already concluded that felons have no fundamental right to vote, as Article
    VI, Section 2(3) expressly divests them of this right upon conviction. Contrary to the
    trial court’s reasoning, felons are not “similarly situated” to non-felons when it comes
    to voting; our state constitution could not be clearer on this point.
    V.   Disposition
    Plaintiffs failed to prove the unconstitutionality of section 13-1 beyond a
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    Opinion of the Court
    reasonable doubt. The General Assembly did not engage in racial discrimination or
    otherwise violate the North Carolina Constitution by requiring individuals with
    felony convictions to complete their sentences—including probation, parole, or post-
    release supervision—before they regain the right to vote. We therefore reverse the
    trial court’s grant of summary judgment and declaratory and injunctive relief to
    plaintiffs and remand this case to the trial court for dismissal of plaintiffs’ claims
    with prejudice.
    REVERSED AND REMANDED.
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    Earls, J., dissenting
    Justice EARLS dissenting.
    The majority’s decision in this case will one day be repudiated on two grounds.
    First, because it seeks to justify the denial of a basic human right to citizens and
    thereby perpetuates a vestige of slavery, and second, because the majority violates a
    basic tenant of appellate review by ignoring the facts as found by the trial court and
    substituting its own. See, e.g., State v. Taylor, 
    379 N.C. 589
    , 608 (2021)
    (“[A]n appellate court is not entitled to ‘make its own findings of fact and credibility
    determinations, or overrule those of the trier of fact.’ ” (quoting Desmond v. News &
    Observer Publ’g Co., 
    375 N.C. 21
    , 44 n.16 (2020))).
    With regard to the first and most serious issue, the majority interprets the
    North Carolina Constitution to reduce the humanity of individuals convicted of felony
    offenses to the point of cruelty: People who are convicted of felony offenses are no
    longer people, they are felons.1 The majority believes that, as felons, they are not free
    even after their sentences are complete, they are merely felons for the rest of their
    lives. At about the same time that the state constitution was amended to
    disenfranchise all Blacks, both those who were slaves and those who were free, this
    Court held that “[t]he power of the master must be absolute to render the submission
    1 The rationale for denying the franchise to returning citizens was questioned at the
    time the statute at issue here was under consideration. See, e.g., North Carolina Law Review,
    Notes, 
    50 N.C. L. Rev. 903
    , 910 (1972) (“If the prisoner is worthy of being released to the
    community he should be made to feel that he is ready to rejoin society as a participant and
    not as an outsider.”).
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    Earls, J., dissenting
    of the slave perfect.” State v. Mann, 
    13 N.C. (2 Dev.) 263
    , 266 (1829). The Court found
    that proposition to be inherent in the institution of slavery and professed no power to
    “chang[e] the relation in which these parts of our people stand to each other.” Id. at
    267. Today, the Court again consigns a portion of the state’s population to a less than
    free status, unable to participate in the fundamental exercise of self-governance upon
    which democracy is based. See Blankenship v. Bartlett, 
    363 N.C. 518
    , 522 (2009); see
    also Reynolds v. Sims, 
    377 U.S. 533
    , 554–55 (1964) (declaring that the right to vote
    is a fundamental right, preservative of all other rights). As preservative of all other
    rights, the right to vote also recognizes the inherent humanity of every adult citizen.
    The state constitution contemplates that the right to vote, along with all rights of
    citizenship, shall be restored to people who commit felony offenses. N.C. Const. art.
    VI, § 2(3). The only question in this case is whether the statute that prescribes how
    restoration is accomplished, N.C.G.S. § 13-1, unconstitutionally discriminates
    against individuals with felony convictions. The trial court heard extensive evidence,
    made detailed findings of fact, and applied the correct legal standards to answer that
    question. The trial court’s final judgment and order should be affirmed.
    I.   Factual Background
    A. The Racist Origins of N.C.G.S. § 13-1
    Years before the original version of N.C.G.S. § 13-1 was adopted, the North
    Carolina Constitution expressly forbade all African Americans, whether free or
    enslaved, from voting. This wholesale prohibition came about in 1835. Prior to 1835,
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    Earls, J., dissenting
    the state constitution already prohibited slaves from voting. But in response to
    African Americans’ growing political influence in certain parts of the state and
    broader fears surrounding racial empowerment, there were calls to amend the state
    constitution to deny the franchise to all African Americans, regardless of their status
    as slaves or free people. This fear is encapsulated by a plea from white North
    Carolinians to the state legislature, urging the General Assembly to deny the
    franchise to free African Americans:
    A very large portion of our population are slaves, and
    recent occurrences must deeply impress . . . the vital
    necessity of keeping them in a state of discipline and
    subordination. . . . [P]ermitting free negroes to vote at
    elections, contributes to excite and cherish a spirit of
    discontent and disorder among the slaves. . . . Will not
    practices such as these . . . ‘naturally excite in the salves
    discontent with their condition, encourage idleness and
    disobedience, and lead possibly in the course of human
    events, to the most calamitous of all contests, a bellum
    servile a servile war.’
    The Sentinel (New Bern, N.C.), December 7, 1831, at 3. This plea further decried that
    free African Americans were not truly free: “[T]hey are forbidden to contract marriage
    except with their own class . . . [and] they are not called upon to aid in the execution
    of the civil or criminal processes of the law: they may be subjected even to the
    punishment of death on the testimony of a slave. Can these disabilities belong to the
    Freeman?” Id.
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    Earls, J., dissenting
    Concerns like these prevailed during the 1835 Constitutional Convention.2
    And so, in 1835, the North Carolina constitution was amended to provide that “[n]o
    free negro, free mulatto, or free person of mixed blood, descended from negro
    ancestors to the fourth generation inclusive[ ] (though one ancestor of each generation
    may have been a white person[ ]) shall vote for members of the Senate or House of
    Commons.” N.C. Const. of 1776, amend. 1835, art. I, § 3(3) (1835). The constitution of
    1835 did not contain a felony disenfranchisement provision. See generally N.C. Const.
    of 1776, amends. of 1835. Instead, the constitution prohibited individuals convicted
    of “infamous” crimes, such as treason, bribery, or perjury, from voting. N.C. Const. of
    1776, amends. of 1835, art. I, § 4, pt. 4. Receiving an infamous punishment, such as
    a whipping, also served to bar individuals from voting.
    The 1835 constitutional amendments were in effect for just over thirty years.
    Following the Civil War, however, North Carolina adopted a new constitution during
    the 1868 Reconstruction Convention as a condition for its return to the Union. The
    1868 constitution provided for universal male suffrage, eliminated property
    ownership requirements as a condition for voting, and abolished slavery. Notably, the
    1868 constitution did not contain any provision that denied the franchise to felons.
    See generally N.C. Const. of 1868.
    2 For example, Jesse Wilson of Perquimans County argued that “[c]olor is a barrier”
    and “[i]f you make it your business to elevate the condition of the blacks, in the same
    proportion do you degrade that of the poorer whites,” which could lead to “an increase of mixed
    breeds.” State Convention, The Weekly Standard (Raleigh, N.C.), June 19, 1835, at 2.
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    Earls, J., dissenting
    The 1868 constitution’s promise of equal treatment for African Americans
    sparked an immediate and viscous backlash. Violence against African Americans and
    their sympathizers was rampant, as were efforts to prevent African Americans from
    voting. As part of these disenfranchisement efforts, “White former Confederates in
    North Carolina conducted an extensive campaign of convicting African American men
    of petty crimes en masse and whipping them to disenfranchise them ‘in advance’ of
    the Fifteenth Amendment,” which was not ratified until 1870. The whipping
    campaign exploited a North Carolina law that disenfranchised anyone subject to this
    brutal and degrading form of punishment. One Congressman explained before the
    United States House of Representatives that “in North Carolina . . . they are now
    whipping negroes for a thousand and one trivial offenses . . . and in one county . . .
    they had whipped every adult male negro” in order to “prevent[ ] these negroes from
    voting.”
    White conservative Democrats ultimately regained control over the General
    Assembly in 1870 and doubled-down on efforts to suppress African Americans’ newly
    won freedom. These efforts culminated in 1875 when a series of constitutional
    amendments were introduced that were intended to curb the rights of African
    Americans. For example, the amendments, which were ratified in 1876, banned
    interracial marriage, required segregation in public schools, and stripped counties of
    their ability to elect their own local officials, delegating that power instead to the
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    Earls, J., dissenting
    General Assembly.3 N.C. Const. of 1868, amends. of 1875, amends. XXVI, XXV, XXX.
    Particularly significant to this case, the 1876 amendments disenfranchised any
    person “adjudged guilty of felony” and provided that disenfranchised persons would
    be “restored to the rights of citizenship in a mode prescribed by law.” N.C. Const. of
    1868, amends. of 1875, amend. XXIV. The felon disenfranchisement amendment was
    introduced in the General Assembly by a former Confederate who had been
    “instructed by his nominating county to lead a ‘crusade’ against the ‘radical civil
    rights officers’ holders party,’ i.e., the party that supported equal rights for African
    American people[,]” as the trial court explained.
    The trial court recognized that the General Assembly’s disenfranchisement
    scheme “capitalized on Black Codes that North Carolina had enacted in 1866, which
    allowed sheriffs to charge African American people with crimes at their discretion,”
    enabling targeted and systematic disenfranchisement. The amendment’s purpose
    was no secret. As one conservative Democrat explained, felon disenfranchisement
    would result in “a purification of the ballot box.” Address of the Executive Democratic
    Central Committee to the People of North Carolina, The Raleigh News (Raleigh, N.C.),
    June 23, 1875. This amendment remains on the books today, and it is largely
    unchanged since its ratification in 1876. See N.C. Const. art. VI, § 2(3).
    During the first legislative session after the 1876 amendments were ratified,
    3According to the trial court, “[t]he purpose of [the latter] amendment was to prevent
    African Americans from electing African American judges, or judges who were likely to
    support equality.”
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    Earls, J., dissenting
    the General Assembly enacted a new law to implement the constitution’s new felony
    disenfranchisement provision. The 1877 law prohibited people convicted of felonies
    from voting unless their rights were restored “in the manner prescribed by law.” In
    turn, the “manner prescribed by law” incorporated an 1840s statute that governed
    rights restoration for individuals convicted of the most heinous crimes, namely
    treason and other “infamous crimes.” In so doing, as the trial court stated, “[t]he 1877
    statute took all of the onerous requirements for rights restoration that had previously
    applied only to people convicted of treason and for the first time extended them to
    anyone convicted of any felony.”
    Importantly, the 1877 law did not merely disenfranchise convicted felons
    during the duration of their prison sentences. Rather, the law continued to bar people
    from voting even after they were released from incarceration. An Act to Regulate
    Elections, ch. 275, §§ 10, 62, 
    1877 N.C. Sess. Laws 516
    , 519–20, 537. The law also
    imposed burdensome procedural requirements that convicted felons had to meet in
    order to have their rights restored. Namely, they had to wait four years from the date
    of their felony conviction to file a petition for rights restoration. See An Act Providing
    for Restoring to the Rights of Citizenship Persons Convicted of Infamous Crimes, ch.
    36, § 3, 
    1841 N.C. Sess. Laws 68
    , 68. Once eligible to file a petition, they had to secure
    the testimony of “five respectable witnesses who have been acquainted with the
    petitioner’s character for three years next preceding the filing of the petition, that his
    character for truth and honesty during that time has been good.” 
    Id.
     § 1. The witness
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    Earls, J., dissenting
    requirement served to bar people from petitioning for rights restoration until three
    years after their release from prison. Once a petition was filed, judges had complete
    discretion to approve or deny it, and the clerk of court was required to post the
    individual’s petition on the courthouse door for a three-month period before the
    restoration hearing. Id. Any member of the public could then challenge the petition.
    Id.
    The law’s message was simple: once a felon, always a felon. Once an individual
    bore this label, only that person’s extensive efforts coupled with the lucky draw of a
    sympathetic judge could restore the rights every other citizen enjoyed. But such luck
    could be difficult to come by. Indeed, according to the trial court, “[t]he 1877 law’s
    adoption of the requirement to petition an individual judge for restoration had a
    particularly discriminatory effect against African American people considering the
    contemporaneous 1876 constitutional amendment stripping African American
    communities of the ability to elect local judges.”
    Together, the 1876 constitutional amendments and the 1877 law were
    intended to “instill White supremacy and . . . disenfranchise African-American
    voters.” Legislative Defendants themselves conceded that the historical evidence
    presented at trial “demonstrates a shameful history of our state’s use of laws, and
    with regard to voting in particular, to suppress the African American population.”
    B. N.C.G.S. § 13-1’s Modern History
    Despite some minor changes, the 1877 law went largely unchanged from 1897
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    Earls, J., dissenting
    until 1970. Most notably here, it was recodified at N.C.G.S. § 13-1 during this period,
    where it remains in effect today. Then in the early 1970s, the General Assembly’s
    only African American members sought to amend the law to eliminate its denial of
    the franchise to individuals who had completed their prison sentences.
    These efforts were first rejected in 1971. That year, two African American
    members of the General Assembly proposed a bill that would remove N.C.G.S. § 13-
    1’s denial of the franchise to convicted felons who had finished serving their period of
    incarceration. Despite the purpose behind their original proposal, the bill was
    amended in committee to require the completion of “any period of probation or parole”
    before an individual could retain the right to vote, among other modifications. And as
    if this deprivation of the right to vote was not sufficiently severe, as the trial court’s
    order explained, N.C.G.S. § 13-1 was further amended to require “two years [to] have
    elapsed since release by the Department of Corrections, including probation or
    parole” before an individual could petition for rights restoration.
    In 1973, the only three African American members of the General Assembly
    again attempted to reform N.C.G.S. § 13-1. As before, their efforts to amend the law
    to restore a convicted felon’s right to vote upon completion of the individual’s prison
    sentence were unsuccessful. They were, however, able to persuade their colleagues to
    do away with the 1971 amendment that required a two-year waiting period after an
    individual finished serving a period of probation or parole. An Act to Provide for the
    Automatic Restoration of Citizenship, ch. 251, § 1, 
    1973 N.C. Sess. Laws 237
    , 237–
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    Earls, J., dissenting
    38.
    The trial court found that “[t]he record evidence is clear and irrefutable that
    the goal of these African American legislators . . . was to eliminate section 13-1’s
    denial of the franchise to persons released from incarceration and living in the
    community, but . . . they were forced to compromise in light of opposition by their
    167 White colleagues” and to accept other modifications to the law.
    C. N.C.G.S. § 13-1’s Modern Discriminatory Effects
    Extreme racial disparities in disenfranchisement between African Americans
    and White individuals convicted of felonies persist. In North Carolina, a staggering
    56,516 people are denied the franchise due to probation, parole, or post-release
    supervision from a felony conviction in state or federal court. Of North Carolina’s
    voting-age population, 21% are African Americans yet, critically, over 42% of those
    denied the franchise due to felony probation, parole, or post-release supervision from
    a state court conviction alone are African American. By contrast, White people
    represent 72% of North Carolina’s voting-age population yet only constitute 52% of
    those who are similarly denied the franchise. African Americans in North Carolina
    are denied the franchise at a rate 2.76 times as high as the rate of White people with
    1.24% of the African American voting-age population being denied the franchise,
    whereas only 0.45% of the White voting-age population is similarly disenfranchised.
    These statistics demonstrate the stark reality of N.C.G.S. § 13-1’s disproportionate
    effect on African Americans.
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    Earls, J., dissenting
    Countless extreme racial disparities in voter disenfranchisement of persons on
    community supervision also exist at the county level. The rate of African American
    disenfranchisement due to felony probation, parole, or post-release supervision is
    considered “high” in seventy-seven counties. However, the rate of White
    disenfranchisement only considered “high” in ten counties. In North Carolina, the
    highest rate of White disenfranchisement in any county is 1.25% whereas rates of
    African American disenfranchisement are as high as 2% in nineteen counties, 3% in
    four counties, and over 5% in one county. This means that one out of every twenty
    African American adults in that county cannot vote due to felony probation, parole,
    or post-release supervision.
    There is not a single county in the state where the White disenfranchisement
    rate is greater than the African American disenfranchisement rate. The African
    American disenfranchisement rate is at least four times greater than the White rate
    in twenty-four counties and at least five times greater than the White rate in eight
    counties.
    These grave differences represent the extreme disparate impact that the
    state’s denial of the franchise to people on felony probation, parole, or post-release
    supervision has on African Americans. As one of Plaintiffs’ experts opined, “We find
    in every case that it works to the detriment of the African American population.”
    Although the Legislative Defendants’ expert claims that there is no racial disparity
    in voter disenfranchisement of people on community supervision because “100% of
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    Earls, J., dissenting
    felons of every race in North Carolina” are disenfranchised, the statistics tell a very
    different, grim story.4
    II.   Analysis
    A. Standing
    I agree with the Court’s conclusion that “plaintiff-felons have standing to bring
    their claims against defendants” as well as its reasoning in reaching its conclusion as
    to the traceability issue. I reject the deference the Court affords Defendants’
    arguments, however, as they are entirely divorced from this Court’s standing
    doctrine. They are so dumbfounding that they do not even warrant being
    acknowledged as “plausible.” I therefore address these arguments separately. Though
    I also agree that Plaintiffs’ injuries are redressable, I reach this conclusion on
    different grounds. Finally, I dissent from the majority’s holding that plaintiff-
    organizations Community Success Initiative, Justice Served N.C., Inc., and Wash
    Away Unemployment lack standing in this litigation.
    1. Traceability
    Defendants argue that the Plaintiffs lack standing to challenge N.C.G.S. § 13-
    1 because “Plaintiffs have not been injured by Section 13-1. Rather, they have
    targeted the very avenue by which they may regain their right to vote.” Instead,
    4 In its September 2020 summary judgment order, the trial court concluded that this
    expert’s report was entitled to “no weight” because it was “unpersuasive in rebutting the
    testimony of Plaintiffs’ experts, was flawed in some of its analysis and, while [he] is an expert
    in the broad field of political science, his experience and expertise in the particular issues
    before this panel are lacking.”
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    Earls, J., dissenting
    Defendants argue that article VI, section 2(3) is responsible for depriving individuals
    on community supervision of the right to vote. In Defendants’ view then, Plaintiffs
    have challenged the wrong law, and therefore the alleged injury is not traceable to
    the statute that is the subject of this litigation.
    This argument fails because, as Plaintiffs point out, N.C.G.S. Ҥ 13-1 is the law
    that prevents people from registering to vote as long as they are on felony probation,
    parole, or post-release supervision.” “As a general matter, the North Carolina
    Constitution confers standing on those who suffer harm . . . .” Magnum v. Raleigh Bd.
    of Adjustment, 
    362 N.C. 640
    , 642 (2008) (citing N.C. Const. art. I, § 18). In other
    words, Plaintiffs are “required to demonstrate that [they have] sustained a legal or
    factual injury arising from defendants’ actions.” United Daughters of the Confederacy
    v. City of Winston-Salem, 
    383 N.C. 612
    , 629 (2022). Here, Plaintiffs do not challenge
    article VI’s felon disenfranchisement provision itself. Rather, they challenge N.C.G.S.
    § 13-1’s specific extension of article VI to individuals who have completed their prison
    sentences and have been released into their communities on probation, parole, or
    post-release supervision.
    It is a first principle of constitutional interpretation that constitutional
    provisions “cannot be applied in isolation or in a manner that fails to comport with
    other requirements of the State Constitution.” Stephenson v. Bartlett, 
    355 N.C. 354
    ,
    376 (2002). This means that article VI, section 2’s denial of the franchise to anyone
    “adjudged guilty of a felony against this State or the United States, or adjudged guilty
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    Earls, J., dissenting
    of a felony in another state” cannot be read in such a way that would violate other
    provisions of the North Carolina constitution. See N.C. Const. art. VI, § 2(3). Thus, if
    Plaintiffs are correct that it violates other constitutional provisions to deny the
    franchise to individuals who have been released back into the community, article VI,
    section 2’s disenfranchisement provision must necessarily be read to exclude those
    individuals. And if article VI, section 2(3) does not include individuals on probation,
    parole, or post-release supervision, then N.C.G.S. § 13-1 is singularly responsible for
    bringing those individuals within the reach of the constitution’s disenfranchisement
    provisions.
    But at this stage, the conclusion that Plaintiffs have standing does not turn on
    agreeing with their argument on the merits that N.C.G.S. § 13-1, rather than the
    North Carolina constitution, is responsible for disenfranchising the population of
    convicted felons that have reintegrated into the community. Defendants’ argument
    that Plaintiffs lack standing is simply a misapplication of well-established standing
    doctrine.
    Traceability is the requirement that an alleged “injury was likely caused by
    the defendant” in a case. TransUnion LLC v. Ramirez, 
    141 S. Ct. 2190
    , 2203 (2021).
    In other words, “there must be a causal connection between the injury and the
    conduct complained of—the injury has to be ‘fairly . . . trace[able] to the challenged
    action of the defendant, and not . . . th[e] result [of] the independent action of some
    third party not before the court.’ ” Lujan v. Defs. of Wildlife, 
    504 U.S. 555
    , 560 (1992)
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    Earls, J., dissenting
    (alterations in original) (quoting Simon v. E. Ky. Welfare Rts. Org., 
    426 U.S. 26
    , 41–
    42 (1976)). In Defendants’ view, there is no connection between the alleged injury—
    the disenfranchisement of individuals on community supervision in violation of
    multiple constitutional provisions—and Defendants’ actions—the passage and
    continued implementation of N.C.G.S. § 13-1—because the constitution, rather than
    N.C.G.S. § 13-1, is responsible for Plaintiffs’ injury.
    In effect, Defendants’ argument that Plaintiffs’ injury is not traceable to the
    challenged law is based on the resolution of one of the primary issues that this Court
    must address on the merits—whether various provisions of the North Carolina
    constitution, namely the equal protection clause, the free elections clause, and the
    constitution’s ban on property qualifications, require that convicted felons who have
    completed their prison sentences and have returned to their communities be
    permitted to vote. But whether Plaintiffs have standing to bring suit is a “ ‘threshold
    question’ to be resolved before turning attention to more ‘substantive’ issues.” Valley
    Forge Christian Coll. v. Ams. United for Separation of Church & State, Inc., 
    454 U.S. 464
    , 490 (1982) (Brenan, J., dissenting). Indeed, “the question of standing is whether
    the litigant is entitled to have the court decide the merits of the dispute.” Warth v.
    Seldin, 
    422 U.S. 490
    , 498 (1975). Here, however, Defendants argue that this Court
    should hold that Plaintiffs lack standing by deciding the merits of this dispute. The
    error lies in the wholesale integration of these two distinct analyses.
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    Earls, J., dissenting
    What is more, “[w]hile federal standing doctrine can be instructive as to
    general principles . . . and for comparative analysis, the nuts and bolts of North
    Carolina standing doctrine are not coincident with federal standing doctrine.”
    Goldston v. State, 
    361 N.C. 26
    , 35 (2006). In North Carolina, “[w]hen a person alleges
    the infringement of a legal right directly under a cause of action at common law, a
    statute, or the North Carolina Constitution, . . . the legal injury itself gives rise to
    standing.” Comm. to Elect Dan Forest v. Emps. Pol. Action Comm., 
    376 N.C. 558
    , 609
    (2021) (emphasis added). Here, Plaintiffs have alleged that they have been deprived
    of a legal right under N.C.G.S. § 13-1, and they have therefore established standing
    under North Carolina law. Even if one disagrees about whether there has, in fact,
    been a deprivation of any legal right, at this point in the analysis, Plaintiffs
    allegations are sufficient to establish their legal standing.
    2. Redressability
    Defendants also argue that Plaintiffs lack standing because their injury cannot
    be redressed by a favorable decision. This is perhaps an even more egregious
    misapplication of standing doctrine than Defendants’ clumsy attempt to apply the
    federal traceability requirement. Redressability is the idea that, for a plaintiff to have
    standing, “it must be ‘likely,’ as opposed to merely ‘speculative,’ that the injury will
    be ‘redressed by a favorable decision.’ ” Lujan, 
    504 U.S. at 561
    . Here, it is not merely
    likely but certain that a decision favorable to Plaintiffs, which holds that N.C.G.S. §
    13-1 violates the North Carolina constitution, would redress the alleged injury.
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    Earls, J., dissenting
    If such a favorable decision were rendered, two conclusions would necessarily
    follow. First, Defendants’ argument that article VI, section 2(3) itself disenfranchises
    individuals on probation, parole, or post-release supervision would fail based on the
    principle previously explained: that one constitutional provision “cannot be applied
    . . . in a manner that fails to comport with other requirements of the State
    Constitution.” Stephenson, 
    355 N.C. at 376
    . Second, once it has been determined that
    the constitution prohibits the disenfranchisement of individuals on probation, parole,
    or post-release supervision, a court can redress the injury by striking the portions of
    N.C.G.S. § 13-1 that discriminate against this class of people. This is precisely what
    the trial court’s injunction did here.
    Perhaps aware of this straightforward redressability analysis, Defendants
    argue that such a remedy is not within the power of the courts. Specifically,
    Defendants contend that the trial court’s injunction directing that “if a person
    otherwise eligible to vote is not in jail or prison for a felony conviction, they may
    lawfully register and vote in North Carolina” was an “attempt[ ] to prescribe the
    manner for felon re-enfranchisement itself,” and thus the “Superior Court improperly
    exercised the lawmaking power reserved for the General Assembly.”
    The idea that the trial court “re[wrote] Section 13-1 [to] make new law to
    restore voting rights upon ‘release from prison’ rather than ‘unconditional discharge’
    from a criminal sentence” is a dishonest mischaracterization of the trial court’s
    injunction. As explained, after concluding that the equal protection clause, the free
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    Earls, J., dissenting
    elections clause, and the constitution’s ban on property qualifications prohibit the
    General Assembly from discriminating against individuals on probation, parole, or
    post-release supervision, the trial court struck down the specific language in N.C.G.S.
    § 13-1 that denies the franchise to this class of individuals and imposed an injunction
    instructing that such individuals be permitted to register and vote.
    Defendants do not cite a single case that supports the proposition that the trial
    court here lacked the authority to strike down N.C.G.S. § 13-1’s discriminatory
    provisions and issue an injunction directing that individuals on probation, parole, or
    post-release supervision not be denied their constitutional right to vote. Nor could
    they. The trial court here did no more than “enjoin only the unconstitutional
    applications of [§ 13-1] while leaving other applications in force,” Ayotte v. Planned
    Parenthood of N. New England, 
    546 U.S. 320
    , 329 (2006)—a routine action that courts
    must take when faced with an unconstitutional statute. “Each time a court strikes
    down a statutory provision, it must determine whether to invalidate only the
    unconstitutional provision or instead whether to invalidate the statute in its entirety
    or in substantial part.” Kenneth A. Klukowski, Severability Doctrine: How Much of a
    Statute Should Federal Courts Invalidate?, 
    16 Tex. Rev. L. & Pol. 1
    , 3 (2011). Indeed,
    “[f]ew would suggest that a court should invalidate an entire statute every time any
    aspect of the statute is unconstitutional.” Id. at 7; see also Free Enter. Fund v. Pub.
    Co. Acct. Oversight Bd., 
    561 U.S. 477
    , 508 (2010) (“[T]he ‘normal rule’ is ‘that partial,
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    Earls, J., dissenting
    rather than facial, invalidation is the required course.’ ” (quoting Brockett v. Spokane
    Arcades, Inc., 
    472 U.S. 491
    , 504 (1985))).
    This Court has never suggested that North Carolina’s courts lack such
    authority. In fact, this Court has done just the opposite and has conducted
    severability analyses in countless cases virtually since its inception. See, e.g. Pope v.
    Easley, 
    354 N.C. 544
    , 548 (2001) (determining “whether the trial court properly
    severed the unconstitutional part of” a statute); Appeal of Springmoor, Inc., 
    348 N.C. 1
    , 13 (1998) (“[S]everance may be applied to save the remainder of a statute if it is
    apparent that the legislative body, had it known of the invalidity of the one portion,
    would have enacted the remainder alone.” (cleaned up)); State v. Waddell, 
    282 N.C. 431
    , 442 (1973) (“If the objectionable parts of a statute are severable from the rest . . .
    the statute may be enforced as to those portions of it which are constitutional.”
    (cleaned up)), superseded on other grounds by statute; An Act to Amend G.S. 14-17
    Murder Defined and Punishment Provided for Murder, Rape, Burglary and Arson,
    ch. 1201, § 1, 
    1973 N.C. Sess. Laws 323
    , 323; Keith v. Lockhart, 
    171 N.C. 451
     (1916)
    (“It is the recognized principle that . . . [w]here a part of the statute is
    unconstitutional, but the remainder is valid, the parts will be separated, if possible,
    and that which is constitutional will be sustained.” (cleaned up)); Gamble v. McCrady,
    
    75 N.C. 509
    , 512 (1876) (“[W]hile the general provisions of an act may be
    unconstitutional, one or more clauses may be good, provided they can be separated
    from the others so as not to depend upon the existence of the others for their own.”).
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    Earls, J., dissenting
    There is simply nothing unique or unusual about the trial court’s injunction here, and
    it is certainly not a basis from which to conclude that Plaintiffs lack standing in this
    case.
    3. Organizational Standing
    The majority relies on River Birch Associates v. City of Raleigh, 
    326 N.C. 100
    (1990), for the proposition that two of the Organizational Plaintiffs do not have
    standing because they have failed to allege their own injuries with sufficient
    particularity and failed to allege that they have members who are injured by the
    statute they challenge.5 River Birch Associates relied on two federal cases decided in
    the 1970s, Warth, 
    442 U.S. 490
     (1979), and Hunt v. Washington State Apple
    Advertising Commission, 
    432 U.S. 333
     (1977). River Birch Assocs., 326 N.C. at 129–
    30. None of these cases consider this Court’s careful analysis of the distinction
    between standing in federal court and standing in state court as elaborated in
    Committee to Elect Dan Forest, 
    376 N.C. 558
    . Moreover, the majority relies solely on
    allegations in the complaint rather than examining all the evidence produced at the
    trial, which potentially also bears on organizational standing at this stage of the
    proceedings.
    Since none of the parties made the argument now relied upon by the majority,
    5 The majority also concluded that similar resource allocation allegations were
    insufficient to establish the North Carolina State Conference of the NAACP’s standing.
    However, the Court held that this Organizational Plaintiff established standing through
    additional allegations in the amended complaint.
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    Earls, J., dissenting
    it is unwise to undergo the superficial standing analysis advanced here. Claiming
    that assertions in the complaint regarding resource allocation are too vague without
    acknowledging the fuller testimony in the record from Plaintiff Organizations is
    unfair to plaintiffs. In light of the relaxed “injury in fact” requirement established by
    this Court only two years ago in Committee to Elect Dan Forest and the fuller
    testimony in the record regarding the activities and efforts of the Organizational
    Plaintiffs that the majority summarily concludes do not have standing, that
    conclusion is in error.
    III.   N.C.G.S. § 13-1 Violates Multiple Provisions of the North Carolina
    Constitution
    A. The Equal Protection Clause
    Plaintiffs allege and the trial court concluded that N.C.G.S. § 13-1 violates the
    equal protection clause based on three distinct grounds: (1) that the statute
    unconstitutionally discriminates based on race; (2) that it deprives African Americans
    of the fundamental right to vote on equal terms; and (3) that it imposes an
    unconstitutional wealth-based classification. The majority does not dispute much of
    the evidence that the trial court relied on in finding these constitutional violations.
    But in spite of the extensive evidence upon which the trial court’s findings and
    conclusions are based, the majority nonetheless determines that N.C.G.S. § 13-1 does
    not violate the equal protection clause in any respect. This conclusion can follow only
    from a complete disregard of the evidence before this Court.
    1. Discrimination Based on Race
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    Earls, J., dissenting
    The trial court held that N.C.G.S. § 13-1’s denial of the franchise to people on
    felony supervision violates the equal protection clause because it discriminates
    against African Americans in intent and effect. The majority holds otherwise,
    reasoning that “[t]he trial court misapplied the Arlington Heights factors and relied
    on manifestly insufficient evidence to bolster its conclusion that racial discrimination
    prompted the General Assembly . . . not to restore the citizenship rights of persons
    on felony supervision.” See Vill. of Arlington Heights v. Metro. Hous. Dev. Corp., 
    429 U.S. 252
    , 267–68 (1977). Considering the ample evidence of racial discrimination
    Plaintiffs have produced and the trial court accepted, the majority demonstrates that
    it would prefer to simply pretend racial discrimination does not exist today, rather
    than grapple with the plain and undisputed facts in front of it.
    a. Analyzing Facially Neutral, Discriminatory Laws
    Though the parties do not dispute that Arlington Heights controls here, the
    majority finds it necessary to point out that this Court is “free to depart from the
    federal burden-shifting framework” imposed by Arlington Heights “if [the Court]
    deem[s] it incompatible with the principles that guide our review of state
    constitutional challenges.”
    True enough. If this Court believed it appropriate, it could indeed apply a
    framework of its own design to determine whether a facially neutral law
    discriminates based on race in violation of the equal protection clause. What the
    majority fails to mention, however, is that any test it fashions must render the state
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    Earls, J., dissenting
    constitution’s equal protection clause at least as potent as its federal counterpart.
    See State v. Carter, 
    322 N.C. 709
    , 713 (1988) (“Even were the two provisions identical,
    we have the authority to construe our own constitution differently from the
    construction by the United States Supreme Court of the Federal Constitution, as long
    as our citizens are thereby accorded no lesser rights than they are guaranteed by the
    parallel federal provision.”); see also Stephenson v. Bartlett, 
    355 N.C. 354
    , 381 n.6
    (2002). Unsurprisingly then, and despite its musings about its authority to apply a
    framework other than Arlington Heights, the majority proceeds with the Arlington
    Heights analysis.6
    b. The Trial Court’s Findings of Fact are Binding
    Before the majority analyzes N.C.G.S. § 13-1 under the Arlington Heights
    framework, it first criticizes the trial court’s final judgment and order for omitting a
    direct reference to “the presumption of legislative good faith.” The majority therefore
    concludes that “[i]nasmuch as the trial court did not presume legislative good faith,
    its findings of fact concerning the discriminatory intent allegedly infecting section 13-
    1 are not binding on appeal.” For one thing, the presumption of legislative good faith
    6 This Court has, in fact, applied Arlington Heights to a facially neutral law before.
    See Holmes v. Moore, 
    383 N.C. 171
     (2022), rev’d, No. 342PA19-3 (N.C. Apr. 28, 2023). Today,
    the majority overturns this decision in a separate opinion, expressing the same inexplicable
    resistance to applying the Arlington Heights framework. See Holmes, slip op. at 22. In
    repeatedly challenging the applicability of Arlington Heights but applying its framework
    anyway, as here, or adopting an inadequate framework as in the newly issued Holmes
    opinion, it appears that the Court’s current majority is merely reluctant to accept that facially
    neutral laws can be found to be discriminatory. The Court seems poised to make this
    endeavor more challenging. Unfortunately for the majority, the federal Constitution will
    constrain these efforts.
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    Earls, J., dissenting
    is built into the Arlington Heights framework when properly applied in that plaintiffs
    must first present evidence of the discriminatory intent behind a legislative act. But
    “[w]hen there is . . . proof that a discriminatory purpose has been a motivating factor
    in the decision, this judicial deference is no longer justified.” Arlington Heights, 
    429 U.S. at
    265–66.
    In holding that the trial court did not clearly apply the presumption of good
    faith, the majority perhaps attempts to follow the reasoning of federal circuit court
    cases that have concluded that the trial court failed to apply the presumption. See,
    e.g., N.C. State Conf. of the NAACP v. Raymond, 
    981 F.3d 295
     (4th Cir. 2020); League
    of Women Voters of Fla., Inc. v. Fla. Sec’y of State, 
    32 F.4th 1363
     (11th Cir. 2022). But
    cases in the federal circuit courts of appeals that have held that the trial court rulings
    at issue failed to apply the presumption of good faith examine the content of the trial
    courts’ Arlington Heights analyses themselves, rather than admonish the trial courts
    for failing to declare that the presumption of good faith has been applied. See, e.g.,
    League of Women Voters of Fla., 32 F.4th at 1373 (“[W]hile we do not require courts
    to incant magic words, it does not appear to us that the district court here
    meaningfully accounted for the presumption at all.”).
    The trial court need not explicitly state that it has applied the presumption, as
    the majority suggests. The presumption is better assessed by reference to the trial
    court’s actual analysis of racial discrimination than by simplistically noting whether
    it used certain magic words, and the majority need not agree with this analysis to
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    Earls, J., dissenting
    understand that the presumption has been applied. Here, and analyzed in depth
    below, the trial court considered in exhaustive detail Plaintiffs’ evidence of racial
    discrimination under N.C.G.S. § 13-1. After concluding that Plaintiffs introduced
    ample evidence of discriminatory intent, the trial court properly shifted the burden
    to Defendants to prove race-neutral justifications. Ignoring the trial court’s
    painstaking analysis, the majority forsakes a thoughtful review of the trial court’s
    decision for expediency—in the majority’s view, the trial court did not directly
    mention the presumption of good faith, so it must not haven been applied.
    Moreover, though a trial court’s failure to apply the presumption of good faith
    may impact its conclusions of law, a trial court’s findings of fact are based on concrete
    facts contained in the record. Put another way, a failure to apply the presumption of
    good faith does not change the veracity of the facts themselves—only the conclusions
    drawn from them. As much as the majority may like to resist the trial court’s findings,
    as they reveal the malicious and racist intent of N.C.G.S. § 13-1, a fact is a fact. And
    in this case, Defendants contested almost none of the trial court’s factual findings.
    The presumption of good faith is not a magic wand that transforms such uncontested
    facts into mere ruminations that this Court, as an appellate court, can accept or reject
    at will without a specific legal basis for doing so. But that is how the majority treats
    the presumption—without mentioning a single finding of fact that demonstrates that
    the trial court failed to apply the presumption of good faith, the majority inexplicably
    declares all of them nonbinding. This it cannot do.
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    Earls, J., dissenting
    c. Discriminatory Impact
    As to N.C.G.S. § 13-1’s discriminatory impact, the majority holds that “[t]he
    trial court’s findings of fact do not support its ultimate finding that section 13-1 has
    a disproportionate impact on African Americans.” This conclusion is plainly incorrect.
    The trial court made extensive findings based on evidence introduced by
    Plaintiffs that N.C.G.S. § 13-1 has a discriminatory impact. Its findings include:
    •   That African Americans represent 21% of the voting-age population in
    North Carolina, but 42% of the people who are denied the franchise
    under N.C.G.S. § 13-1 from a North Carolina state court conviction
    alone. African American men make up 9.2% of the total voting-age
    population but constitute 36.6% of the people who are disenfranchised
    by N.C.G.S. § 13-1. By contrast, White people make up a much larger
    share of North Carolina’s voting-age population—72%, to be precise—
    but only constitute 52% of those denied the franchise under N.C.G.S. §
    13-1.
    •   That 1.24% of the total African American voting-age population in North
    Carolina is on community supervision compared to 0.45% of the total
    White   voting-age   population.      African   Americans   are   therefore
    disenfranchised at a rate that is 2.76 times as high as White people.
    •   That the number of African Americans on community supervision that
    are denied the franchise under N.C.G.S. § 13-1 relative to the overall
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    Earls, J., dissenting
    number of African American registered voters is almost three times as
    high as the number of White people on community supervision that are
    denied the franchise under N.C.G.S. § 13-1.
    •   That African Americans are disenfranchised under N.C.G.S. § 13-1 at
    higher rates that White people in the eighty-four counties that have
    sufficient data to perform comparative analyses. There is not a single
    county where the White disenfranchisement rate is greater than the
    African American disenfranchisement rate.
    •   That in seventy-seven of those counties, the rate of African American
    disenfranchisement is high (over 0.83% of the African American voting-
    age population), whereas the rate of White disenfranchisement is high
    in only ten counties.
    •   That in forty-four counties, the percentage of the African American
    voting-age population that is denied the franchise under N.C.G.S. § 13-
    1 is at least three times greater than the comparable percentage of the
    White population. In twenty-four counties, the African American
    disenfranchisement rate is at least four times greater than the White
    disenfranchisement rate. In eight counties, the African American
    disenfranchisement rate is at least five times greater than the White
    disenfranchisement rate.
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    Earls, J., dissenting
    This non-exhaustive list covers only a few of the trial court’s findings regarding
    N.C.G.S. § 13-1’s discriminatory impact. Based on this extensive statewide and
    county-level data, the trial court found that “North Carolina’s denial of the franchise
    [to   individuals]   on   felony   probation,      parole,   or   post-release   supervision
    disproportionately affects African Americans by wide margins.” Importantly, the trial
    court found that “[a]lthough more White people are denied the franchise due to felony
    post-release supervision than African American people in [the] aggregate, this does
    not affect the finding that African American people are disproportionately affected by
    section 13-1.” In North Carolina, there are nearly 6 million White voting-age
    individuals compared to fewer than 1.8 million African American voting-age
    individuals. Thus, the trial court found that “to determine whether racial disparities
    exist, it is necessary to compare African American and White rates of
    disenfranchisement, rather than aggregate numbers of disenfranchised African
    American and White people.”
    Notably, the majority does not hold that these findings are erroneous. Instead,
    it reasons only that the fact that “African Americans make up about forty-two percent
    of the felon population seems to account for the disproportionate share . . . of African
    Americans on felony supervision.” But this reasoning ignores a core reality of this
    case—N.C.G.S. § 13-1 was designed to prohibit as many African Americans from
    voting as possible by preying on the disproportionate makeup of the felon population.
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    Earls, J., dissenting
    The issue the majority raises simply demonstrates that N.C.G.S. § 13-1 is working
    precisely as it was intended.
    Take a moment to consider the import of the majority’s logic. If this argument
    were correct, then any disparate impact analysis would be meaningless—it would be
    impossible to prove that any facially-neutral, discriminatory law designed to exploit
    a societal inequality causes a disparate impact. Using the majority’s logic, poll taxes
    would not have a discriminatory impact because at the time the poll tax was held to
    be unconstitutional, African Americans were disproportionately poor, meaning
    wealth inequality, rather than laws implementing poll taxes, was to blame for the
    disproportionate number of African Americans barred from voting. Likewise, literacy
    tests would not have a discriminatory impact because, applying the majority’s
    rationale, “the fact that African Americans [made up a disproportionate share of
    those who were illiterate would] seem[ ] to account for the disproportionate share . . .
    of African Americans” who were barred from voting because they could not pass
    literacy tests.7 It is no wonder Defendants themselves did not even raise this point as
    a basis for concluding that there is no evidence that N.C.G.S. § 13-1 has a disparate
    impact. The majority’s fundamentally flawed logic is no basis for concluding that, in
    7It is well understood that literacy tests were “particularly effective” at suppressing
    African American voters. Nw. Austin Mun. Util. Dist. No. One v. Holder, 
    557 U.S. 193
    , 219–
    20 (2009). “These laws were based on the fact that as of 1890,” in many southern states,
    including North Carolina, “more than two-thirds of the adult Negroes were illiterate while
    less than one-quarter of the adult whites were unable to read or write.” South Carolina v.
    Katzenbach, 
    383 U.S. 301
    , 311 (1966).
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    Earls, J., dissenting
    spite of the overwhelming evidence, “[t]he trial court’s findings of fact do not support
    its ultimate finding that section 13-1 has a disproportionate impact on African
    Americans.”8
    d. Historical Background
    The historical background of N.C.G.S. § 13-1 also supports that the law was
    motivated by discriminatory intent. Importantly, as noted by the trial court, “[i]t was
    well understood and plainly known in the 1970s that the historical and original
    motivation for denial of the franchise to persons on community supervision in the
    post-reconstruction era had been to attack and curb the political rights of African
    Americans.” At no time during this litigation have Legislative Defendants disputed
    that the General Assembly was aware of this fact at the time that N.C.G.S. § 13-1
    was amended both in 1971 and 1973. Despite its knowledge of the racist history and
    lasting discriminatory impact of N.C.G.S. § 13-1’s denial of the franchise to
    individuals on community supervision, the General Assembly maintained this
    provision when amending N.C.G.S. § 13-1 in 1971 and 1973. During trial, Legislative
    Defendants did not offer any race-neutral explanation for this decision. Meanwhile,
    Defendants “presented no evidence at any time during trial advancing any race-
    8  The majority attempts to salvage its conclusion and asserts that the dissent
    misunderstands its position. The majority explains “the trial court should have compared the
    percentages of African American felons and white felons ineligible for re-enfranchisment
    under section 13-1 with the racial makeup of the total felon population because, unlike the
    poll tax that all would-be voters had to pay, section 13-1’s scope is limited to individuals with
    felon convictions.” This explanation is nonsensical, but it appears to merely rephrase the
    reasoning already described. It fails for the same reasons.
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    Earls, J., dissenting
    neutral explanation for the legislature’s decision in 1971 and 1973 to preserve, rather
    than eliminate, the 1877 bill’s denial of the franchise to persons on community
    supervision.”
    Further, at the time that N.C.G.S. § 13-1 was amended in the 1970s, the
    General Assembly was plagued by racism among its members. In 1973, there were
    only three African American members of the General Assembly compared to 167
    White representatives.9 Many of these White representatives held openly racist views
    about African Americans and used racial slurs to refer to the General Assembly’s
    three African American members. This evidence demonstrates the tenor of the
    General Assembly at the time that it chose to retain N.C.G.S. § 13-1’s community
    supervision disenfranchisement provision despite being aware of the law’s intended
    and continued impact on African American voters.
    At this point in the analysis, it is important to remember that Arlington
    Heights “does not require a plaintiff to prove that the challenged action rested solely
    on racially discriminatory purposes. Rarely can it be said that a legislature or
    administrative body operating under a broad mandate made a decision motivated
    solely by a single concern, or even that a particular purpose was the ‘dominant’ or
    ‘primary’ one.” 
    429 U.S. at 265
    . This means that we do not have to decide how
    important the racist motivations were behind the General Assembly’s decision to
    continue disenfranchising individuals on community supervision because “racial
    9   In 1971, there were only two African American legislators in the General Assembly.
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    Earls, J., dissenting
    discrimination is not just another competing consideration.” 
    Id.
     Any degree of a
    racially-fueled motivation is too much. Based on the evidence before it, the trial court
    correctly concluded that race was at least one of the motivating factors in the General
    Assembly’s decision to retain N.C.G.S. § 13-1’s disenfranchisement provision for
    individuals on community supervision and shifted to burden to the Defendants to
    offer a race-neutral explanation for the decision to retain the provision. As noted,
    Defendants did not provide any such evidence.10
    Though it is true that the intentions of the General Assembly in the 1970s
    ultimately determine whether N.C.G.S. § 13-1 was motivated by discriminatory
    intent, as the majority recognizes, the law’s pre-1971 history is not irrelevant to this
    analysis. Indeed, this history provides important context for understanding the
    changes that came about in the 1970s. The United States Supreme Court has
    similarly held that even when a law undergoes changes over time, its history remains
    relevant.
    In Hunter v. Underwood, 
    471 U.S. 222
     (1985), the United States Supreme
    Court held that a felon disenfranchisement provision in the Alabama constitution
    constituted an equal protection violation under the Fourteenth Amendment. There,
    10 In applying the Arlington Heights framework in this manner, the trial court gave
    Defendants all of the legislative good faith they were due: It placed the burden on Plaintiffs
    to present convincing evidence of racial discrimination and gave Defendants an opportunity
    to provide race-neutral explanations for the General Assembly’s decisions. When Defendants
    failed to provide such explanations, there was simply no more deference that could be
    afforded.
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    Earls, J., dissenting
    despite acknowledging the racist history of the constitutional provision, the
    defendants argued that this history was inapposite because subsequent changes to
    the law’s enforcement, including court decisions striking down various portions of the
    provision, rendered what remained constitutional. 
    Id.
     at 232–33.
    The United States Supreme Court rejected this argument, explaining that
    regardless of whether the provision would be constitutional had it been passed with
    race-neutral motivations and in its current form today, “its original enactment was
    motivated by a desire to discriminate against blacks on account of race and the section
    continues to this day to have that effect.” 
    Id. at 233
    . The same is true here: Section
    13-1 was passed with racist motivations, it was amended with full knowledge of both
    those motivations and its discriminatory impact, members of the General Assembly
    themselves engaged in racist behavior at the time N.C.G.S. § 13-1 was amended, and
    no alternative reason for retaining the discriminatory provision of N.C.G.S. § 13-1
    that Plaintiffs challenge has been provided. Though there may be instances “where a
    legislature actually confronts a law’s tawdry past in reenacting it [and] the new law
    may well be free of discriminatory taint[, t]hat cannot be said of” N.C.G.S. § 13-1.
    Ramos v. Louisiana, 
    140 S. Ct. 1390
    , 1410 (2020) (Sotomayor, J., concurring).11
    11  The majority rejects Hunter as inapplicable here because the General Assembly
    “repealed allegedly discriminatory laws and replaced them with a substantially different
    statutory scheme.” But this argument ignores that the specific provision in N.C.G.S. § 13-1
    that is challenged here originates in the version of the law that was passed in 1877. Any
    amendments in the 1970s that altered the statutory scheme or made it easier for felons to
    have their rights restored do not bear on the unchanged challenged provision.
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    Earls, J., dissenting
    The majority disagrees that N.C.G.S. § 13-1’s historical background
    demonstrates its discriminatory intent. The majority explains that “[w]hile it would
    be an overstatement to say that the trial court should have ignored [N.C.G.S. § 13-
    1’s] pre-1971 history recounted in its order, plaintiffs’ claims must finally rise or fall
    on whether their evidence overcomes the presumption of legislative good faith and
    proves that discriminatory intent” motivated N.C.G.S. § 13-1 as amended in the
    1970s. The majority notes that the trial court should have considered “the
    legislature’s approval in 1969 of what became our current state constitution” because
    “that document incorporated equal protection and nondiscrimination guarantees that
    had not appeared in our previous state constitutions.” Confusingly, however, the
    majority’s analysis ends there. It does not actually analyze the evidence presented
    surrounding N.C.G.S. § 13-1’s post-1971 history.
    e. Legislative Process and History
    Section 13-1’s relevant legislative process and history is somewhat limited
    because the General Assembly did not explicitly declare its reasons for retaining the
    disenfranchisement provision at issue. Though N.C.G.S. § 13-1’s legislative history is
    not enough on its own to prove racially discriminatory intent, it adds further support
    to the trial court’s conclusion that the decision was motivated by such intent.
    The trial court made several important findings with respect to N.C.G.S. § 13-
    1’s amendments in the 1970s. Specifically, in 1971, the only two African American
    members of the General Assembly proposed a bill that would, among other changes,
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    Earls, J., dissenting
    “ ‘automatically’ restore citizenship rights to anyone convicted of a felony ‘upon the
    full completion of his sentence.’ ” The proposal was rejected and the bill was “amended
    to retain N.C.G.S. § 13-1’s denial of the franchise to people living in North Carolina’s
    communities.” The bill was further amended to both add an oath requirement and
    mandate that a felon wait two years after completion of all terms of a sentence before
    rights could be restored. The 1971 version of N.C.G.S. § 13-1 passed as amended. At
    the time, one of the African American legislators who introduced the original version
    of the bill—Representative Henry Frye—explained on the floor of the North Carolina
    House of Representatives that “he preferred the bill’s original provisions which called
    for automatic restoration of citizenship when a felon had finished his prison sentence,
    but he would go along with the amendment if necessary to get the bill passed.”
    In 1973, the General Assembly’s three African American members again
    attempted to reform N.C.G.S. § 13-1. Though they were successful in convincing their
    fellow members to eliminate the oath requirement and the two-year waiting period
    from the 1971 amendments, “they were not able to reinstate voting rights upon
    release from incarceration.” Senator Henry Michaux Jr., who was previously a
    member of the North Carolina House of Representatives and was one of the members
    who introduced the 1973 proposal, explained that the intention behind the 1973
    proposal to amend N.C.G.S. § 13-1 “was a total reinstatement of rights, but [they]
    had to compromise to reinstate citizenship voting rights only after completion of a
    sentence of parole or probation.”
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    Earls, J., dissenting
    Based on these facts, the trial court found that it “is clear and irrefutable that
    the goal of these African American legislators . . . was to eliminate section 13-1’s
    denial of the franchise to persons released from incarceration and living in the
    community, but that they were forced to compromise in light of opposition by their
    167 White colleagues to achieve other goals.” As before, this legislative history is
    useful in contextualizing N.C.G.S. § 13-1’s continued disenfranchisement of
    individuals on community supervision. To repeat, “[i]t was well understood and
    plainly known in the 1970s that the historical and original motivation for denial of
    the franchise to persons on community supervision in the post-reconstruction era had
    been to attack and curb the political rights of African Americans.” Aware of N.C.G.S.
    § 13-1’s history and its lasting effects, the predominantly White General Assembly
    chose to retain the challenged provision and in the process, rejected multiple attempts
    to eliminate it without having ever provided justifications for doing so.
    f. Race-Neutral Motivations
    In light of the extensive evidence supporting that discriminatory intent was a
    motivating factor in passing N.C.G.S. § 13-1, the trial court correctly “shifted to
    [Legislative Defendants] the burden of establishing that the same decision would
    have resulted even had the impermissible purpose not been considered.” Arlington
    Heights, 
    429 U.S. at
    270 n.21. Defendants utterly failed this task.
    As the trial court found, “Defendants failed to introduce any evidence
    supporting a view that section 13-1’s denial of the franchise to people on felony
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    Earls, J., dissenting
    supervision serves any valid state interest today.” For example, the interrogatory
    responses for the State Board Defendants identified interests behind N.C.G.S. § 13-
    1, including “regulating, streamlining, and promoting voter registration and electoral
    participation among North Carolinians convicted of felonies who have been
    reformed”; “simplifying the administration of the process to restore the rights of
    citizenship to North Carolinians convicted of felonies who have served their
    sentences”; and “avoiding confusion among North Carolinians convicted of felonies as
    to when their rights are restored.” However, “[t]he Executive Director testified that
    the State Board is not asserting that the denial of the franchise to people on felony
    supervision serves any of these interests as a factual matter in the present day, and
    she admitted that the State Board is unaware of any evidence that denying the
    franchise to such people advances any of these interests.” Moreover, “the State
    Board’s Executive Director conceded that striking down section 13-1’s denial of the
    franchise to people on felony supervision would ‘promote their voter registration and
    electoral participation.’ ”12
    In this Court, Defendants argued that N.C.G.S. § 13-1’s denial of the franchise
    to individuals on felony supervision is “easily administrable by the State and easily
    understood by the felons it impacts.” They also argued that it advances the State’s
    “interest in restoring felons to the electorate after justice has been done and they have
    Though the State Board Defendants are not a party to this appeal, these responses
    12
    demonstrate the lack of a plausible explanation for N.C.G.S. § 13-1’s retention of the
    community supervision disenfranchisement provision.
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    Earls, J., dissenting
    been fully rehabilitated by the criminal justice system,” quoting Jones v. Governor of
    Florida, 
    975 F.3d 1016
    , 1034 (2020).
    But Defendants provide no citation or explanation for why the current
    requirements of N.C.G.S. § 13-1 are “easily administrable.” Presumably, amending
    N.C.G.S. § 13-1 to restore rights once an individual is released from jail or prison
    would be just as easy to administrate, if not more so. Similarly, such language would
    be easily understood by individuals who have been convicted of a felony. In the face
    of extensive evidence of N.C.G.S. § 13-1’s discriminatory intent and effect, these
    proffered race-neutral justifications are little more than a weak attempt to mask
    N.C.G.S. § 13-1’s nefarious purpose.
    In sum, N.C.G.S. § 13-1’s discriminatory impact is both statistically and
    practically significant, and its racist motivations are clear. Because “there is proof
    that a discriminatory purpose has been a motivating factor [behind § 13-1] . . . judicial
    deference [to the legislature] is no longer justified,” see Arlington Heights, 
    429 U.S. at
    265–66, and it became Defendants burden to provide race-neutral justifications for
    the law under Arlington Heights. Defendants failed at this task, and N.C.G.S. § 13-1
    therefore discriminates based on race in violation of North Carolina’s equal protection
    clause.
    2. The Fundamental Right to Vote on Equal Terms
    The right to vote on equal terms is a fundamental right. Northampton Cnty.
    Drainage Dist. No. One v. Bailey, 
    326 N.C. 742
    , 747 (1990). The right not only protects
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    Earls, J., dissenting
    an individual’s ability to participate in the electoral process but also “the principles
    of   substantially    equal   voting     power      and        substantially    equal   legislative
    representation.” Stephenson v. Bartlett, 
    355 N.C. 354
    , 382 (2002) When a law
    “impermissibly interferes with the exercise of a fundamental right,” strict scrutiny
    applies. 
    Id. at 377
     (quoting White v. Pate, 
    308 N.C. 759
    , 766 (1983)).
    The trial court correctly concluded that N.C.G.S. § 13-1’s denial of the franchise
    to people on felony supervision violates their fundamental right to vote, as well as the
    right of all African Americans to vote with substantially equal voting power. “The
    right to vote is the right to participate in the decision[                     ]making process of
    government” among all persons “sharing an identity with the broader humane,
    economic, ideological, and political concerns of the human body politic.” Texfi Indus.,
    Inc. v. City of Fayetteville, 
    301 N.C. 1
    , 13 (1980). By denying individuals the right to
    vote until they have completed any period of felony supervision, N.C.G.S. § 13-1
    denies individuals who have been released from prison the opportunity to engage in
    this civic process.
    Yet again, with tautological insistence, the majority holds that N.C.G.S. § 13-
    1 violates neither the fundamental right to vote nor its inextricable promise of the
    right to vote on equal terms, reasoning that N.C.G.S. § 13-1 does not deprive
    individuals on felony supervision of the fundamental right to vote because “felons
    have no fundamental right to vote, as Article VI, Section 2(3) expressly divests them
    of this right upon conviction.” Repeating this argument to the point of absurdity does
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    Earls, J., dissenting
    not make it stronger. Again, article VI, section 2(3)’s felon disenfranchisement
    provision does not enable N.C.G.S. § 13-1 to function as a blank check to the
    legislature to impose any “re-enfranchisement” requirements it desires.
    An example demonstrates this point. No one would contend that, as a result of
    article VI, section 2(3)’s expansive language, N.C.G.S. § 13-1 could contain a provision
    that expressly prohibits only African American felons from voting until they have
    completed felony supervision, while individuals of any other race have their rights
    restored upon completion of their prison sentences. Such a provision, which is an
    example of an express, race-based classification, would violate other sections of the
    North Carolina constitution, namely the equal protection clause. In the same vein,
    article VI, section 2(3) is not a blanket permission to the General Assembly to use
    N.C.G.S. § 13-1 as a means of passing racially discriminatory restrictions that are
    race-neutral on their face.
    N.C.G.S. § 13-1 denies individuals on community supervision of the right to
    vote in the most literal way possible: It forbids this class of people from voting. As
    previously explained, N.C.G.S. § 13-1 is unconstitutional on other grounds because,
    in singling out individuals on felony supervision, it discriminates against African
    Americans in violation of the equal protection clause’s guarantee that no “person
    [shall] be subjected to discrimination by the State because of race,” N.C. Const. art.
    I, § 19, and it is not justified by any compelling state interest. Because N.C.G.S. § 13-
    1’s denial of the franchise to individuals on felony supervision unconstitutionally
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    Earls, J., dissenting
    discriminates on the basis of race, it follows that this provision illegitimately deprives
    this class of people of their fundamental right to vote.
    The trial court also concluded that N.C.G.S. § 13-1 violates the equal protection
    clause because it “unconstitutionally denies [African Americans] substantially equal
    voting power on the basis of race.” As explained above, the right to substantially equal
    voting power derives from the fundamental right to vote itself and was recognized by
    this Court in Stephenson, 
    355 N.C. at 379
    . There, the Court, applying strict scrutiny,
    held that “use of both single-member and multi-member districts within the same
    redistricting plan violates the Equal Protection Clause of the State Constitution
    unless it is established that inclusion of multi-member districts advances a
    compelling state interest.” 
    Id.
     at 380–81 (footnote omitted). The Court held that
    certain uses of multi-member districts could violate the state constitution’s equal
    protection clause by depriving North Carolina voters of “the fundamental right . . . to
    substantially equal voting power.” 
    Id. at 379
    .
    The majority does not address this issue, but Defendants contend that
    N.C.G.S. § 13-1 does not deprive African Americans of equal voting power because
    “convicted felons are not constitutionally entitled to vote at all until their voting
    rights are restored in a manner that the General Assembly provides.” Aside from
    repeating the same point that this dissent has repeatedly rejected, this argument
    fails to recognize the full class of people who are denied the right to substantially
    equal voting power. This class is not limited to African Americans on felony
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    Earls, J., dissenting
    supervision as Defendants imply. Rather, N.C.G.S. § 13-1 denies substantially equal
    voting power to the entire African American electorate by disproportionately
    disenfranchising African American potential voters.
    To     repeat,   at   the   statewide    level,   the   rate   of   African   American
    disenfranchisement under N.C.G.S. § 13-1 is 2.76 times as high as the comparable
    percentage of the White population that is disenfranchised. At the county level, the
    percentage of voting-age African Americans who are disenfranchised is at least three
    times as high as the disenfranchised White population in forty-four counties, four
    times as high in twenty-four counties, and five times as high in eight counties. In
    every single county where there is sufficient data to perform a comparison, voting-
    age African Americans are disenfranchised under N.C.G.S. § 13-1 at higher rates
    than White people. These numbers are glaring, and it stands to reason that a law
    that was motivated by the overtly discriminatory purpose of repressing the African
    American vote in an effort to stifle African American political power and that
    successfully achieves that intended effect denies the African American population of
    “substantially equal voting power by diminishing or diluting their votes on the basis
    of [race].” Harper v. Hall, 
    380 N.C. 317
    , 378–79 (2022), cert. granted sub nom. Moore
    v. Harper, 
    142 S. Ct. 2901 (2022)
    , vacated, Harper v. Hall, No. 413PA21-2 (N.C. Apr.
    28, 2023).
    Under article I, section 19, strict scrutiny applies when: (1) a “classification
    impermissibly interferes with the exercise of a fundamental right”; or (2) a statute
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    Earls, J., dissenting
    “operates to the peculiar disadvantage of a suspect class.” Stephenson, 
    355 N.C. at 377
     (quoting White v. Pate, 
    308 N.C. 759
    , 766 (1983)). Thus, when the “fundamental
    right to vote on equal terms” is implicated, “strict scrutiny is the applicable standard.”
    Id. at 378.
    Section 13-1 cannot withstand this exacting review. “Under strict scrutiny, a
    challenged governmental action is unconstitutional if the State cannot establish that
    it is narrowly tailored to advance a compelling governmental interest.” Id. at 377. To
    repeat the trial court’s finding, “Defendants failed to introduce any evidence
    supporting a view that section 13-1’s denial of the franchise to people on felony
    supervision serves any valid state interest today,” let alone a compelling one. The
    interests that the state did attempt to assert were mere pretexts given their lack of
    logic and were certainly not narrowly tailored. In any case, there is very little in the
    way of a compelling government interest that could permit the legislature to deny an
    entire class of people the fundamental right to vote on otherwise unconstitutional
    grounds.
    3. Wealth-based Classification
    In concluding that N.C.G.S. § 13-1 imposes a wealth-based classification under
    the North Carolina constitution, the trial court explained that “by requiring an
    unconditional discharge that includes payments of all monetary obligations imposed
    by the court, N.C.G.S. § 13-1 creates a wealth classification that punishes felons who
    are genuinely unable to comply with the financial terms of their judgment more
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    Earls, J., dissenting
    harshly than those who are able to comply.” Put simply, N.C.G.S. § 13-1 “provides
    that individuals, otherwise similarly situated, may have their punishment alleviated
    or extended solely based on wealth.” The trial court applied strict scrutiny because
    “when a wealth classification is used to restrict the right to vote or in the
    administration of justice, it is subject to heightened scrutiny,” rather than rational
    basis review. It further concluded that N.C.G.S. § 13-1 cannot not survive this
    exacting review.
    In applying strict scrutiny, the trial court relied on the Supreme Court’s
    decision in M.L.B v. S.L.J., 
    519 U.S. 102
     (1996), which applied heighted scrutiny to a
    termination of parental rights case. There, the Court “d[id] not question the general
    rule . . . that fee requirements ordinarily are examined only for rationality.” 
    Id. at 123
    . But it held that precedent “solidly establish[ed] two exceptions to that general
    rule.” 
    Id. at 124
    . “The basic right to participate in political processes as voters and
    candidates cannot be limited to those who can pay for a license. Nor may access to
    judicial processes in cases criminal or ‘quasi criminal in nature’ turn on ability to
    pay.”13 
    Id.
     (cleaned up). The M.L.B. Court explained that these types of sanctions “are
    wholly contingent on one’s ability to pay, and thus ‘visi[t] different consequences on
    two categories of persons’ they apply to all indigents and do not reach anyone outside
    13  The Court cited Williams v. Illinois, 
    399 U.S. 235
     (1970), which struck down an
    Illinois law providing for the extended incarceration of an indigent offender who was unable
    to pay costs associated with his conviction. The Court explained that “the Illinois statute in
    operative effect exposes only indigents to the risk of imprisonment beyond the statutory
    maximum.” 
    Id. at 242
    .
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    Earls, J., dissenting
    that class.” Id. at 127 (alteration in original) (citation omitted) (quoting Williams v.
    Illinois, 
    399 U.S. 235
    , 242 (1970)). M.L.B. extended certain prohibitions on fee
    requirements from the criminal context to cases involving termination of parental
    rights because “[f]ew consequences of judicial action are so grave as the severance of
    natural family ties.” Id. at 119 (alteration in original) (quoting Santosky v. Kramer,
    
    455 U.S. 745
    , 787 (1982)).
    M.L.B. in turn relied on Harper v. Virginia Board of Elections, 
    383 U.S. 663
    (1966), the landmark United States Supreme Court case that struck down as
    unconstitutional any law making “the affluence of the voter or payment of any fee an
    electoral standard.” 
    Id. at 666
    . The United States Supreme Court reasoned that,
    while the States are free to regulate certain voter qualifications, these valid
    qualifications “have no relation to wealth nor to paying or not paying this or any other
    tax.” 
    Id.
    The principles of M.L.B. and Harper apply here. By conditioning restoration of
    the right to vote on the payment of fees that are prohibitive to many, N.C.G.S. § 13-1
    “exposes only indigents to the risk of” being unable to reclaim their fundamental right
    to vote. Williams, 
    399 U.S. at 242
    . As in M.L.B., N.C.G.S. § 13-1 “ ‘visi[ts] different
    consequences on two categories of persons,’ [it] appl[ies] to all indigents and do[es]
    not reach anyone outside that class.” M.L.B., 
    519 U.S. at 127
    . But it should not matter
    “whether the citizen, otherwise qualified to vote, has $1.50 in his pocket or nothing
    at all, pays the fee or fails to pay it.” Harper, 
    383 U.S. at 668
    . And in the same way
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    Earls, J., dissenting
    that one’s ability to pay a poll tax in order to vote is not a valid voter qualification,
    the ability to pay legal fees when all other aspects of a sentence have been completed
    is “not germane to one’s ability to participate intelligently in the electoral process”
    and is therefore not an appropriate consideration in determining whether an
    individual is legally qualified to vote. 
    Id.
     Section 13-1 is therefore not a permissible
    voter qualification but instead is an unconstitutional wealth-based classification.
    The majority, however, applies rational basis review and holds that N.C.G.S.
    § 13-1 does not, in fact, impose an unconstitutional wealth classification because the
    law bears a reasonable connection to a legitimate government interest. Further, the
    majority quotes the Eleventh Circuit’s decision in Jones v. Governor of Florida, 
    975 F.3d 1016
    , 1030 (2020), which rejected the idea that a similar disenfranchisement
    law created a wealth-based classification, reasoning that “[t]he only classification at
    issue is between felons who have completed all terms of their sentences, including
    financial terms, and those who have not.”
    The majority describes Jones’s reasoning as “persuasive.” But as Plaintiffs
    point out, the framing of N.C.G.S. § 13-1’s only distinction as “between felons who
    have completed the terms of their sentence, including financial terms, and those who
    have not,” “is exactly the constitutional problem” because the law treats otherwise
    identically situated individuals differently based on their ability to pay. Further,
    [f]or people on felony probation in North Carolina, the
    median amounts owed are $573 in court costs, $340 in fees,
    and $1,400 in restitution. For people on parole or post-
    release supervision, the median amounts owed are $839 in
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    Earls, J., dissenting
    court costs, $40 in fees, and $1,500 in restitution.
    As Plaintiffs explain, these fees are “prohibitive” for many individuals, and therefore
    conditioning a felon’s ability to regain the right to vote on payment “imposes a wealth-
    based classification that triggers strict scrutiny.” For the reasons already explained,
    N.C.G.S. § 13-1 cannot withstand this exacting review.
    It is also necessary to bring attention to the majority’s conclusion that it is a
    legitimate government interest to prohibit felons who have not paid court costs and
    fines from voting because “the General Assembly could reasonably have believed . . .
    that felons who pay [such costs] are more likely than other felons to vote responsibly.”
    This recognition is shocking in multiple respects. For one thing, it unintentionally
    admits what the Plaintiffs have argued all along: that N.C.G.S. § 13-1 is intended to
    inhibit certain individuals whom the General Assembly perceived as undesirable
    from voting. This is not a legitimate government interest, even for purposes of
    rational basis review. While the General Assembly can prescribe a variety of relevant
    voter qualifications, value judgments about whether certain categories of individuals
    vote in a way that the General Assembly perceives as morally correct is not one of
    them. It also recognizes that N.C.G.S. § 13-1 indeed imposes a wealth-based
    classification by determining that felons who are able to afford their fees “are more
    likely . . . to vote responsibly.” Finally, it makes little sense. As already explained, the
    ability to pay these expenses “is not germane to one’s ability to participate
    intelligently in the electoral process.” Harper, 383 U.S. at 668. To be clear, “wealth or
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    Earls, J., dissenting
    fee paying has . . . no relation to voting qualifications; the right to vote is too precious,
    too fundamental to be so burdened or conditioned. Id. at 670.
    B. The Free Elections Clause
    The majority also reverses the trial court’s final judgment and order based on
    the trial court’s conclusion that N.C.G.S. § 13-1 violates the North Carolina
    constitution’s free elections clause.14 The trial court explained that “North Carolina’s
    elections do not faithfully ascertain the will of the people when such an enormous
    number of people living in communities across the State—over 56,000 individuals—
    are prohibited from voting.”
    The free elections clause dates back to the 1776 Declaration of Rights, but its
    roots can be traced back even further to the 1689 English Bill of Rights. Harper, 380
    N.C. at 373 (citing Bill of Rights 1689, 1 W. & M. Sess. 2, ch. 2 (Eng.)). “The English
    Bill of Rights arose in the aftermath of King James II’s tyrannical abuse of authority
    to force the mostly Protestant nation to tolerate and recognize the Catholic religion.”
    Bertrall L. Ross II, Inequality, Anti-Republicanism, and Our Unique Second
    Amendment, 135 Harv. L. Rev. F. 491, 496 (2022). The English Bill of Rights, which
    is the codification of the English Declaration of Rights, “ ‘was the statutory institution
    of conditional kingship[s] for the future’ through its mandate for an independent
    14Article I, section 10 of the constitution states that “[a]ll elections shall be free.” N.C.
    Const. art. I, § 10. This Court has held that a law violates this provision if it “prevents election
    outcomes from reflecting the will of the people.” Harper, 380 N.C. at 376. Today, the majority
    abandons this established interpretation.
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    Parliament through free elections.” Bertrall L. Ross II, Challenging the Crown:
    Legislative Independence and the Origins of the Free Elections Clause, 
    73 Ala. L. Rev. 221
    , 289 (2021) (alteration in original) (quoting Betty Kemp, King and Commons:
    1660–1832, at 30 (1st ed. 1957)). Among the civil and political right for which it
    provided, the English Bill of Right declared, “election of members of parliament ought
    to be free.” Bill of Rights 1689, 1 W. & M. Sess. 2, ch. 2.
    “North Carolina’s free elections clause was enacted following the passage of
    similar clauses in other states, including Pennsylvania and Virginia.” Harper, 380
    N.C. at 373. As with the states that adopted similar provisions, the purpose of North
    Carolina’s free elections clause was to prevent “the dilution of the right of the people
    of [the State] to select representatives to govern their affairs, and to codify an explicit
    provision to establish the protections of the right of the people to fair and equal
    representation in the governance of their affairs.” Id. at 373–74 (cleaned up).
    The clause’s wording has undergone minor changes over time.15 “[T]hough
    those in power during the early history of our state may have viewed the free elections
    15   As Harper explained, the free elections clause originally stated:
    ‘[E]lections of Members to serve as Representatives in General
    Assembly ought to be free.’ In 1868, in concert with its adoption
    of the equality principle in section 1, the Reconstruction
    Convention amended the free elections clause to read ‘[a]ll
    elections ought to be free.’ In 1971, the present version was
    adopted, changing ‘ought to’ to the command ‘shall.’ This change
    was intended to ‘make it clear’ that the free elections clause,
    along with other ‘rights secured to the people by the Declaration
    of Rights[,] are commands and not mere admonitions to proper
    conduct on the part of government.’
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    clause as a mere ‘admonition’ to adhere to the principle of popular sovereignty
    through elections, a modern view acknowledges this is a constitutional requirement.”
    Harper, 380 N.C. at 376. Today, the directive of the free elections clause is simple:
    “[a]ll elections shall be free.” N.C. Const. art. I, § 10. Interpreting both the text and
    history of the clause, this Court has explained that “elections are not free” if they “do
    not serve to effectively ascertain the will of the people.” Harper, 380 N.C. at 376.
    At least 56,516 individuals in North Carolina are denied the franchise under
    N.C.G.S. § 13-1 because they are on probation, parole, or post-release supervision
    from a felony conviction in state or federal court. According to the trial court’s order,
    “[i]n 2018 alone, there were 16 different county elections where the margin of victory
    in the election was less than the number of people denied the franchise due to felony
    supervision in that county.” In fact, the number of people disenfranchised in various
    counties is up to seven or eight times the vote margin in those counties. “The number
    of African Americans denied the franchise due to being on felony supervision [also]
    exceeds the vote margin in some elections,” including races for one county’s board of
    commissioners, a sheriff’s race, and a board of education race. “In addition to county-
    level elections, there are statewide races where the vote margin in the election was
    less than the number of people denied the franchise due to being on community
    supervision statewide.” The 2016 Governor’s race, for instance, was decided by far
    380 N.C. at 375–76 (alterations in original) (quoting N.C. State Bar v. DuMont, 
    304 N.C. 627
    ,
    639 (1982)).
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    fewer votes than the over 56,000 people who are denied the franchise because of
    felony supervision.
    It is challenging to see how North Carolina elections can reflect “the will of the
    people” when, as the trial court found, “the vote margin in both statewide and local
    elections is regularly less than the number of people disenfranchised in the relevant
    geographic area.” Moreover, N.C.G.S. § 13-1 places a disproportionately heavy burden
    on African Americans, thereby suppressing the will of an entire voting demographic.
    There is little meaning to the words “[a]ll elections shall be free” when election
    outcomes can be manipulated by barring individuals on felony supervision from
    voting—individuals who live in our communities, share our concerns about the rules
    and regulations that govern us, and have the same stake in electing representatives
    who will represent their interests. These words mean even less when interpreted to
    permit the continued enforcement of a law that dilutes the efficacy of African
    Americans’ political power. It is inherently inconsistent with the state constitution’s
    command that “[a]ll elections shall be free.”
    The provision of N.C.G.S. § 13-1 that Plaintiffs challenge is nothing more than
    an electoral muzzle designed to silence a class of people the legislature deemed
    unworthy of exercising the fundamental right to vote. But, as has been explained,
    N.C.G.S. § 13-1 is not defined solely by its sinister intent; in disproportionately
    disenfranchising African Americans, it has achieved its intended effect. When a
    statute burdens the fundamental right to vote, “it is the effect of the act, and not the
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    Earls, J., dissenting
    intention of the Legislature, which renders it void.” People ex rel. Van Bokkelen v.
    Canaday, 
    73 N.C. 198
    , 226 (1875). Thus, because N.C.G.S. § 13-1 violates the
    constitutional mandate of free elections, a requirement that is fundamental to the
    democratic governance of this state, strict scrutiny is the appropriate level of review.
    As explained, the law fails under such scrutiny.
    In reversing the trial court’s final judgment and order, the majority reasons
    that this reading of the free elections clause is too broad. In so holding, the majority
    relies on the illegitimate and erroneous interpretation of the free elections clause that
    it adopts today in a separate case, Harper v. Hall, No. 342PA19-3 (N.C. Apr. 28, 2023).
    This Court’s stymied interpretation of the free elections clause as rewritten here fails
    for the same reasons it does in that case. See Harper v. Hall, No. 342PA19-3 (N.C.
    Apr. 28, 2023) (Earls, J., dissenting). Most importantly, this baselessly narrow
    interpretation fails to recognize that elections can be manipulated in a number of
    ways. It is not the manner of manipulation but the result that matters. As the
    majority recognizes, one way that the free elections clause is violated is if “a law
    prevents a voter from voting according to one’s judgment.” Another similarly obvious
    way to tamper with election outcomes is to bar a particular class of voters from
    exercising their right to vote because they are deemed less desirable than other
    members of society. As described throughout this dissent, this is precisely what
    N.C.G.S. § 13-1 was designed to do. An election conducted under such circumstances
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    is no freer than an election in which voters are prevented “from voting according to
    [their] judgment.”
    C. The Ban on Property Qualifications
    Finally, the majority reverses the trial court’s determination that N.C.G.S. §
    13-1 violates article I, section 11 of the North Carolina constitution, which provides
    that “[a]s political rights and privileges are not dependent upon or modified by
    property, no property qualification shall affect the right to vote or hold office.” N.C.
    Const. art. I, § 11. The trial court concluded that N.C.G.S. § 13-1 violates this ban on
    property qualifications because “the ability for a person convicted of a felony to vote
    is conditioned on whether that person possesses, at minimum, a monetary amount
    equal to any fees, fines, and debts assessed as a result of that person’s felony
    conviction.”
    The majority concludes that “[b]ecause felons whose citizenship rights have not
    been restored have no state constitutional right to vote, requiring them to fulfill the
    financial terms of their sentences as a condition of re-enfranchisement cannot be said
    to violate the Property Qualifications Clause.” In the majority’s view, the property
    qualifications clause refers only to real property, and “[i]nsisting that felons pay their
    court costs, fines, and restitution is not the same thing as mandating that they own
    real or personal property in particular amounts.”
    “Money, of course, is a form of property.” Reiter v. Sonotone Corp., 
    442 U.S. 330
    , 338 (1979). In fact, it is the specific form of property by which almost all other
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    possessions, including real property, are acquired. By conditioning rights restoration
    upon the ability to pay a financial penalty, N.C.G.S. § 13-1 hinges the individual’s
    ability to vote on his or her wealth. This result violates the plain text of the property
    qualifications clause, which directs that “political rights and privileges are not
    dependent upon or modified by property[,]”and “no property qualification shall affect
    the right to vote.” N.C. Const. art. I, § 11.
    The terms of this clause are expansive. It speaks simply in terms of property
    qualifications that affect the right to vote, regardless of whether that is through a
    direct property qualification on someone who already possesses the right or an
    indirect qualification on someone who must be restored of the right. Under these
    broad terms, when the only barrier to exercising the political right to vote is an
    individual’s lack of wealth, the right to vote is has been affected, and a constitutional
    violation has occurred.
    Similarly, the clause instructs that political rights and privileges are not
    dependent on property. In so stating, the clause declares that property is not a valid
    voter qualification, meaning it is not a valid qualification for any potential voter,
    regardless of whether a person already possesses the right or must have the right
    restored. In other words, the property qualifications clause creates a broad
    prohibition on a type of voter qualification, and no individual can be barred from
    voting on that basis alone. As the trial court correctly explained, “when legislation is
    enacted that restores the right to vote, thereby establishing qualifications which
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    certain persons must meet to exercise their right to vote, such legislation must not do
    so in a way that makes the ability to vote dependent on a property qualification.” But
    this is exactly what N.C.G.S. § 13-1 does.
    Indeed, the Defendants themselves appear to recognize that the state
    constitution’s disenfranchisement provision does not give N.C.G.S. § 13-1 license to
    impose a requirement to rights restoration that violates the property qualifications
    clause. Defendants explain that “nothing in Section 13-1 requires a felon to possess
    any property.” If N.C.G.S. § 13-1 must otherwise comply with the property
    qualifications clause, then the disagreement can be reduced to the opposing
    interpretations of the term “property”—a disagreement that is easily resolved by the
    plain text of the state constitution.
    Finally, as has been explained, constitutional provisions “cannot be applied in
    isolation or in a manner that fails to comport with other requirements of the State
    Constitution[,]” Stephenson, 
    355 N.C. at 376
    , meaning that article VI, section 2’s
    denial of the franchise to anyone “adjudged guilty of a felony against this State or the
    United States, or adjudged guilty of a felony in another state” cannot be read in such
    a way that would violate other provisions of the North Carolina constitution,
    including the property qualifications clause. Because the clause does not permit
    rights restoration to be conditioned upon wealth, article VI, section 2 cannot be
    construed to deny the franchise to individuals who have completed all other aspects
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    of their sentences but have not paid their court costs, fines, or other related fees. The
    majority errs in holding otherwise.
    The trial court got it right based on the evidence in the record, the extensive
    findings of fact, and the proper application of the Arlington Heights factors, as well
    as other controlling legal principles of constitutional interpretation. Having found
    that N.C.G.S. § 13-1 is discriminatory, the trial court clearly had the obligation to
    fashion a remedy that protects the fundamental state constitutional rights that are
    at issue here. This Court should affirm the final judgment and order of the trial court.
    Therefore, I dissent.
    Justice MORGAN joins in this dissenting opinion.
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