Whole Woman's Health v. Hellerstedt , 195 L. Ed. 2d 665 ( 2016 )


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  • (Slip Opinion)              OCTOBER TERM, 2015                                       1
    Syllabus
    NOTE: Where it is feasible, a syllabus (headnote) will be released, as is
    being done in connection with this case, at the time the opinion is issued.
    The syllabus constitutes no part of the opinion of the Court but has been
    prepared by the Reporter of Decisions for the convenience of the reader.
    See United States v. Detroit Timber & Lumber Co., 
    200 U.S. 321
    , 337.
    SUPREME COURT OF THE UNITED STATES
    Syllabus
    WHOLE WOMAN’S HEALTH ET AL. v. HELLERSTEDT,
    COMMISSIONER, TEXAS DEPARTMENT OF STATE
    HEALTH SERVICES, ET AL.
    CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR
    THE FIFTH CIRCUIT
    No. 15–274.     Argued March 2, 2016—Decided June 27, 2016
    A “State has a legitimate interest in seeing to it that abortion . . . is
    performed under circumstances that insure maximum safety for the
    patient.” Roe v. Wade, 
    410 U.S. 113
    , 150. But “a statute which,
    while furthering [a] valid state interest, has the effect of placing a
    substantial obstacle in the path of a woman’s choice cannot be con-
    sidered a permissible means of serving its legitimate ends,” Planned
    Parenthood of Southeastern Pa. v. Casey, 
    505 U.S. 833
    , 877 (plurality
    opinion), and “[u]nnecessary health regulations that have the pur-
    pose or effect of presenting a substantial obstacle to a woman seeking
    an abortion impose an undue burden on the right,” 
    id., at 878.
         In 2013, the Texas Legislature enacted House Bill 2 (H. B. 2),
    which contains the two provisions challenged here. The “admitting-
    privileges requirement” provides that a “physician performing or in-
    ducing an abortion . . . must, on the date [of service], have active ad-
    mitting privileges at a hospital . . . located not further than 30 miles
    from the” abortion facility. The “surgical-center requirement” re-
    quires an “abortion facility” to meet the “minimum standards . . . for
    ambulatory surgical centers” under Texas law. Before the law took
    effect, a group of Texas abortion providers filed the Abbott case, in
    which they lost a facial challenge to the constitutionality of the ad-
    mitting-privileges provision. After the law went into effect, petition-
    ers, another group of abortion providers (including some Abbott
    plaintiffs), filed this suit, claiming that both the admitting-privileges
    and the surgical-center provisions violated the Fourteenth Amend-
    ment, as interpreted in Casey. They sought injunctions preventing
    enforcement of the admitting-privileges provision as applied to physi-
    2          WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Syllabus
    cians at one abortion facility in McAllen and one in El Paso and pro-
    hibiting enforcement of the surgical-center provision throughout Tex-
    as.
    Based on the parties’ stipulations, expert depositions, and expert
    and other trial testimony, the District Court made extensive findings,
    including, but not limited to: as the admitting-privileges requirement
    began to be enforced, the number of facilities providing abortions
    dropped in half, from about 40 to about 20; this decrease in geograph-
    ical distribution means that the number of women of reproductive
    age living more than 50 miles from a clinic has doubled, the number
    living more than 100 miles away has increased by 150%, the number
    living more than 150 miles away by more than 350%, and the number
    living more than 200 miles away by about 2,800%; the number of fa-
    cilities would drop to seven or eight if the surgical-center provision
    took effect, and those remaining facilities would see a significant in-
    crease in patient traffic; facilities would remain only in five metropol-
    itan areas; before H. B. 2’s passage, abortion was an extremely safe
    procedure with very low rates of complications and virtually no
    deaths; it was also safer than many more common procedures not
    subject to the same level of regulation; and the cost of compliance
    with the surgical-center requirement would most likely exceed $1.5
    million to $3 million per clinic. The court enjoined enforcement of the
    provisions, holding that the surgical-center requirement imposed an
    undue burden on the right of women in Texas to seek previability
    abortions; that, together with that requirement, the admitting-
    privileges requirement imposed an undue burden in the Rio Grande
    Valley, El Paso, and West Texas; and that the provisions together
    created an “impermissible obstacle as applied to all women seeking a
    previability abortion.”
    The Fifth Circuit reversed in significant part. It concluded that res
    judicata barred the District Court from holding the admitting-
    privileges requirement unconstitutional statewide and that res judi-
    cata also barred the challenge to the surgical-center provision. Rea-
    soning that a law is “constitutional if (1) it does not have the purpose
    or effect of placing a substantial obstacle in the path of a woman
    seeking an abortion of a nonviable fetus and (2) it is reasonably relat-
    ed to . . . a legitimate state interest,” the court found that both re-
    quirements were rationally related to a compelling state interest in
    protecting women’s health.
    Held:
    1. Petitioners’ constitutional claims are not barred by res judicata.
    Pp. 10–18.
    (a) Res judicata neither bars petitioners’ challenges to the admit-
    ting-privileges requirement nor prevents the Court from awarding fa-
    Cite as: 579 U. S. ____ (2016)                      3
    Syllabus
    cial relief. The fact that several petitioners had previously brought
    the unsuccessful facial challenge in Abbott does not mean that claim
    preclusion, the relevant aspect of res judicata, applies. Claim preclu-
    sion prohibits “successive litigation of the very same claim,” New
    Hampshire v. Maine, 
    532 U.S. 742
    , 748, but petitioners’ as-applied
    postenforcement challenge and the Abbott plaintiffs’ facial preen-
    forcement challenge do not present the same claim. Changed circum-
    stances showing that a constitutional harm is concrete may give rise
    to a new claim. Abbott rested upon facts and evidence presented be-
    fore enforcement of the admitting-privileges requirement began,
    when it was unclear how clinics would be affected. This case rests
    upon later, concrete factual developments that occurred once en-
    forcement started and a significant number of clinics closed.
    Res judicata also does not preclude facial relief here. In addition to
    requesting as-applied relief, petitioners asked for other appropriate
    relief, and their evidence and arguments convinced the District Court
    of the provision’s unconstitutionality across the board. Federal Rule
    of Civil Procedure 54(c) provides that a “final judgment should grant
    the relief to which each party is entitled, even if the party has not
    demanded that relief in its pleadings,” and this Court has held that if
    the arguments and evidence show that a statutory provision is un-
    constitutional on its face, an injunction prohibiting its enforcement is
    “proper,” Citizens United v. Federal Election Comm’n, 
    558 U.S. 310
    ,
    333. Pp. 10–15.
    (b) Claim preclusion also does not bar petitioners’ challenge to
    the surgical-center requirement. In concluding that petitioners
    should have raised this claim in Abbott, the Fifth Circuit did not take
    account of the fact that the surgical-center provision and the admit-
    ting-privileges provision are separate provisions with two different
    and independent regulatory requirements. Challenges to distinct
    regulatory requirements are ordinarily treated as distinct claims.
    Moreover, the surgical-center provision’s implementing regulations
    had not even been promulgated at the time Abbott was filed, and the
    relevant factual circumstances changed between the two suits.
    Pp. 16–18.
    2. Both the admitting-privileges and the surgical-center require-
    ments place a substantial obstacle in the path of women seeking a
    previability abortion, constitute an undue burden on abortion access,
    and thus violate the Constitution. Pp. 19–39.
    (a) The Fifth Circuit’s standard of review may be read to imply
    that a district court should not consider the existence or nonexistence
    of medical benefits when deciding the undue burden question, but
    Casey requires courts to consider the burdens a law imposes on abor-
    tion access together with the benefits those laws confer, see 505 U. S.,
    4            WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Syllabus
    at 887–898. The Fifth Circuit’s test also mistakenly equates the judi-
    cial review applicable to the regulation of a constitutionally protected
    personal liberty with the less strict review applicable to, e.g., econom-
    ic legislation. And the court’s requirement that legislatures resolve
    questions of medical uncertainty is inconsistent with this Court’s
    case law, which has placed considerable weight upon evidence and
    argument presented in judicial proceedings when determining the
    constitutionality of laws regulating abortion procedures. See 
    id., at 888–894.
    Explicit legislative findings must be considered, but there
    were no such findings in H. B. 2. The District Court applied the cor-
    rect legal standard here, considering the evidence in the record—
    including expert evidence—and then weighing the asserted benefits
    against the burdens. Pp. 19–21.
    (b) The record contains adequate legal and factual support for
    the District Court’s conclusion that the admitting-privileges require-
    ment imposes an “undue burden” on a woman’s right to choose. The
    requirement’s purpose is to help ensure that women have easy access
    to a hospital should complications arise during an abortion proce-
    dure, but the District Court, relying on evidence showing extremely
    low rates of serious complications before H. B. 2’s passage, found no
    significant health-related problem for the new law to cure. The
    State’s record evidence, in contrast, does not show how the new law
    advanced the State’s legitimate interest in protecting women’s health
    when compared to the prior law, which required providers to have a
    “working arrangement” with doctors who had admitting privileges.
    At the same time, the record evidence indicates that the requirement
    places a “substantial obstacle” in a woman’s path to abortion. The
    dramatic drop in the number of clinics means fewer doctors, longer
    waiting times, and increased crowding. It also means a significant
    increase in the distance women of reproductive age live from an abor-
    tion clinic. Increased driving distances do not always constitute an
    “undue burden,” but they are an additional burden, which, when tak-
    en together with others caused by the closings, and when viewed in
    light of the virtual absence of any health benefit, help support the
    District Court’s “undue burden” conclusion. Pp. 21–28.
    (c) The surgical-center requirement also provides few, if any,
    health benefits for women, poses a substantial obstacle to women
    seeking abortions, and constitutes an “undue burden” on their consti-
    tutional right to do so. Before this requirement was enacted, Texas
    law required abortion facilities to meet a host of health and safety re-
    quirements that were policed by inspections and enforced through
    administrative, civil, and criminal penalties. Record evidence shows
    that the new provision imposes a number of additional requirements
    that are generally unnecessary in the abortion clinic context; that it
    Cite as: 579 U. S. ____ (2016)                    5
    Syllabus
    provides no benefit when complications arise in the context of a med-
    ical abortion, which would generally occur after a patient has left the
    facility; that abortions taking place in abortion facilities are safer
    than common procedures that occur in outside clinics not subject to
    Texas’ surgical-center requirements; and that Texas has waived no
    part of the requirement for any abortion clinics as it has done for
    nearly two-thirds of other covered facilities. This evidence, along
    with the absence of any contrary evidence, supports the District
    Court’s conclusions, including its ultimate legal conclusion that re-
    quirement is not necessary. At the same time, the record provides
    adequate evidentiary support for the District Court’s conclusion that
    the requirement places a substantial obstacle in the path of women
    seeking an abortion. The court found that it “strained credulity” to
    think that the seven or eight abortion facilities would be able to meet
    the demand. The Fifth Circuit discounted expert witness Dr. Gross-
    man’s testimony that the surgical-center requirement would cause
    the number of abortions performed by each remaining clinic to in-
    crease by a factor of about 5. But an expert may testify in the “form
    of an opinion” as long as that opinion rests upon “sufficient facts or
    data” and “reliable principles and methods.” Fed. Rule Evid. 702.
    Here, Dr. Grossman’s opinion rested upon his participation, together
    with other university researchers, in research tracking the number of
    facilities providing abortion services, using information from, among
    other things, the state health services department and other public
    sources. The District Court acted within its legal authority in finding
    his testimony admissible. Common sense also suggests that a physi-
    cal facility that satisfies a certain physical demand will generally be
    unable to meet five times that demand without expanding physically
    or otherwise incurring significant costs. And Texas presented no evi-
    dence at trial suggesting that expansion was possible. Finally, the
    District Court’s finding that a currently licensed abortion facility
    would have to incur considerable costs to meet the surgical-center re-
    quirements supports the conclusion that more surgical centers will
    not soon fill the gap left by closed facilities. Pp. 28–36.
    (d) Texas’ three additional arguments are unpersuasive. Pp. 36–
    39.
    
    790 F.3d 563
    and 598, reversed and remanded.
    BREYER, J., delivered the opinion of the Court, in which KENNEDY,
    GINSBURG, SOTOMAYOR, and KAGAN, JJ., joined. GINSBURG, J., filed a
    concurring opinion. THOMAS, J., filed a dissenting opinion. ALITO, J.,
    filed a dissenting opinion, in which ROBERTS, C. J., and THOMAS, J.,
    joined.
    Cite as: 579 U. S. ____ (2016)                              1
    Opinion of the Court
    NOTICE: This opinion is subject to formal revision before publication in the
    preliminary print of the United States Reports. Readers are requested to
    notify the Reporter of Decisions, Supreme Court of the United States, Wash-
    ington, D. C. 20543, of any typographical or other formal errors, in order
    that corrections may be made before the preliminary print goes to press.
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 15–274
    _________________
    WHOLE WOMAN’S HEALTH, ET AL., PETITIONERS v.
    JOHN HELLERSTEDT, COMMISSIONER, TEXAS
    DEPARTMENT OF STATE HEALTH SERVICES, ET AL.
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE FIFTH CIRCUIT
    [June 27, 2016]
    JUSTICE BREYER delivered the opinion of the Court.
    In Planned Parenthood of Southeastern Pa. v. Casey,
    
    505 U.S. 833
    , 878 (1992), a plurality of the Court con-
    cluded that there “exists” an “undue burden” on a woman’s
    right to decide to have an abortion, and consequently a
    provision of law is constitutionally invalid, if the “purpose
    or effect” of the provision “is to place a substantial obstacle
    in the path of a woman seeking an abortion before the
    fetus attains viability.” (Emphasis added.) The plurality
    added that “[u]nnecessary health regulations that have
    the purpose or effect of presenting a substantial obstacle
    to a woman seeking an abortion impose an undue burden
    on the right.” 
    Ibid. We must here
    decide whether two provisions of Texas’
    House Bill 2 violate the Federal Constitution as inter-
    preted in Casey. The first provision, which we shall call
    the “admitting-privileges requirement,” says that
    “[a] physician performing or inducing an abortion . . .
    must, on the date the abortion is performed or in-
    duced, have active admitting privileges at a hospital
    2        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    that . . . is located not further than 30 miles from the
    location at which the abortion is performed or in-
    duced.” Tex. Health & Safety Code Ann. §171.0031(a)
    (West Cum. Supp. 2015).
    This provision amended Texas law that had previously
    required an abortion facility to maintain a written protocol
    “for managing medical emergencies and the transfer of
    patients requiring further emergency care to a hospital.”
    38 Tex. Reg. 6546 (2013).
    The second provision, which we shall call the “surgical-
    center requirement,” says that
    “the minimum standards for an abortion facility must
    be equivalent to the minimum standards adopted un-
    der [the Texas Health and Safety Code section] for
    ambulatory surgical centers.” Tex. Health & Safety
    Code Ann. §245.010(a).
    We conclude that neither of these provisions offers
    medical benefits sufficient to justify the burdens upon
    access that each imposes. Each places a substantial ob-
    stacle in the path of women seeking a previability abor-
    tion, each constitutes an undue burden on abortion access,
    
    Casey, supra, at 878
    (plurality opinion), and each violates
    the Federal Constitution. Amdt. 14, §1.
    I
    A
    In July 2013, the Texas Legislature enacted House Bill
    2 (H. B. 2 or Act). In September (before the new law took
    effect), a group of Texas abortion providers filed an action
    in Federal District Court seeking facial invalidation of
    the law’s admitting-privileges provision. In late October,
    the District Court granted the injunction.          Planned
    Parenthood of Greater Tex. Surgical Health Servs. v. Ab-
    bott, 
    951 F. Supp. 2d 891
    , 901 (WD Tex. 2013). But three
    days later, the Fifth Circuit vacated the injunction,
    Cite as: 579 U. S. ____ (2016)              3
    Opinion of the Court
    thereby permitting the provision to take effect. Planned
    Parenthood of Greater Tex. Surgical Health Servs. v. Ab-
    bott, 
    734 F.3d 406
    , 419 (2013).
    The Fifth Circuit subsequently upheld the provision,
    and set forth its reasons in an opinion released late the
    following March. In that opinion, the Fifth Circuit pointed
    to evidence introduced in the District Court the previous
    October. It noted that Texas had offered evidence de-
    signed to show that the admitting-privileges requirement
    “will reduce the delay in treatment and decrease health
    risk for abortion patients with critical complications,” and
    that it would “ ‘screen out’ untrained or incompetent abor-
    tion providers.” Planned Parenthood of Greater Tex. Sur-
    gical Health Servs. v. Abbott, 
    748 F.3d 583
    , 592 (2014)
    (Abbott). The opinion also explained that the plaintiffs
    had not provided sufficient evidence “that abortion practi-
    tioners will likely be unable to comply with the privileges
    requirement.” 
    Id., at 598.
    The court said that all “of the
    major Texas cities, including Austin, Corpus Christi,
    Dallas, El Paso, Houston, and San Antonio,” would “con-
    tinue to have multiple clinics where many physicians will
    have or obtain hospital admitting privileges.” 
    Ibid. The Abbott plaintiffs
    did not file a petition for certiorari in this
    Court.
    B
    On April 6, one week after the Fifth Circuit’s decision,
    petitioners, a group of abortion providers (many of whom
    were plaintiffs in the previous lawsuit), filed the present
    lawsuit in Federal District Court. They sought an injunc-
    tion preventing enforcement of the admitting-privileges
    provision as applied to physicians at two abortion facili-
    ties, one operated by Whole Woman’s Health in McAllen
    and the other operated by Nova Health Systems in El
    Paso. They also sought an injunction prohibiting enforce-
    ment of the surgical-center provision anywhere in Texas.
    4        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    They claimed that the admitting-privileges provision and
    the surgical-center provision violated the Constitution’s
    Fourteenth Amendment, as interpreted in Casey.
    The District Court subsequently received stipulations
    from the parties and depositions from the parties’ experts.
    The court conducted a 4-day bench trial. It heard, among
    other testimony, the opinions from expert witnesses for
    both sides. On the basis of the stipulations, deposi-
    tions, and testimony, that court reached the following
    conclusions:
    1. Of Texas’ population of more than 25 million people,
    “approximately 5.4 million” are “women” of “reproductive
    age,” living within a geographical area of “nearly 280,000
    square miles.” Whole Woman’s Health v. Lakey, 
    46 F. Supp. 3d 673
    , 681 (2014); see App. 244.
    2. “In recent years, the number of abortions reported in
    Texas has stayed fairly consistent at approximately 15–
    16% of the reported pregnancy rate, for a total number of
    approximately 60,000–72,000 legal abortions performed
    
    annually.” 46 F. Supp. 3d, at 681
    ; see App. 238.
    3. Prior to the enactment of H. B. 2, there were more
    than 40 licensed abortion facilities in Texas, which “num-
    ber dropped by almost half leading up to and in the
    wake of enforcement of the admitting-privileges require-
    ment that went into effect in late-October 
    2013.” 46 F. Supp. 3d, at 681
    ; App. 228–231.
    4. If the surgical-center provision were allowed to take
    effect, the number of abortion facilities, after September 1,
    2014, would be reduced further, so that “only seven fa-
    cilities and a potential eighth will exist in 
    Texas.” 46 F. Supp. 3d, at 680
    ; App. 182–183.
    Cite as: 579 U. S. ____ (2016)            5
    Opinion of the Court
    5. Abortion facilities “will remain only in Houston,
    Austin, San Antonio, and the Dallas/Fort Worth metropol-
    itan 
    region.” 46 F. Supp. 3d, at 681
    ; App. 229–230. These
    include “one facility in Austin, two in Dallas, one in Fort
    Worth, two in Houston, and either one or two in San An-
    
    tonio.” 46 F. Supp. 3d, at 680
    ; App. 229–230.
    6. “Based on historical data pertaining to Texas’s aver-
    age number of abortions, and assuming perfectly equal
    distribution among the remaining seven or eight provid-
    ers, this would result in each facility serving between
    7,500 and 10,000 patients per year. Accounting for the
    seasonal variations in pregnancy rates and a slightly
    unequal distribution of patients at each clinic, it is fore-
    seeable that over 1,200 women per month could be vying
    for counseling, appointments, and follow-up visits at some
    of these 
    facilities.” 46 F. Supp. 3d, at 682
    ; cf. App. 238.
    7. The suggestion “that these seven or eight providers
    could meet the demand of the entire state stretches credu-
    
    lity.” 46 F. Supp. 3d, at 682
    ; see App. 238.
    8. “Between November 1, 2012 and May 1, 2014,” that
    is, before and after enforcement of the admitting-
    privileges requirement, “the decrease in geographical
    distribution of abortion facilities” has meant that the
    number of women of reproductive age living more than 50
    miles from a clinic has doubled (from 800,000 to over 1.6
    million); those living more than 100 miles has increased
    by 150% (from 400,000 to 1 million); those living more
    than 150 miles has increased by more than 350% (from
    86,000 to 400,000); and those living more than 200 miles
    has increased by about 2,800% (from 10,000 to 290,000).
    After September 2014, should the surgical-center re-
    quirement go into effect, the number of women of repro-
    ductive age living significant distances from an abortion
    6        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    provider will increase as follows: 2 million women of re-
    productive age will live more than 50 miles from an abor-
    tion provider; 1.3 million will live more than 100 miles
    from an abortion provider; 900,000 will live more than 150
    miles from an abortion provider; and 750,000 more than
    200 miles from an abortion 
    provider. 46 F. Supp. 3d, at 681
    –682; App. 238–242.
    9. The “two requirements erect a particularly high
    barrier for poor, rural, or disadvantaged 
    women.” 46 F. Supp. 3d, at 683
    ; cf. App. 363–370.
    10. “The great weight of evidence demonstrates that,
    before the act’s passage, abortion in Texas was extremely
    safe with particularly low rates of serious complications
    and virtually no deaths occurring on account of the proce-
    
    dure.” 46 F. Supp. 3d, at 684
    ; see, e.g., App. 257–259, 538;
    see also 
    id., at 200–202,
    253–257.
    11. “Abortion, as regulated by the State before the en-
    actment of House Bill 2, has been shown to be much safer,
    in terms of minor and serious complications, than many
    common medical procedures not subject to such intense
    regulation and 
    scrutiny.” 46 F. Supp. 3d, at 684
    ; see, e.g.,
    App. 223–224 (describing risks in colonoscopies), 254
    (discussing risks in vasectomy and endometrial biopsy,
    among others), 275–277 (discussing complication rate in
    plastic surgery).
    12. “Additionally, risks are not appreciably lowered for
    patients who undergo abortions at ambulatory surgical
    centers as compared to nonsurgical-center 
    facilities.” 46 F. Supp. 3d, at 684
    ; App. 202–206, 257–259.
    13. “[W]omen will not obtain better care or experience
    more frequent positive outcomes at an ambulatory surgi-
    Cite as: 579 U. S. ____ (2016)            7
    Opinion of the Court
    cal center as compared to a previously licensed 
    facility.” 46 F. Supp. 3d, at 684
    ; App. 202–206.
    14. “[T]here are 433 licensed ambulatory surgical cen-
    ters in Texas,” of which “336 . . . are apparently either
    ‘grandfathered’ or enjo[y] the benefit of a waiver of some or
    all” of the surgical-center 
    “requirements.” 46 F. Supp. 3d, at 680
    –681; App. 184.
    15. The “cost of coming into compliance” with the
    surgical-center requirement “for existing clinics is signifi-
    cant,” “undisputedly approach[ing] 1 million dollars,” and
    “most likely exceed[ing] 1.5 million dollars,” with “[s]ome
    . . . clinics” unable to “comply due to physical size limita-
    tions of their 
    sites.” 46 F. Supp. 3d, at 682
    . The “cost of
    acquiring land and constructing a new compliant clinic
    will likely exceed three million dollars.” 
    Ibid. On the basis
    of these and other related findings, the
    District Court determined that the surgical-center re-
    quirement “imposes an undue burden on the right of
    women throughout Texas to seek a previability abortion,”
    and that the “admitting-privileges requirement, . . . in
    conjunction with the ambulatory-surgical-center require-
    ment, imposes an undue burden on the right of women in
    the Rio Grande Valley, El Paso, and West Texas to seek a
    previability abortion.” 
    Id., at 687.
    The District Court
    concluded that the “two provisions” would cause “the
    closing of almost all abortion clinics in Texas that were
    operating legally in the fall of 2013,” and thereby create a
    constitutionally “impermissible obstacle as applied to all
    women seeking a previability abortion” by “restricting
    access to previously available legal facilities.” 
    Id., at 687–
    688. On August 29, 2014, the court enjoined the enforce-
    ment of the two provisions. 
    Ibid. 8 WHOLE WOMAN’S
    HEALTH v. HELLERSTEDT
    Opinion of the Court
    C
    On October 2, 2014, at Texas’ request, the Court of
    Appeals stayed the District Court’s injunction. Whole
    Woman’s Health v. Lakey, 
    769 F.3d 285
    , 305. Within the
    next two weeks, this Court vacated the Court of Appeals’
    stay (in substantial part) thereby leaving in effect the
    District Court’s injunction against enforcement of the
    surgical-center provision and its injunction against en-
    forcement of the admitting-privileges requirement as
    applied to the McAllen and El Paso clinics. Whole Wom-
    an’s Health v. Lakey, 574 U. S. ___ (2014). The Court of
    Appeals then heard Texas’ appeal.
    On June 9, 2015, the Court of Appeals reversed the
    District Court on the merits. With minor exceptions, it
    found both provisions constitutional and allowed them to
    take effect. Whole Women’s Health v. Cole, 
    790 F.3d 563
    ,
    567 (per curiam), modified, 
    790 F.3d 598
    (CA5 2015).
    Because the Court of Appeals’ decision rests upon alterna-
    tive grounds and fact-related considerations, we set forth
    its basic reasoning in some detail. The Court of Appeals
    concluded:
    • The District Court was wrong to hold the admitting-
    privileges requirement unconstitutional because (except
    for the clinics in McAllen and El Paso) the providers had
    not asked them to do so, and principles of res judicata
    barred relief. 
    Id., at 580–583.
    • Because the providers could have brought their constitu-
    tional challenge to the surgical-center provision in their
    earlier lawsuit, principles of res judicata also barred that
    claim. 
    Id., at 581–583.
    • In any event, a state law “regulating previability abor-
    tion is constitutional if: (1) it does not have the purpose or
    effect of placing a substantial obstacle in the path of a
    woman seeking an abortion of a nonviable fetus; and (2) it
    is reasonably related to (or designed to further) a legiti-
    Cite as: 579 U. S. ____ (2016)              9
    Opinion of the Court
    mate state interest.” 
    Id., at 572.
    • “[B]oth the admitting privileges requirement and” the
    surgical-center requirement “were rationally related to a
    legitimate state interest,” namely, “rais[ing] the standard
    and quality of care for women seeking abortions and . . .
    protect[ing] the health and welfare of women seeking
    abortions.” 
    Id., at 584.
    • The “[p]laintiffs” failed “to proffer competent evidence
    contradicting the legislature’s statement of a legitimate
    purpose.” 
    Id., at 585.
    • “[T]he district court erred by substituting its own judg-
    ment [as to the provisions’ effects] for that of the legisla-
    ture, albeit . . . in the name of the undue burden inquiry.”
    
    Id., at 587.
    • Holding the provisions unconstitutional on their face is
    improper because the plaintiffs had failed to show that
    either of the provisions “imposes an undue burden on a
    large fraction of women.” 
    Id., at 590.
    • The District Court erred in finding that, if the surgical-
    center requirement takes effect, there will be too few
    abortion providers in Texas to meet the demand. That
    factual determination was based upon the finding of one of
    plaintiffs’ expert witnesses (Dr. Grossman) that abortion
    providers in Texas “ ‘will not be able to go from providing
    approximately 14,000 abortions annually, as they currently
    are, to providing the 60,000 to 70,000 abortions that are
    done each year in Texas once all’ ” of the clinics failing to
    meet the surgical-center requirement “ ‘are forced to
    close.’ ” 
    Id., at 589–590.
    But Dr. Grossman’s opinion is (in
    the Court of Appeals’ view) “ ‘ipse dixit’ ”; the “ ‘record lacks
    any actual evidence regarding the current or future capac-
    ity of the eight clinics’ ”; and there is no “evidence in the
    record that” the providers that currently meet the surgical-
    center requirement “are operating at full capacity or that
    they cannot increase capacity.” 
    Ibid. 10 WHOLE WOMAN’S
    HEALTH v. HELLERSTEDT
    Opinion of the Court
    For these and related reasons, the Court of Appeals
    reversed the District Court’s holding that the admitting-
    privileges requirement is unconstitutional and its holding
    that the surgical-center requirement is unconstitutional.
    The Court of Appeals upheld in part the District Court’s
    more specific holding that the requirements are unconsti-
    tutional as applied to the McAllen facility and Dr. Lynn (a
    doctor at that facility), but it reversed the District Court’s
    holding that the surgical-center requirement is unconsti-
    tutional as applied to the facility in El Paso. In respect to
    this last claim, the Court of Appeals said that women in El
    Paso wishing to have an abortion could use abortion pro-
    viders in nearby New Mexico.
    II
    Before turning to the constitutional question, we must
    consider the Court of Appeals’ procedural grounds for
    holding that (but for the challenge to the provisions of
    H. B. 2 as applied to McAllen and El Paso) petitioners
    were barred from bringing their constitutional challenges.
    A
    Claim Preclusion—Admitting-Privileges Requirement
    The Court of Appeals held that there could be no facial
    challenge to the admitting-privileges requirement. Be-
    cause several of the petitioners here had previously
    brought an unsuccessful facial challenge to that require-
    ment (namely, 
    Abbott, 748 F.3d, at 605
    ; 
    see supra, at 2
    –
    3), the Court of Appeals thought that “the principle of res
    judicata” 
    applied. 790 F.3d, at 581
    . The Court of Appeals
    also held that res judicata prevented the District Court
    from granting facial relief to petitioners, concluding that it
    was improper to “facially invalidat[e] the admitting privi-
    leges requirement,” because to do so would “gran[t] more
    relief than anyone requested or briefed.” 
    Id., at 580.
    We
    hold that res judicata neither bars petitioners’ challenges
    Cite as: 579 U. S. ____ (2016)           11
    Opinion of the Court
    to the admitting-privileges requirement nor prevents us
    from awarding facial relief.
    For one thing, to the extent that the Court of Appeals
    concluded that the principle of res judicata bars any facial
    challenge to the admitting-privileges requirement, see
    ibid., the court misconstrued petitioners’ claims. Petition-
    ers did not bring a facial challenge to the admitting-
    privileges requirement in this case but instead challenged
    that requirement as applied to the clinics in McAllen and
    El Paso. The question is whether res judicata bars peti-
    tioners’ particular as-applied claims. On this point, the
    Court of Appeals concluded that res judicata was no bar,
    
    see 790 F.3d, at 592
    , and we agree.
    The doctrine of claim preclusion (the here-relevant
    aspect of res judicata) prohibits “successive litigation of
    the very same claim” by the same parties. New Hamp-
    shire v. Maine, 
    532 U.S. 742
    , 748 (2001). Petitioners’
    postenforcement as-applied challenge is not “the very
    same claim” as their preenforcement facial challenge. The
    Restatement of Judgments notes that development of new
    material facts can mean that a new case and an otherwise
    similar previous case do not present the same claim. See
    Restatement (Second) of Judgments §24, Comment f
    (1980) (“Material operative facts occurring after the deci-
    sion of an action with respect to the same subject matter
    may in themselves, or taken in conjunction with the ante-
    cedent facts, comprise a transaction which may be made
    the basis of a second action not precluded by the first”); cf.
    
    id., §20(2) (“A
    valid and final personal judgment for the
    defendant, which rests on the prematurity of the action or
    on the plaintiff ’s failure to satisfy a precondition to suit,
    does not bar another action by the plaintiff instituted after
    the claim has matured, or the precondition has been satis-
    fied”); 
    id., §20, Comment
    k (discussing relationship of this
    rule with §24, Comment f ). The Courts of Appeals have
    used similar rules to determine the contours of a new
    12       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    claim for purposes of preclusion. See, e.g., Morgan v.
    Covington, 
    648 F.3d 172
    , 178 (CA3 2011) (“[R]es judicata
    does not bar claims that are predicated on events that
    postdate the filing of the initial complaint”); Ellis v. CCA
    of Tenn. LLC, 
    650 F.3d 640
    , 652 (CA7 2011); Bank of
    N. Y. v. First Millennium, Inc., 
    607 F.3d 905
    , 919 (CA2
    2010); Smith v. Potter, 
    513 F.3d 781
    , 783 (CA7 2008);
    Rawe v. Liberty Mut. Fire Ins. Co., 
    462 F.3d 521
    , 529
    (CA6 2006); Manning v. Auburn, 
    953 F.2d 1355
    , 1360
    (CA11 1992). The Restatement adds that, where “im-
    portant human values—such as the lawfulness of continu-
    ing personal disability or restraint—are at stake, even a
    slight change of circumstances may afford a sufficient
    basis for concluding that a second action may be brought.”
    §24, Comment f; see Bucklew v. Lombardi, 
    783 F.3d 1120
    ,
    1127 (CA8 2015) (allowing as-applied challenge to exe-
    cution method to proceed notwithstanding prior facial
    challenge).
    We find this approach persuasive. Imagine a group of
    prisoners who claim that they are being forced to drink
    contaminated water. These prisoners file suit against the
    facility where they are incarcerated. If at first their suit is
    dismissed because a court does not believe that the harm
    would be severe enough to be unconstitutional, it would
    make no sense to prevent the same prisoners from bring-
    ing a later suit if time and experience eventually showed
    that prisoners were dying from contaminated water. Such
    circumstances would give rise to a new claim that the
    prisoners’ treatment violates the Constitution. Factual
    developments may show that constitutional harm, which
    seemed too remote or speculative to afford relief at the
    time of an earlier suit, was in fact indisputable. In our
    view, such changed circumstances will give rise to a new
    constitutional claim. This approach is sensible, and it is
    consistent with our precedent. See Abie State Bank v.
    Bryan, 
    282 U.S. 765
    , 772 (1931) (where “suit was brought
    Cite as: 579 U. S. ____ (2016)            13
    Opinion of the Court
    immediately upon the enactment of the law,” “decision
    sustaining the law cannot be regarded as precluding a
    subsequent suit for the purpose of testing [its] validity . . .
    in the lights of the later actual experience”); cf. Lawlor v.
    National Screen Service Corp., 
    349 U.S. 322
    , 328 (1955)
    (judgment that “precludes recovery on claims arising prior
    to its entry” nonetheless “cannot be given the effect of
    extinguishing claims which did not even then exist”);
    United States v. Carolene Products Co., 
    304 U.S. 144
    , 153
    (1938) (“[T]he constitutionality of a statute predicated
    upon the existence of a particular state of facts may be
    challenged by showing to the court that those facts have
    ceased to exist”); Nashville, C. & St. L. R. Co. v. Walters,
    
    294 U.S. 405
    , 415 (1935) (“A statute valid as to one set of
    facts may be invalid as to another. A statute valid when
    enacted may become invalid by change in the conditions to
    which it is applied” (footnote omitted)); Third Nat. Bank of
    Louisville v. Stone 
    174 U.S. 432
    , 434 (1899) (“A question
    cannot be held to have been adjudged before an issue on
    the subject could possibly have arisen”). JUSTICE ALITO’s
    dissenting opinion is simply wrong that changed circum-
    stances showing that a challenged law has an unconstitu-
    tional effect can never give rise to a new claim. See post,
    at 14–15 (hereinafter the dissent).
    Changed circumstances of this kind are why the claim
    presented in Abbott is not the same claim as petitioners’
    claim here. The claims in both Abbott and the present
    case involve “important human values.” Restatement
    (Second) of Judgments §24, Comment f. We are concerned
    with H. B. 2’s “effect . . . on women seeking abortions.”
    Post, at 30 (ALITO, J., dissenting). And that effect has
    changed dramatically since petitioners filed their first
    lawsuit. Abbott rested on facts and evidence presented to
    the District Court in October 
    2013. 748 F.3d, at 599
    ,
    n. 14 (declining to “consider any arguments” based on
    “developments since the conclusion of the bench trial”).
    14       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    Petitioners’ claim in this case rests in significant part
    upon later, concrete factual developments. Those devel-
    opments matter. The Abbott plaintiffs brought their facial
    challenge to the admitting-privileges requirement prior to
    its enforcement—before many abortion clinics had closed
    and while it was still unclear how many clinics would be
    affected. Here, petitioners bring an as-applied challenge
    to the requirement after its enforcement—and after a large
    number of clinics have in fact closed. The postenforcement
    consequences of H. B. 2 were unknowable before it went
    into effect. The Abbott court itself recognized that “[l]ater
    as-applied challenges can always deal with subsequent,
    concrete constitutional issues.” 
    Id., at 589.
    And the Court
    of Appeals in this case properly decided that new evidence
    presented by petitioners had given rise to a new claim and
    that petitioners’ as-applied challenges are not precluded.
    
    See 790 F.3d, at 591
    (“We now know with certainty that
    the non-[surgical-center] abortion facilities have actually
    closed and physicians have been unable to obtain admit-
    ting privileges after diligent effort”).
    When individuals claim that a particular statute will
    produce serious constitutionally relevant adverse conse-
    quences before they have occurred—and when the courts
    doubt their likely occurrence—the factual difference that
    those adverse consequences have in fact occurred can
    make all the difference. Compare the Fifth Circuit’s opin-
    ion in the earlier case, 
    Abbott, supra, at 598
    (“All of the
    major Texas cities . . . continue to have multiple clinics
    where many physicians will have or obtain hospital admit-
    ting privileges”), with the facts found in this 
    case, 46 F. Supp. 3d, at 680
    (the two provisions will leave Texas
    with seven or eight clinics). The challenge brought in this
    case and the one in Abbott are not the “very same claim,”
    and the doctrine of claim preclusion consequently does
    not bar a new challenge to the constitutionality of the
    admitting-privileges requirement. New Hampshire v. Maine,
    Cite as: 579 U. S. ____ (2016)            15
    Opinion of the 
    Court 532 U.S., at 748
    . That the litigants in Abbott did not seek
    review in this Court, as the dissent suggests they should
    have done, see post, at 10, does not prevent them from
    seeking review of new claims that have arisen after Abbott
    was decided. In sum, the Restatement, cases from the
    Courts of Appeals, our own precedent, and simple logic
    combine to convince us that res judicata does not bar this
    claim.
    The Court of Appeals also concluded that the award of
    facial relief was precluded by principles of res 
    judicata. 790 F.3d, at 581
    . The court concluded that the District
    Court should not have “granted more relief than anyone
    requested or briefed.” 
    Id., at 580.
    But in addition to
    asking for as-applied relief, petitioners asked for “such
    other and further relief as the Court may deem just, proper,
    and equitable.” App. 167. Their evidence and argu-
    ments convinced the District Court that the provision was
    unconstitutional across the board. The Federal Rules of
    Civil Procedure state that (with an exception not relevant
    here) a “final judgment should grant the relief to which
    each party is entitled, even if the party has not demanded
    that relief in its pleadings.” Rule 54(c). And we have held
    that, if the arguments and evidence show that a statutory
    provision is unconstitutional on its face, an injunction
    prohibiting its enforcement is “proper.” Citizens United v.
    Federal Election Comm’n, 
    558 U.S. 310
    , 333 (2010); see
    
    ibid. (in “the exercise
    of its judicial responsibility” it may
    be “necessary . . . for the Court to consider the facial valid-
    ity” of a statute, even though a facial challenge was not
    brought); cf. Fallon, As-Applied and Facial Challenges and
    Third-Party Standing, 113 Harv. L. Rev. 1321, 1339 (2000)
    (“[O]nce a case is brought, no general categorical line bars
    a court from making broader pronouncements of invalidity
    in properly ‘as-applied’ cases”). Nothing prevents this
    Court from awarding facial relief as the appropriate rem-
    edy for petitioners’ as-applied claims.
    16       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    B
    Claim Preclusion—Surgical-Center Requirement
    The Court of Appeals also held that claim preclusion
    barred petitioners from contending that the surgical-
    center requirement is 
    unconstitutional. 790 F.3d, at 583
    .
    Although it recognized that petitioners did not bring this
    claim in Abbott, it believed that they should have done so.
    The court explained that petitioners’ constitutional chal-
    lenge to the surgical-center requirement and the chal-
    lenge to the admitting-privileges requirement mounted in
    Abbott
    “arise from the same ‘transactio[n] or series of con-
    nected transactions.’ . . . The challenges involve the
    same parties and abortion facilities; the challenges
    are governed by the same legal standards; the provi-
    sions at issue were enacted at the same time as part
    of the same act; the provisions were motivated by a
    common purpose; the provisions are administered by
    the same state officials; and the challenges form a
    convenient trial unit because they rely on a common
    nucleus of operative 
    facts.” 790 F.3d, at 581
    .
    For all these reasons, the Court of Appeals held petition-
    ers’ challenge to H. B. 2’s surgical-center requirement was
    precluded.
    The Court of Appeals failed, however, to take account of
    meaningful differences. The surgical-center provision and
    the admitting-privileges provision are separate, distinct
    provisions of H. B. 2. They set forth two different, inde-
    pendent requirements with different enforcement dates.
    This Court has never suggested that challenges to two
    different statutory provisions that serve two different
    functions must be brought in a single suit. And lower
    courts normally treat challenges to distinct regulatory
    requirements as “separate claims,” even when they are
    part of one overarching “[g]overnment regulatory scheme.”
    Cite as: 579 U. S. ____ (2016)          17
    Opinion of the Court
    18 C. Wright, A. Miller, & E. Cooper, Federal Practice and
    Procedure §4408, p. 52 (2d ed. 2002, Supp. 2015); see
    Hamilton’s Bogarts, Inc. v. Michigan, 
    501 F.3d 644
    , 650
    (CA6 2007).
    That approach makes sense. The opposite approach
    adopted by the Court of Appeals would require treating
    every statutory enactment as a single transaction which a
    given party would only be able to challenge one time, in
    one lawsuit, in order to avoid the effects of claim preclu-
    sion. Such a rule would encourage a kitchen-sink ap-
    proach to any litigation challenging the validity of stat-
    utes. That outcome is less than optimal—not only for
    litigants, but for courts.
    There are other good reasons why petitioners should not
    have had to bring their challenge to the surgical-center
    provision at the same time they brought their first suit.
    The statute gave the Texas Department of State Health
    Services authority to make rules implementing the surgical-
    center requirement. H. B. 2, §11(a), App. to Pet. for
    Cert. 201a. At the time petitioners filed Abbott, that state
    agency had not yet issued any such rules. Cf. EPA v.
    Brown, 
    431 U.S. 99
    , 104 (1977) (per curiam); 13B 
    Wright, supra
    , §3532.6, at 629 (3d ed. 2008) (most courts will not
    “undertake review before rules have been adopted”); Natu-
    ral Resources Defense Council, Inc. v. EPA, 
    859 F.2d 156
    ,
    204 (CADC 1988).
    Further, petitioners might well have expected that those
    rules when issued would contain provisions grandfather-
    ing some then-existing abortion facilities and granting full
    or partial waivers to others. After all, more than three
    quarters of non-abortion-related surgical centers had
    benefited from that kind of provision. 
    See 46 F. Supp. 3d, at 680
    –681 (336 of 433 existing Texas surgical centers
    have been grandfathered or otherwise enjoy a waiver of
    some of the surgical-center requirements); see also App.
    299–302, 443–447, 468–469.
    18       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    Finally, the relevant factual circumstances changed
    between Abbott and the present lawsuit, as we previously
    described. 
    See supra, at 14
    –15.
    The dissent musters only one counterargument. Accord-
    ing to the dissent, if statutory provisions “impos[e] the
    same kind of burden . . . on the same kind of right” and
    have mutually reinforcing effects, “it is evident that” they
    are “part of the same transaction” and must be challenged
    together. Post, at 20, 22. But for the word “evident,” the
    dissent points to no support for this conclusion, and we
    find it unconvincing. Statutes are often voluminous, with
    many related, yet distinct, provisions. Plaintiffs, in order
    to preserve their claims, need not challenge each such
    provision of, say, the USA PATRIOT Act, the Bipartisan
    Campaign Reform Act of 2002, the National Labor Rela-
    tions Act, the Clean Water Act, the Antiterrorism and
    Effective Death Penalty Act of 1996, or the Patient Protec-
    tion and Affordable Care Act in their first lawsuit.
    For all of these reasons, we hold that the petitioners did
    not have to bring their challenge to the surgical-center
    provision when they challenged the admitting-privileges
    provision in Abbott. We accordingly hold that the doctrine
    of claim preclusion does not prevent them from bringing
    that challenge now.
    *      *    *
    None of petitioners’ claims are barred by res judicata.
    Five experts in civil procedure argued, in a brief support-
    ing petitioners’ request for certiorari, that “the panel’s
    procedural ruling is so clearly incorrect” that there was no
    reason to decline review. Brief for Professor Michael Dorf
    et al. as Amici Curiae 22. For all of the reasons described
    above, we agree that the Court of Appeals’ procedural
    ruling was incorrect. We consequently proceed to consider
    the merits of petitioners’ claims.
    Cite as: 579 U. S. ____ (2016)           19
    Opinion of the Court
    III
    Undue Burden—Legal Standard
    We begin with the standard, as described in Casey. We
    recognize that the “State has a legitimate interest in
    seeing to it that abortion, like any other medical proce-
    dure, is performed under circumstances that insure max-
    imum safety for the patient.” Roe v. Wade, 
    410 U.S. 113
    ,
    150 (1973). But, we added, “a statute which, while fur-
    thering [a] valid state interest, has the effect of placing a
    substantial obstacle in the path of a woman’s choice can-
    not be considered a permissible means of serving its legit-
    imate ends.” 
    Casey, 505 U.S., at 877
    (plurality opinion).
    Moreover, “[u]nnecessary health regulations that have the
    purpose or effect of presenting a substantial obstacle to a
    woman seeking an abortion impose an undue burden on
    the right.” 
    Id., at 878.
       The Court of Appeals wrote that a state law is “constitu-
    tional if: (1) it does not have the purpose or effect of plac-
    ing a substantial obstacle in the path of a woman seeking
    an abortion of a nonviable fetus; and (2) it is reasonably
    related to (or designed to further) a legitimate state inter-
    
    est.” 790 F.3d, at 572
    . The Court of Appeals went on to
    hold that “the district court erred by substituting its own
    judgment for that of the legislature” when it conducted its
    “undue burden inquiry,” in part because “medical uncer-
    tainty underlying a statute is for resolution by legisla-
    tures, not the courts.” 
    Id., at 587
    (citing Gonzales v.
    Carhart, 
    550 U.S. 124
    , 163 (2007)).
    The Court of Appeals’ articulation of the relevant stand-
    ard is incorrect. The first part of the Court of Appeals’ test
    may be read to imply that a district court should not con-
    sider the existence or nonexistence of medical benefits
    when considering whether a regulation of abortion consti-
    tutes an undue burden. The rule announced in Casey,
    however, requires that courts consider the burdens a law
    imposes on abortion access together with the benefits
    20       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    those laws confer. 
    See 505 U.S., at 887
    –898 (opinion of
    the Court) (performing this balancing with respect to a
    spousal notification provision); 
    id., at 899–901
    (joint opin-
    ion of O’Connor, KENNEDY, and Souter, JJ.) (same balanc-
    ing with respect to a parental notification provision). And
    the second part of the test is wrong to equate the judicial
    review applicable to the regulation of a constitutionally
    protected personal liberty with the less strict review appli-
    cable where, for example, economic legislation is at issue.
    See, e.g., Williamson v. Lee Optical of Okla., Inc., 
    348 U.S. 483
    , 491 (1955). The Court of Appeals’ approach simply
    does not match the standard that this Court laid out in
    Casey, which asks courts to consider whether any burden
    imposed on abortion access is “undue.”
    The statement that legislatures, and not courts, must
    resolve questions of medical uncertainty is also incon-
    sistent with this Court’s case law. Instead, the Court,
    when determining the constitutionality of laws regulating
    abortion procedures, has placed considerable weight upon
    evidence and argument presented in judicial proceedings.
    In Casey, for example, we relied heavily on the District
    Court’s factual findings and the research-based submis-
    sions of amici in declaring a portion of the law at issue
    
    unconstitutional. 505 U.S., at 888
    –894 (opinion of the
    Court) (discussing evidence related to the prevalence of
    spousal abuse in determining that a spousal notification
    provision erected an undue burden to abortion access).
    And, in Gonzales the Court, while pointing out that we
    must review legislative “factfinding under a deferential
    standard,” added that we must not “place dispositive
    weight” on those 
    “findings.” 550 U.S., at 165
    . Gonzales
    went on to point out that the “Court retains an independ-
    ent constitutional duty to review factual findings where
    constitutional rights are at stake.” 
    Ibid. (emphasis added). Although
    there we upheld a statute regulating abortion,
    we did not do so solely on the basis of legislative findings
    Cite as: 579 U. S. ____ (2016)            21
    Opinion of the Court
    explicitly set forth in the statute, noting that “evidence
    presented in the District Courts contradicts” some of the
    legislative findings. 
    Id., at 166.
    In these circumstances,
    we said, “[u]ncritical deference to Congress’ factual find-
    ings . . . is inappropriate.” 
    Ibid. Unlike in Gonzales,
    the relevant statute here does not
    set forth any legislative findings. Rather, one is left to
    infer that the legislature sought to further a constitution-
    ally acceptable objective (namely, protecting women’s
    health). 
    Id., at 149–150.
    For a district court to give signif-
    icant weight to evidence in the judicial record in these
    circumstances is consistent with this Court’s case law. As
    we shall describe, the District Court did so here. It did not
    simply substitute its own judgment for that of the legisla-
    ture. It considered the evidence in the record—including
    expert evidence, presented in stipulations, depositions,
    and testimony. It then weighed the asserted benefits
    against the burdens. We hold that, in so doing, the Dis-
    trict Court applied the correct legal standard.
    IV
    Undue Burden—Admitting-Privileges Requirement
    Turning to the lower courts’ evaluation of the evidence,
    we first consider the admitting-privileges requirement.
    Before the enactment of H. B. 2, doctors who provided
    abortions were required to “have admitting privileges or
    have a working arrangement with a physician(s) who has
    admitting privileges at a local hospital in order to ensure
    the necessary back up for medical complications.” Tex.
    Admin. Code, tit. 25, §139.56 (2009) (emphasis added).
    The new law changed this requirement by requiring that a
    “physician performing or inducing an abortion . . . must,
    on the date the abortion is performed or induced, have
    active admitting privileges at a hospital that . . . is located
    not further than 30 miles from the location at which the
    abortion is performed or induced.” Tex. Health & Safety
    22      WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    Code Ann. §171.0031(a). The District Court held that the
    legislative change imposed an “undue burden” on a wom-
    an’s right to have an abortion. We conclude that there is
    adequate legal and factual support for the District Court’s
    conclusion.
    The purpose of the admitting-privileges requirement is
    to help ensure that women have easy access to a hospital
    should complications arise during an abortion procedure.
    Brief for Respondents 32–37. But the District Court found
    that it brought about no such health-related benefit. The
    court found that “[t]he great weight of evidence demon-
    strates that, before the act’s passage, abortion in Texas
    was extremely safe with particularly low rates of serious
    complications and virtually no deaths occurring on ac-
    count of the proce
    dure.” 46 F. Supp. 3d, at 684
    . Thus,
    there was no significant health-related problem that the
    new law helped to cure.
    The evidence upon which the court based this conclusion
    included, among other things:
    • A collection of at least five peer-reviewed studies on
    abortion complications in the first trimester, showing that
    the highest rate of major complications—including those
    complications requiring hospital admission—was less than
    one-quarter of 1%. See App. 269–270.
    • Figures in three peer-reviewed studies showing that the
    highest complication rate found for the much rarer second
    trimester abortion was less than one-half of 1% (0.45% or
    about 1 out of about 200). 
    Id., at 270.
    • Expert testimony to the effect that complications rarely
    require hospital admission, much less immediate transfer
    to a hospital from an outpatient clinic. 
    Id., at 266–267
    (citing a study of complications occurring within six weeks
    after 54,911 abortions that had been paid for by the fee-
    for-service California Medicaid Program finding that the
    incidence of complications was 2.1%, the incidence of
    Cite as: 579 U. S. ____ (2016)          23
    Opinion of the Court
    complications requiring hospital admission was 0.23%,
    and that of the 54,911 abortion patients included in the
    study, only 15 required immediate transfer to the hospital
    on the day of the abortion).
    • Expert testimony stating that “it is extremely unlikely
    that a patient will experience a serious complication at the
    clinic that requires emergent hospitalization” and “in the
    rare case in which [one does], the quality of care that the
    patient receives is not affected by whether the abortion
    provider has admitting privileges at the hospital.” 
    Id., at 381.
    • Expert testimony stating that in respect to surgical
    abortion patients who do suffer complications requiring
    hospitalization, most of these complications occur in the
    days after the abortion, not on the spot. See 
    id., at 382;
    see also 
    id., at 267.
    • Expert testimony stating that a delay before the onset of
    complications is also expected for medical abortions, as
    “abortifacient drugs take time to exert their effects, and
    thus the abortion itself almost always occurs after the
    patient has left the abortion facility.” 
    Id., at 278.
    • Some experts added that, if a patient needs a hospital in
    the day or week following her abortion, she will likely seek
    medical attention at the hospital nearest her home. See,
    e.g., 
    id., at 153.
    We have found nothing in Texas’ record evidence that
    shows that, compared to prior law (which required a
    “working arrangement” with a doctor with admitting
    privileges), the new law advanced Texas’ legitimate inter-
    est in protecting women’s health.
    We add that, when directly asked at oral argument
    whether Texas knew of a single instance in which the new
    requirement would have helped even one woman obtain
    better treatment, Texas admitted that there was no evi-
    dence in the record of such a case. See Tr. of Oral Arg. 47.
    24       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    This answer is consistent with the findings of the other
    Federal District Courts that have considered the health
    benefits of other States’ similar admitting-privileges laws.
    See Planned Parenthood of Wis., Inc. v. Van Hollen, 
    94 F. Supp. 3d 949
    , 953 (WD Wis. 2015), aff ’d sub nom.
    Planned Parenthood of Wis., Inc. v. Schimel, 
    806 F.3d 908
    (CA7 2015); Planned Parenthood Southeast, Inc. v.
    Strange, 
    33 F. Supp. 3d 1330
    , 1378 (MD Ala. 2014).
    At the same time, the record evidence indicates that the
    admitting-privileges requirement places a “substantial
    obstacle in the path of a woman’s choice.” 
    Casey, 505 U.S., at 877
    (plurality opinion). The District Court found,
    as of the time the admitting-privileges requirement began
    to be enforced, the number of facilities providing abortions
    dropped in half, from about 40 to about 
    20. 46 F. Supp. 3d, at 681
    . Eight abortion clinics closed in the
    months leading up to the requirement’s effective date. See
    App. 229–230; cf. Brief for Planned Parenthood Federation
    of America et al. as Amici Curiae 14 (noting that abortion
    facilities in Waco, San Angelo, and Midland no longer
    operate because Planned Parenthood is “unable to find
    local physicians in those communities with privileges who
    are willing to provide abortions due to the size of those
    communities and the hostility that abortion providers
    face”). Eleven more closed on the day the admitting-
    privileges requirement took effect. See App. 229–230; Tr.
    of Oral Arg. 58.
    Other evidence helps to explain why the new require-
    ment led to the closure of clinics. We read that other
    evidence in light of a brief filed in this Court by the Soci-
    ety of Hospital Medicine. That brief describes the undis-
    puted general fact that “hospitals often condition admit-
    ting privileges on reaching a certain number of admissions
    per year.” Brief for Society of Hospital Medicine et al. as
    Amici Curiae 11. Returning to the District Court record,
    we note that, in direct testimony, the president of Nova
    Cite as: 579 U. S. ____ (2016)           25
    Opinion of the Court
    Health Systems, implicitly relying on this general fact,
    pointed out that it would be difficult for doctors regularly
    performing abortions at the El Paso clinic to obtain admit-
    ting privileges at nearby hospitals because “[d]uring the
    past 10 years, over 17,000 abortion procedures were per-
    formed at the El Paso clinic [and n]ot a single one of those
    patients had to be transferred to a hospital for emergency
    treatment, much less admitted to the hospital.” App. 730.
    In a word, doctors would be unable to maintain admitting
    privileges or obtain those privileges for the future, because
    the fact that abortions are so safe meant that providers
    were unlikely to have any patients to admit.
    Other amicus briefs filed here set forth without dispute
    other common prerequisites to obtaining admitting privi-
    leges that have nothing to do with ability to perform medi-
    cal procedures. See Brief for Medical Staff Professionals
    as Amici Curiae 20–25 (listing, for example, requirements
    that an applicant has treated a high number of patients in
    the hospital setting in the past year, clinical data re-
    quirements, residency requirements, and other discretion-
    ary factors); see also Brief for American College of Obste-
    tricians and Gynecologists et al. as Amici Curiae 16
    (ACOG Brief) (“[S]ome academic hospitals will only allow
    medical staff membership for clinicians who also . . . ac-
    cept faculty appointments”). Again, returning to the
    District Court record, we note that Dr. Lynn of the
    McAllen clinic, a veteran obstetrics and gynecology doctor
    who estimates that he has delivered over 15,000 babies in
    his 38 years in practice was unable to get admitting privi-
    leges at any of the seven hospitals within 30 miles of his
    clinic. App. 390–394. He was refused admitting privileges
    at a nearby hospital for reasons, as the hospital wrote,
    “not based on clinical competence considerations.” 
    Id., at 393–394
    (emphasis deleted). The admitting-privileges
    requirement does not serve any relevant credentialing
    function.
    26       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    In our view, the record contains sufficient evidence that
    the admitting-privileges requirement led to the closure of
    half of Texas’ clinics, or thereabouts. Those closures
    meant fewer doctors, longer waiting times, and increased
    crowding. Record evidence also supports the finding that
    after the admitting-privileges provision went into effect,
    the “number of women of reproductive age living in a
    county . . . more than 150 miles from a provider increased
    from approximately 86,000 to 400,000 . . . and the number
    of women living in a county more than 200 miles from a
    provider from approximately 10,000 to 
    290,000.” 46 F. Supp. 3d, at 681
    . We recognize that increased driving
    distances do not always constitute an “undue burden.”
    See 
    Casey, 505 U.S., at 885
    –887 (joint opinion of
    O’Connor, KENNEDY, and Souter, JJ.). But here, those
    increases are but one additional burden, which, when
    taken together with others that the closings brought
    about, and when viewed in light of the virtual absence of
    any health benefit, lead us to conclude that the record
    adequately supports the District Court’s “undue burden”
    conclusion. Cf. 
    id., at 895
    (opinion of the Court) (finding
    burden “undue” when requirement places “substantial
    obstacle to a woman’s choice” in “a large fraction of the
    cases in which” it “is relevant”).
    The dissent’s only argument why these clinic closures,
    as well as the ones discussed in Part V, infra, may not
    have imposed an undue burden is this: Although “H. B. 2
    caused the closure of some clinics,” post, at 26 (emphasis
    added), other clinics may have closed for other reasons (so
    we should not “actually count” the burdens resulting from
    those closures against H. B. 2), post, at 30–31. But peti-
    tioners satisfied their burden to present evidence of causa-
    tion by presenting direct testimony as well as plausible
    inferences to be drawn from the timing of the clinic clo-
    sures. App. 182–183, 228–231. The District Court credited
    that evidence and concluded from it that H. B. 2 in fact
    Cite as: 579 U. S. ____ (2016)           27
    Opinion of the Court
    led to the clinic 
    closures. 46 F. Supp. 3d, at 680
    –681. The
    dissent’s speculation that perhaps other evidence, not
    presented at trial or credited by the District Court, might
    have shown that some clinics closed for unrelated reasons
    does not provide sufficient ground to disturb the District
    Court’s factual finding on that issue.
    In the same breath, the dissent suggests that one bene-
    fit of H. B. 2’s requirements would be that they might
    “force unsafe facilities to shut down.” Post, at 26. To
    support that assertion, the dissent points to the Kermit
    Gosnell scandal. Gosnell, a physician in Pennsylvania,
    was convicted of first-degree murder and manslaughter.
    He “staffed his facility with unlicensed and indifferent
    workers, and then let them practice medicine unsuper-
    vised” and had “[d]irty facilities; unsanitary instruments;
    an absence of functioning monitoring and resuscitation
    equipment; the use of cheap, but dangerous, drugs; illegal
    procedures; and inadequate emergency access for when
    things inevitably went wrong.” Report of Grand Jury
    in No. 0009901–2008 (1st Jud. Dist. Pa., Jan. 14,
    2011), p. 24, online at http://www.phila.gov/districtattorney/
    pdfs/grandjurywomensmedical.pdf         (as    last    visited
    June 24, 2016). Gosnell’s behavior was terribly wrong.
    But there is no reason to believe that an extra layer
    of regulation would have affected that behavior. Deter-
    mined wrongdoers, already ignoring existing stat-
    utes and safety measures, are unlikely to be convinced to
    adopt safe practices by a new overlay of regulations.
    Regardless, Gosnell’s deplorable crimes could escape
    detection only because his facility went uninspected for
    more than 15 years. 
    Id., at 20.
    Pre-existing Texas law
    already contained numerous detailed regulations covering
    abortion facilities, including a requirement that facilities
    be inspected at least annually. See infra, at 28 (describing
    those regulations). The record contains nothing to suggest
    that H. B. 2 would be more effective than pre-existing
    28       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    Texas law at deterring wrongdoers like Gosnell from
    criminal behavior.
    V
    Undue Burden—Surgical-Center Requirement
    The second challenged provision of Texas’ new law sets
    forth the surgical-center requirement. Prior to enactment
    of the new requirement, Texas law required abortion
    facilities to meet a host of health and safety requirements.
    Under those pre-existing laws, facilities were subject to
    annual reporting and recordkeeping requirements, see
    Tex. Admin. Code, tit. 25, §§139.4, 139.5, 139.55, 139.58; a
    quality assurance program, see §139.8; personnel policies
    and staffing requirements, see §§139.43, 139.46; physical
    and environmental requirements, see §139.48; infection
    control standards, see §139.49; disclosure requirements,
    see §139.50; patient-rights standards, see §139.51; and
    medical- and clinical-services standards, see §139.53,
    including anesthesia standards, see §139.59. These re-
    quirements are policed by random and announced inspec-
    tions, at least annually, see §§139.23, 139.31; Tex. Health
    & Safety Code Ann. §245.006(a) (West 2010), as well as
    administrative penalties, injunctions, civil penalties,
    and criminal penalties for certain violations, see Tex.
    Admin. Code, tit. 25, §139.33; Tex. Health & Safety Code
    Ann. §245.011 (criminal penalties for certain reporting
    violations).
    H. B. 2 added the requirement that an “abortion facility”
    meet the “minimum standards . . . for ambulatory surgical
    centers” under Texas law. §245.010(a) (West Cum. Supp.
    2015). The surgical-center regulations include, among
    other things, detailed specifications relating to the size of
    the nursing staff, building dimensions, and other building
    requirements. The nursing staff must comprise at least
    “an adequate number of [registered nurses] on duty to
    meet the following minimum staff requirements: director
    Cite as: 579 U. S. ____ (2016)             29
    Opinion of the Court
    of the department (or designee), and supervisory and staff
    personnel for each service area to assure the immediate
    availability of [a registered nurse] for emergency care or
    for any patient when needed,” Tex. Admin. Code, tit. 25,
    §135.15(a)(3) (2016), as well as “a second individual on
    duty on the premises who is trained and currently certi-
    fied in basic cardiac life support until all patients have
    been discharged from the facility” for facilities that pro-
    vide moderate sedation, such as most abortion facilities,
    §135.15(b)(2)(A). Facilities must include a full surgical
    suite with an operating room that has “a clear floor area of
    at least 240 square feet” in which “[t]he minimum clear
    dimension between built-in cabinets, counters, and shelves
    shall be 14 feet.” §135.52(d)(15)(A). There must be a
    preoperative patient holding room and a postoperative
    recovery suite. The former “shall be provided and ar-
    ranged in a one-way traffic pattern so that patients enter-
    ing from outside the surgical suite can change, gown, and
    move directly into the restricted corridor of the surgical
    suite,” §135.52(d)(10)(A), and the latter “shall be arranged
    to provide a one-way traffic pattern from the restricted
    surgical corridor to the postoperative recovery suite, and
    then to the extended observation rooms or discharge,”
    §135.52(d)(9)(A). Surgical centers must meet numerous
    other spatial requirements, see generally §135.52, includ-
    ing specific corridor widths, §135.52(e)(1)(B)(iii). Surgical
    centers must also have an advanced heating, ventilation,
    and air conditioning system, §135.52(g)(5), and must
    satisfy particular piping system and plumbing require-
    ments, §135.52(h). Dozens of other sections list additional
    requirements that apply to surgical centers. See generally
    §§135.1–135.56.
    There is considerable evidence in the record supporting
    the District Court’s findings indicating that the statutory
    provision requiring all abortion facilities to meet all surgical-
    center standards does not benefit patients and is not
    30       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    necessary. The District Court found that “risks are not
    appreciably lowered for patients who undergo abortions at
    ambulatory surgical centers as compared to nonsurgical-
    center 
    facilities.” 46 F. Supp. 3d, at 684
    . The court added
    that women “will not obtain better care or experience more
    frequent positive outcomes at an ambulatory surgical
    center as compared to a previously licensed facility.” 
    Ibid. And these findings
    are well supported.
    The record makes clear that the surgical-center re-
    quirement provides no benefit when complications arise in
    the context of an abortion produced through medication.
    That is because, in such a case, complications would al-
    most always arise only after the patient has left the facil-
    ity. 
    See supra, at 23
    ; App. 278. The record also contains
    evidence indicating that abortions taking place in an
    abortion facility are safe—indeed, safer than numerous
    procedures that take place outside hospitals and to which
    Texas does not apply its surgical-center requirements.
    See, e.g., 
    id., at 223–224,
    254, 275–279. The total number
    of deaths in Texas from abortions was five in the period
    from 2001 to 2012, or about one every two years (that is to
    say, one out of about 120,000 to 144,000 abortions). 
    Id., at 272.
    Nationwide, childbirth is 14 times more likely than
    abortion to result in death, ibid., but Texas law allows a
    midwife to oversee childbirth in the patient’s own home.
    Colonoscopy, a procedure that typically takes place outside
    a hospital (or surgical center) setting, has a mortality rate
    10 times higher than an abortion. 
    Id., at 276–277;
    see
    ACOG Brief 15 (the mortality rate for liposuction, another
    outpatient procedure, is 28 times higher than the mortal-
    ity rate for abortion). Medical treatment after an incom-
    plete miscarriage often involves a procedure identical to
    that involved in a nonmedical abortion, but it often takes
    place outside a hospital or surgical center. App. 254; see
    ACOG Brief 14 (same). And Texas partly or wholly grand-
    fathers (or waives in whole or in part the surgical-center
    Cite as: 579 U. S. ____ (2016)           31
    Opinion of the Court
    requirement for) about two-thirds of the facilities to which
    the surgical-center standards apply. But it neither grand-
    fathers nor provides waivers for any of the facilities that
    perform 
    abortions. 46 F. Supp. 3d, at 680
    –681; see App.
    184. These facts indicate that the surgical-center provi-
    sion imposes “a requirement that simply is not based on
    differences” between abortion and other surgical proce-
    dures “that are reasonably related to” preserving women’s
    health, the asserted “purpos[e] of the Act in which it is
    found.” 
    Doe, 410 U.S., at 194
    (quoting Morey v. Doud, 
    354 U.S. 457
    , 465 (1957); internal quotation marks omitted).
    Moreover, many surgical-center requirements are inap-
    propriate as applied to surgical abortions. Requiring
    scrub facilities; maintaining a one-way traffic pattern
    through the facility; having ceiling, wall, and floor fin-
    ishes; separating soiled utility and sterilization rooms; and
    regulating air pressure, filtration, and humidity control
    can help reduce infection where doctors conduct proce-
    dures that penetrate the skin. App. 304. But abortions
    typically involve either the administration of medicines or
    procedures performed through the natural opening of the
    birth canal, which is itself not sterile. See 
    id., at 302–303.
    Nor do provisions designed to safeguard heavily sedated
    patients (unable to help themselves) during fire emergen-
    cies, see Tex. Admin. Code, tit. 25, §135.41; App. 304,
    provide any help to abortion patients, as abortion facilities
    do not use general anesthesia or deep sedation, 
    id., at 304–305.
    Further, since the few instances in which seri-
    ous complications do arise following an abortion almost
    always require hospitalization, not treatment at a surgical
    center, 
    id., at 255–256,
    surgical-center standards will not
    help in those instances either.
    The upshot is that this record evidence, along with the
    absence of any evidence to the contrary, provides ample
    support for the District Court’s conclusion that “[m]any of
    the building standards mandated by the act and its im-
    32       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    plementing rules have such a tangential relationship to
    patient safety in the context of abortion as to be nearly
    
    arbitrary.” 46 F. Supp. 3d, at 684
    . That conclusion, along
    with the supporting evidence, provides sufficient support
    for the more general conclusion that the surgical-center
    requirement “will not [provide] better care or . . . more
    frequent positive outcomes.” 
    Ibid. The record evidence
    thus supports the ultimate legal conclusion that the
    surgical-center requirement is not necessary.
    At the same time, the record provides adequate eviden-
    tiary support for the District Court’s conclusion that the
    surgical-center requirement places a substantial obstacle
    in the path of women seeking an abortion. The parties
    stipulated that the requirement would further reduce the
    number of abortion facilities available to seven or eight
    facilities, located in Houston, Austin, San Antonio, and
    Dallas/Fort Worth. See App. 182–183. In the District
    Court’s view, the proposition that these “seven or eight
    providers could meet the demand of the entire State
    stretches credu
    lity.” 46 F. Supp. 3d, at 682
    . We take this
    statement as a finding that these few facilities could not
    “meet” that “demand.”
    The Court of Appeals held that this finding was “clearly
    
    erroneous.” 790 F.3d, at 590
    . It wrote that the finding
    rested upon the “ ‘ipse dixit’ ” of one expert, Dr. Grossman,
    and that there was no evidence that the current surgical
    centers (i.e., the seven or eight) are operating at full capac-
    ity or could not increase capacity. 
    Ibid. Unlike the Court
    of Appeals, however, we hold that the record provides
    adequate support for the District Court’s finding.
    For one thing, the record contains charts and oral testi-
    mony by Dr. Grossman, who said that, as a result of the
    surgical-center requirement, the number of abortions that
    the clinics would have to provide would rise from “ ‘14,000
    abortions annually’ ” to “ ‘60,000 to 70,000’ ”—an increase
    by a factor of about five. 
    Id., at 589–590.
    The District
    Cite as: 579 U. S. ____ (2016)          33
    Opinion of the Court
    Court credited Dr. Grossman as an expert witness. 
    See 46 F. Supp. 3d, at 678
    –679, n. 1; 
    id., at 681,
    n. 4 (finding
    “indicia of reliability” in Dr. Grossman’s conclusions). The
    Federal Rules of Evidence state that an expert may testify
    in the “form of an opinion” as long as that opinion rests
    upon “sufficient facts or data” and “reliable principles and
    methods.” Rule 702. In this case Dr. Grossman’s opinion
    rested upon his participation, along with other university
    researchers, in research that tracked “the number of open
    facilities providing abortion care in the state by . . . re-
    questing information from the Texas Department of State
    Health Services . . . [, t]hrough interviews with clinic
    staff[,] and review of publicly available information.” App.
    227. The District Court acted within its legal authority in
    determining that Dr. Grossman’s testimony was admissi-
    ble. See Fed. Rule Evid. 702; see also Daubert v. Merrell
    Dow Pharmaceuticals, Inc., 
    509 U.S. 579
    , 589 (1993)
    (“[U]nder the Rules the trial judge must ensure that any
    and all [expert] evidence admitted is not only relevant, but
    reliable”); 29 C. Wright & V. Gold, Federal Practice and
    Procedure: Evidence §6266, p. 302 (2016) (“Rule 702 im-
    pose[s] on the trial judge additional responsibility to de-
    termine whether that [expert] testimony is likely to pro-
    mote accurate factfinding”).
    For another thing, common sense suggests that, more
    often than not, a physical facility that satisfies a certain
    physical demand will not be able to meet five times that
    demand without expanding or otherwise incurring signifi-
    cant costs. Suppose that we know only that a certain
    grocery store serves 200 customers per week, that a cer-
    tain apartment building provides apartments for 200
    families, that a certain train station welcomes 200 trains
    per day. While it is conceivable that the store, the apart-
    ment building, or the train station could just as easily
    provide for 1,000 customers, families, or trains at no sig-
    nificant additional cost, crowding, or delay, most of us
    34       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    would find this possibility highly improbable. The dissent
    takes issue with this general, intuitive point by arguing
    that many places operate below capacity and that in any
    event, facilities could simply hire additional providers.
    See post, at 32. We disagree that, according to common
    sense, medical facilities, well known for their wait times,
    operate below capacity as a general matter. And the fact
    that so many facilities were forced to close by the admitting-
    privileges requirement means that hiring more physi-
    cians would not be quite as simple as the dissent suggests.
    Courts are free to base their findings on commonsense
    inferences drawn from the evidence. And that is what the
    District Court did here.
    The dissent now seeks to discredit Dr. Grossman by
    pointing out that a preliminary prediction he made in his
    testimony in Abbott about the effect of the admitting-
    privileges requirement on capacity was not borne out after
    that provision went into effect. See post, at 31, n. 22. If
    every expert who overestimated or underestimated any
    figure could not be credited, courts would struggle to find
    expert assistance. Moreover, making a hypothesis—and
    then attempting to verify that hypothesis with further
    studies, as Dr. Grossman did—is not irresponsible. It is
    an essential element of the scientific method. The District
    Court’s decision to credit Dr. Grossman’s testimony was
    sound, particularly given that Texas provided no credible
    experts to rebut it. 
    See 46 F. Supp. 3d, at 680
    , n. 3 (declin-
    ing to credit Texas’ expert witnesses, in part because
    Vincent Rue, a nonphysician consultant for Texas, had
    exercised “considerable editorial and discretionary control
    over the contents of the experts’ reports”).
    Texas suggests that the seven or eight remaining clinics
    could expand sufficiently to provide abortions for the
    60,000 to 72,000 Texas women who sought them each
    year. Because petitioners had satisfied their burden, the
    obligation was on Texas, if it could, to present evidence
    Cite as: 579 U. S. ____ (2016)            35
    Opinion of the Court
    rebutting that issue to the District Court. Texas admitted
    that it presented no such evidence. Tr. of Oral Arg. 46.
    Instead, Texas argued before this Court that one new
    clinic now serves 9,000 women annually. 
    Ibid. In addition to
    being outside the record, that example is not repre-
    sentative. The clinic to which Texas referred apparently
    cost $26 million to construct—a fact that even more clearly
    demonstrates that requiring seven or eight clinics to serve
    five times their usual number of patients does indeed
    represent an undue burden on abortion access. See
    Planned Parenthood Debuts New Building: Its $26 Million
    Center in Houston is Largest of Its Kind in U. S., Houston
    Chronicle, May 21, 2010, p. B1.
    Attempting to provide the evidence that Texas did not,
    the dissent points to an exhibit submitted in Abbott show-
    ing that three Texas surgical centers, two in Dallas as well
    as the $26-million facility in Houston, are each capable of
    serving an average of 7,000 patients per year. See post, at
    33–35. That “average” is misleading. In addition to in-
    cluding the Houston clinic, which does not represent most
    facilities, it is underinclusive. It ignores the evidence as to
    the Whole Woman’s Health surgical-center facility in San
    Antonio, the capacity of which is described as “severely
    limited.”      The exhibit does nothing to rebut the com-
    monsense inference that the dramatic decline in the num-
    ber of available facilities will cause a shortfall in capacity
    should H. B. 2 go into effect. And facilities that were still
    operating after the effective date of the admitting-
    privileges provision were not able to accommodate in-
    creased demand. See App. 238; Tr. of Oral Arg. 30–31;
    Brief for National Abortion Federation et al. as Amici
    Curiae 17–20 (citing clinics’ experiences since the
    admitting-privileges requirement went into effect of 3-
    week wait times, staff burnout, and waiting rooms so full,
    patients had to sit on the floor or wait outside).
    More fundamentally, in the face of no threat to women’s
    36       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    health, Texas seeks to force women to travel long distances
    to get abortions in crammed-to-capacity superfacilities.
    Patients seeking these services are less likely to get the
    kind of individualized attention, serious conversation, and
    emotional support that doctors at less taxed facilities may
    have offered. Healthcare facilities and medical profes-
    sionals are not fungible commodities. Surgical centers
    attempting to accommodate sudden, vastly increased
    demand, 
    see 46 F. Supp. 3d, at 682
    , may find that quality
    of care declines. Another commonsense inference that the
    District Court made is that these effects would be harmful
    to, not supportive of, women’s health. See 
    id., at 682–683.
       Finally, the District Court found that the costs that a
    currently licensed abortion facility would have to incur to
    meet the surgical-center requirements were considerable,
    ranging from $1 million per facility (for facilities with
    adequate space) to $3 million per facility (where additional
    land must be purchased). 
    Id., at 682.
    This evidence sup-
    ports the conclusion that more surgical centers will not
    soon fill the gap when licensed facilities are forced to close.
    We agree with the District Court that the surgical-
    center requirement, like the admitting-privileges require-
    ment, provides few, if any, health benefits for women,
    poses a substantial obstacle to women seeking abortions,
    and constitutes an “undue burden” on their constitutional
    right to do so.
    VI
    We consider three additional arguments that Texas
    makes and deem none persuasive.
    First, Texas argues that facial invalidation of both
    challenged provisions is precluded by H. B. 2’s severability
    clause. See Brief for Respondents 50–52. The severability
    clause says that “every provision, section, subsection,
    sentence, clause, phrase, or word in this Act, and every
    application of the provision in this Act, are severable from
    Cite as: 579 U. S. ____ (2016)           37
    Opinion of the Court
    each other.” H. B. 2, §10(b), App. to Pet. for Cert. 200a. It
    further provides that if “any application of any provision
    in this Act to any person, group of persons, or circum-
    stances is found by a court to be invalid, the remaining
    applications of that provision to all other persons and
    circumstances shall be severed and may not be affected.”
    
    Ibid. That language, Texas
    argues, means that facial
    invalidation of parts of the statute is not an option; in-
    stead, it says, the severability clause mandates a more
    narrowly tailored judicial remedy. But the challenged
    provisions of H. B. 2 close most of the abortion facilities in
    Texas and place added stress on those facilities able to
    remain open. They vastly increase the obstacles confront-
    ing women seeking abortions in Texas without providing
    any benefit to women’s health capable of withstanding any
    meaningful scrutiny. The provisions are unconstitutional
    on their face: Including a severability provision in the law
    does not change that conclusion.
    Severability clauses, it is true, do express the enacting
    legislature’s preference for a narrow judicial remedy. As a
    general matter, we attempt to honor that preference. But
    our cases have never required us to proceed application by
    conceivable application when confronted with a facially
    unconstitutional statutory provision. “We have held that
    a severability clause is an aid merely; not an inexorable
    command.” Reno v. American Civil Liberties Union, 
    521 U.S. 844
    , 884–885, n. 49 (1997) (internal quotation marks
    omitted). Indeed, if a severability clause could impose
    such a requirement on courts, legislatures would easily be
    able to insulate unconstitutional statutes from most facial
    review. See 
    ibid. (“It would certainly
    be dangerous if the
    legislature could set a net large enough to catch all possi-
    ble offenders, and leave it to the courts to step inside and
    say who could be rightfully detained, and who should be
    set at large. This would, to some extent, substitute the
    judicial for the legislative department of the government”
    38       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    (internal quotation marks omitted)). A severability clause
    is not grounds for a court to “devise a judicial remedy that
    . . . entail[s] quintessentially legislative work.” Ayotte v.
    Planned Parenthood of Northern New Eng., 
    546 U.S. 320
    ,
    329 (2006). Such an approach would inflict enormous
    costs on both courts and litigants, who would be required
    to proceed in this manner whenever a single application of
    a law might be valid. We reject Texas’ invitation to pave
    the way for legislatures to immunize their statutes from
    facial review.
    Texas similarly argues that instead of finding the entire
    surgical-center provision unconstitutional, we should
    invalidate (as applied to abortion clinics) only those spe-
    cific surgical-center regulations that unduly burden the pro-
    vision of abortions, while leaving in place other surgical-
    center regulations (for example, the reader could pick
    any of the various examples provided by the dissent, see
    post, at 42–43). See Brief for Respondents 52–53. As we
    have explained, Texas’ attempt to broadly draft a re-
    quirement to sever “applications” does not require us to
    proceed in piecemeal fashion when we have found the
    statutory provisions at issue facially unconstitutional.
    Nor is that approach to the regulations even required by
    H. B. 2 itself. The statute was meant to require abortion
    facilities to meet the integrated surgical-center stand-
    ards—not some subset thereof. The severability clause
    refers to severing applications of words and phrases in the
    Act, such as the surgical-center requirement as a whole.
    See H. B. 2, §4, App. to Pet. for Cert. 194a. It does not say
    that courts should go through the individual components
    of the different, surgical-center statute, let alone the indi-
    vidual regulations governing surgical centers to see
    whether those requirements are severable from each other
    as applied to abortion facilities. Facilities subject to some
    subset of those regulations do not qualify as surgical
    centers. And the risk of harm caused by inconsistent
    Cite as: 579 U. S. ____ (2016)          39
    Opinion of the Court
    application of only a fraction of interconnected regulations
    counsels against doing so.
    Second, Texas claims that the provisions at issue here
    do not impose a substantial obstacle because the women
    affected by those laws are not a “large fraction” of Texan
    women “of reproductive age,” which Texas reads Casey to
    have required. See Brief for Respondents 45, 48. But
    Casey used the language “large fraction” to refer to “a
    large fraction of cases in which [the provision at issue] is
    relevant,” a class narrower than “all women,” “pregnant
    women,” or even “the class of women seeking abortions
    identified by the 
    State.” 505 U.S., at 894
    –895 (opinion of
    the Court) (emphasis added). Here, as in Casey, the rele-
    vant denominator is “those [women] for whom [the provi-
    sion] is an actual rather than an irrelevant restriction.”
    
    Id., at 895.
       Third, Texas looks for support to Simopoulos v. Virginia,
    
    462 U.S. 506
    (1983), a case in which this Court upheld
    a surgical-center requirement as applied to second-
    trimester abortions. This case, however, unlike Simopou-
    los, involves restrictions applicable to all abortions, not
    simply to those that take place during the second tri-
    mester. Most abortions in Texas occur in the first tri-
    mester, not the second. App. 236. More importantly, in
    Casey we discarded the trimester framework, and we now
    use “viability” as the relevant point at which a State may
    begin limiting women’s access to abortion for reasons
    unrelated to maternal 
    health. 505 U.S., at 878
    (plurality
    opinion). Because the second trimester includes time that
    is both previability and postviability, Simopoulos cannot
    provide clear guidance. Further, the Court in Simopoulos
    found that the petitioner in that case, unlike petitioners
    here, had waived any argument that the regulation did
    not significantly help protect women’s 
    health. 462 U.S., at 517
    .
    40       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    Opinion of the Court
    *     *    *
    For these reasons the judgment of the Court of Appeals
    is reversed, and the case is remanded for further proceed-
    ings consistent with this opinion.
    It is so ordered.
    Cite as: 579 U. S. ____ (2016)          1
    GINSBURG, J., concurring
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 15–274
    _________________
    WHOLE WOMAN’S HEALTH, ET AL., PETITIONERS v.
    JOHN HELLERSTEDT, COMMISSIONER, TEXAS
    DEPARTMENT OF STATE HEALTH SERVICES, ET AL.
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE FIFTH CIRCUIT
    [June 27, 2016]
    JUSTICE GINSBURG, concurring.
    The Texas law called H. B. 2 inevitably will reduce the
    number of clinics and doctors allowed to provide abortion
    services. Texas argues that H. B. 2’s restrictions are
    constitutional because they protect the health of women
    who experience complications from abortions. In truth,
    “complications from an abortion are both rare and rarely
    dangerous.” Planned Parenthood of Wis., Inc. v. Schimel,
    
    806 F.3d 908
    , 912 (CA7 2015). See Brief for American
    College of Obstetricians and Gynecologists et al. as Amici
    Curiae 6–10 (collecting studies and concluding “[a]bortion
    is one of the safest medical procedures performed in the
    United States”); Brief for Social Science Researchers as
    Amici Curiae 5–9 (compiling studies that show
    “[c]omplication rates from abortion are very low”). Many
    medical procedures, including childbirth, are far more
    dangerous to patients, yet are not subject to ambulatory-
    surgical-center or hospital admitting-privileges require-
    ments. See ante, at 31; Planned Parenthood of 
    Wis., 806 F.3d, at 921
    –922. See also Brief for Social Science Re-
    searchers 9–11 (comparing statistics on risks for abortion
    with tonsillectomy, colonoscopy, and in-office dental sur-
    gery); Brief for American Civil Liberties Union et al. as
    Amici Curiae 7 (all District Courts to consider admitting-
    2        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    GINSBURG, J., concurring
    privileges requirements found abortion “is at least as safe
    as other medical procedures routinely performed in outpa-
    tient settings”). Given those realities, it is beyond rational
    belief that H. B. 2 could genuinely protect the health of
    women, and certain that the law “would simply make it
    more difficult for them to obtain abortions.” Planned
    Parenthood of 
    Wis., 806 F.3d, at 910
    . When a State se-
    verely limits access to safe and legal procedures, women in
    desperate circumstances may resort to unlicensed rogue
    practitioners, faute de mieux, at great risk to their health
    and safety. See Brief for Ten Pennsylvania Abortion Care
    Providers as Amici Curiae 17–22. So long as this Court
    adheres to Roe v. Wade, 
    410 U.S. 113
    (1973), and Planned
    Parenthood of Southeastern Pa. v. Casey, 
    505 U.S. 833
    (1992), Targeted Regulation of Abortion Providers laws
    like H. B. 2 that “do little or nothing for health, but rather
    strew impediments to abortion,” Planned Parenthood of
    
    Wis., 806 F.3d, at 921
    , cannot survive judicial inspection.
    Cite as: 579 U. S. ____ (2016)             1
    THOMAS, J., dissenting
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 15–274
    _________________
    WHOLE WOMAN’S HEALTH, ET AL., PETITIONERS v.
    JOHN HELLERSTEDT, COMMISSIONER, TEXAS
    DEPARTMENT OF STATE HEALTH SERVICES, ET AL.
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE FIFTH CIRCUIT
    [June 27, 2016]
    JUSTICE THOMAS, dissenting.
    Today the Court strikes down two state statutory provi-
    sions in all of their applications, at the behest of abortion
    clinics and doctors. That decision exemplifies the Court’s
    troubling tendency “to bend the rules when any effort to
    limit abortion, or even to speak in opposition to abortion,
    is at issue.” Stenberg v. Carhart, 
    530 U.S. 914
    , 954 (2000)
    (Scalia, J., dissenting). As JUSTICE ALITO observes, see
    post (dissenting opinion), today’s decision creates an abor-
    tion exception to ordinary rules of res judicata, ignores
    compelling evidence that Texas’ law imposes no unconsti-
    tutional burden, and disregards basic principles of the
    severability doctrine. I write separately to emphasize how
    today’s decision perpetuates the Court’s habit of apply-
    ing different rules to different constitutional rights—
    especially the putative right to abortion.
    To begin, the very existence of this suit is a jurispruden-
    tial oddity. Ordinarily, plaintiffs cannot file suits to vindi-
    cate the constitutional rights of others. But the Court
    employs a different approach to rights that it favors. So in
    this case and many others, the Court has erroneously
    allowed doctors and clinics to vicariously vindicate the
    putative constitutional right of women seeking abortions.
    This case also underscores the Court’s increasingly
    2        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    THOMAS, J., dissenting
    common practice of invoking a given level of scrutiny—
    here, the abortion-specific undue burden standard—while
    applying a different standard of review entirely. What-
    ever scrutiny the majority applies to Texas’ law, it bears
    little resemblance to the undue-burden test the Court
    articulated in Planned Parenthood of Southeastern Pa. v.
    Casey, 
    505 U.S. 833
    (1992), and its successors. Instead,
    the majority eviscerates important features of that test to
    return to a regime like the one that Casey repudiated.
    Ultimately, this case shows why the Court never should
    have bent the rules for favored rights in the first place.
    Our law is now so riddled with special exceptions for
    special rights that our decisions deliver neither predict-
    ability nor the promise of a judiciary bound by the rule of
    law.
    I
    This suit is possible only because the Court has allowed
    abortion clinics and physicians to invoke a putative consti-
    tutional right that does not belong to them—a woman’s
    right to abortion. The Court’s third-party standing juris-
    prudence is no model of clarity. See Kowalski v. Tesmer,
    
    543 U.S. 125
    , 135 (2004) (THOMAS, J., concurring). Driv-
    ing this doctrinal confusion, the Court has shown a partic-
    ular willingness to undercut restrictions on third-party
    standing when the right to abortion is at stake. And this
    case reveals a deeper flaw in straying from our normal
    rules: when the wrong party litigates a case, we end up
    resolving disputes that make for bad law.
    For most of our Nation’s history, plaintiffs could not
    challenge a statute by asserting someone else’s constitu-
    tional rights. See 
    ibid. This Court would
    “not listen to an
    objection made to the constitutionality of an act by a party
    whose rights it does not affect and who has therefore no
    interest in defeating it.” Clark v. Kansas City, 
    176 U.S. 114
    , 118 (1900) (internal quotation marks omitted). And
    Cite as: 579 U. S. ____ (2016)               3
    THOMAS, J., dissenting
    for good reason: “[C]ourts are not roving commissions
    assigned to pass judgment on the validity of the Nation’s
    laws.” Broadrick v. Oklahoma, 
    413 U.S. 601
    , 610–611
    (1973).
    In the 20th century, the Court began relaxing that rule.
    But even as the Court started to recognize exceptions for
    certain types of challenges, it stressed the strict limits of
    those exceptions. A plaintiff could assert a third party’s
    rights, the Court said, but only if the plaintiff had a “close
    relation to the third party” and the third party faced a
    formidable “hindrance” to asserting his own rights. Pow-
    ers v. Ohio, 
    499 U.S. 400
    , 411 (1991); accord, 
    Kowalski, supra, at 130
    –133 (similar).
    Those limits broke down, however, because the Court
    has been “quite forgiving” in applying these standards to
    certain claims. 
    Id., at 130.
    Some constitutional rights
    remained “personal rights which . . . may not be vicari-
    ously asserted.” Alderman v. United States, 
    394 U.S. 165
    ,
    174 (1969) (Fourth Amendment rights are purely per-
    sonal); see Rakas v. Illinois, 
    439 U.S. 128
    , 140, n. 8 (1978) (so
    is the Fifth Amendment right against self-incrimination).
    But the Court has abandoned such limitations on other
    rights, producing serious anomalies across similar factual
    scenarios. Lawyers cannot vicariously assert potential
    clients’ Sixth Amendment rights because they lack any
    current, close relationship. 
    Kowalski, supra, at 130
    –131.
    Yet litigants can assert potential jurors’ rights against
    race or sex discrimination in jury selection even when the
    litigants have never met potential jurors and do not share
    their race or sex. 
    Powers, supra, at 410
    –416; J. E. B. v.
    Alabama ex rel. T. B., 
    511 U.S. 127
    , 129 (1994). And
    vendors can sue to invalidate state regulations implicating
    potential customers’ equal protection rights against sex
    discrimination. Craig v. Boren, 
    429 U.S. 190
    , 194–197
    (1976) (striking down sex-based age restrictions on pur-
    chasing beer).
    4           WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    THOMAS, J., dissenting
    Above all, the Court has been especially forgiving of
    third-party standing criteria for one particular category of
    cases: those involving the purported substantive due
    process right of a woman to abort her unborn child. In
    Singleton v. Wulff, 
    428 U.S. 106
    (1976), a plurality of this
    Court fashioned a blanket rule allowing third-party stand-
    ing in abortion cases. 
    Id., at 118.
    “[I]t generally is appro-
    priate,” said the Court, “to allow a physician to assert the
    rights of women patients as against governmental inter-
    ference with the abortion decision.” 
    Ibid. Yet the plural-
    ity conceded that the traditional criteria for an exception to
    the third-party standing rule were not met. There are no
    “insurmountable” obstacles stopping women seeking abor-
    tions from asserting their own rights, the plurality admit-
    ted. Nor are there jurisdictional barriers. Roe v. Wade,
    
    410 U.S. 113
    (1973), held that women seeking abortions
    fell into the mootness exception for cases “ ‘capable of
    repetition, yet seeking review,’ ” enabling them to sue after
    they terminated their pregnancies without showing that
    they intended to become pregnant and seek an abortion
    again. 
    Id., at 125.
    Yet, since Singleton, the Court has
    unquestioningly accepted doctors’ and clinics’ vicarious
    assertion of the constitutional rights of hypothetical pa-
    tients, even as women seeking abortions have successfully
    and repeatedly asserted their own rights before this
    Court.1
    ——————
    1 Compare, e.g., Gonzales v. Carhart, 
    550 U.S. 124
    (2007), and Sten-
    berg v. Carhart, 
    530 U.S. 914
    (2000); Planned Parenthood of South-
    eastern Pa. v. Casey, 
    505 U.S. 833
    , 851 (1992) (assuming that physi-
    cians and clinics can vicariously assert women’s right to abortion), with,
    e.g., Leavitt v. Jane L., 
    518 U.S. 137
    , 139 (1996) (per curiam); Hodgson
    v. Minnesota, 
    497 U.S. 417
    , 429 (1990); H. L. v. Matheson, 
    450 U.S. 398
    , 400 (1981); Williams v. Zbaraz, 
    448 U.S. 358
    , 361 (1980); Harris v.
    McRae, 
    448 U.S. 297
    , 303 (1980); Bellotti v. Baird, 
    428 U.S. 132
    , 137–
    138 (1976); Poelker v. Doe, 
    432 U.S. 519
    , 519 (1977) (per curiam); Beal
    v. Doe, 
    432 U.S. 438
    , 441–442 (1977); Maher v. Roe, 
    432 U.S. 464
    , 467
    (1977) (women seeking abortions have capably asserted their own
    Cite as: 579 U. S. ____ (2016)   5
    THOMAS, J., dissenting
    Here too, the Court does not question whether doctors
    and clinics should be allowed to sue on behalf of Texas
    women seeking abortions as a matter of course. They
    should not. The central question under the Court’s abor-
    tion precedents is whether there is an undue burden on a
    woman’s access to abortion. See 
    Casey, 505 U.S., at 877
    (plurality opinion); see Part II, infra. But the Court’s
    permissive approach to third-party standing encourages
    litigation that deprives us of the information needed to
    resolve that issue. Our precedents encourage abortion
    providers to sue—and our cases then relieve them of any
    obligation to prove what burdens women actually face. I
    find it astonishing that the majority can discover an “un-
    due burden” on women’s access to abortion for “those
    [women] for whom [Texas’ law] is an actual rather than an
    irrelevant restriction,” ante, at 39 (internal quotation
    marks omitted), without identifying how many women fit
    this description; their proximity to open clinics; or their
    preferences as to where they obtain abortions, and from
    whom. “[C]ommonsense inference[s]” that such a burden
    exists, ante, at 36, are no substitute for actual evidence.
    There should be no surer sign that our jurisprudence has
    gone off the rails than this: After creating a constitutional
    right to abortion because it “involve[s] the most intimate
    and personal choices a person may make in a lifetime,
    choices central to personal dignity and autonomy,” 
    Casey, supra, at 851
    (majority opinion), the Court has created
    special rules that cede its enforcement to others.
    II
    Today’s opinion also reimagines the undue-burden
    standard used to assess the constitutionality of abortion
    restrictions. Nearly 25 years ago, in Planned Parenthood
    of Southeastern Pa. v. Casey, 
    505 U.S. 833
    , a plurality of
    ——————
    rights, as plaintiffs).
    6        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    THOMAS, J., dissenting
    this Court invented the “undue burden” standard as a
    special test for gauging the permissibility of abortion
    restrictions. Casey held that a law is unconstitutional if it
    imposes an “undue burden” on a woman’s ability to choose
    to have an abortion, meaning that it “has the purpose or
    effect of placing a substantial obstacle in the path of a
    woman seeking an abortion of a nonviable fetus.” 
    Id., at 877.
    Casey thus instructed courts to look to whether a law
    substantially impedes women’s access to abortion, and
    whether it is reasonably related to legitimate state inter-
    ests. As the Court explained, “[w]here it has a rational
    basis to act, and it does not impose an undue burden, the
    State may use its regulatory power” to regulate aspects of
    abortion procedures, “all in furtherance of its legitimate
    interests in regulating the medical profession in order to
    promote respect for life, including life of the unborn.”
    Gonzales v. Carhart, 
    550 U.S. 124
    , 158 (2007).
    I remain fundamentally opposed to the Court’s abortion
    jurisprudence. E.g., 
    id., at 168–169
    (THOMAS, J., concur-
    ring); 
    Stenberg, 530 U.S., at 980
    , 982 (THOMAS, J., dis-
    senting). Even taking Casey as the baseline, however, the
    majority radically rewrites the undue-burden test in three
    ways. First, today’s decision requires courts to “consider
    the burdens a law imposes on abortion access together
    with the benefits those laws confer.” Ante, at 19. Second,
    today’s opinion tells the courts that, when the law’s justifi-
    cations are medically uncertain, they need not defer to the
    legislature, and must instead assess medical justifications
    for abortion restrictions by scrutinizing the record them-
    selves. 
    Ibid. Finally, even if
    a law imposes no “substan-
    tial obstacle” to women’s access to abortions, the law now
    must have more than a “reasonabl[e] relat[ion] to . . . a
    legitimate state interest.” 
    Ibid. (internal quotation marks
    omitted). These precepts are nowhere to be found in Casey
    or its successors, and transform the undue-burden test to
    something much more akin to strict scrutiny.
    Cite as: 579 U. S. ____ (2016)            7
    THOMAS, J., dissenting
    First, the majority’s free-form balancing test is contrary
    to Casey. When assessing Pennsylvania’s recordkeeping
    requirements for abortion providers, for instance, Casey
    did not weigh its benefits and burdens. Rather, Casey
    held that the law had a legitimate purpose because data
    collection advances medical research, “so it cannot be said
    that the requirements serve no purpose other than to
    make abortions more 
    difficult.” 505 U.S., at 901
    ( joint
    opinion of O’Connor, KENNEDY, and Souter, JJ.). The
    opinion then asked whether the recordkeeping require-
    ments imposed a “substantial obstacle,” and found none.
    
    Ibid. Contrary to the
    majority’s statements, see ante, at
    19, Casey did not balance the benefits and burdens of
    Pennsylvania’s spousal and parental notification provi-
    sions, either.     Pennsylvania’s spousal notification re-
    quirement, the plurality said, imposed an undue burden
    because findings established that the requirement would
    “likely . . . prevent a significant number of women from
    obtaining an abortion”—not because these burdens out-
    weighed its 
    benefits. 505 U.S., at 893
    (majority opinion);
    see 
    id., at 887–894.
    And Casey summarily upheld paren-
    tal notification provisions because even pre-Casey deci-
    sions had done so. 
    Id., at 899–900
    (joint opinion).
    Decisions in Casey’s wake further refute the majority’s
    benefits-and-burdens balancing test. The Court in Ma-
    zurek v. Armstrong, 
    520 U.S. 968
    (1997) (per curiam), had
    no difficulty upholding a Montana law authorizing only
    physicians to perform abortions—even though no legisla-
    tive findings supported the law, and the challengers
    claimed that “all health evidence contradict[ed] the claim
    that there is any health basis for the law.” 
    Id., at 973
    (internal quotation marks omitted). Mazurek also deemed
    objections to the law’s lack of benefits “squarely foreclosed
    by Casey itself.” 
    Ibid. Instead, the Court
    explained, “ ‘the
    Constitution gives the States broad latitude to decide that
    particular functions may be performed only by licensed
    8        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    THOMAS, J., dissenting
    professionals, even if an objective assessment might suggest
    that those same tasks could be performed by others.’ ” 
    Ibid. (quoting Casey, supra,
    at 885; emphasis in original); see
    
    Gonzales, supra, at 164
    (relying on Mazurek).
    Second, by rejecting the notion that “legislatures, and
    not courts, must resolve questions of medical uncertainty,”
    ante, at 20, the majority discards another core element of
    the Casey framework. Before today, this Court had “given
    state and federal legislatures wide discretion to pass
    legislation in areas where there is medical and scientific
    uncertainty.” 
    Gonzales, 550 U.S., at 163
    . This Court
    emphasized that this “traditional rule” of deference “is
    consistent with Casey.” 
    Ibid. This Court underscored
    that
    legislatures should not be hamstrung “if some part of the
    medical community were disinclined to follow the pro-
    scription.” 
    Id., at 166.
    And this Court concluded that
    “[c]onsiderations of marginal safety, including the balance
    of risks, are within the legislative competence when the
    regulation is rational and in pursuit of legitimate ends.”
    Ibid.; see 
    Stenberg, supra, at 971
    (KENNEDY, J., dissent-
    ing) (“the right of the legislature to resolve matters on
    which physicians disagreed” is “establish[ed] beyond
    doubt”). This Court could not have been clearer: When-
    ever medical justifications for an abortion restriction are
    debatable, that “provides a sufficient basis to conclude in
    [a] facial attack that the [law] does not impose an undue
    burden.” 
    Gonzales, 550 U.S., at 164
    . Otherwise, legisla-
    tures would face “too exacting” a standard. 
    Id., at 166.
       Today, however, the majority refuses to leave disputed
    medical science to the legislature because past cases
    “placed considerable weight upon the evidence and argu-
    ment presented in judicial proceedings.” Ante, at 20. But
    while Casey relied on record evidence to uphold Pennsyl-
    vania’s spousal-notification requirement, that requirement
    had nothing to do with debated medical 
    science. 505 U.S., at 888
    –894 (majority opinion). And while Gonzales ob-
    Cite as: 579 U. S. ____ (2016)             9
    THOMAS, J., dissenting
    served that courts need not blindly accept all legislative
    findings, see ante, at 20, that does not help the majority.
    Gonzales refused to accept Congress’ finding of “a medical
    consensus that the prohibited procedure is never medically
    necessary” because the procedure’s necessity was debated
    within the medical 
    community. 550 U.S., at 165
    –166.
    Having identified medical uncertainty, Gonzales explained
    how courts should resolve conflicting positions: by respect-
    ing the legislature’s judgment. See 
    id., at 164.
       Finally, the majority overrules another central aspect of
    Casey by requiring laws to have more than a rational basis
    even if they do not substantially impede access to abor-
    tion. Ante, at 19–20. “Where [the State] has a rational
    basis to act and it does not impose an undue burden,” this
    Court previously held, “the State may use its regulatory
    power” to impose regulations “in furtherance of its legiti-
    mate interests in regulating the medical profession in
    order to promote respect for life, including life of the un-
    born.” 
    Gonzales, supra, at 158
    (emphasis added); see
    
    Casey, supra, at 878
    (plurality opinion) (similar). No
    longer. Though the majority declines to say how substan-
    tial a State’s interest must be, ante, at 20, one thing is
    clear: The State’s burden has been ratcheted to a level
    that has not applied for a quarter century.
    Today’s opinion does resemble Casey in one respect:
    After disregarding significant aspects of the Court’s prior
    jurisprudence, the majority applies the undue-burden
    standard in a way that will surely mystify lower courts for
    years to come. As in Casey, today’s opinion “simply . . .
    highlight[s] certain facts in the record that apparently
    strike the . . . Justices as particularly significant in estab-
    lishing (or refuting) the existence of an undue 
    burden.” 505 U.S., at 991
    (Scalia, J., concurring in judgment in
    part and dissenting in part); see ante, at 23–24, 31–34. As
    in Casey, “the opinion then simply announces that the
    provision either does or does not impose a ‘substantial
    10       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    THOMAS, J., dissenting
    obstacle’ or an ‘undue burden.’ 
    505 U.S., at 991
    (opinion
    of Scalia, J); see ante, at 26, 36. And still “[w]e do not
    know whether the same conclusions could have been
    reached on a different record, or in what respects the
    record would have had to differ before an opposite conclu-
    sion would have been appropriate.
    505 U.S., at 991
    (opinion of Scalia, J.); cf. ante, at 26, 31–32. All we know
    is that an undue burden now has little to do with whether
    the law, in a “real sense, deprive[s] women of the ultimate
    decision,” 
    Casey, supra, at 875
    , and more to do with the
    loss of “individualized attention, serious conversation, and
    emotional support,” ante, at 36.
    The majority’s undue-burden test looks far less like our
    post-Casey precedents and far more like the strict-scrutiny
    standard that Casey rejected, under which only the most
    compelling rationales justified restrictions on abortion.
    See 
    Casey, supra, at 871
    , 874–875 (plurality opinion). One
    searches the majority opinion in vain for any acknowl-
    edgment of the “premise central” to Casey’s rejection of
    strict scrutiny: “that the government has a legitimate and
    substantial interest in preserving and promoting fetal life”
    from conception, not just in regulating medical procedures.
    
    Gonzales, supra, at 145
    (internal quotation marks omit-
    ted); see 
    Casey, supra, at 846
    (majority opinion), 871
    (plurality opinion). Meanwhile, the majority’s undue-
    burden balancing approach risks ruling out even minor,
    previously valid infringements on access to abortion.
    Moreover, by second-guessing medical evidence and mak-
    ing its own assessments of “quality of care” issues, ante, at
    23–24, 30–31, 36, the majority reappoints this Court as
    “the country’s ex officio medical board with powers to
    disapprove medical and operative practices and standards
    throughout the United States.” 
    Gonzales, supra, at 164
    (internal quotation marks omitted). And the majority
    seriously burdens States, which must guess at how much
    more compelling their interests must be to pass muster
    Cite as: 579 U. S. ____ (2016)           11
    THOMAS, J., dissenting
    and what “commonsense inferences” of an undue burden
    this Court will identify next.
    III
    The majority’s furtive reconfiguration of the standard of
    scrutiny applicable to abortion restrictions also points to a
    deeper problem. The undue-burden standard is just one
    variant of the Court’s tiers-of-scrutiny approach to consti-
    tutional adjudication. And the label the Court affixes to
    its level of scrutiny in assessing whether the government
    can restrict a given right—be it “rational basis,” interme-
    diate, strict, or something else—is increasingly a meaning-
    less formalism. As the Court applies whatever standard it
    likes to any given case, nothing but empty words sepa-
    rates our constitutional decisions from judicial fiat.
    Though the tiers of scrutiny have become a ubiquitous
    feature of constitutional law, they are of recent vintage.
    Only in the 1960’s did the Court begin in earnest to speak
    of “strict scrutiny” versus reviewing legislation for mere
    rationality, and to develop the contours of these tests. See
    Fallon, Strict Judicial Scrutiny, 54 UCLA L. Rev. 1267,
    1274, 1284–1285 (2007). In short order, the Court adopted
    strict scrutiny as the standard for reviewing everything
    from race-based classifications under the Equal Protection
    Clause to restrictions on constitutionally protected speech.
    
    Id., at 1275–1283.
    Roe v. Wade, 
    410 U.S. 113
    , then ap-
    plied strict scrutiny to a purportedly “fundamental” sub-
    stantive due process right for the first time. 
    Id., at 162–
    164; see 
    Fallon, supra, at 1283
    ; accord, 
    Casey, supra, at 871
    (plurality opinion) (noting that post-Roe cases inter-
    preted Roe to demand “strict scrutiny”). Then the tiers of
    scrutiny proliferated into ever more gradations. See, e.g.,
    
    Craig, 429 U.S., at 197
    –198 (intermediate scrutiny for
    sex-based classifications); Lawrence v. Texas, 
    539 U.S. 558
    , 580 (2003) (O’Connor, J., concurring in judgment) (“a
    more searching form of rational basis review” applies to
    12       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    THOMAS, J., dissenting
    laws reflecting “a desire to harm a politically unpopular
    group”); Buckley v. Valeo, 
    424 U.S. 1
    , 25 (1976) (per cu-
    riam) (applying “ ‘closest scrutiny’ ” to campaign-finance
    contribution limits). Casey’s undue-burden test added yet
    another right-specific test on the spectrum between
    rational-basis and strict-scrutiny review.
    The illegitimacy of using “made-up tests” to “displace
    longstanding national traditions as the primary determi-
    nant of what the Constitution means” has long been ap-
    parent. United States v. Virginia, 
    518 U.S. 515
    , 570
    (1996) (Scalia, J., dissenting). The Constitution does not
    prescribe tiers of scrutiny.       The three basic tiers—
    “rational basis,” intermediate, and strict scrutiny—“are no
    more scientific than their names suggest, and a further
    element of randomness is added by the fact that it is
    largely up to us which test will be applied in each case.”
    
    Id., at 567;
    see also 
    Craig, supra, at 217
    –221 (Rehnquist,
    J., dissenting).
    But the problem now goes beyond that. If our recent
    cases illustrate anything, it is how easily the Court tinkers
    with levels of scrutiny to achieve its desired result. This
    Term, it is easier for a State to survive strict scrutiny
    despite discriminating on the basis of race in college ad-
    missions than it is for the same State to regulate how
    abortion doctors and clinics operate under the putatively
    less stringent undue-burden test. All the State apparently
    needs to show to survive strict scrutiny is a list of aspira-
    tional educational goals (such as the “cultivat[ion of] a set
    of leaders with legitimacy in the eyes of the citizenry”) and
    a “reasoned, principled explanation” for why it is pursuing
    them—then this Court defers. Fisher v. University of Tex.
    at Austin, ante, at 7, 12 (internal quotation marks omit-
    ted). Yet the same State gets no deference under the
    undue-burden test, despite producing evidence that abor-
    tion safety, one rationale for Texas’ law, is medically
    debated. See Whole Woman’s Health v. Lakey, 46 F. Supp.
    Cite as: 579 U. S. ____ (2016)           13
    THOMAS, J., dissenting
    3d 673, 684 (WD Tex. 2014) (noting conflict in expert
    testimony about abortion safety). Likewise, it is now
    easier for the government to restrict judicial candidates’
    campaign speech than for the Government to define mar-
    riage—even though the former is subject to strict scrutiny
    and the latter was supposedly subject to some form of
    rational-basis review. Compare Williams-Yulee v. Florida
    Bar, 575 U. S. ___, ___–___ (2015) (slip op., at 8–9), with
    United States v. Windsor, 570 U. S. ___, ___ (2013) (slip
    op., at 20).
    These more recent decisions reflect the Court’s tendency
    to relax purportedly higher standards of review for less-
    preferred rights. E.g., Nixon v. Shrink Missouri Govern-
    ment PAC, 
    528 U.S. 377
    , 421 (2000) (THOMAS, J., dissent-
    ing) (“The Court makes no effort to justify its deviation
    from the tests we traditionally employ in free speech
    cases” to review caps on political contributions). Mean-
    while, the Court selectively applies rational-basis review—
    under which the question is supposed to be whether “any
    state of facts reasonably may be conceived to justify” the
    law, McGowan v. Maryland, 
    366 U.S. 420
    , 426 (1961)—
    with formidable toughness. E.g., 
    Lawrence, 539 U.S., at 580
    (O’Connor, J., concurring in judgment) (at least in
    equal protection cases, the Court is “most likely” to find no
    rational basis for a law if “the challenged legislation inhib-
    its personal relationships”); see 
    id., at 586
    (Scalia, J.,
    dissenting) (faulting the Court for applying “an unheard-of
    form of rational-basis review”).
    These labels now mean little. Whatever the Court
    claims to be doing, in practice it is treating its “doctrine
    referring to tiers of scrutiny as guidelines informing our
    approach to the case at hand, not tests to be mechanically
    applied.” 
    Williams-Yulee, supra
    , at ___ (slip op., at 1)
    (BREYER, J., concurring). The Court should abandon the
    pretense that anything other than policy preferences
    underlies its balancing of constitutional rights and inter-
    14       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    THOMAS, J., dissenting
    ests in any given case.
    IV
    It is tempting to identify the Court’s invention of a
    constitutional right to abortion in Roe v. Wade, 
    410 U.S. 113
    , as the tipping point that transformed third-party
    standing doctrine and the tiers of scrutiny into an un-
    workable morass of special exceptions and arbitrary appli-
    cations. But those roots run deeper, to the very notion
    that some constitutional rights demand preferential
    treatment. During the Lochner era, the Court considered
    the right to contract and other economic liberties to be
    fundamental requirements of due process of law. See
    Lochner v. New York, 
    198 U.S. 45
    (1905). The Court in
    1937 repudiated Lochner’s foundations. See West Coast
    Hotel Co. v. Parrish, 
    300 U.S. 379
    , 386–387, 400 (1937).
    But the Court then created a new taxonomy of preferred
    rights.
    In 1938, seven Justices heard a constitutional challenge
    to a federal ban on shipping adulterated milk in interstate
    commerce. Without economic substantive due process, the
    ban clearly invaded no constitutional right. See United
    States v. Carolene Products Co., 
    304 U.S. 144
    , 152–153
    (1938). Within Justice Stone’s opinion for the Court,
    however, was a footnote that just three other Justices
    joined—the famous Carolene Products Footnote 4. See
    ibid., n. 4; Lusky, Footnote Redux: A Carolene Products
    Reminiscence, 82 Colum. L. Rev. 1093, 1097 (1982). The
    footnote’s first paragraph suggested that the presumption
    of constitutionality that ordinarily attaches to legislation
    might be “narrower . . . when legislation appears on its
    face to be within a specific prohibition of the 
    Constitution.” 304 U.S., at 152
    –153, n. 4. Its second paragraph ap-
    peared to question “whether legislation which restricts
    those political processes, which can ordinarily be expected
    to bring about repeal of undesirable legislation, is to be
    Cite as: 579 U. S. ____ (2016)                  15
    THOMAS, J., dissenting
    subjected to more exacting judicial scrutiny under the
    general prohibitions of the [14th] Amendment than are
    most other types of legislation.” 
    Ibid. And its third
    and
    most familiar paragraph raised the question “whether
    prejudice against discrete and insular minorities may be a
    special condition, which tends seriously to curtail the
    operation of those political processes ordinarily to be relied
    upon to protect minorities, and which may call for a corre-
    spondingly more searching judicial inquiry.” 
    Ibid. Though the footnote
    was pure dicta, the Court seized
    upon it to justify its special treatment of certain personal
    liberties like the First Amendment and the right against
    discrimination on the basis of race—but also rights not
    enumerated in the Constitution.2 As the Court identified
    which rights deserved special protection, it developed the
    tiers of scrutiny as part of its equal protection (and, later,
    due process) jurisprudence as a way to demand extra
    justifications for encroachments on these rights. See
    Fallon, 54 UCLA L. Rev., at 1270–1273, 1281–1285. And,
    having created a new category of fundamental rights, the
    Court loosened the reins to recognize even putative rights
    like abortion, see 
    Roe, 410 U.S., at 162
    –164, which hardly
    implicate “discrete and insular minorities.”
    The Court also seized upon the rationale of the Carolene
    Products footnote to justify exceptions to third-party
    standing doctrine. The Court suggested that it was tilting
    the analysis to favor rights involving actual or perceived
    minorities—then seemingly counted the right to contra-
    ——————
    2 See Fallon, Strict Judicial Scrutiny, 54 UCLA L. Rev. 1267, 1278–
    1291 (2007); see also Linzer, The Carolene Products Footnote and the
    Preferred Position of Individual Rights: Louis Lusky and John Hart Ely
    vs. Harlan Fiske Stone, 12 Const. Commentary 277, 277–278, 288–300
    (1995); Skinner v. Oklahoma ex rel. Williamson, 
    316 U.S. 535
    , 544
    (1942) (Stone, C. J., concurring) (citing the Carolene Products footnote
    to suggest that the presumption of constitutionality did not fully apply
    to encroachments on the unenumerated personal liberty to procreate).
    16       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    THOMAS, J., dissenting
    ception as such a right. According to the Court, what
    matters is the “relationship between one who acted to
    protect the rights of a minority and the minority itself ”—
    which, the Court suggested, includes the relationship
    “between an advocate of the rights of persons to obtain
    contraceptives and those desirous of doing so.” Eisenstadt
    v. Baird, 
    405 U.S. 438
    , 445 (1972) (citing Sedler, Standing
    to Assert Constitutional Jus Tertii in the Supreme Court,
    71 Yale L. J. 599, 631 (1962)).
    Eighty years on, the Court has come full circle. The
    Court has simultaneously transformed judicially created
    rights like the right to abortion into preferred constitu-
    tional rights, while disfavoring many of the rights actually
    enumerated in the Constitution. But our Constitution
    renounces the notion that some constitutional rights are
    more equal than others. A plaintiff either possesses the
    constitutional right he is asserting, or not—and if not, the
    judiciary has no business creating ad hoc exceptions so
    that others can assert rights that seem especially im-
    portant to vindicate. A law either infringes a constitu-
    tional right, or not; there is no room for the judiciary to
    invent tolerable degrees of encroachment. Unless the
    Court abides by one set of rules to adjudicate constitu-
    tional rights, it will continue reducing constitutional law
    to policy-driven value judgments until the last shreds of
    its legitimacy disappear.
    *     *     *
    Today’s decision will prompt some to claim victory, just
    as it will stiffen opponents’ will to object. But the entire
    Nation has lost something essential. The majority’s em-
    brace of a jurisprudence of rights-specific exceptions and
    balancing tests is “a regrettable concession of defeat—an
    acknowledgement that we have passed the point where
    ‘law,’ properly speaking, has any further application.”
    Scalia, The Rule of Law as a Law of Rules, 56 U. Chi.
    L. Rev. 1175, 1182 (1989). I respectfully dissent.
    Cite as: 579 U. S. ____ (2016)            1
    ALITO, J., dissenting
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 15–274
    _________________
    WHOLE WOMAN’S HEALTH, ET AL., PETITIONERS v.
    JOHN HELLERSTEDT, COMMISSIONER, TEXAS
    DEPARTMENT OF STATE HEALTH SERVICES, ET AL.
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE FIFTH CIRCUIT
    [June 27, 2016]
    JUSTICE ALITO, with whom THE CHIEF JUSTICE and
    JUSTICE THOMAS join, dissenting.
    The constitutionality of laws regulating abortion is one
    of the most controversial issues in American law, but this
    case does not require us to delve into that contentious
    dispute. Instead, the dispositive issue here concerns a
    workaday question that can arise in any case no matter
    the subject, namely, whether the present case is barred by
    res judicata. As a court of law, we have an obligation to
    apply such rules in a neutral fashion in all cases, regard­
    less of the subject of the suit. If anything, when a case
    involves a controversial issue, we should be especially
    careful to be scrupulously neutral in applying such rules.
    The Court has not done so here. On the contrary, de­
    termined to strike down two provisions of a new Texas
    abortion statute in all of their applications, the Court
    simply disregards basic rules that apply in all other cases.
    Here is the worst example. Shortly after Texas enacted
    House Bill 2 (H. B. 2) in 2013, the petitioners in this case
    brought suit, claiming, among other things, that a provi­
    sion of the new law requiring a physician performing an
    abortion to have admitting privileges at a nearby hospital
    is “facially” unconstitutional and thus totally unenforce-
    able. Petitioners had a fair opportunity to make their case,
    2        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    but they lost on the merits in the United States Court of
    Appeals for the Fifth Circuit, and they chose not to peti­
    tion this Court for review. The judgment against them
    became final. Planned Parenthood of Greater Tex. Surgi-
    cal Health Servs. v. Abbott, 
    951 F. Supp. 2d 891
    (WD Tex.
    2013), aff ’d in part and rev’d in part, 
    748 F.3d 583
    (CA5
    2014) (Abbott).
    Under the rules that apply in regular cases, petitioners
    could not relitigate the exact same claim in a second suit.
    As we have said, “a losing litigant deserves no rematch
    after a defeat fairly suffered, in adversarial proceedings,
    on an issue identical in substance to the one he subse­
    quently seeks to raise.” Astoria Fed. Sav. & Loan Assn. v.
    Solimino, 
    501 U.S. 104
    , 107 (1991).
    In this abortion case, however, that rule is disregarded.
    The Court awards a victory to petitioners on the very
    claim that they unsuccessfully pressed in the earlier case.
    The Court does this even though petitioners, undoubtedly
    realizing that a rematch would not be allowed, did not
    presume to include such a claim in their complaint. The
    Court favors petitioners with a victory that they did not
    have the audacity to seek.
    Here is one more example: the Court’s treatment of
    H. B. 2’s “severability clause.” When part of a statute is
    held to be unconstitutional, the question arises whether
    other parts of the statute must also go. If a statute says
    that provisions found to be unconstitutional can be sev­
    ered from the rest of the statute, the valid provisions are
    allowed to stand. H. B. 2 contains what must surely be
    the most emphatic severability clause ever written. This
    clause says that every single word of the statute and every
    possible application of its provisions is severable. But
    despite this language, the Court holds that no part of the
    challenged provisions and no application of any part of
    them can be saved. Provisions that are indisputably
    constitutional—for example, provisions that require facili­
    Cite as: 579 U. S. ____ (2016)            3
    ALITO, J., dissenting
    ties performing abortions to follow basic fire safety
    measures—are stricken from the books. There is no possi­
    ble justification for this collateral damage.
    The Court’s patent refusal to apply well-established law
    in a neutral way is indefensible and will undermine public
    confidence in the Court as a fair and neutral arbiter.
    I
    Res judicata—or, to use the more modern terminology,
    “claim preclusion”—is a bedrock principle of our legal
    system. As we said many years ago, “[p]ublic policy dic­
    tates that there be an end of litigation[,] that those who
    have contested an issue shall be bound by the result of the
    contest, and that matters once tried shall be considered
    forever settled as between the parties.” Baldwin v. Iowa
    State Traveling Men’s Assn., 
    283 U.S. 522
    , 525 (1931).
    This doctrine “is central to the purpose for which civil
    courts have been established, the conclusive resolution of
    disputes within their jurisdictions. . . . To preclude parties
    from contesting matters that they have had a full and fair
    opportunity to litigate protects their adversaries from the
    expense and vexation attending multiple lawsuits, con­
    serves judicial resources, and fosters reliance on judicial
    action by minimizing the possibility of inconsistent deci­
    sions.” Montana v. United States, 
    440 U.S. 147
    , 153–154
    (1979). These are “vital public interests” that should be
    “ ‘cordially regarded and enforced.’ ” Federated Department
    Stores, Inc. v. Moitie, 
    452 U.S. 394
    , 401 (1981).
    The basic rule of preclusion is well known and has been
    frequently stated in our opinions. Litigation of a “cause of
    action” or “claim” is barred if (1) the same (or a closely
    related) party (2) brought a prior suit asserting the same
    cause of action or claim, (3) the prior case was adjudicated
    by a court of competent jurisdiction and (4) was decided on
    the merits, (5) a final judgment was entered, and (6) there
    is no ground, such as fraud, to invalidate the prior judg­
    4        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    ment. See 
    Montana, supra, at 153
    ; Commissioner v. Sun-
    nen, 
    333 U.S. 591
    , 597 (1948); Cromwell v. County of Sac,
    
    94 U.S. 351
    , 352–353 (1877).
    A
    I turn first to the application of this rule to petitioners’
    claim that H. B. 2’s admitting privileges requirement is
    facially unconstitutional.
    Here, all the elements set out above are easily satisfied
    based on Abbott, the 2013 case to which I previously re­
    ferred. That case (1) was brought by a group of plaintiffs
    that included petitioners in the present case, (2) asserted
    the same cause of action or claim, namely, a facial chal­
    lenge to the constitutionality of H. B. 2’s admitting privi­
    leges requirement, (3) was adjudicated by courts of compe­
    tent jurisdiction, (4) was decided on the merits, (5)
    resulted in the entry of a final judgment against petition­
    ers, and (6) was not otherwise subject to invalidation. All
    of this is clear, and that is undoubtedly why petitioners’
    attorneys did not even include a facial attack on the ad­
    mitting privileges requirement in their complaint in this
    case. To have done so would have risked sanctions for
    misconduct. See Robinson v. National Cash Register Co.,
    
    808 F.2d 1119
    , 1131 (CA5 1987) (a party’s “persistence in
    litigating [a claim] when res judicata clearly barred the
    suit violated rule 11”); McLaughlin v. Bradlee, 
    602 F. Supp. 1412
    , 1417 (DC 1985) (“It is especially appropri­
    ate to impose sanctions in situations where the doctrines
    of res judicata and collateral estoppel plainly preclude
    relitigation of the suit”).
    Of the elements set out above, the Court disputes only
    one. The Court concludes that petitioners’ prior facial
    attack on the admitting privileges requirement and their
    current facial attack on that same requirement are some­
    how not the same cause of action or claim. But that con­
    clusion is unsupported by authority and plainly wrong.
    Cite as: 579 U. S. ____ (2016)                   5
    ALITO, J., dissenting
    B
    Although the scope of a cause of action or claim for
    purposes of res judicata is hardly a new question, courts
    and scholars have struggled to settle upon a definition.1
    But the outcome of the present case does not depend upon
    the selection of the proper definition from among those
    adopted or recommended over the years because the ma­
    jority’s holding is not supported by any of them.
    In Baltimore S. S. Co. v. Phillips, 
    274 U.S. 316
    (1927),
    we defined a cause of action as an “actionable wrong.” 
    Id., at 321;
    see also 
    ibid. (“A cause of
    action does not consist of
    facts, but of the unlawful violation of a right which the
    facts show”). On this understanding, the two claims at
    issue here are indisputably the same.
    The same result is dictated by the rule recommended by
    the American Law Institute (ALI) in the first Restatement
    of Judgments, issued in 1942. Section 61 of the first Re­
    statement explains when a claim asserted by a plaintiff in
    a second suit is the same for preclusion purposes as a
    claim that the plaintiff unsuccessfully litigated in a prior
    case. Under that provision, “the plaintiff is precluded
    from subsequently maintaining a second action based
    upon the same transaction, if the evidence needed to
    sustain the second action would have sustained the first
    action.” Restatement of Judgments §61. There is no
    doubt that this rule is satisfied here.
    The second Restatement of Judgments, issued by the
    ALI in 1982, adopted a new approach for determining the
    scope of a cause of action or claim. In Nevada v. United
    States, 
    463 U.S. 110
    (1983), we noted that the two Re­
    statements differ in this regard, but we had no need to
    determine which was correct. 
    Id., at 130–131,
    and n. 12.
    ——————
    1 See, e.g., Note, Developments in the Law: Res Judicata, 65 Harv. L.
    Rev. 818, 824 (1952); Cleary, Res Judicata Reexamined, 57 Yale L. J.
    339, 339–340 (1948).
    6        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    Here, the majority simply assumes that we should follow
    the second Restatement even though that Restatement—
    on the Court’s reading, at least—leads to a conclusion that
    differs from the conclusion clearly dictated by the first
    Restatement.
    If the second Restatement actually supported the major­
    ity’s holding, the Court would surely be obligated to ex­
    plain why it chose to follow the second Restatement’s
    approach. But here, as in 
    Nevada, supra, at 130
    –131,
    application of the rule set out in the second Restatement
    does not change the result. While the Court relies almost
    entirely on a comment to one section of the second Re­
    statement, the Court ignores the fact that a straightfor­
    ward application of the provisions of that Restatement
    leads to the conclusion that petitioners’ two facial chal­
    lenges to the admitting privileges requirement constitute
    a single claim.
    Section 19 of the second Restatement sets out the gen­
    eral claim-preclusion rule that applies in a case like the
    one before us: “A valid and final personal judgment ren­
    dered in favor of the defendant bars another action by the
    plaintiff on the same claim.” Section 24(1) then explains
    the scope of the “claim” that is extinguished: It “includes
    all rights of the plaintiff to remedies against the defendant
    with respect to all or any part of the transaction, or series
    of connected transactions, out of which the action arose.”
    Section 24’s Comment b, in turn, fleshes out the key term
    “transaction,” which it defines as “a natural grouping or
    common nucleus of operative facts.” Whether a collection
    of events constitutes a single transaction is said to depend
    on “their relatedness in time, space, origin, or motivation,
    and whether, taken together, they form a convenient unit
    for trial purposes.” 
    Ibid. Both the claim
    asserted in petitioners’ first suit and the
    claim now revived by the Court involve the same “nucleus
    of operative facts.” Indeed, they involve the very same
    Cite as: 579 U. S. ____ (2016)                   7
    ALITO, J., dissenting
    “operative facts,” namely, the enactment of the admitting
    privileges requirement, which, according to the theory
    underlying petitioners’ facial claims, would inevitably
    have the effect of causing abortion clinics to close. This is
    what petitioners needed to show—and what they attempted
    to show in their first facial attack: not that the admit­
    ting privileges requirement had already imposed a sub­
    stantial burden on the right of Texas women to obtain
    abortions, but only that it would have that effect once
    clinics were able to assess whether they could practicably
    comply.
    The Court’s decision in Planned Parenthood of South-
    eastern Pa. v. Casey, 
    505 U.S. 833
    (1992), makes that
    clear. Casey held that Pennsylvania’s spousal notification
    requirement was facially unconstitutional even though
    that provision had been enjoined prior to enforcement.
    See 
    id., at 845.
    And the Court struck down the provision
    because it “will impose a substantial obstacle.” 
    Id., at 893–894
    (emphasis added). See also 
    id., at 893
    (“The
    spousal notification requirement is thus likely to prevent a
    significant number of women from obtaining an abortion”
    (emphasis added)); 
    id., at 894
    (Women “are likely to be
    deterred from procuring an abortion” (emphasis added)).
    Consistent with this understanding, what petitioners
    tried to show in their first case was that the admitting
    privileges requirement would cause clinics to close. They
    claimed that their evidence showed that “at least one-third
    of the State’s licensed providers would stop providing
    abortions once the privileges requirement took effect.”2
    ——————
    2 Brief for Plaintiffs-Appellees in Abbott, No. 13–51008 (CA5), p. 5
    (emphasis added); see also 
    id., at 23–24
    (“[T]he evidence established
    that as a result of the admitting privileges requirement, approximately
    one-third of the licensed abortion providers in Texas would stop provid­
    ing abortions. . . . As a result, one in three women in Texas would be
    unable to access desired abortion services. . . . [T]he immediate, wide­
    spread reduction of services caused by the admitting privileges re­
    8          WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    Agreeing with petitioners, the District Court enjoined
    enforcement of the requirement on the ground that “there
    will be abortion clinics that will close.” 
    Abbott, 951 F. Supp. 2d, at 900
    (emphasis added). The Fifth Circuit
    found that petitioners’ evidence of likely effect was insuffi­
    cient, stating that petitioners failed to prove that “any
    woman will lack reasonable access to a clinic within Texas.”
    
    Abbott, 748 F.3d, at 598
    (some emphasis added; some
    emphasis deleted). The correctness of that holding is
    irrelevant for present purposes. What matters is that the
    “operative fact” in the prior case was the enactment of the
    admitting privileges requirement, and that is precisely the
    same operative fact underlying petitioners’ facial attack in
    the case now before us.3
    C
    In light of this body of authority, how can the Court
    maintain that the first and second facial claims are really
    ——————
    quirement would produce a shortfall in the capacity of providers to
    serve all of the women seeking abortions” (emphasis added)).
    3 Even if the “operative facts” were actual clinic closures, the claims
    in the two cases would still be the same. The Court suggests that many
    clinics closed between the time of the Fifth Circuit’s decision in the first
    case and the time of the District Court’s decision in the present case by
    comparing what the Court of Appeals said in Abbott about the effect of
    the admitting privileges requirement 
    alone, 748 F.3d, at 598
    (“All of
    the major Texas cities . . . continue to have multiple clinics where many
    physicians will have or obtain hospital admitting privileges”), with
    what the District Court said in this case about the combined effect of
    the admitting privileges requirement and the ambulatory surgical
    center requirement, 
    46 F. Supp. 3d 673
    , 680 (WD Tex. 2014) (Were the
    surgical center requirement to take effect on September 1, 2014, only
    seven or eight clinics would remain open). See ante, at 14–15. Obvi­
    ously, this comparison does not show that the effect of the admitting
    privileges requirement alone was greater at the time of the District
    Court’s decision in this second case. Simply put, the Court presents no
    new clinic closures allegedly caused by the admitting privileges re­
    quirement beyond those already accounted for in Abbott, as I discuss,
    infra, at 15–17, and accompanying notes.
    Cite as: 579 U. S. ____ (2016)                   9
    ALITO, J., dissenting
    two different claims? The Court’s first argument is that
    petitioners did not bring two facial claims because their
    complaint in the present case sought only as-applied relief
    and it was the District Court, not petitioners, who injected
    the issue of facial relief into the case. Ante, at 11. (After
    the District Court gave them statewide relief, petitioners
    happily accepted the gift and now present their challenge
    as a facial one. See Reply Brief 24–25 (“[F]acial invalida­
    tion is the only way to ensure that the Texas requirements
    do not extinguish women’s liberty”).) The thrust of the
    Court’s argument is that a trial judge can circumvent the
    rules of claim preclusion by granting a plaintiff relief on a
    claim that the plaintiff is barred from relitigating. Not
    surprisingly, the Court musters no authority for this
    proposition, which would undermine the interests that the
    doctrine of claim preclusion is designed to serve. A “fun­
    damental precept of common-law adjudication is that an
    issue once determined by a competent court is conclusive.”
    Arizona v. California, 
    460 U.S. 605
    , 619 (1983). This
    interest in finality is equally offended regardless of
    whether the precluded claim is included in a complaint or
    inserted into the case by a judge.4
    Another argument tossed off by the Court is that the
    judgment on the admitting privileges claim in the first
    case does not have preclusive effect because it was based
    on “ ‘the prematurity of the action.’ ” See ante, at 11–12
    (quoting Restatement (Second) of Judgments §20(2)). But
    this argument grossly mischaracterizes the basis for the
    judgment in the first case. The Court of Appeals did not
    hold that the facial challenge was premature. It held that
    the evidence petitioners offered was insufficient. See
    ——————
    4 I need not quibble with the Court’s authorities stating that facial
    relief can sometimes be appropriate even where a plaintiff has requested
    only as-applied relief. Ante, at 15. Assuming that this is generally
    proper, it does not follow that this may be done where the plaintiff is
    precluded by res judicata from bringing a facial claim.
    10       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    
    Abbott, 748 F.3d, at 598
    –599; see also n. 9, infra. Peti­
    tioners could have sought review in this Court, but elected
    not to do so.
    This brings me to the Court’s main argument—that the
    second facial challenge is a different claim because of
    “changed circumstances.” What the Court means by this
    is that petitioners now have better evidence than they did
    at the time of the first case with respect to the number of
    clinics that would have to close as a result of the admitting
    privileges requirement. This argument is contrary to a
    cardinal rule of res judicata, namely, that a plaintiff who
    loses in a first case cannot later bring the same case sim-
    ply because it has now gathered better evidence. Claim
    preclusion does not contain a “better evidence” exception.
    See, e.g., Torres v. Shalala, 
    48 F.3d 887
    , 894 (CA5 1995)
    (“If simply submitting new evidence rendered a prior
    decision factually distinct, res judicata would cease to
    exist”); Geiger v. Foley Hoag LLP Retirement Plan, 
    521 F.3d 60
    , 66 (CA1 2008) (Claim preclusion “applies even if
    the litigant is prepared to present different evidence . . . in
    the second action”); Saylor v. United States, 
    315 F.3d 664
    ,
    668 (CA6 2003) (“The fact that . . . new evidence might
    change the outcome of the case does not affect application
    of claim preclusion doctrine”); International Union of
    Operating Engineers-Employers Constr. Industry Pension,
    Welfare and Training Trust Funds v. Karr, 
    994 F.2d 1426
    ,
    1430 (CA9 1993) (“The fact that some different evidence
    may be presented in this action . . . , however, does not
    defeat the bar of res judicata”); Restatement (Second) of
    Judgments §25, Comment b (“A mere shift in the evidence
    offered to support a ground held unproved in a prior action
    will not suffice to make a new claim avoiding the preclu­
    sive effect of the judgment”); 18 C. Wright, A. Miller, & E.
    Cooper, Federal Practice and Procedure §4403, p. 33 (2d
    ed. 2002) (Wright & Miller) (Res judicata “ordinarily ap­
    plies despite the availability of new evidence”); Restate­
    Cite as: 579 U. S. ____ (2016)                  11
    ALITO, J., dissenting
    ment of Judgments §1, Comment b (The ordinary rules of
    claim preclusion apply “although the party against whom
    a judgment is rendered is later in a position to produce
    better evidence so that he would be successful in a second
    action”).
    In an effort to get around this hornbook rule, the Court
    cites a potpourri of our decisions that have no bearing on
    the question at issue. Some are not even about res judicata.5
    And the cases that do concern res judicata, Abie State
    Bank v. Bryan, 
    282 U.S. 765
    , 772 (1931), Lawlor v. Na-
    tional Screen Service Corp., 
    349 U.S. 322
    , 328 (1955), and
    Third Nat. Bank of Louisville v. Stone, 
    174 U.S. 432
    , 434
    (1899), endorse the unremarkable proposition that a prior
    judgment does not preclude new claims based on acts
    occurring after the time of the first judgment.6 But peti­
    tioners’ second facial challenge is not based on new acts
    postdating the first suit. Rather, it is based on the same
    underlying act, the enactment of H. B. 2, which allegedly
    posed an undue burden.
    I come now to the authority on which the Court chiefly
    relies, Comment f to §24 of the second Restatement. This
    is how it reads:
    “Material operative facts occurring after the decision
    of an action with respect to the same subject matter
    ——————
    5 See ante, at 13 (citing United States v. Carolene Products Co., 
    304 U.S. 144
    , 153 (1938), and Nashville, C. & St. L. R. Co. v. Walters, 
    294 U.S. 405
    , 415 (1935)).
    6 The Court’s contaminated-water hypothetical, see ante, at 12–13,
    may involve such a situation. If after their loss in the first suit, the
    same prisoners continued to drink the water, they would not be barred
    from suing to recover for subsequent injuries suffered as a result. But
    if the Court simply means that the passage of time would allow the
    prisoners to present better evidence in support of the same claim, the
    successive suit would be barred for the reasons I have given. In that
    event, their recourse would be to move for relief from the judgment.
    See Restatement (Second) of Judgments §73.
    .
    12       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    may in themselves, or taken in conjunction with the
    antecedent facts, comprise a transaction which may be
    made the basis of a second action not precluded by the
    first. See Illustrations 10–12. Where important hu­
    man values—such as the lawfulness of a continuing
    personal disability or restraint—are at stake, even a
    slight change of circumstances may afford a sufficient
    basis for concluding that a second action may be
    brought.” (Emphasis added.)
    As the word I have highlighted—“may”—should make
    clear, this comment does not say that “[m]aterial operative
    facts occurring after the decision of an action” always or
    even usually form “the basis of a second action not pre­
    cluded by the first.” Rather, the comment takes the view
    that this “may” be so. Accord, ante, at 11 (“[D]evelopment
    of new material facts can mean that a new case and an
    otherwise similar previous case do not present the same
    claim” (emphasis added)). The question, then, is when the
    development of new material facts should lead to this
    conclusion. And there are strong reasons to conclude this
    should be a very narrow exception indeed. Otherwise, this
    statement, relegated to a mere comment, would revolu­
    tionize the rules of claim preclusion—by permitting a
    party to relitigate a lost claim whenever it obtains better
    evidence. Comment f was surely not meant to upend this
    fundamental rule.
    What the comment undoubtedly means is far more
    modest—only that in a few, limited circumstances the
    development of new material facts should (in the opinion
    of the ALI) permit relitigation. What are these circum­
    stances? Section 24 includes three illustrative examples
    in the form of hypothetical cases, and none resembles the
    present case.
    In the first hypothetical case, the subsequent suit is
    based on new events that provide a basis for relief under a
    Cite as: 579 U. S. ____ (2016)           13
    ALITO, J., dissenting
    different legal theory. Restatement (Second) of Judgments
    §24, Illustration 10.
    In the second case, a father who lost a prior child cus-
    tody case brings a second action challenging his wife’s fit-
    ness as a mother based on “subsequent experience,” which
    I take to mean subsequent conduct by the mother. 
    Id., Illustration 11.
    This illustration is expressly linked to a
    determination of a person’s “status”—and not even status
    in general, but a particular status, fitness as a parent,
    that the law recognizes as changeable. See Reporter’s
    Note, 
    id., §24, Comment
    f (Illustration 11 “exemplifies the
    effect of changed circumstances in an action relating to
    status”).
    In the final example, the government loses a civil anti­
    trust conspiracy case but then brings a second civil anti­
    trust conspiracy case based on new conspiratorial acts.
    The illustration does not suggest that the legality of acts
    predating the end of the first case is actionable in the
    second case, only that the subsequent acts give rise to a
    new claim and that proof of earlier acts may be admitted
    as evidence to explain the significance of the later acts.
    
    Id., Illustration 12.
       The present claim is not similar to any of these illustra­
    tions. It does not involve a claim based on postjudgment
    acts and a new legal theory. It does not ask us to adjudi­
    cate a person’s status. And it does not involve a continu­
    ing course of conduct to be proved by the State’s new acts.
    The final illustration actually undermines the Court’s
    holding. The Reporter’s Note links this illustration to a
    Fifth Circuit case, Exhibitors Poster Exchange, Inc. v.
    National Screen Service Corp., 
    421 F.2d 1313
    (1970). In
    that case, the court distinguished between truly
    postjudgment acts and “acts which have been completed
    [prior to the previous judgment] except for their conse­
    quences.” 
    Id., at 1318.
    Only postjudgment acts—and not
    postjudgment consequences—the Fifth Circuit held, can
    14         WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    give rise to a new cause of action. See ibid.7
    Here, the Court does not rely on any new acts performed
    by the State of Texas after the end of the first case. In­
    stead, the Court relies solely on what it takes to be new
    consequences, the closing of additional clinics, that are
    said to have resulted from the enactment of H. B. 2.
    D
    For these reasons, what the Court has done here is to
    create an entirely new exception to the rule that a losing
    plaintiff cannot relitigate a claim just because it now has
    new and better evidence. As best I can tell, the Court’s
    new rule must be something like this: If a plaintiff initially
    loses because it failed to provide adequate proof that a
    challenged law will have an unconstitutional effect and if
    subsequent developments tend to show that the law will in
    fact have those effects, the plaintiff may relitigate the
    same claim. Such a rule would be unprecedented, and I
    am unsure of its wisdom, but I am certain of this: There is
    no possible justification for such a rule unless the plaintiff,
    at the time of the first case, could not have reasonably
    shown what the effects of the law would be. And that is
    not the situation in this case.
    1
    The Court does not contend that petitioners, at the time
    ——————
    7 See also Sutliffe v. Epping School Dist., 
    584 F.3d 314
    , 328 (CA1
    2009) (“[W]hen a defendant is accused of . . . acts which though occur­
    ring over a period of time were substantially of the same sort and
    similarly motivated, fairness to the defendant as well as the public
    convenience may require that they be dealt with in the same action,
    and the events are said to constitute but one transaction” (internal
    quotation marks omitted)); Monahan v. New York City Dept. of Correc-
    tions, 
    214 F.3d 275
    , 289 (CA2 2000) (“Plaintiffs’ assertion of new
    incidents arising from the application of the challenged policy is also
    insufficient to bar the application of res judicata”); Huck v. Dawson, 
    106 F.3d 45
    , 49 (CA3 1997) (applying res judicata where “the same facts
    that resulted in the earlier judgment have caused continued damage”).
    Cite as: 579 U. S. ____ (2016)                    15
    ALITO, J., dissenting
    of the first case, could not have gathered and provided
    evidence that was sufficient to show that the admitting
    privileges requirement would cause a sufficient number of
    clinic closures. Instead, the Court attempts to argue that
    petitioners could not have shown at that time that a suffi­
    cient number of clinics had already closed. As I have
    explained, that is not what petitioners need to show or
    what they attempted to prove.
    Moreover, the Court is also wrong in its understanding
    of petitioners’ proof in the first case. In support of its
    holding that the admitting privileges requirement now
    “places a ‘substantial obstacle in the path of a woman’s
    choice,’ ” the Court relies on two facts: “Eight abortion
    clinics closed in the months leading up to the require­
    ment’s effective date” and “[e]leven more closed on the day
    the admitting-privileges requirement took effect.” Ante, at
    24. But petitioners put on evidence addressing exactly
    this issue in their first trial. They apparently surveyed 27
    of the 36 abortion clinics they identified in the State,
    including all 24 of the clinics owned by them or their
    coplaintiffs, to find out what impact the requirement
    would have on clinic operations. See Appendix, infra
    (App. K to Emergency Application To Vacate Stay in
    Planned Parenthood of Greater Tex. Surgical Health Servs.
    v. Abbott, O. T. 2013, No. 13A452, Plaintiffs’ Trial Exh.
    46).
    That survey claimed to show that the admitting privi­
    leges requirement would cause 15 clinics to close.8 See
    
    ibid. The Fifth Circuit
    had that evidence before it, and did
    not refuse to consider it.9 If that evidence was sufficient to
    ——————
    8 As I explain, infra, at 29, and n. 18, some of the closures presumably
    included in the Court’s count of 19 were not attributed to H. B. 2 at the
    first trial, even by petitioners.
    9 The Abbott panel’s refusal to consider “developments since the con­
    clusion of the bench 
    trial,” 748 F.3d, at 599
    , n. 14, was not addressed to
    the evidence of 15 closures presented at trial. The Court of Appeals in
    16         WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    show that the admitting privileges rule created an unlaw­
    ful impediment to abortion access (and the District Court
    indeed thought it sufficient), then the decision of the Fifth
    Circuit in the first case was wrong as a matter of law.
    Petitioners could have asked us to review that decision,
    but they chose not to do so. A tactical decision of that
    nature has consequences. While it does not mean that the
    ——————
    fact credited that evidence by assuming “some clinics may be required
    to shut their doors,” but it nevertheless concluded that “there is no
    showing whatsoever that any woman will lack reasonable access to a
    clinic within Texas.” 
    Id., at 598.
    The Abbott decision therefore accepted
    the factual premise common to these two actions—namely, that the
    admitting privileges requirement would cause some clinics to close—
    but it concluded that petitioners had not proved a burden on access
    regardless. In rejecting Abbott’s conclusion, the Court seems to believe
    that Abbott also must have refused to accept the factual premise. See
    ante, at 13–15.
    Instead, Abbott’s footnote 14 appears to have addressed the following
    post-trial developments: (1) the permanent closure of the Lubbock
    clinic, Brief for Plaintiffs-Appellees in Abbott (CA5), at 5, n. 3 (accounted
    for among the 15 anticipated closures, see Appendix, infra); (2) the
    resumption of abortion services in Fort Worth, Brief for Plaintiffs-
    Appellees, at 5, n. 3; (3) the acquisition of admitting privileges by an
    Austin abortion provider, 
    id., at 6,
    n. 4; (4) the acquisition of privileges
    by physicians in Dallas and San Antonio, see Letter from J. Crepps to
    L. Cayce, Clerk of Court in Abbott (CA5, Jan. 3, 2014); (5) the acquisi-
    tion of privileges by physicians in El Paso and Killeen, see Letter from
    J. Crepps to L. Cayce, Clerk of Court in Abbott (CA5, Mar. 21, 2014);
    and (6) the enforcement of the requirement against one Houston
    provider who lacked privileges, see 
    ibid. (citing Texas Medical
    Board
    press release). In the five months between the admitting privileges
    requirement taking effect and the Fifth Circuit’s Abbott decision, then,
    the parties had ample time to inform that court of post-trial develop­
    ments—and petitioners never identified the 15 closures as new (be­
    cause the closures were already accounted for in their trial evidence).
    In fact, the actual new developments largely favored the State’s case: In
    that time, physicians in Austin, Dallas, El Paso, Fort Worth, Killeen,
    and San Antonio were able to come into compliance, while only one in
    Houston was not, and one clinic (already identified at trial as expected
    to close) closed permanently. So Abbott’s decision to ignore post-trial
    developments quite likely favored petitioners.
    Cite as: 579 U. S. ____ (2016)           17
    ALITO, J., dissenting
    admitting privileges requirement is immune to a facial
    challenge, it does mean that these petitioners and the
    other plaintiffs in the first case cannot mount such a
    claim.
    2
    Even if the Court thinks that petitioners’ evidence in the
    first case was insufficient, the Court does not claim that
    petitioners, with reasonable effort, could not have gath­
    ered sufficient evidence to show with some degree of accu­
    racy what the effects of the admitting privileges require­
    ment would be. As I have just explained, in their first
    trial petitioners introduced a survey of 27 abortion clinics
    indicating that 15 would close because of the admitting
    privileges requirement. The Court does not identify what
    additional evidence petitioners needed but were unable to
    gather. There is simply no reason why petitioners should
    be allowed to relitigate their facial claim.
    E
    So far, I have discussed only the first of the two sen­
    tences in Comment f, but the Court also relies on the
    second sentence. I reiterate what that second sentence
    says:
    “Where important human values—such as the lawful­
    ness of a continuing personal disability or restraint—
    are at stake, even a slight change of circumstances
    may afford a sufficient basis for concluding that a sec­
    ond action may be brought.” Restatement (Second) of
    Judgments §24, Comment f.
    The second Restatement offers no judicial support what­
    soever for this suggestion, and thus the comment “must be
    regarded as a proposal for change rather than a restate­
    ment of existing doctrine, since the commentary refers to
    not a single case, of this or any other United States court.”
    United States v. Stuart, 
    489 U.S. 353
    , 375 (1989) (Scalia,
    18         WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    J., concurring in judgment). The sentence also sits in
    considerable tension with our decisions stating that res
    judicata must be applied uniformly and without regard to
    what a court may think is just in a particular case. See,
    e.g., 
    Moitie, 452 U.S., at 401
    (“The doctrine of res judicata
    serves vital public interests beyond any individual judge’s
    ad hoc determination of the equities in a particular case”).
    Not only did this sentence seemingly come out of nowhere,
    but it appears that no subsequent court has relied on this
    sentence as a ground for decision. And while a few deci­
    sions have cited the “important human values” language,
    those cases invariably involve the relitigation of personal
    status determinations, as discussed in Comment f ’s Illus­
    tration 11. See, e.g., People ex rel. Leonard HH. v. Nixon,
    
    148 A.D. 2d
    75, 79–80, 543 N. Y. S. 2d 998, 1001
    (1989) (“[B]y its very nature, litigation concerning the
    status of a person’s mental capacity does not lend itself to
    strict application of res judicata on a transactional analy­
    sis basis”).10
    *    *     *
    In sum, the Court’s holding that petitioners’ second
    facial challenge to the admitting privileges requirement is
    not barred by claim preclusion is not supported by any of
    ——————
    10 See also In re Marriage of Shaddle, 
    317 Ill. App. 3d 428
    , 430–432,
    
    740 N.E.2d 525
    , 528–529 (2000) (child custody); In re Hope M., 
    1998 ME 170
    , ¶5, 
    714 A.2d 152
    , 154 (termination of parental rights); In re
    Connors, 
    255 Ill. App. 3d 781
    , 784–785, 
    627 N.E.2d 1171
    , 1173–1174
    (1994) (civil commitment); Kent V. v. State, 
    233 P.3d 597
    , 601, and n.
    12 (Alaska 2010) (applying Comment f to termination of parental
    rights); In re Juvenile Appeal (83–DE), 
    190 Conn. 310
    , 318–319, 
    460 A.2d 1277
    , 1282 (1983) (same); In re Strozzi, 112 N. M. 270, 274, 
    814 P.2d 138
    , 142 (App. 1991) (guardianship and conservatorship); An-
    drulonis v. Andrulonis, 
    193 Md. App. 601
    , 617, 
    998 A.2d 898
    , 908
    (2010) (modification of alimony); In re Marriage of Pedersen, 237 Ill.
    App. 3d 952, 957, 
    605 N.E.2d 629
    , 633 (1992) (same); Friederwitzer v.
    Friederwitzer, 
    55 N.Y. 2d
    89, 94–95, 
    432 N.E.2d 765
    , 768 (1982) (child
    custody).
    Cite as: 579 U. S. ____ (2016)           19
    ALITO, J., dissenting
    our cases or any body of lower court precedent; is contrary
    to the bedrock rule that a party cannot relitigate a claim
    simply because the party has obtained new and better
    evidence; is contrary to the first Restatement of Judg­
    ments and the actual rules of the second Restatement of
    Judgment; and is purportedly based largely on a single
    comment in the second Restatement, but does not even
    represent a sensible reading of that comment. In a regu­
    lar case, an attempt by petitioners to relitigate their pre­
    viously unsuccessful facial challenge to the admitting
    privileges requirement would have been rejected out of
    hand—indeed, might have resulted in the imposition of
    sanctions under Federal Rule of Civil Procedure 11. No
    court would even think of reviving such a claim on its own.
    But in this abortion case, ordinary rules of law—and
    fairness—are suspended.
    II
    A
    I now turn to the application of principles of claim pre­
    clusion to a claim that petitioners did include in their
    second complaint, namely, their facial challenge to the
    requirement in H. B. 2 that abortion clinics comply with
    the rules that govern ambulatory surgical centers (ASCs).
    As we have said many times, the doctrine of claim preclu­
    sion not only bars the relitigation of previously litigated
    claims; it can also bar claims that are closely related to the
    claims unsuccessfully litigated in a prior case. See 
    Moitie, supra, at 398
    ; 
    Montana, 440 U.S., at 153
    .
    As just discussed, the Court’s holding on the admitting
    privileges issue is based largely on a comment to §24 of
    the second Restatement, and therefore one might think
    that consistency would dictate an examination of what §24
    has to say on the question whether the ASC challenge
    should be barred. But consistency is not the Court’s
    watchword here.
    20       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    Section 24 sets out the general rule regarding the
    “ ‘[s]plitting’ ” of claims. This is the rule that determines
    when the barring of a claim that was previously litigated
    unsuccessfully also extinguishes a claim that the plaintiff
    could have but did not bring in the first case. Section
    24(1) states that the new claim is barred if it is “any part
    of the transaction, or series of connected transactions, out
    of which the action arose.”
    Here, it is evident that petitioners’ challenges to the
    admitting privileges requirement and the ASC require­
    ment are part of the same transaction or series of connected
    transactions. If, as I believe, the “transaction” is the
    enactment of H. B. 2, then the two facial claims are part of
    the very same transaction. And the same is true even if
    the likely or actual effects of the two provisions constitute
    the relevant transactions. Petitioners argue that the
    admitting privileges requirement and the ASC require­
    ments combined have the effect of unconstitutionally
    restricting access to abortions. Their brief repeatedly
    refers to the collective effect of the “requirements.” Brief
    for Petitioners 40, 41, 42, 43, 44. They describe the admit­
    ting privileges and ASC requirements as delivering a “one­
    two punch.” 
    Id., at 40.
    They make no effort whatsoever to
    separate the effects of the two provisions.
    B
    The Court nevertheless holds that there are two “mean­
    ingful differences” that justify a departure from the gen­
    eral rule against splitting claims. Ante, at 16. Neither
    has merit.
    1
    First, pointing to a statement in a pocket part to a trea­
    tise, the Court says that “courts normally treat challenges
    to distinct regulatory requirements as ‘separate claims,’
    even when they are part of one overarching ‘[g]overnment
    Cite as: 579 U. S. ____ (2016)           21
    ALITO, J., dissenting
    regulatory scheme.’ ” Ante, at 16–17 (quoting 18 Wright &
    Miller §4408, at 54 (2d ed. 2002, Supp. 2016)). As support
    for this statement, the treatise cites one case, Hamilton’s
    Bogarts, Inc. v. Michigan, 
    501 F.3d 644
    , 650 (CA6 2007).
    Even if these authorities supported the rule invoked by
    the Court (and the Court points to no other authorities),
    they would hardly be sufficient to show that “courts nor­
    mally” proceed in accordance with the Court’s rule. But in
    fact neither the treatise nor the Sixth Circuit decision
    actually supports the Court’s rule.
    What the treatise says is the following:
    “Government regulatory schemes provide regular ex­
    amples of circumstances in which regulation of a sin­
    gle business by many different provisions should lead
    to recognition of separate claims when the business
    challenges different regulations.” 18 Wright & Miller
    §4408, at 54 (emphasis added).
    Thus, the treatise expresses a view about what the law
    “should” be; it does not purport to state what courts “nor­
    mally” do. And the recommendation of the treatise au­
    thors concerns different provisions of a “regulatory
    scheme,” which often embodies an accumulation of legisla­
    tive enactments. Petitioners challenge two provisions of
    one law, not just two provisions of a regulatory scheme.
    The Sixth Circuit decision is even further afield. In that
    case, the plaintiff had previously lost a case challenging
    one rule of a state liquor control 
    commission. 501 F.3d, at 649
    –650. On the question whether the final judgment in
    that case barred a subsequent claim attacking another
    rule, the court held that the latter claim was “likely” not
    barred because, “although [the first rule] was challenged
    in the first lawsuit, [the other rule] was not,” and “[t]he
    state has not argued or made any showing that [the party]
    should also have challenged [the other rule] at the time.”
    
    Id., at 650.
        To say that these authorities provide
    22       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    meager support for the Court’s reasoning would be an
    exaggeration.
    Beyond these paltry authorities, the Court adds only the
    argument that we should not “encourage a kitchen-sink
    approach to any litigation challenging the validity of
    statutes.” Ante, at 17. I agree—but that is not the situa­
    tion in this case. The two claims here are very closely
    related. They are two parts of the same bill. They both
    impose new requirements on abortion clinics. They are
    justified by the State on the same ground, protection of the
    safety of women seeking abortions. They are both chal­
    lenged as imposing the same kind of burden (impaired
    access to clinics) on the same kind of right (the right to
    abortion, as announced in Roe v. Wade, 
    410 U.S. 113
    (1973), and Casey, 
    505 U.S. 833
    ). And petitioners attack
    the two provisions as a package. According to petitioners,
    the two provisions were both enacted for the same illegit­
    imate purpose—to close down Texas abortion clinics. See
    Brief for Petitioners 35–36. And as noted, petitioners rely
    on the combined effect of the two requirements. Petition­
    ers have made little effort to identify the clinics that
    closed as a result of each requirement but instead aggre­
    gate the two requirements’ effects.
    For these reasons, the two challenges “form a conven­
    ient trial unit.” Restatement (Second) of Judgments
    §24(2). In fact, for a trial court to accurately identify the
    effect of each provision it would also need to identify the
    effect of the other provision. Cf. infra, at 30.
    2
    Second, the Court claims that, at the time when peti­
    tioners filed their complaint in the first case, they could
    not have known whether future rules implementing the
    surgical center requirement would provide an exemption
    for existing abortion clinics. Ante, at 17. This argument is
    deeply flawed.
    Cite as: 579 U. S. ____ (2016)           23
    ALITO, J., dissenting
    “Where the inevitability of the operation of a statute
    against certain individuals is patent, it is irrelevant to the
    existence of a justiciable controversy that there will be a
    time delay before the disputed provisions will come into
    effect.” Regional Rail Reorganization Act Cases, 
    419 U.S. 102
    , 143 (1974). And here, there was never any real
    chance that the Texas Department of State Health Ser­
    vices would exempt existing abortion clinics from all the
    ASC requirements. As the Court of Appeals wrote, “it is
    abundantly clear from H. B. 2 that all abortion facilities
    must meet the standards already promulgated for ASCs.”
    Whole Woman’s Health v. Cole, 
    790 F.3d 563
    , 583 (2015)
    (per curiam) (case below). See Tex. Health & Safety Code
    Ann. §245.010(a) (West Cum. Supp. 2015) (Rules imple­
    menting H. B. 2 “must contain minimum standards . . . for
    an abortion facility [that are] equivalent to the minimum
    standards . . . for ambulatory surgical centers”). There is
    no apparent basis for the argument that H. B. 2 permitted
    the state health department to grant blanket exemptions.
    Whether there was any real likelihood that clinics would
    be exempted from particular ASC requirements is irrele­
    vant because both petitioners and the Court view the ASC
    requirements as an indivisible whole. Petitioners told the
    Fifth Circuit in unequivocal terms that they were “chal­
    leng[ing] H. B. 2 broadly, with no effort whatsoever to
    parse out specific aspects of the ASC requirement that
    they f[ou]nd onerous or otherwise 
    infirm.” 790 F.3d, at 582
    . Similarly, the majority views all the ASC provisions
    as an indivisible whole. See ante, at 38 (“The statute was
    meant to require abortion facilities to meet the integrated
    surgical-center standards—not some subset thereof ”). On
    this view, petitioners had no reason to wait to see whether
    the Department of State Health Services might exempt
    them from some of the ASC rules. Even if exemptions
    from some of the ASC rules had been granted, petitioners
    and the majority would still maintain that the provision of
    24          WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    H. B. 2 making the ASC rules applicable to abortion facili­
    ties is facially unconstitutional. Thus, exemption from
    some of the ASC requirements would be entirely inconse­
    quential. The Court has no response to this point. See
    ante, at 17.
    For these reasons, petitioners’ facial attack on the ASC
    requirements, like their facial attack on the admitting
    privileges rule, is precluded.
    III
    Even if res judicata did not bar either facial claim, a
    sweeping, statewide injunction against the enforcement of
    the admitting privileges and ASC requirements would still
    be unjustified. Petitioners in this case are abortion clinics
    and physicians who perform abortions. If they were sim­
    ply asserting a constitutional right to conduct a business or
    to practice a profession without unnecessary state regula­
    tion, they would have little chance of success. See, e.g.,
    Williamson v. Lee Optical of Okla., Inc., 
    348 U.S. 483
    (1955). Under our abortion cases, however, they are per­
    mitted to rely on the right of the abortion patients they
    serve. See Doe v. Bolton, 
    410 U.S. 179
    , 188 (1973); but
    see ante, at 2–5 (THOMAS, J., dissenting).
    Thus, what matters for present purposes is not the
    effect of the H. B. 2 provisions on petitioners but the effect
    on their patients. Under our cases, petitioners must show
    that the admitting privileges and ASC requirements
    impose an “undue burden” on women seeking abortions.
    Gonzales v. Carhart, 
    550 U.S. 124
    , 146 (2007). And in
    order to obtain the sweeping relief they seek—facial inval­
    idation of those provisions—they must show, at a mini­
    mum, that these provisions have an unconstitutional
    impact on at least a “large fraction” of Texas women of
    reproductive age.11 
    Id., at 167–168.
    Such a situation
    ——————
    11 The   proper standard for facial challenges is unsettled in the abor­
    Cite as: 579 U. S. ____ (2016)                    25
    ALITO, J., dissenting
    could result if the clinics able to comply with the new
    requirements either lacked the requisite overall capacity
    or were located too far away to serve a “large fraction” of
    the women in question.
    Petitioners did not make that showing. Instead of offer­
    ing direct evidence, they relied on two crude inferences.
    First, they pointed to the number of abortion clinics that
    closed after the enactment of H. B. 2, and asked that it be
    inferred that all these closures resulted from the two
    challenged provisions. See Brief for Petitioners 23–24.
    They made little effort to show why particular clinics
    closed. Second, they pointed to the number of abortions
    performed annually at ASCs before H. B. 2 took effect and,
    because this figure is well below the total number of abor­
    tions performed each year in the State, they asked that it
    be inferred that ASC-compliant clinics could not meet the
    demands of women in the State. See App. 237–238. Peti­
    ——————
    tion context. See 
    Gonzales, 550 U.S., at 167
    –168 (comparing Ohio v.
    Akron Center for Reproductive Health, 
    497 U.S. 502
    , 514 (1990)
    (“[B]ecause appellees are making a facial challenge to a statute, they
    must show that no set of circumstances exists under which the Act
    would be valid” (internal quotation marks omitted)), with 
    Casey, 505 U.S., at 895
    (opinion of the Court) (indicating a spousal-notification
    statute would impose an undue burden “in a large fraction of the cases
    in which [it] is relevant” and holding the statutory provision facially
    invalid)). Like the Court in 
    Gonzales, supra, at 167
    –168, I do not
    decide the question, and use the more plaintiff-friendly “large fraction”
    formulation only because petitioners cannot meet even that test.
    The Court, by contrast, applies the “large fraction” standard without
    even acknowledging the open question. Ante, at 39. In a similar vein,
    it holds that the fraction’s “relevant denominator is ‘those [women] for
    whom [the provision] is an actual rather than an irrelevant re­
    striction.’ ” Ibid. (quoting 
    Casey, 505 U.S., at 895
    ). I must confess that
    I do not understand this holding. The purpose of the large-fraction
    analysis, presumably, is to compare the number of women actually
    burdened with the number potentially burdened. Under the Court’s
    holding, we are supposed to use the same figure (women actually
    burdened) as both the numerator and the denominator. By my math,
    that fraction is always “1,” which is pretty large as fractions go.
    26        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    tioners failed to provide any evidence of the actual capac­
    ity of the facilities that would be available to perform
    abortions in compliance with the new law—even though
    they provided this type of evidence in their first case to the
    District Court at trial and then to this Court in their
    application for interim injunctive relief. Appendix, infra.
    A
    I do not dispute the fact that H. B. 2 caused the closure
    of some clinics. Indeed, it seems clear that H. B. 2 was
    intended to force unsafe facilities to shut down. The law
    was one of many enacted by States in the wake of the
    Kermit Gosnell scandal, in which a physician who ran an
    abortion clinic in Philadelphia was convicted for the first-
    degree murder of three infants who were born alive and
    for the manslaughter of a patient. Gosnell had not been
    actively supervised by state or local authorities or by his
    peers, and the Philadelphia grand jury that investigated
    the case recommended that the Commonwealth adopt a
    law requiring abortion clinics to comply with the same
    regulations as ASCs.12 If Pennsylvania had had such a
    requirement in force, the Gosnell facility may have been
    shut down before his crimes. And if there were any simi­
    larly unsafe facilities in Texas, H. B. 2 was clearly in-
    tended to put them out of business.13
    ——————
    12 Report of Grand Jury in No. 0009901–2008 (1st Jud. Dist. Pa., Jan.
    14, 2011), p. 248–249, online at http://www.phila.gov/districtattorney/
    pdfs/grandjurywomensmedical.pdf (all Internet materials as last visited
    June 24, 2016).
    13 See House Research Org., Laubenberg et al., Bill Analysis 10
    (July 9, 2013), online at http://www.hro.house.state.tx.us/pdf/ba832/
    hb0002.pdf (“Higher standards could prevent the occurrence of a
    situation in Texas like the one recently exposed in Philadelphia, in
    which Dr. Kermit Gosnell was convicted of murder after killing babies
    who were born alive. A patient also died at that substandard clinic”).
    The Court attempts to distinguish the Gosnell horror story by pointing
    Cite as: 579 U. S. ____ (2016)                  27
    ALITO, J., dissenting
    While there can be no doubt that H. B. 2 caused some
    clinics to cease operation, the absence of proof regarding
    the reasons for particular closures is a problem because
    some clinics have or may have closed for at least four
    reasons other than the two H. B. 2 requirements at issue
    here. These are:
    1. H. B. 2’s restriction on medication abortion. In
    their first case, petitioners challenged the provision of
    H. B. 2 that regulates medication abortion, but that
    part of the statute was upheld by the Fifth Circuit
    and not relitigated in this case. The record in this
    case indicates that in the first six months after this
    restriction took effect, the number of medication abor­
    tions dropped by 6,957 (compared to the same period
    the previous year). App. 236.
    2. Withdrawal of Texas family planning funds. In
    2011, Texas passed a law preventing family planning
    grants to providers that perform abortions and their
    affiliates. In the first case, petitioners’ expert admit­
    ted that some clinics closed “as a result of the defund­
    ing,”14 and as discussed below, this withdrawal ap­
    pears specifically to have caused multiple clinic
    closures in West Texas. See infra, at 29, and n. 18.
    3. The nationwide decline in abortion demand. Peti­
    tioners’ expert testimony relies15 on a study from the
    Guttmacher Institute which concludes that “ ‘[t]he na­
    tional abortion rate has resumed its decline, and no
    evidence was found that the overall drop in abortion
    incidence was related to the decrease in providers or to
    ——————
    to differences between Pennsylvania and Texas law. See ante, at 27–
    28. But Texas did not need to be in Pennsylvania’s precise position for
    the legislature to rationally conclude that a similar law would be
    helpful.
    14 Rebuttal Decl. of Dr. Joseph E. Potter, Doc. 76–2, p. 12, ¶32, in
    Abbott (WD Tex., Oct. 18, 2013) (Potter Rebuttal Decl.).
    15 See App. 234, 237, 253.
    28         WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    restrictions implemented between 2008 and 2011.’ ”
    App. 1117 (direct testimony of Dr. Peter Uhlenberg)
    (quoting R. Jones & J. Jerman, Abortion Incidence
    and Service Availability In the United States, 2011,
    46 Perspectives on Sexual and Reproductive Health 3
    (2014); emphasis in testimony). Consistent with that
    trend, “[t]he number of abortions to residents of Texas
    declined by 4,956 between 2010 and 2011 and by
    3,905 between 2011 and 2012.” App. 1118.
    4. Physician retirement (or other localized factors).
    Like everyone else, most physicians eventually retire,
    and the retirement of a physician who performs abor­
    tions can cause the closing of a clinic or a reduction in
    the number of abortions that a clinic can perform.
    When this happens, the closure of the clinic or the re­
    duction in capacity cannot be attributed to H. B. 2 un­
    less it is shown that the retirement was caused by the
    admitting privileges or surgical center requirements
    as opposed to age or some other factor.
    At least nine Texas clinics may have ceased performing
    abortions (or reduced capacity) for one or more of the
    reasons having nothing to do with the provisions chal­
    lenged here. For example, in their first case, petitioners
    alleged that the medication-abortion restriction would
    cause at least three medication-only abortion clinics to
    cease performing abortions,16 and they predicted that
    “[o]ther facilities that offer both surgical and medication
    abortion will be unable to offer medication abortion,”17
    presumably reducing their capacity. It also appears that
    several clinics (including most of the clinics operating in
    West Texas, apart from El Paso) closed in response to the
    ——————
    16 Complaint  and Application for Preliminary and Permanent Injunc­
    tion in Abbott (WD Tex.), ¶¶10, 11 (listing one clinic in Stafford and two
    in San Antonio).
    17 
    Id., ¶88. Cite
    as: 579 U. S. ____ (2016)                    29
    ALITO, J., dissenting
    unrelated law restricting the provision of family planning
    funds.18 And there is reason to question whether at least
    two closures (one in Corpus Christi and one in Houston)
    may have been prompted by physician retirements.19
    Neither petitioners nor the District Court properly
    addressed these complexities in assessing causation—and
    for no good reason. The total number of abortion clinics in
    the State was not large. Petitioners could have put on
    evidence (as they did for 27 individual clinics in their first
    case, see Appendix, infra) about the challenged provisions’
    role in causing the closure of each clinic,20 and the court
    could have made a factual finding as to the cause of each
    ——————
    18 In  the first case, petitioners apparently did not even believe that
    the abortion clinics in Abilene, Bryan, Midland, and San Angelo were
    made to close because of H. B. 2. In that case, petitioners submitted a
    list of 15 clinics they believed would close (or have severely limited
    capacity) because of the admitting privileges requirement—and those
    four West Texas clinics are not on the list. See Appendix, infra. And at
    trial, a Planned Parenthood executive specifically testified that the
    Midland clinic closed because of the funding cuts and because the
    clinic’s medical director retired. See 1 Tr. 91, 93, in Abbott (WD Tex.,
    Oct. 21, 2013). Petitioners’ list and Planned Parenthood’s testimony
    both fit with petitioners’ expert’s admission in the first case that some
    clinics closed “as a result of the defunding.” Potter Rebuttal Decl. ¶32.
    19 See Stoelje, Abortion Clinic Closes in Corpus Christi, San Antonio
    Express-News (June 10, 2014), online at http://www.mysanantonio.com/
    news/local/ article/Abortion-clinic-closes-in-Corpus-Christi-5543125.php
    (provider “retiring for medical reasons”); 1 Plaintiffs’ Exh. 18, p. 2, in
    Whole Woman’s Health v. Lakey, No. 1:14–cv–284 (WD Tex., admitted
    into evidence Aug. 4, 2014) (e-mail stating Houston clinic owner “is
    retiring his practice”). Petitioners should have been required to put on
    proof about the reason for the closure of particular clinics. I cite the
    extrarecord Corpus Christi story only to highlight the need for such
    proof.
    20 This kind of evidence was readily available; in fact, petitioners
    deposed at least one nonparty clinic owner about the burden posed by
    H. B. 2. See App. 1474. And recall that in their first case, petitioners
    put on evidence purporting to show how the admitting privileges
    requirement would (or would not) affect 27 clinics. See Appendix, infra
    (petitioners’ chart of clinics).
    30        WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    closure.
    Precise findings are important because the key issue
    here is not the number or percentage of clinics affected,
    but the effect of the closures on women seeking abortions,
    i.e., on the capacity and geographic distribution of clinics
    used by those women. To the extent that clinics closed (or
    experienced a reduction in capacity) for any reason unre­
    lated to the challenged provisions of H. B. 2, the corre­
    sponding burden on abortion access may not be factored
    into the access analysis. Because there was ample reason
    to believe that some closures were caused by these other
    factors, the District Court’s failure to ascertain the rea­
    sons for clinic closures means that, on the record before us,
    there is no way to tell which closures actually count.
    Petitioners—who, as plaintiffs, bore the burden of proof—
    cannot simply point to temporal correlation and call it
    causation.
    B
    Even if the District Court had properly filtered out
    immaterial closures, its analysis would have been incom­
    plete for a second reason. Petitioners offered scant evi­
    dence on the capacity of the clinics that are able to comply
    with the admitting privileges and ASC requirements, or
    on those clinics’ geographic distribution. Reviewing the
    evidence in the record, it is far from clear that there has
    been a material impact on access to abortion.
    On clinic capacity, the Court relies on petitioners’ expert
    Dr. Grossman, who compared the number of abortions
    performed at Texas ASCs before the enactment of H. B. 2
    (about 14,000 per year) with the total number of abortions
    per year in the State (between 60,000–70,000 per year).
    Ante, at 32–33.21 Applying what the Court terms “common
    ——————
    21 In the first case, petitioners submitted a report that Dr. Grossman
    coauthored with their testifying expert, Dr. Potter. 1 Tr. 38 in Lakey
    (Aug. 4, 2014) (Lakey Tr.). That report predicted that “the shortfall in
    Cite as: 579 U. S. ____ (2016)                    31
    ALITO, J., dissenting
    sense,” the Court infers that the ASCs that performed
    abortions at the time of H. B. 2’s enactment lacked the
    capacity to perform all the abortions sought by women in
    Texas.
    The Court’s inference has obvious limitations. First, it
    is not unassailable “common sense” to hold that current
    utilization equals capacity; if all we know about a grocery
    store is that it currently serves 200 customers per week,
    ante, at 33, that fact alone does not tell us whether it is an
    ——————
    capacity due to the admitting privileges requirement will prevent at
    least 22,286 women” from accessing abortion. Decl. of Dr. Joseph E.
    Potter, Doc. 9–8, p. 4, in Abbott (WD Tex., Oct. 1, 2013). The methodol­
    ogy used was questionable. See Potter Rebuttal Decl. ¶18. As Dr.
    Potter admitted: “There’s no science there. It’s just evidence.” 2 Tr. 23
    in Abbott (WD Tex., Oct. 22, 2013). And in this case, in fact, Dr.
    Grossman admitted that their prediction turned out to be wildly
    inaccurate. Specifically, he provided a new figure (approximately
    9,200) that was less than half of his earlier prediction. 1 Lakey Tr. 41.
    And he then admitted that he had not proven any causal link between
    the admitting privileges requirement and that smaller decline. 
    Id., at 54
    (quoting Grossman et al., Change in Abortion Services After Imple­
    mentation of a Restrictive Law in Texas, 90 Contraception 496, 500
    (2014)).
    Dr. Grossman’s testimony in this case, furthermore, suggested that
    H. B. 2’s restriction on medication abortion (whose impact on clinics
    cannot be attributed to the provisions challenged in this case) was a
    major cause in the decline in the abortion rate. After the medication
    abortion restriction and admitting privileges requirement took effect,
    over the next six months the number of medication abortions dropped
    by 6,957 compared to the same period in the previous year. See App.
    236. The corresponding number of surgical abortions rose by 2,343.
    See 
    ibid. If that net
    decline of 4,614 in six months is doubled to approx­
    imate the annual trend (which is apparently the methodology Dr.
    Grossman used to arrive at his 9,200 figure, see 90 
    Contraception, supra, at 500
    ), then the year’s drop of 9,228 abortions seems to be
    entirely the product of the medication abortion restriction. Taken
    together, these figures make it difficult to conclude that the admitting
    privileges requirement actually depressed the abortion rate at all.
    In light of all this, it is unclear why the Court takes Dr. Grossman’s
    testimony at face value.
    32         WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    overcrowded minimart or a practically empty supermar­
    ket. Faced with increased demand, ASCs could potentially
    increase the number of abortions performed without pro­
    hibitively expensive changes. Among other things, they
    might hire more physicians who perform abortions,22
    utilize their facilities more intensively or efficiently, or
    shift the mix of services provided. Second, what matters
    for present purposes is not the capacity of just those ASCs
    that performed abortions prior to the enactment of H. B. 2
    but the capacity of those that would be available to per­
    form abortions after the statute took effect. And since the
    enactment of H. B. 2, the number of ASCs performing
    abortions has increased by 50%—from six in 2012 to nine
    today.23
    The most serious problem with the Court’s reasoning is
    that its conclusion is belied by petitioners’ own submis­
    sions to this Court. In the first case, when petitioners
    asked this Court to vacate the Fifth Circuit’s stay of the
    District Court’s injunction of the admitting privileges
    ——————
    22 The Court asserts that the admitting privileges requirement is a
    bottleneck on capacity, ante, at 34, but it musters no evidence and does
    not even dispute petitioners’ own evidence that the admitting privileges
    requirement may have had zero impact on the Texas abortion rate, n.
    
    21, supra
    .
    23 See Brief for Petitioners 23–24 (six centers in 2012, compared with
    nine today). Two of the three new surgical centers opened since this
    case was filed are operated by Planned Parenthood (which now owns
    five of the nine surgical centers in the State). See App. 182–183, 1436.
    Planned Parenthood is obviously able to comply with the challenged
    H. B. 2 requirements. The president of petitioner Whole Woman’s
    Health, a much smaller entity, has complained that Planned
    Parenthood “ ‘put[s] local independent businesses in a tough situation.’ ”
    Simon, Planned Parenthood Hits Suburbia, Wall Street Journal Online
    (June 23, 2008) (cited in Brief for CitizenLink et al. as Amici Curiae
    15–16, and n. 23). But as noted, petitioners in this case are not assert­
    ing their own rights but those of women who wish to obtain an abor­
    tion, 
    see supra, at 2
    4, and thus the effect of the H. B. 2 requirements on
    petitioners’ business and professional interests are not relevant.
    Cite as: 579 U. S. ____ (2016)                    33
    ALITO, J., dissenting
    requirement pending appeal, they submitted a chart
    previously provided in the District Court that detailed the
    capacity of abortion clinics after the admitting privileges
    requirement was to take effect.24 This chart is included as
    an Appendix to this opinion.25 Three of the facilities listed
    on the chart were ASCs, and their capacity was shown as
    follows:
     Southwestern Women’s Surgery Center in Dallas
    was said to have the capacity for 5,720 abortions a
    year (110 per week);
     Planned Parenthood Surgical Health Services Cen­
    ter in Dallas was said to have the capacity for 6,240
    abortions a year (120 per week); and
    ——————
    24 See Appendix, infra. The Court apparently brushes off this evi­
    dence as “outside the record,” ante, at 35, but it was filed with this
    Court by the same petitioners in litigation closely related to this case.
    And “we may properly take judicial notice of the record in that litiga­
    tion between the same parties who are now before us.” Shuttlesworth
    v. Birmingham, 
    394 U.S. 147
    , 157 (1969); see also, e.g., United States
    v. Pink, 
    315 U.S. 203
    , 216 (1942); Freshman v. Atkins, 
    269 U.S. 121
    ,
    124 (1925).
    25 The chart lists the 36 abortion clinics apparently open at the time
    of trial, and identifies the “Capacity after Privileges Requirement” for
    27 of those clinics. Of those 27 clinics, 24 were owned by plaintiffs in
    the first case, and 3 (Coastal Birth Control Center, Hill Top Women’s
    Reproductive Health Services, and Harlingen Reproductive Services)
    were owned by nonparties. It is unclear why petitioners’ chart did not
    include capacity figures for the other nine clinics (also owned by
    non-parties). Under Federal Rule of Civil Procedure 30(b)(6), petition­
    ers should have been able to depose representatives of those clinics to
    determine those clinics’ capacity and their physicians’ access to admit­
    ting privileges. In the present case, petitioners in fact deposed at least
    one such nonparty clinic owner, whose testimony revealed that he was
    able to comply with the admitting privileges requirement. See App.
    1474 (testimony of El Paso abortion clinic owner, confirming that he
    possesses admitting privileges “at every hospital in El Paso” (filed
    under seal)). The chart states that 14 of those clinics would not be able
    to perform abortions if the requirement took effect, and that another
    clinic would have “severely limited” capacity. See Appendix, infra.
    34         WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
     Planned Parenthood Center for Choice in Houston
    was said to have the capacity for 9,100 abortions a
    year (175 per week).26 See Appendix, infra.
    The average capacity of these three ASCs was 7,020
    abortions per year.27 If the nine ASCs now performing
    abortions in Texas have the same average capacity, they
    have a total capacity of 63,180. Add in the assumed capac­
    ity for two other clinics that are operating pursuant to the
    judgment of the Fifth Circuit (over 3,100 abortions per
    year),28 and the total for the State is 66,280 abortions per
    year. That is comparable to the 68,298 total abortions
    performed in Texas in 2012, the year before H. B. 2 was
    enacted, App. 236,29 and well in excess of the abortion rate
    ——————
    26 The Court nakedly asserts that this clinic “does not represent most
    facilities.” Ante, at 35. Given that in this case petitioners did not
    introduce evidence on “most facilities,” I have no idea how the Court
    arrives at this conclusion.
    27 The Court chides me, ante, at 35, for omitting the Whole Woman’s
    Health ASC in San Antonio from this average. As of the Abbott trial in
    2013, that ASC’s capacity was (allegedly) to be “severely limited” by the
    admitting privileges requirement. See Appendix, infra (listing “Capacity
    after Privileges Requirement”). But that facility came into compli­
    ance with that requirement a few months later, see Letter from J.
    Crepps to L. Cayce, Clerk of Court in Abbott (CA5, Jan. 3, 2014), so its
    precompliance capacity is irrelevant here.
    28 Petitioner Whole Woman’s Health performed over 14,000 abortions
    over 10 years in McAllen. App. 128. Petitioner Nova Health Systems
    performed over 17,000 abortions over 10 years in El Paso. 
    Id., at 129.
    (And as I explain at n. 33, infra, either Nova Health Systems or an­
    other abortion provider will be open in the El Paso area however this
    case is decided.)
    29 This conclusion is consistent with public health statistics offered by
    petitioners. These statistics suggest that ASCs have a much higher
    capacity than other abortion facilities. In 2012, there were 14,361
    abortions performed by six surgical centers, meaning there were 2,394
    abortions per center. See Brief for Petitioners 23; App. 236. In 2012,
    there were approximately 35 other abortion clinics operating in Texas,
    see 
    id., at 228
    (41 total clinics as of Nov. 1, 2012), which performed
    53,937 abortions, 
    id., at 236
    (68,298 total minus 14,361 performed in
    surgical centers). On average, those other clinics each performed
    Cite as: 579 U. S. ____ (2016)                  35
    ALITO, J., dissenting
    one would expect—59,070—if subtracting the apparent
    impact of the medication abortion restriction, see n. 
    21, supra
    .
    To be clear, I do not vouch for the accuracy of this calcu­
    lation. It might be too high or too low. The important
    point is that petitioners put on evidence of actual clinic
    capacity in their earlier case, and there is no apparent
    reason why they could not have done the same here.
    Indeed, the Court asserts that, after the admitting privi­
    leges requirement took effect, clinics “were not able to
    accommodate increased demand,” ante, at 35, but petition­
    ers’ own evidence suggested that the requirement had no
    effect on capacity, see n. 
    21, supra
    . On this point, like the
    question of the reason for clinic closures, petitioners did
    not discharge their burden, and the District Court did not
    engage in the type of analysis that should have been con­
    ducted before enjoining an important state law.
    So much for capacity. The other30 potential obstacle to
    abortion access is the distribution of facilities throughout
    the State. This might occur if the two challenged H. B. 2
    requirements, by causing the closure of clinics in some
    rural areas, led to a situation in which a “large fraction”31
    of women of reproductive age live too far away from any
    open clinic. Based on the Court’s holding in Planned
    Parenthood of Southeastern Pa. v. Casey, 
    505 U.S. 833
    , it
    appears that the need to travel up to 150 miles is not an
    undue burden,32 and the evidence in this case shows that
    ——————
    53,937÷35=1,541 abortions per year. So surgical centers in 2012
    performed 55% more abortions per facility (2,394 abortions) than the
    average (1,541) for other clinics.
    30 The Court also gives weight to supposed reductions in “individual­
    ized attention, serious conversation, and emotional support” in its
    undue-burden analysis. Ante, at 36. But those “facts” are not in the
    record, so I have no way of addressing them.
    31 See n. 
    11, supra
    .
    32 The District Court in Casey found that 42% of Pennsylvania women
    “must travel for at least one hour, and sometimes longer than three
    36         WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    if the only clinics in the State were those that would have
    remained open if the judgment of the Fifth Circuit had not
    been enjoined, roughly 95% of the women of reproductive
    age in the State would live within 150 miles of an open
    facility (or lived outside that range before H. B. 2).33
    Because the record does not show why particular facilities
    closed, the real figure may be even higher than 95%.
    We should decline to hold that these statistics justify
    the facial invalidation of the H. B. 2 requirements. The
    ——————
    hours, to obtain an abortion from the nearest provider.” 
    744 F. Supp. 1323
    , 1352 (ED Pa. 1990), aff’d in part, rev’d in part, 
    947 F.2d 682
    (CA3 1991), aff’d in part, rev’d in part, 
    505 U.S. 833
    (1992). In that
    case, this Court recognized that the challenged 24-hour waiting period
    would require some women to make that trip twice, and yet upheld the
    law regardless. See 
    id., at 886–887.
       33 Petitioners’ expert testified that 82.5% of Texas women of reproduc­
    tive age live within 150 miles of a Texas surgical center that provides
    abortions. See App. 242 (930,000 women living more than 150 miles
    away), 244 (5,326,162 women total). The State’s expert further testi­
    fied, without contradiction, that an additional 6.2% live within 150
    miles of the McAllen facility, and another 3.3% within 150 miles of an
    El Paso-area facility. 
    Id., at 921–922.
    (If the Court did not award
    statewide relief, I assume it would instead either conclude that the
    availability of abortion on the New Mexico side of the El Paso metropol­
    itan area satisfies the Constitution, or it would award as-applied relief
    allowing petitioner Nova Health Systems to remain open in El Paso.
    Either way, the 3.3% figure would remain the same, because Nova’s
    clinic and the New Mexico facility are so close to each other. See 
    id., at 913,
    916, 921 (only six women of reproductive age live within 150 miles
    of Nova’s clinic but not New Mexico clinic).) Together, these percent­
    ages add up to 92.0% of Texas women of reproductive age.
    Separately, the State’s expert also testified that 2.9% of women of
    reproductive age lived more than 150 miles from an abortion clinic
    before H. B. 2 took effect. 
    Id., at 916.
       So, at most, H. B. 2 affects no more than (100%-2.9%)-92.0%=5.1% of
    women of reproductive age. Also recall that many rural clinic closures
    appear to have been caused by other developments—indeed, petitioners
    seemed to believe that themselves—and have certainly not been shown
    to be caused by the provisions challenged here. 
    See supra, at 29
    , and
    n. 18. So the true impact is almost certainly smaller than 5.1%.
    Cite as: 579 U. S. ____ (2016)          37
    ALITO, J., dissenting
    possibility that the admitting privileges requirement
    might have caused a closure in Lubbock is no reason to
    issue a facial injunction exempting Houston clinics from
    that requirement. I do not dismiss the situation of those
    women who would no longer live within 150 miles of a
    clinic as a result of H. B. 2. But under current doctrine
    such localized problems can be addressed by narrow as-
    applied challenges.
    IV
    Even if the Court were right to hold that res judicata
    does not bar this suit and that H. B. 2 imposes an undue
    burden on abortion access—it is, in fact, wrong on both
    counts—it is still wrong to conclude that the admitting
    privileges and surgical center provisions must be enjoined
    in their entirety. H. B. 2 has an extraordinarily broad
    severability clause that must be considered before enjoin­
    ing any portion or application of the law. Both challenged
    provisions should survive in substantial part if the Court
    faithfully applies that clause. Regrettably, it enjoins both
    in full, heedless of the (controlling) intent of the state
    legislature. Cf. Leavitt v. Jane L., 
    518 U.S. 137
    , 139
    (1996) (per curiam) (“Severability is of course a matter of
    state law”).
    A
    Applying H. B. 2’s severability clause to the admitting
    privileges requirement is easy. Simply put, the require­
    ment must be upheld in every city in which its application
    does not pose an undue burden. It surely does not pose
    that burden anywhere in the eastern half of the State,
    where most Texans live and where virtually no woman of
    reproductive age lives more than 150 miles from an open
    clinic. See App. 242, 244 (petitioners’ expert testimony
    that 82.5% of Texas women of reproductive age live within
    150 miles of open clinics in Austin, Dallas, Fort Worth,
    38         WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    Houston, and San Antonio). (Unfortunately, the Court
    does not address the State’s argument to this effect. See
    Brief for Respondents 51.) And petitioners would need to
    show that the requirement caused specific West Texas
    clinics to close (but 
    see supra, at 2
    9, and n. 18) before they
    could be entitled to an injunction tailored to address those
    closures.
    B
    Applying severability to the surgical center requirement
    calls for the identification of the particular provisions of
    the ASC regulations that result in the imposition of an
    undue burden. These regulations are lengthy and de­
    tailed, and while compliance with some might be expen­
    sive, compliance with many others would not. And many
    serve important health and safety purposes. Thus, the
    surgical center requirements cannot be judged as a pack­
    age. But the District Court nevertheless held that all the
    surgical center requirements are unconstitutional in all
    cases, and the Court sustains this holding on grounds that
    are hard to take seriously.
    When the Texas Legislature passed H. B. 2, it left no
    doubt about its intent on the question of severability. It
    included a provision mandating the greatest degree of
    severability possible. The full provision is reproduced
    below,34 but it is enough to note that under this provision
    ——————
    34 The  severability provision states:
    “(a) If some or all of the provisions of this Act are ever temporarily or
    permanently restrained or enjoined by judicial order, all other provi­
    sions of Texas law regulating or restricting abortion shall be enforced
    as though the restrained or enjoined provisions had not been adopted;
    provided, however, that whenever the temporary or permanent re­
    straining order or injunction is stayed or dissolved, or otherwise ceases
    to have effect, the provisions shall have full force and effect.
    “(b) Mindful of Leavitt v. Jane L., 
    518 U.S. 137
    (1996), in which in
    the context of determining the severability of a state statute regulating
    abortion the United States Supreme Court held that an explicit state­
    Cite as: 579 U. S. ____ (2016)                       39
    ALITO, J., dissenting
    “every provision, section, subsection, sentence, clause,
    phrase, or word in this Act, and every application of the
    provisions in this Act, are severable from each other.”
    H. B. 2, §10(b), App. to Pet. for Cert. 200a. And to drive
    home the point about the severability of applications of the
    law, the provision adds:
    “If any application of any provision in this Act to any
    person, group of persons, or circumstances is found by
    a court to be invalid, the remaining applications of
    that provision to all other persons and circumstances
    shall be severed and may not be affected. All consti­
    tutionally valid applications of this Act shall be sev­
    ——————
    ment of legislative intent is controlling, it is the intent of the legislature
    that every provision, section, subsection, sentence, clause, phrase, or
    word in this Act, and every application of the provisions in this Act, are
    severable from each other. If any application of any provision in this
    Act to any person, group of persons, or circumstances is found by a
    court to be invalid, the remaining applications of that provision to all
    other persons and circumstances shall be severed and may not be
    affected. All constitutionally valid applications of this Act shall be
    severed from any applications that a court finds to be invalid, leaving
    the valid applications in force, because it is the legislature’s intent and
    priority that the valid applications be allowed to stand alone. Even if a
    reviewing court finds a provision of this Act to impose an undue burden
    in a large or substantial fraction of relevant cases, the applications that
    do not present an undue burden shall be severed from the remaining
    provisions and shall remain in force, and shall be treated as if the
    legislature had enacted a statute limited to the persons, group of
    persons, or circumstances for which the statute’s application does not
    present an undue burden. The legislature further declares that it
    would have passed this Act, and each provision, section, subsection,
    sentence, clause, phrase, or word, and all constitutional applications of
    this Act, irrespective of the fact that any provision, section, subsection,
    sentence, clause, phrase, or word, or applications of this Act, were to be
    declared unconstitutional or to represent an undue burden.
    “(c) [omitted—applies to late-term abortion ban only]
    “(d) If any provision of this Act is found by any court to be unconstitu­
    tionally vague, then the applications of that provision that do not
    present constitutional vagueness problems shall be severed and remain
    in force.” H. B. 2, §10, App. to Pet. for Cert. 199a–201a.
    40       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    ered from any applications that a court finds to be in­
    valid, leaving the valid applications in force, because
    it is the legislature’s intent and priority that the valid
    applications be allowed to stand alone.” 
    Ibid. This provision indisputably
    requires that all surgical
    center regulations that are not themselves unconstitutional
    be left standing. Requiring an abortion facility to com-
    ply with any provision of the regulations applicable to
    surgical centers is an “application of the provision” of H. B.
    2 that requires abortion clinics to meet surgical center
    standards. Therefore, if some such applications are un­
    constitutional, the severability clause plainly requires that
    those applications be severed and that the rest be left
    intact.
    How can the Court possibly escape this painfully obvi­
    ous conclusion? Its main argument is that it need not
    honor the severability provision because doing so would be
    too burdensome. See ante, at 38. This is a remarkable
    argument.
    Under the Supremacy Clause, federal courts may strike
    down state laws that violate the Constitution or conflict
    with federal statutes, Art. VI, cl. 2, but in exercising this
    power, federal courts must take great care. The power to
    invalidate a state law implicates sensitive federal-state
    relations. Federal courts have no authority to carpet-
    bomb state laws, knocking out provisions that are per-
    fectly consistent with federal law, just because it would be
    too much bother to separate them from unconstitutional
    provisions.
    In any event, it should not have been hard in this case
    for the District Court to separate any bad provisions from
    the good. Petitioners should have identified the particular
    provisions that would entail what they regard as an undue
    expense, and the District Court could have then concen­
    trated its analysis on those provisions. In fact, petitioners
    Cite as: 579 U. S. ____ (2016)            41
    ALITO, J., dissenting
    did do this in their trial brief, Doc. 185, p. 8 in Lakey (Aug.
    12, 2014) (“It is the construction and nursing require­
    ments that form the basis of Plaintiffs’ challenge”), but
    they changed their position once the District Court awarded
    blanket relief, 
    see 790 F.3d, at 582
    (petitioners told the
    Fifth Circuit that they “challenge H. B. 2 broadly, with no
    effort whatsoever to parse out specific aspects of the ASC
    requirement that they find onerous or otherwise infirm”).
    In its own review of the ASC requirement, in fact, the
    Court follows petitioners’ original playbook and focuses on
    the construction and nursing requirements as well. See
    ante, at 28–29 (detailed walkthrough of Tex. Admin. Code,
    tit. 25, §§135.15 (2016) (nursing), 135.52 (construction)). I
    do not see how it “would inflict enormous costs on both
    courts and litigants,” ante, at 38, to single out the ASC
    regulations that this Court and petitioners have both
    targeted as the core of the challenge.
    By forgoing severability, the Court strikes down numer­
    ous provisions that could not plausibly impose an undue
    burden. For example, surgical center patients must “be
    treated with respect, consideration, and dignity.” Tex.
    Admin. Code, tit. 25, §135.5(a). That’s now enjoined.
    Patients may not be given misleading “advertising regard­
    ing the competence and/or capabilities of the organiza­
    tion.” §135.5(g). Enjoined. Centers must maintain fire
    alarm      and    emergency       communications       systems,
    §§135.41(d), 135.42(e), and eliminate “[h]azards that
    might lead to slipping, falling, electrical shock, burns,
    poisoning, or other trauma,” §135.10(b). Enjoined and
    enjoined. When a center is being remodeled while still in
    use, “[t]emporary sound barriers shall be provided where
    intense, prolonged construction noises will disturb pa­
    tients or staff in the occupied portions of the building.”
    §135.51(b)(3)(B)(vi). Enjoined. Centers must develop and
    enforce policies concerning teaching and publishing by
    staff. §§135.16(a), (c). Enjoined. They must obtain in­
    42       WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO, J., dissenting
    formed consent before doing research on patients.
    §135.17(e). Enjoined. And each center “shall develop, im-
    plement[,] and maintain an effective, ongoing, organization-
    wide, data driven patient safety program.” §135.27(b).
    Also enjoined. These are but a few of the innocuous re­
    quirements that the Court invalidates with nary a wave of
    the hand.
    Any responsible application of the H. B. 2 severability
    provision would leave much of the law intact. At a mini­
    mum, both of the requirements challenged here should be
    held constitutional as applied to clinics in any Texas city
    that will have a surgical center providing abortions (i.e.,
    those areas in which there cannot possibly have been an
    undue burden on abortion access). Moreover, as even the
    District Court found, the surgical center requirement is
    clearly constitutional as to new abortion facilities and
    facilities already licensed as surgical centers. Whole
    Woman’s Health v. Lakey, 
    46 F. Supp. 3d 673
    , 676 (WD
    Tex. 2014). And we should uphold every application of
    every surgical center regulation that does not pose an
    undue burden—at the very least, all of the regulations as
    to which petitioners have never made a specific complaint
    supported by specific evidence. The Court’s wholesale
    refusal to engage in the required severability analysis
    here revives the “antagonistic ‘canon of construction under
    which in cases involving abortion, a permissible reading of
    a statute is to be avoided at all costs.’ ” 
    Gonzales, 550 U.S., at 153
    –154 (quoting Stenberg v. Carhart, 
    530 U.S. 914
    , 977 (2000) (KENNEDY, J., dissenting); some internal
    quotation marks omitted).
    If the Court is unwilling to undertake the careful sever-
    ability analysis required, that is no reason to strike down
    all applications of the challenged provisions. The proper
    course would be to remand to the lower courts for a remedy
    tailored to the specific facts shown in this case, to “try to
    limit the solution to the problem.” Ayotte v. Planned
    Cite as: 579 U. S. ____ (2016)          43
    ALITO, J., dissenting
    Parenthood of Northern New Eng., 
    546 U.S. 320
    , 328
    (2006).
    V
    When we decide cases on particularly controversial
    issues, we should take special care to apply settled proce­
    dural rules in a neutral manner. The Court has not done
    that here.
    I therefore respectfully dissent.
    44      WHOLE WOMAN’S HEALTH v. HELLERSTEDT
    ALITO
    Appendix to, J., dissenting
    opinion  of ALITO, J.
    APPENDIX
    App. K to Emergency Application To Vacate Stay in O. T.
    2013, No. 13A452, Plaintiffs’ Trial Exh. 46
    

Document Info

Docket Number: 15–274.

Citation Numbers: 136 S. Ct. 2292, 195 L. Ed. 2d 665

Judges: Breyer, Ginsburg, Thomas

Filed Date: 6/27/2016

Precedential Status: Precedential

Modified Date: 10/19/2024

Authorities (70)

Lawlor v. National Screen Service Corp. , 75 S. Ct. 865 ( 1955 )

Commissioner v. Sunnen , 68 S. Ct. 715 ( 1948 )

Matter of Connors , 255 Ill. App. 3d 781 ( 1994 )

In Re Marriage of Shaddle , 317 Ill. App. 3d 428 ( 2000 )

Baltimore Steamship Co. v. Phillips , 47 S. Ct. 600 ( 1927 )

Nashville, Chattanooga & St. Louis Railway v. Walters , 55 S. Ct. 486 ( 1935 )

Singleton v. Wulff , 96 S. Ct. 2868 ( 1976 )

Poelker v. Doe , 97 S. Ct. 2391 ( 1977 )

Harris v. McRae , 100 S. Ct. 2671 ( 1980 )

United States v. Stuart , 109 S. Ct. 1183 ( 1989 )

Hodgson v. Minnesota , 110 S. Ct. 2926 ( 1990 )

Planned Parenthood of Southeastern Pa. v. Casey , 112 S. Ct. 2791 ( 1992 )

Daubert v. Merrell Dow Pharmaceuticals, Inc. , 113 S. Ct. 2786 ( 1993 )

Mazurek v. Armstrong , 117 S. Ct. 1865 ( 1997 )

Reno v. American Civil Liberties Union , 117 S. Ct. 2329 ( 1997 )

National Bank of Louisville v. Stone, Auditor , 19 S. Ct. 759 ( 1899 )

Clark v. Kansas City , 20 S. Ct. 284 ( 1900 )

In Re Marriage of Pedersen , 237 Ill. App. 3d 952 ( 1992 )

international-union-of-operating-engineers-employers-construction-industry , 994 F.2d 1426 ( 1993 )

Buckley v. Valeo , 96 S. Ct. 612 ( 1976 )

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