Colleen Reilly v. City of Harrisburg , 858 F.3d 173 ( 2017 )


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  •                                        PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    ________________
    No. 16-3722
    ________________
    COLLEEN REILLY; BECKY BITER;
    ROSALIE GROSS
    v.
    CITY OF HARRISBURG;
    HARRISBURG CITY COUNSEL;
    MAYOR ERIC PAPENFUSE, In his Official capacity as
    Mayor of Harrisburg
    Colleen Reilly; Becky Biter,
    Appellants
    ________________
    Appeal from the United States District Court
    for the Middle District of Pennsylvania
    (D.C. Civil Action No. 1-16-cv-00510)
    District Judge: Honorable Sylvia H. Rambo
    ________________
    Argued March 21, 2017
    Before: AMBRO, JORDAN, and ROTH, Circuit Judges
    Mary E. McAlister, Esquire
    Liberty Counsel
    P.O. Box 11108
    Lynchburg, VA 24506
    Mathew D. Staver, Esquire
    Horatio G. Mihet, Esquire (Argued)
    Liberty Counsel
    P.O. Box 540774
    Orlando, FL 32854
    Counsel for Appellants
    Joshua M. Autry, Esquire (Argued)
    Frank J. Lavery, Jr., Esquire
    Lavery Faherty Petterson
    225 Market Street
    Suite 304, P.O. Box 1245
    Harrisburg, PA 17108
    Counsel for Appellees
    (Opinion filed: May 25, 2017)
    ________________
    OPINION OF THE COURT
    ________________
    AMBRO, Circuit Judge
    The case before us is a familiar one: a constitutional
    challenge to a city ordinance that Plaintiffs Colleen Reilly and
    2
    Becky Biter allege impermissibly restricts their right to
    protest in the vicinity of abortion clinics.1 In addition to
    challenging the ordinance, Plaintiffs sought a preliminary
    injunction to enjoin its enforcement, which was denied.
    Because the claims are still before the District Court, we need
    not review their merit. However, we clarify the analysis
    needed in considering requests for preliminary injunctions,
    and thus we remand.
    I. BACKGROUND
    The City of Harrisburg, Pennsylvania, issued an
    ordinance that prohibits persons to “knowingly congregate,
    patrol, picket or demonstrate in a zone extending 20 feet from
    any portion of an entrance to, exit from, or driveway of a
    health care facility.” Harrisburg, Pa. Mun. Code § 3-371.4A.
    The stated purpose of the ordinance is to “promote the health
    and welfare of [Harrisburg] residents and visitors to [its]
    health care facilities, as well as the health and welfare of
    those who may wish to voice their constitutionally protected
    speech outside of such health care facilities . . . .” Id. § 3-
    371.2C. But for those exempted (e.g., police and employees
    of the health care facility), the ordinance “appl[ies] to all
    persons equally regardless of the intent of their conduct or the
    content of their speech.” Id. § 3-371.4.
    Plaintiffs are individuals purporting to provide
    “sidewalk counseling” to those entering abortion clinics by
    way of leafletting, prayer, and conversation in attempts to
    dissuade patients from getting abortions. Plaintiffs argue that
    the ordinance creates unconstitutional “buffer zones” that
    render impossible their ability to engage effectively in
    1
    Rosalie Gross was also a Plaintiff in the action
    below, but has voluntarily dismissed her claims without
    prejudice and does not join this appeal.
    3
    counseling. They claim that the ordinance violates their First
    Amendment rights to speak freely, exercise their religion, and
    assemble, as well as their Fourteenth Amendment due process
    and equal protection rights. As noted, they also sought a
    preliminary injunction to enjoin enforcement of the
    ordinance.
    Plaintiffs made several facial and as-applied
    challenges to the ordinance, some dismissed by the District
    Court though most remain. The Court determined that the
    ordinance was content-neutral because it did not define or
    regulate speech by subject-matter or purpose, and thus
    intermediate scrutiny applied. Under this tier of scrutiny, the
    Court reasoned that it must accept as true (for the purposes of
    a motion to dismiss) Plaintiffs’ claims that the City did not
    consider less restrictive alternatives to the ordinance, and thus
    it allowed their claims to proceed to discovery. However, in
    considering whether to grant preliminary injunctive relief, the
    Court ruled that Plaintiffs did not bear their burden of
    demonstrating that they were likely to succeed on the merits,
    and for that reason alone it denied the temporary relief
    sought.
    II. JURISDICTION AND STANDARD OF REVIEW
    The District Court had federal question subject matter
    jurisdiction under 
    28 U.S.C. §§ 1331
     and 1343(a). We have
    jurisdiction over interlocutory orders of a district court
    granting or denying a preliminary injunction per 
    28 U.S.C. § 1292
    (a)(1). “When reviewing a district court’s [denial] of a
    preliminary injunction, we review the court’s findings of fact
    for clear error, its conclusions of law de novo, and the
    ultimate decision . . . for an abuse of discretion.” Bimbo
    Bakeries USA, Inc. v. Botticella, 
    613 F.3d 102
    , 109 (3d Cir.
    2010).
    4
    III. ANALYSIS
    Plaintiffs request that we decide the merits of their
    attack on the constitutionality of the ordinance. As those
    claims are still before the District Court, it should evaluate
    them in the first instance.
    Thus we turn to the denial of Plaintiffs’ preliminary
    injunction request. Because the Court did not provide a full
    analysis of whether to grant that request and misallocated the
    burden of demonstrating narrow tailoring, we remand for its
    further consideration. To assist in that effort and to clear up
    confusion caused by opinions in our Court that are in tension,
    we clarify how the analysis should proceed.
    A. Standard for Preliminary Injunctions
    Over four decades ago we held that to obtain a
    preliminary injunction the moving party must show as a
    prerequisite
    (1) a reasonable probability of eventual success
    in the litigation, and (2) that it will be
    irreparably injured . . . if relief is not granted . .
    . . [In addition,] the district court, in
    considering whether to grant a preliminary
    injunction, should take into account, when they
    are relevant, (3) the possibility of harm to other
    interested persons from the grant or denial of
    the injunction, and (4) the public interest.
    Del. River Port Auth. v. Transamerican Trailer Transport,
    Inc., 
    501 F.2d 917
    , 919-20 (3d Cir. 1974) (citations omitted).
    This standard for preliminary equitable relief remains; we
    have repeated that a district court—in its sound discretion—
    5
    should balance those four factors so long as the party seeking
    the injunction meets the threshold on the first two. See, e.g.,
    Oburn v. Shapp, 
    521 F.2d 142
    , 147 (3d Cir. 1975) (“[W]hile
    the burden rests upon the moving party to make [the first] two
    requisite showings, the district court should take into account,
    when they are relevant, (3) the possibility of harm to other
    interested persons from the grant or denial of the injunction,
    and (4) the public interest.”) (quotation omitted); In re Arthur
    Treacher’s Franchisee Lit., 
    689 F.2d 1137
    , 1143 (3d Cir.
    1982) (same) (quotation omitted)); Bradley v. Pittsburgh Bd.
    of Educ., 
    910 F.2d 1172
    , 1175 (3d Cir. 1990) (“In order to
    support a preliminary injunction, plaintiff must show both a
    likelihood of success on the merits and a probability of
    irreparable harm. Additionally, the district court should
    consider the effect of the issuance of a preliminary injunction
    on other interested persons and the public interest.” (citations
    omitted)); Campbell Soup Co. v. Conagra, Inc., 
    977 F.2d 86
    ,
    90-91 (3d Cir. 1992) (same); BP Chems. Ltd. v. Formosa
    Chem. & Fibre Corp., 
    229 F.3d 254
    , 263 (3d Cir. 2000) (“A
    District Court . . . balances these four factors to determine if
    an injunction should issue.” (citation omitted)).2
    We are aware there is an inconsistent line of cases
    within our Court holding that all four factors must be
    established by the movant and the “failure to establish any
    element in its favor renders a preliminary injunction
    inappropriate.” See, e.g., Ferring Pharms., Inc. v. Watson
    Pharms, Inc., 
    765 F.3d 205
    , 210 (3d Cir. 2014); NutraSweet
    Co. v. Vit-Mar Enters., Inc., 
    176 F.3d 151
    , 153 (3d Cir.
    1999). As best we can tell, this conflicting standard began
    2
    In the parallel stay-pending-appeal context, where the
    factors are the same as for the preliminary injunctions, we
    also follow the analytical path noted above. In re Revel AC,
    Inc., 
    802 F.3d 558
    , 571 (3d Cir. 2015).
    6
    with Opticians Association of America v. Independent
    Opticians of America, in which we held that a district court
    “must consider four factors” and that “[o]nly if the movant
    produces evidence sufficient to convince the trial judge that
    all four factors favor preliminary relief should the injunction
    issue.” 
    920 F.2d 187
    , 191-92 (3d Cir. 1990) (citations
    omitted). The panel in that case purported to glean this
    standard from our holding in ECRI v. McGraw-Hill, Inc., in
    which we stated that the movant bears the burden of showing
    the stated factors. 
    809 F.2d 223
    , 226 (3d Cir. 1987) (citation
    omitted). ECRI in turn attributed its guiding principle to SI
    Handling Systems, Inc. v. Heisley, where we specified that
    “[i]n considering a motion for preliminary injunctive relief, a
    court must carefully weigh [the] four factors . . . .” 
    753 F.2d 1244
    , 1254 (3d Cir. 1985). Heisley was not out of line with
    our precedent that the factors are to be balanced so long as the
    first two factors (likelihood of success on the merits and
    irreparable harm) are satisfied. Thus the conflicting line of
    cases and corresponding confusion in our Court appear to be
    the product of compounded subtle misinterpretations of our
    longstanding jurisprudence.
    In our Court “the holding of a panel in a precedential
    opinion is binding on subsequent panels.             Thus, no
    subsequent panel overrules the holding in a precedential
    opinion of a previous panel. Court en banc consideration is
    required to do so.” Policy of Avoiding Intra-circuit Conflict
    of Precedent, Internal Operating Procedures of the Third
    Circuit Court of Appeals § 9.1; see, e.g., Kossler v. Crisanti,
    
    564 F.3d 181
    , 194 n.8 (3d Cir. 2009) (en banc); Pardini v.
    Allegheny Intermediate Unit, 
    524 F.3d 419
    , 426 (3d Cir.
    2008); United States v. Rivera, 
    365 F.3d 213
     (3d Cir. 2004).
    Our precedent in Transamerican Trailer was never overruled
    by a decision of this Court en banc, leaving no subsequent
    panel the discretion to rule otherwise absent a contrary ruling
    by the Supreme Court.
    7
    We also are aware that, significantly later than this
    confusion arose, the Supreme Court stated that “[a] plaintiff
    seeking a preliminary injunction must establish that he is
    likely to succeed on the merits, that he is likely to suffer
    irreparable harm in the absence of preliminary relief, that the
    balance of equities tips in his favor, and that an injunction is
    in the public interest.” Winter v. Nat. Res. Def. Council, Inc.,
    
    555 U.S. 7
    , 20 (2008). At first blush that statement would
    lend support to the divergent standard articulated in Opticians
    Association of America almost twenty years earlier. But for
    four reasons we think Winter did not overrule our balancing-
    of-the-factors standard.
    First, the Supreme Court in Winter explained that “[i]n
    each case . . . courts must balance the competing claims of
    injury and must consider the effect on each party of the
    granting or withholding of the requested relief.” Winter, 
    555 U.S. at 24
     (emphasis added) (quotation omitted).              It
    concluded that “[a]n injunction is a matter of equitable
    discretion” that requires “the balance of equities.” 
    Id. at 32
    (emphasis added). That is why Justice Ginsburg determined
    that the “Court has never rejected [the balancing] formulation,
    and [did] not believe it [did] so” in Winter. 
    Id. at 51
    (Ginsburg, J., dissenting).
    That reading of Winter comports with the Supreme
    Court’s following opinion on temporary equitable orders,
    Nken v. Holder, 
    556 U.S. 418
     (2009), decided in the same
    term just five months later (with both opinions written by
    Chief Justice Roberts). There the Court explained that a
    district court must undertake “consideration of [the] four
    factors.” 
    Id. at 434
    . “Once an applicant satisfies the first two
    factors, the traditional [equitable relief] inquiry calls for
    assessing the harm to the opposing party and weighing the
    public interest.” 
    Id. at 435
    . Though Nken dealt with the
    issuance of a stay pending appeal, the Court explained that
    8
    the same factors apply as in the preliminary injunction
    context “not because the two are one and the same, but
    because similar concerns arise whenever a court order may
    allow or disallow anticipated action before the legality of that
    action has been conclusively determined.” 
    Id. at 434
    . Read
    together, these companion cases promote the traditional
    flexibility to granting interim equitable relief in which the
    district court has full discretion to balance the four factors
    once gateway thresholds are met. See id.; Winter, 
    555 U.S. at 32
    .
    Second, other circuits have agreed with our reading of
    Winter and Nken. For instance, the Seventh Circuit, citing
    Winter, has held that a preliminary injunction may issue if the
    movant demonstrates it will face irreparable harm and has a
    “plausible claim on the merits,” after which “the ‘balance of
    equities’ favors” the movant. Hoosier Energy Rural Elec.
    Coop., Inc. v. John Hancock Life Ins. Co., 
    582 F.3d 721
    , 725
    (7th Cir. 2009) (Easterbrook, C.J.). “How strong a claim on
    the merits is enough depends on the balance of the harms: the
    more net harm an injunction can prevent, the weaker the
    plaintiff’s claim on the merits can be while still supporting
    some preliminary relief.” 
    Id.
     Similarly, citing Winter, the
    D.C. Circuit has declined “to abandon the so-called ‘sliding
    scale’ approach to weighing the four preliminary injunction
    factors” and held that a “party seeking a preliminary
    injunction must make a clear showing that [the] four factors,
    taken together, warrant relief . . . .” League of Women Voters
    of the United States v. Newby, 
    838 F.3d 1
    , 6-7 (D.C. Cir.
    2016) (emphasis added) (quotations omitted). The Second
    Circuit also has interpreted Winter and Nken as permitting a
    district court to continue a “flexible approach” in granting
    preliminary equitable relief, and that if those cases meant “to
    abrogate the more flexible standard for a preliminary
    injunction, one would expect some reference to the
    considerable history of the flexible standards applied in [the
    9
    Second Circuit], seven [other] sister circuits, and the Supreme
    Court itself.” Citigroup Glob. Mkts., Inc. v. VCG Special
    Opportunities Master Fund, Ltd., 
    598 F.3d 30
    , 37-38 (2d Cir.
    2010). We find that reasoning persuasive.
    Third, no test for considering preliminary equitable
    relief should be so rigid as to diminish, let alone disbar,
    discretion. District courts have the freedom to fashion
    preliminary equitable relief so long as they do so by
    “exercising their sound discretion.” Winter, 
    555 U.S. at 24
    (quotation omitted). Because those courts are on the frontline
    and are much more familiar with the unique facts of a
    particular case, we apply a deferential standard in reviewing
    their decisions on preliminary equitable relief—abuse of
    discretion. See Campbell Soup Co., 
    977 F.2d at 91
     (quotation
    omitted). Indeed, “[t]he essence of equity jurisdiction has
    been the power of the [court] to do equity and to mould each
    decree to the necessities of the particular case. Flexibility
    rather than rigidity has distinguished it.” Weinberger v.
    Romero-Barcelo, 
    456 U.S. 305
    , 312 (1982) (quotations
    omitted).
    Fourth, disallowing a district court from balancing the
    four factors is inconsistent with the Supreme Court’s post-
    Winter instruction in Nken that, when evaluating whether
    interim equitable relief is appropriate, “[t]he first two factors
    of the traditional standard are the most critical.” 
    556 U.S. at 434
    . An Opticians Association of America standard—in
    which all four factors are effectively critical in equal
    recourse—is       logically    incompatible      with     Nken’s
    unambiguous holding. What would be the point of creating
    two gateway factors by placing elevated value on them if all
    are equally imperative? There would be none. And to
    require a moving party to prevail on all factors reads out
    balancing when not all factors favor that party.
    10
    Accordingly, we follow our precedent that a movant
    for preliminary equitable relief must meet the threshold for
    the first two “most critical” factors: it must demonstrate that
    it can win on the merits (which requires a showing
    significantly better than negligible but not necessarily more
    likely than not3) and that it is more likely than not to suffer
    irreparable harm in the absence of preliminary relief4. If
    these gateway factors are met, a court then considers the
    remaining two factors and determines in its sound discretion
    3
    We do not require at the preliminary stage a more-
    likely-than-not showing of success on the merits because a
    “‘likelihood’ [of success on the merits] does not mean more
    likely than not.” Singer Mgmt. Consultants, Inc. v. Milgram,
    
    650 F.3d 223
    , 229 (3d Cir. 2011) (en banc); cf. Nken v.
    Holder, 
    556 U.S. 418
    , 434 (“It is not enough that the chance
    of success on the merits be better than negligible[,]” and
    “more than a mere ‘possibility’ of relief is required.”
    (quotations omitted)). Of historical note, not only did
    Transamerican Trailer require nothing more than “a
    reasonable probability of eventual success,” 
    501 F.2d at
    919-
    20, cases of our Court before Transamerican Trailer did the
    same. A.L.K. Corp. v. Columbia Pictures Indus., Inc., 
    440 F.3d 761
    , 763 (3d Cir. 1971) (Seitz, C.J.); Ikirt v. Lee Nat’l
    Corp., 
    358 F.2d 726
    , 727 (3d Cir. 1966). Also of interest is
    that neither of the latter two cases spoke of any showing
    needed for a preliminary injunction beyond a reasonable
    chance of success on the merits and irreparable harm to the
    movant.
    4
    For example, the availability of money damages for
    an injury typically will preclude a finding of irreparable harm.
    See, e.g., Frank’s GMC Truck Center, Inc. v. Gen. Motors
    Corp., 
    847 F.2d 100
    , 102 n.3 (3d Cir. 1988).
    11
    if all four factors, taken together, balance in favor of granting
    the requested preliminary relief. In assessing these factors,
    Judge Easterbrook’s observation bears repeating: “How
    strong a claim on the merits is enough depends on the balance
    of the harms: the more net harm an injunction can prevent,
    the weaker the plaintiff’s claim on the merits can be while
    still supporting some preliminary relief.” Hoosier Energy,
    
    582 F.3d at 725
    .
    B.     The District Court Erred in Its Preliminary
    Injunction Analysis
    In considering whether to grant preliminary injunctive
    relief, the District Court observed that Defendants failed to
    produce evidence that “made a clear showing” the ordinance
    was narrowly tailored. J.A. at 35. Yet it determined that
    Plaintiffs bore the burden of demonstrating their likelihood of
    success on the merits, and they failed to do so on the scant
    record before it. Plaintiffs contend that the District Court
    erred in placing this burden on them. We agree.
    In deciding whether to issue a preliminary injunction,
    plaintiffs normally bear the burden of demonstrating a
    sufficient likelihood of prevailing on the merits. However, in
    First Amendment cases where “the Government bears the
    burden of proof on the ultimate question of [a statute’s]
    constitutionality, [plaintiffs] must be deemed likely to prevail
    [for the purpose of considering a preliminary injunction]
    unless the Government has shown that [plaintiffs’] proposed
    less restrictive alternatives are less effective than [the
    statute].” Ashcroft v. ACLU, 
    542 U.S. 656
    , 666 (2004). This
    is because “the burdens at the preliminary injunction stage
    track the burdens at trial,” and for First Amendment purposes
    they rest with the Government. Gonzales v. O Centro
    Espirita Beneficente Uniao do Vegetal, et al., 
    546 U.S. 418
    ,
    12
    429 (2006). That was not done here, as the District Court
    applied the usual standard of placing the burden on Plaintiffs.
    Defendants argue that neither party had alerted the
    Court of this narrow exception to the burden-shifting
    framework applied to requests for preliminary injunctions in
    First Amendment cases. They insist that, had Plaintiffs raised
    this issue, Defendants “would have requested a full hearing”
    to present more fully their case as to the likelihood of success
    on the merits. Appellees’ Br. 26. Because, as determined at
    oral argument, neither party was aware of the applicable
    burden-shifting standard in this case, on remand Defendants
    are afforded the opportunity to bear their burden of showing
    that the ordinance is narrowly tailored. The District Court
    can then consider anew the request for preliminary injunctive
    relief in the clarified context noted above. We thus vacate
    and remand.
    13
    

Document Info

Docket Number: 16-3722

Citation Numbers: 858 F.3d 173, 2017 U.S. App. LEXIS 9105, 2017 WL 2272114

Judges: Ambro, Jordan, Roth

Filed Date: 5/25/2017

Precedential Status: Precedential

Modified Date: 11/5/2024

Authorities (21)

in-re-arthur-treachers-franchisee-litigation-arthur-treachers-fish , 689 F.2d 1137 ( 1982 )

Hoosier Energy Rural Electric Cooperative, Inc. v. John ... , 582 F.3d 721 ( 2009 )

Frank's Gmc Truck Center, Inc. v. General Motors Corporation , 847 F.2d 100 ( 1988 )

bp-chemicals-ltd-an-english-corporation-v-formosa-chemical-fibre , 229 F.3d 254 ( 2000 )

Ernest M. Ikirt v. Lee National Corporation and Provident ... , 358 F.2d 726 ( 1966 )

robert-paul-oburn-v-milton-shapp-william-bolden-iii-and-all-minority , 521 F.2d 142 ( 1975 )

Pardini Ex Rel. Pardini v. Allegheny Intermediate Unit , 524 F.3d 419 ( 2008 )

Campbell Soup Company v. Conagra, Inc. Sallie W. Rosenthal ... , 977 F.2d 86 ( 1992 )

Singer Management Consultants, Inc. v. Milgram , 650 F.3d 223 ( 2011 )

United States v. Isaac Rivera , 365 F.3d 213 ( 2004 )

Citigroup Global Markets, Inc. v. VCG Special Opportunities ... , 598 F.3d 30 ( 2010 )

Gonzales v. O Centro Espírita Beneficente União Do Vegetal , 126 S. Ct. 1211 ( 2006 )

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

Nken v. Holder , 129 S. Ct. 1749 ( 2009 )

Bimbo Bakeries USA, Inc. v. Botticella , 613 F.3d 102 ( 2010 )

Ecri, a Nonprofit Pennsylvania Corporation v. McGraw Inc., ... , 809 F.2d 223 ( 1987 )

si-handling-systems-inc-v-michael-e-heisley-heico-inc-philip-l , 753 F.2d 1244 ( 1985 )

opticians-association-of-america-a-pennsylvania-corporation-v-independent , 920 F.2d 187 ( 1990 )

the-nutrasweet-company-v-vit-mar-enterprises-inc-aka-vitmar-the-shiba , 176 F.3d 151 ( 1999 )

Delaware River Port Authority v. Transamerican Trailer ... , 501 F.2d 917 ( 1974 )

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