Perry, Ex Parte James Richard "Rick" ( 2015 )


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  •                                                                         PD-1067-15
    COURT OF CRIMINAL APPEALS
    AUSTIN, TEXAS
    Transmitted 8/28/2015 4:50:55 PM
    Accepted 9/1/2015 10:05:31 AM
    ABEL ACOSTA
    No. PD-1067-15                                         CLERK
    TO THE COURT OF CRIMINAL APPEALS
    OF THE STATE OF TEXAS
    Ex parte James Richard “Rick” Perry
    Appeal from Travis County
    * * * * *
    STATE’S PETITION FOR DISCRETIONARY REVIEW
    * * * * *
    LISA C. McMINN
    State Prosecuting Attorney
    Bar I.D. No. 13803300
    P.O. Box 13046
    Austin, Texas 78711
    information@spa.texas.gov
    512/463-1660 (Telephone)
    512/463-5724 (Fax)
    September 1, 2015
    TABLE OF CONTENTS
    INDEX OF AUTHORITIES. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ii
    STATEMENT REGARDING ORAL ARGUMENT. . . . . . . . . . . . . . . . . . . . . . . . 1
    STATEMENT OF THE CASE. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1
    STATEMENT OF PROCEDURAL HISTORY. . . . . . . . . . . . . . . . . . . . . . . . . . . . 2
    GROUNDS FOR REVIEW.. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2
    1) Did the court of appeals incorrectly conflate the tests for First
    Amendment overbreadth and traditional First Amendment facial
    unconstitutionality?.. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3
    2) Applying the definition of “coercion” from TEX. PENAL CODE
    §1.07(a)(9)(F), does the coercion of a public servant statute ban a
    substantial amount of constitutionally protected speech relative to its
    plainly legitimate sweep?. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 6
    ARGUMENT.. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2
    PRAYER FOR RELIEF. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 13
    CERTIFICATE OF COMPLIANCE.. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 14
    CERTIFICATE OF SERVICE. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 15
    APPENDIX (Opinion of the Court of Appeals)
    i
    IDENTITY OF THE PARTIES
    Appellant: James Richard “Rick” Perry.
    Appellee: The State of Texas.
    Trial Judge: Hon. Bert Richardson.
    Counsel for Appellant: Anthony G. Buzbee, JPMorgan Chase Tower, 600 Travis
    Street, Suite 7300, Houston, Texas 77002; Thomas R. Phillips, 98 San Jacinto Blvd.,
    Suite 1500, Austin, Texas 78701-4078; and David L. Botsford, 1307 West Avenue,
    Austin, Texas, 78701.
    Counsel for the State: Attorney Pro Tem Michael McCrum, 700 N. Saint Mary’s
    Street, Suite 1900, San Antonio, Texas 78205; Assistant Attorney Pro Tem David
    Gonzalez, 206 East 9th Street, Suite 1511, Austin, Texas, 78701, and Lisa C.
    McMinn, State Prosecuting Attorney, P.O. Box 13046, Capitol Station, Austin, Texas
    78711.
    ii
    INDEX OF AUTHORITIES
    Cases
    Board of Trustees v. Fox, 
    492 U.S. 469
    (1989). . . . . . . . . . . . . . . . . . . . . . . . . . 4, 7
    Broadrick v. Oklahoma, 
    413 U.S. 601
    (1973). . . . . . . . . . . . . . . . . . . . . . . . . . 4, 13
    Ex parte Lo, 
    434 S.W.3d 10
    (Tex. Crim. App. 2013).. . . . . . . . . . . . . . . . . . . . . . . 5
    Garcetti v. Ceballos, 
    547 U.S. 410
    (2006). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9
    N.Y. State Club Ass’n v. City of New York, 
    487 U.S. 1
    (1988).. . . . . . . . . . . . . . . 10
    Nevada Commission on Ethics v. Carrigan, 
    131 S. Ct. 2343
    (2011).. . . . . . . . . . . 3
    Olivas v. State, 
    203 S.W.3d 341
    (Tex. Crim. App. 2006). . . . . . . . . . . . . . . . . 7, 11
    Ex parte Perry, __S.W.3d__ No. 03-15-00063-CR
    (Tex. App.–Austin July 24, 2015). . . . . . . . . . . . . . . . . . . . . . . . . . . . passim
    Pickering v. Board of Education, 
    391 U.S. 563
    (1968). . . . . . . . . . . . . . . . . . . . . 10
    Reed v. Town of Gilbert, 
    135 S. Ct. 2218
    (2015).. . . . . . . . . . . . . . . . . . . . . . . . . . . 5
    Sanchez v. State, 
    995 S.W.2d 677
    (1999) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 8
    United States v. Stevens, 
    559 U.S. 460
    (2010). . . . . . . . . . . . . . . . . . . . . . . . . . . 3, 5
    Ex parte Thompson, 
    442 S.W.3d 325
    (Tex. Crim. App. 2014). . . . . . . . . . . . . . . . 6
    Virginia v. Hicks, 
    539 U.S. 113
    (2003).. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 4
    Washington State Grange v. Washington State Republican Party,
    
    552 U.S. 442
    (2008). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 5
    United States v. Williams, 
    553 U.S. 285
    (2008). . . . . . . . . . . . . . . . . . . . . . . . . . 12n
    iii
    Codes and Rules
    TEX. PENAL CODE §1.07(a)(9)(F). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2, 6, 7, 10
    TEX. PENAL CODE §36.02. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 8
    TEX. PENAL CODE § 36.03(a)(1)... . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2n, 6, 8
    TEX. R. APP. P. 66.3(d). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3
    iv
    No. PD-1067-15
    TO THE COURT OF CRIMINAL APPEALS
    OF THE STATE OF TEXAS
    Ex parte James Richard “Rick” Perry
    * * * * *
    STATE’S PETITION FOR DISCRETIONARY REVIEW
    * * * * *
    TO THE HONORABLE COURT OF CRIMINAL APPEALS:
    The State of Texas, by and through its State Prosecuting Attorney, respectfully
    urges this Court to grant discretionary review of the above named cause.
    STATEMENT REGARDING ORAL ARGUMENT
    Because this case deals with the facial constitutionality of a penal statute, the
    State requests oral argument.
    STATEMENT OF THE CASE
    Appellant was charged in a two-count indictment with abuse of official
    capacity (Count I) and coercion of a pubic servant (Count II). Appellant filed a
    pretrial petition for writ of habeas corpus seeking to dismiss both counts. The trial
    1
    court denied relief and Appellant appealed. The Third Court of Appeals affirmed the
    trial court’s ruling as to Count I and reversed as to Count II. Ex parte Perry,
    __S.W.3d__, No. 03-15-00063-CR (Tex. App.–Austin 2015).
    STATEMENT OF PROCEDURAL HISTORY
    The court of appeals issued a published opinion on July 24, 2015. Neither
    party filed a motion for rehearing. Appellant filed a petition for discretionary review
    on August 18, 2015. The deadline for filing the State’s petition is August 28, 2015.
    See TEX. R. APP. P. 68.2(b).
    QUESTIONS FOR REVIEW
    1) Did the court of appeals incorrectly conflate the tests for First Amendment
    overbreadth and traditional First Amendment facial unconstitutionality?
    2) Applying the definition of “coercion” from TEX. PENAL CODE § 1.07(a)(9)(F),
    does the coercion of a public servant statute ban a substantial amount of
    constitutionally protected speech relative to its plainly legitimate sweep?
    ARGUMENT
    The court of appeals held that, applying the definition of coercion in TEX.
    PENAL CODE § 1.07(a)(9)(F), the coercion of a public servant statute1 is facially
    unconstitutional under the First Amendment overbreadth doctrine. Ex parte Perry,
    Slip op. at 97. In reaching this conclusion, the court of appeals erroneously blended
    1
    TEX. PENAL CODE § 36.03(a)(1).
    2
    two different First Amendment doctrines. Further, in determining that the statute
    banned a substantial amount of protected speech, it failed to recognize the extent of
    the statute’s legitimate sweep and considered hypothetical instances of protected
    speech that would not actually be included in the statute’s coverage.
    It is essential that the proper standard of review be applied before this or any
    other court invokes the “strong medicine” remedy of setting aside a legislative
    enactment.2 And this Court should be the final arbiter of any determination that a
    penal statute is facially unconstitutional. TEX. R. APP. P. 66.3(d). This Court should
    grant review.
    1) Did the court of appeals incorrectly conflate the tests for First Amendment
    overbreadth and traditional First Amendment facial unconstitutionality?
    The First Amendment protects against the government’s attempt to “restrict
    expression because of its message, its ideas, its subject matter, or its content.”
    Nevada Commission on Ethics v. Carrigan, 
    131 S. Ct. 2343
    , 2347 (2011). However,
    content restrictions on certain categories of speech have been historically permitted
    and are excluded from First Amendment protections. United States v. Stevens, 
    559 U.S. 460
    , 468 (2010). Those categories include, inter alia: obscenity, incitement, and
    2
    Another First Amendment overbreadth case is currently pending before this
    Court in Terrance Johnson, PD-0228-14, granted April 9, 2014, submitted October
    15, 2014.
    3
    speech integral to criminal conduct. 
    Id. The First
    Amendment overbreadth doctrine acknowledges that, even though
    a statute regulates speech that is categorically unprotected, it is nevertheless
    overbroad if “a substantial number of its applications are unconstitutional, judged in
    relation to the statute’s plainly legitimate sweep.” Broadrick v. Oklahoma, 
    413 U.S. 601
    , 610, 613 (1973). So overbreadth occurs when the statute indisputably covers
    speech that is not protected by the First Amendment but also includes within its reach
    a substantial amount of protected speech. This doctrine “enable[s] persons who are
    themselves unharmed by the defect in a statute nevertheless to challenge that statute
    on the ground that it may conceivably be applied unconstitutionally to others, in other
    situations not before the Court.” Board of Trustees v. Fox, 
    492 U.S. 469
    , 484 (1989)
    (internal citations and quotations omitted).      The burden to prove substantial
    overbreadth is on the claimant. Virginia v. Hicks, 
    539 U.S. 113
    , 122 (2003).
    The court of appeals held that the statute at issue “impinges upon substantial
    amounts of First Amendment-protected speech among Texas’s public servants.” Ex
    parte Perry, Slip op. at 61. However, to determine whether the statute’s reach is
    “justified,” the court examined whether the statute is content-based and narrowly
    tailored to achieve a compelling state interest. 
    Id. at 85-89.
    The court seemed
    unaware that it had conflated two separate constitutional doctrines.
    4
    In 
    Stevens, 559 U.S. at 472-73
    , the Supreme Court noted the distinction
    between a First Amendment overbreadth challenge and a “typical” or “traditional”
    facial challenge.   In contrast to an overbreadth challenge, a traditional facial
    challenge “must fail where the statute has a plainly legitimate sweep.” Washington
    State Grange v. Washington State Republican Party, 
    552 U.S. 442
    , 449 (2008)
    (internal citations and quotations omitted). That type of challenge claims that the
    statute has no constitutional applications. An overbreadth challenge and a traditional
    facial challenge also have different burdens of proof. In a traditional challenge, if the
    statute’s restrictions are determined to be content-based, the burden is on the State to
    show the statute is narrowly tailored to achieve a compelling governmental interest.
    Reed v. Town of Gilbert, 
    135 S. Ct. 2218
    , 2231 (2015). Whether the statute is content
    based never enters into an overbreadth analysis.
    The court of appeals cited Ex parte Lo, 
    434 S.W.3d 10
    (Tex. Crim. App. 2013),
    in the portion of the opinion addressing traditional facial constitutionality factors.
    Ex parte Perry, Slip op. at 86, 88. In Ex parte Lo, the appellant claimed the statute
    was overbroad, vague, and violated the Dormant Commerce 
    Clause. 434 S.W.3d at 14
    . This Court held,
    Applying the constitutionally required presumption that content-based
    regulations of speech are presumptively invalid and subject to strict
    scrutiny, we conclude that [the statute] is overbroad because it prohibits
    5
    a wide array of constitutionally protected speech and is not narrowly
    drawn to achieve only the legitimate objective of protecting children
    from sexual abuse.
    
    Id. In Ex
    parte Thompson, 
    442 S.W.3d 325
    (Tex. Crim. App. 2014), this Court
    recognized the difference in the two doctrines and questioned the need to address
    overbreadth after it had already determined that the statute was an invalid content-
    based restriction. 
    Id. at 349.
    This Court should grant review to clarify the appropriate
    test for First Amendment overbreadth claims.
    2) Applying the definition of “coercion” from TEX. PENAL CODE § 1.07(a)(9)(F),
    does the Coercion of a Public Servant statute ban a substantial amount of
    constitutionally protected speech relative to its plainly legitimate sweep?
    The statute
    Penal Code Section 36.03(a)(1) provides:
    A person commits an offense if by means of coercion he influences or
    attempts to influence a public servant in a specific exercise of his
    official power or a specific performance of his official duty or influences
    or attempts to influence a public servant to violate the public servant’s
    known legal duty.
    TEX. PENAL CODE § 1.07(a)(9) states, “Coercion means a threat, however
    communicated,” followed by six alternative definitions. Subsection (a)(9)(F) “to take
    or withhold action as a public servant...” is at issue in this case. “Threat,” in the
    definition of coercion, is not defined, but this Court has found “a communicated
    intent to inflict harm or loss on another or on another’s property” to be an acceptable
    6
    “ordinary meaning” definition of the term in the assault statute. Olivas v. State, 
    203 S.W.3d 341
    , 345-46 (Tex. Crim. App. 2006).              Applying these definitions, §
    36.03(a)(1) provides:
    A person commits an offense if by means of a communicated intent to
    inflict harm or loss on another or another’s property, however
    communicated, to take or withhold action as a public servant, he
    influences or attempts to influence a public servant in a specific exercise
    of his official power or a specific performance of his official duty or
    influences or attempts to influence a public servant to violate the public
    servant’s known legal duty. (Emphasis added).3
    A public servant’s taking or withholding of an official act is not inherently
    coercive. But that definition of coercion is animated by the insertion of “threat.” The
    communicated intent to inflict harm or loss is what makes the taking or withholding
    of an official act forceful, abusive, and sufficient to overbear the will of another, i.e.,
    coercive.
    Plainly legitimate sweep
    “[T]he overbreadth question...requires determination whether the
    statute’s overreach is substantial, not only as an absolute matter, but
    judged in relation to the statute’s plainly legitimate sweep.”
    Fox, 492 U.S.at 485. The court of appeals acknowledged that the statute has a
    legitimate sweep, i.e. it proscribes some speech outside the reach of the First
    3
    The italicized text is the plain meaning definition of threat. The underlined text
    is the § 1.07 definition of coercion.
    7
    Amendment. See Ex parte Perry, Slip op. at 79. (“To be sure, section 36.03(a)(1), as
    it incorporates paragraph (F), would reach some threats aimed at achieving illicit ends
    that the State could properly proscribe criminally.”). For example, it noted that the
    statute could cover solicitation of crimes, some forms of extortion, and bribery. 
    Id. at 74-80.
    Bribery and coercion
    While the court agreed that bribery is outside the protection of the First
    Amendment, it erred by holding that coercion is not. In Sanchez v. State, 
    995 S.W.2d 677
    (Tex. Crim. App. 1999), this Court noted that bribery is not protected because it
    concerns the use of official power to obtain a benefit to which the official is not
    otherwise entitled. 
    Id. at 688.
    Similarly, coercion occurs when a public servant
    illegally threatens to do indirectly what he does not have the power to do directly.
    Both are outside the realm of the First Amendment.
    Coercion and bribery are the opposite sides of the same coin. Bribery uses the
    promise of a benefit to influence the action of a public official, while coercion uses
    the threat of harm. Compare TEX. PENAL CODE §36.02 and §36.03. Both the carrot
    and the stick can be used as an inducement and can, as the court of appeals
    recognized, be used simultaneously both to threaten harm and to offer freedom from
    the threatened harm. Ex parte Perry, Slip op. at 80.
    8
    Government speech
    “When a citizen enters government service, the citizen by necessity must accept
    certain limitations on his or her freedom.” Garcetti v. Ceballos, 
    547 U.S. 410
    , 418
    (2006). The court of appeals rejected the State’s argument that the statute addresses
    government speech, which is outside the realm of the First Amendment. Ex parte
    Perry, Slip op. at 71. The court reasoned that when the State criminalizes speech, it
    is acting not as an employer, but as a sovereign. 
    Id. at 66-69.
    But this loses sight of
    the fact that only the speech of public officials is being criminalized. In that sense,
    the State is acting in the dual role of sovereign/employer and the public servant, as
    a citizen/employee.4
    Garcetti explained that,“Employers have heightened interests in controlling
    speech made by an employee in his or her professional capacity.” 
    Id. at 422.
    It also
    noted that while a “delicate balancing of the competing interests surrounding the
    speech and its consequences” must occur when an employee speaks as a citizen,
    “when... the employee is simply performing his or her job duties, there is no warrant
    for a similar degree of scrutiny.” 
    Id. at 423.
    The State has an interest in holding public servants to a higher standard due to
    4
    The State knows of no cases applying the government speech theory to criminal
    prosecutions and acknowledges that not all public officials are state employees.
    9
    the position of power they hold. This interest is expressed by criminal statutes that
    apply only to public servants or increase the penalty if committed by public servants,
    as well as oaths of office, ethical rules, and codes of conduct for public servants.
    Not realistic or substantial
    To succeed in its challenge, appellant must demonstrate from the text of
    [the statute] and from actual fact that a substantial number of instances
    exist in which the [l]aw cannot be applied constitutionally.
    N.Y. State Club Ass’n v. City of New York, 
    487 U.S. 1
    , 14 (1988).
    The court of appeals discussed several instances of constitutionally-protected
    speech that would be included in the statute’s plainly legitimate sweep. Ex parte
    Perry, Slip op. at 58-60. But not all of the court’s hypotheticals would be covered by
    the statute.
    For example, the court of appeals believed, “A manager could not threaten to
    file or demote a government employee for poor performance.” Id at 58. This
    situation is not covered by the statute because it does not fit the definition of
    coercion. The manager is not “tak[ing] or withhold action as a public servant;” he is
    taking action as an employer or manager over his subordinate. See Pickering v.
    Board of Education, 
    391 U.S. 563
    , 568 (1968) (discussing various roles played by
    both the employer and the employee as either employer/sovereign or
    employee/private citizen). Similarly, he is not dealing with the government employee
    10
    in his capacity as a public servant but in his role as an employee. Id.5 And the
    manager is not attempting to influence the employee in “a specific exercise of his
    official power or a specific performance of his official duty.” As the court of appeals
    noted, by referring to a specific exercise of power or performance of duty, the statute
    demonstrates “that some particular action or conduct by the public servant must be
    sought and not merely some effect on the public servant’s general comportment in
    office.” Ex parte Perry, Slip op. at 49-50. General job performance would seem to
    be the “general comportment in office” the court of appeals had in mind.6
    Finally, the hypotheticals regarding a trial judge’s threat to declare a mistrial
    or an appellate judge’s threat to file a dissenting opinion are also not compelling.
    They do not meet the Penal Code §1.07 definition of coercion, which requires a
    threat. These actions would not likely be taken as threats because they do not
    “communicate[] [an] intent to inflict harm or loss on another or another’s property.”
    
    Olivas, 203 S.W.3d at 345-46
    . So they are not coercive. Any other type of
    5
    The employer/employee status would also apply to the court of appeals’
    hypothetical about a university administrator threatening to withdraw funding from
    a professor’s research program. Ex parte Perry, Slip op. at 59.
    6
    The court of appeals’ hypotheticals about an inspector general threatening to
    investigate an agency’s financial dealings, a prosecutor’s threat to prosecute a pubic
    servant, and a university administrator threat to withdraw funding from a professor’s
    research program are also invalid for this reason. The threats are not aimed at
    influencing the exercise of a specific power or duty.
    11
    bargaining tool commonly used in the governmental realm is not covered by the
    statute; only those threats that portend harm sufficient to cause duress are included.
    Appellate judges make changes to proposed opinions to gain consensus or because
    they have been persuaded that the would-be dissenter’s legal argument is more
    correct than the view originally proposed, not because they have been forced to take
    a different stance under threat of harm or loss of property.
    Some of the court of appeals’ hypotheticals may be valid.7 But there is no
    evidence that in the years since the coercion statute was enacted, any public servant
    has been chilled, i.e., has abstained from any of the valid speech the court of appeals
    believes is covered by the statute. The overreach of the statute has not been
    demonstrated to be realistic or substantial. “Although [broadly worded laws], may
    deter protected speech to some unknown extent, there comes a point where that
    effect—at best a prediction—cannot, with confidence, justify invalidating a statute
    on its face.” 
    Broadrick, 413 U.S. at 615
    . When a law is not substantially overbroad,
    “whatever overbreadth may exist should be cured through case-by-case analysis of
    the fact situations to which its sanctions, assertedly, may not be applied.” 
    Id. at 615-
    16.
    7
    See United States v. Williams, 
    553 U.S. 285
    , 301 (2008) (noting “the tendency
    of our overbreadth doctrine to summon forth an endless stream of fanciful
    hypotheticals.”).
    12
    PRAYER FOR RELIEF
    WHEREFORE, the State of Texas prays that the Court of Criminal Appeals
    grant this Petition for Discretionary Review, that the case be set for submission, and
    that after submission, this Court reverse the decision of the Court of Appeals.
    Respectfully submitted,
    /s/ LISA C. McMINN
    LISA C. McMINN
    State Prosecuting Attorney
    Bar I.D. No. 13803300
    P.O. Box 13046
    Austin, Texas 78711
    information@spa.texas.gov
    512/463-1660 (Telephone)
    512/463-5724 (Fax)
    13
    CERTIFICATE OF COMPLIANCE
    The undersigned certifies that according to the WordPerfect word count tool
    this document contains 3344 words.
    /s/ LISA C. McMINN
    LISA C. McMINN
    State Prosecuting Attorney
    14
    CERTIFICATE OF SERVICE
    The undersigned certifies that on this 28th day of August 2015, the State’s
    Petition for Discretionary Review was served via certified electronic service provider
    to:
    Anthony G. Buzbee
    Tbuzbee@txattorneys.com
    David L. Botsford
    dbotsford@aol.com
    Thomas R. Phillips
    tom.phillips@bakerbotts.com
    Michael McCrum
    michael@McCrumlaw.com
    David Gonzalez
    david@sg-llp.com
    /s/ LISA C. McMINN
    LISA C. McMINN
    State Prosecuting Attorney
    15
    APPENDIX
    TEXAS COURT OF APPEALS, THIRD DISTRICT, AT AUSTIN
    NO. 03-15-00063-CR
    Ex parte James Richard “Rick” Perry
    FROM THE DISTRICT COURT OF TRAVIS COUNTY, 390TH JUDICIAL DISTRICT
    NO. D-1-DC-14-100139, HONORABLE BERT RICHARDSON, JUDGE PRESIDING
    OPINION
    This appeal arises from an ongoing criminal prosecution that, as the district court
    observed, involves “unique circumstances” that “have been widely reported, argued, and discussed
    by many with no standing in the case.”1 Whatever the focus of such commentary, our disposition
    of this appeal turns on legal issues—primarily procedural in nature—that may be of somewhat less
    public renown.
    To summarize the proceedings below, the appellant—James Richard “Rick” Perry,
    who until recently served as Governor of Texas—sought dismissal, through a pretrial writ of habeas
    corpus, of two pending criminal charges (“abuse of official capacity” and “coercion of a public
    servant”) that are predicated on alleged acts preceding or relating to his line-item veto of a proposed
    legislative funding appropriation. In seeking dismissal, Perry has contended chiefly that the statutes
    on which each charge is based, “as applied” to him, violate constitutional protections related to
    free expression and the separation of powers. Even while terming these “as applied” constitutional
    1
    Order Denying Defendant’s First Application for Pretrial Writ of Habeas Corpus (Order)
    at 5 n.3.
    challenges “compelling,”2 the district court determined that it could not decide their merits at that
    juncture, let alone grant relief, due to procedural limitations the Court of Criminal Appeals has
    imposed on the ability of lower courts to address such “as applied” challenges when raised
    through pretrial habeas corpus, as Perry has attempted here. While Perry contends this ruling was
    error, we reach the same conclusion that the district court did—under the Court of Criminal
    Appeals’s binding precedents, Perry cannot bring his “as applied” constitutional challenges through
    pretrial habeas corpus.
    Perry has also asserted that the statute on which the “coercion of a public servant”
    charge is based “facially” violates the First Amendment to the United States Constitution. While
    recognizing that defendants may bring such facial constitutional challenges through pretrial
    habeas corpus, the district court rejected Perry’s claims on the merits. As to this ruling we
    respectfully disagree with the district court—the statute on which the “coercion of a public servant”
    is based, as written, and as we are bound to construe it, violates the First Amendment and,
    accordingly, cannot be enforced.
    As a consequence of these holdings, we affirm the district court’s denial of relief as
    to the “abuse of official capacity” charge, because Perry’s “as-applied” constitutional challenges
    cannot be addressed through pretrial habeas corpus under current Texas law. However, because the
    First Amendment bars enforcement of the statute on which the “coercion of a public servant” charge
    is based, that charge must be dismissed.
    2
    
    Id. at 9.
    2
    BACKGROUND
    The indictment
    Through an indictment returned by a Travis County grand jury, appellant Perry has
    been charged with two counts. Count I alleges that Perry violated section 39.02, subsection (a)(2)
    of the Texas Penal Code—“Abuse of Official Capacity”—which in pertinent part makes it an offense
    for a “public servant,” “with intent to harm . . . another,” to intentionally or knowingly “misuse
    government property . . . that has come into the public servant’s custody or possession by virtue
    of the public servant’s office or employment.”3 Count II alleges that Perry violated Penal Code
    section 36.03(a)(1)—“Coercion of Public Servant”—which makes it an offense for a person,
    “by means of coercion” (a term defined under the Penal Code to include “a threat, however
    communicated, . . . to take or withhold action as a public servant”) to “influence” or attempt to
    “influence” a “public servant” to certain ends.4 Although the parties are continuing to litigate the
    precise content of the indictment before the district court, it suffices for present purposes to note their
    general agreement that both charges relate to alleged conduct by Perry preceding or relating to his
    line-item veto of a legislative appropriation to fund the “Public Integrity Unit,” then housed within
    the Travis County District Attorney’s Office, while he was serving as Governor of Texas.
    In response to the indictment, Perry has vigorously disputed that the alleged conduct
    actually equals a crime under either of the statutes under which he was charged, properly construed,
    and he urges that any prosecution for such conduct would infringe not only his personal free-speech
    rights under the Texas and federal constitutions, but also core powers vested in all Texas governors
    3
    Tex. Penal Code § 39.02(a)(2).
    4
    
    Id. § 36.03(a)(1);
    see 
    id. § 1.07(a)(9)(F)
    (defining “coercion” as used in Penal Code).
    3
    by the Texas Constitution. Were the pending criminal charges civil claims instead, Perry would have
    in his defensive arsenal an array of procedural mechanisms through which he could raise such
    challenges to the legal viability of the State’s theories at the outset and possibly obtain dismissal
    prior to trial—e.g., special exceptions,5 motions for summary judgment,6 and the recently created
    motion to dismiss a cause of action that “has no basis in law or fact,”7 with possible immediate
    recourse to appellate courts in the event such relief was denied at the trial level.8 But the
    pretrial remedies presently available to defendants in Texas criminal cases are more limited9—as the
    Texas Court of Criminal Appeals has put it, “trial on the merits” remains “‘the main event.’”10
    Whether it is sound policy to draw such a distinction between defendants faced with loss of property
    5
    Tex. R. Civ. P. 91.
    6
    
    Id. R. 166a.
           7
    
    Id. R. 91a.
           8
    See In re Essex Ins. Co., 
    450 S.W.3d 524
    , 528 (Tex. 2014) (per curiam) (granting
    mandamus relief to remedy trial court’s erroneous denial of Rule 91a dismissal motion; reasoning,
    under Texas Supreme Court’s contemporary mandamus standards, that remedy of ordinary appeal
    after final judgment was “inadequate” because immediate relief “is appropriate to spare the parties
    and the public the time and money spent on fatally flawed proceedings” (citing In re John G. &
    Marie Stella Kenedy Mem’l Found., 
    315 S.W.3d 519
    , 523 (Tex. 2010) (quoting In re Prudential Ins.
    Co. of Am., 
    148 S.W.3d 124
    , 136 (Tex. 2004)))).
    9
    See, e.g., State ex rel. Lykos v. Fine, 
    330 S.W.3d 904
    , 919 (Tex. Crim. App. 2011) (holding
    that “there is no basis under Texas law to conduct a pretrial evidentiary hearing to determine
    the ‘as applied’ constitutionality of a state penal law or state criminal procedural statute” and that
    such a challenge must await trial); see also 
    id. at 909
    (observing that Texas criminal courts are
    not empowered to issue declaratory judgments (citing Ex parte Usener, 
    391 S.W.2d 735
    , 736
    (Tex. Crim. App. 1965); Ex parte Hammonds, 
    230 S.W.2d 820
    , 821 (Tex. Crim. App. 1950)); 
    id. at 919
    (observing that “Texas law does not permit a defendant in a criminal case to attack the
    sufficiency or adequacy of an indictment by evidence beyond the four-corners of that indictment”
    (citing State v. Rosenbaum, 
    910 S.W.2d 934
    , 948 (Tex. Crim. App. 1994) (op. on reh’g)).
    10
    
    Id. at 919.
    4
    versus loss of liberty is not a question that this intermediate appellate court is empowered to
    address—we are instead duty-bound to follow that existing law unless and until the Legislature or
    the Court of Criminal Appeals instructs us otherwise.11
    Proceedings below
    This appeal arises from Perry’s attempt to invoke one of the pretrial remedies that
    potentially may be available to defendants in Texas criminal cases—an application for a pretrial
    writ of habeas corpus. Generally described, a criminal defendant may obtain pretrial habeas corpus
    relief from a trial court when he or she is (1) “restrained” or “confined” (2) illegally and (3) does not
    possess what is deemed an “adequate remedy by appeal” against such restraint or confinement.12
    Further, an applicant who is denied that relief at the trial level, such as Perry, has a right to appeal
    that order,13 a potential avenue for obtaining what amounts to interlocutory appellate review
    regarding a pending prosecution.14
    11
    See, e.g., State v. DeLay, 
    208 S.W.3d 603
    , 605-07 (Tex. App.—Austin 2006), aff’d,
    
    233 S.W.3d 870
    (Tex. Crim. App. 2007).
    12
    See Ex parte Weise, 
    55 S.W.3d 617
    , 619 (Tex. Crim. App. 2001) (citing Ex parte Hopkins,
    
    610 S.W.2d 479
    , 480 (Tex. Crim. App. 1980); Ex parte Powell, 
    558 S.W.2d 480
    , 481 (Tex. Crim.
    App. 1977); Ex parte Groves, 
    571 S.W.2d 888
    , 890 (Tex. Crim. App. 1978); Ex parte Strother,
    
    395 S.W.2d 629
    , 630 (Tex. Crim. App. 1965); Ex parte Rios, 
    385 S.W.2d 677
    , 678 (Tex. Crim.
    App. 1965)).
    13
    This is so because the habeas application is considered to be an original proceeding
    that concludes with a final, appealable judgment. See 43 George E. Dix & John M. Schmolesky,
    Texas Practice Series: Criminal Practice and Procedure § 34:25 (3d ed. 2011).
    14
    See Ex parte Ellis, 
    309 S.W.3d 71
    , 79 (Tex. Crim. App. 2010).
    5
    There has been no dispute that Perry is “restrained” in the sense required for pretrial
    habeas relief pursuant to each of the two charges alleged in the indictment.15 As for the remaining
    requirements for such relief, he has challenged the legality of his restraint pursuant to Count I of the
    indictment (“Abuse of Official Capacity”) on nine distinct constitutional grounds:
    1.      Section 39.02(a)(2) [of the Texas Penal Code] violates the Fifth and
    Fourteenth Amendments to the Constitution of the United States as applied
    because its prohibitions of “misuse” of “government property . . . that has
    come into the [Governor’s] custody or possession” is unconstitutionally
    vague as a matter of law if extended to a mere gubernatorial veto of any
    appropriation of State funds.
    2.      Section 39.02(a)(2) violates Article I, Sections 10 and 19 of the Texas
    Constitution as applied because its prohibition of “misuse” of “government
    property . . . that has come into the [Governor’s] custody or possession” is
    unconstitutionally vague as a matter of law if extended to a mere
    gubernatorial veto of any appropriation of State funds.
    3.      Section 39.02(a)(2) is unconstitutional as applied because it infringes upon
    the Governor’s absolute constitutional right and duty to approve or
    disapprove “items of appropriation” under Article IV, Section 14 of the Texas
    Constitution.
    4.      Section 39.02(a)(2) is unconstitutional as applied because it violates the
    separation of powers between the various departments of government that is
    guaranteed to the People by Article II, Section 1 of the Texas Constitution.
    5.      Because a governor acts in a constitutionally-prescribed legislative capacity
    in vetoing legislation, Section 39.02(a)(2) is unconstitutional as applied
    because it violates the protection afforded by the Speech and Debate Clause
    of Article III, Section 21 of the Texas Constitution.
    6.      Because the Governor was acting in a legislative capacity in vetoing the
    appropriation at issue, Count I of the indictment is void because it is
    15
    See 
    Weise, 55 S.W.3d at 619
    (observing that pretrial habeas applicant “was restrained of
    his liberty . . . when he was charged with [an offense] and released on bond to await trial.”) (citing
    Ex parte Robinson, 
    641 S.W.2d 552
    , 553 (Tex. Crim. App. 1982)).
    6
    necessarily based on evidence privileged by the Speech and Debate Clause
    of Article III, Section 21 of the Texas Constitution.
    7.   Because the Governor was acting in a legislative capacity in vetoing the
    appropriation at issue, trial on Count I of the indictment is barred as a matter
    of law because the State could only sustain its burden, if at all, by introducing
    evidence privileged by the Speech and Debate Clause of Article III, Section
    21 of [t]he Texas Constitution.
    8.   Section 39.02(a)(2) is unconstitutional as applied because Governor Perry
    had the right to do any and all acts of which he is charged in the exercise of
    his rights under the Free Speech guarantee of the First Amendment to the
    Constitution of the United States.
    9.   Section 39.02(a)(2) is unconstitutional as applied because Governor Perry
    had the right to do any and all acts of which he is charged in the exercise of
    his rights under the Free Speech guarantee of Article I, Section 8 of the Texas
    Constitution.
    Regarding Count II (“Coercion of Public Servant”), Perry has brought the following constitutional
    claims:
    1.   Section 36.03(a)(1) violates the First and Fourteenth Amendments to the
    United States Constitution because, as enacted into law, it is
    unconstitutionally overbroad on its face.
    2.   Section 36.03(a)(1) violates Article I, Section 8 of the Texas Constitution
    because, as enacted into law, it is unconstitutionally overbroad on its face.
    3.   Section 36.03(a)(1) violates the First and Fourteenth Amendments to the
    United States Constitution because, as enacted into law, it is
    unconstitutionally vague on its face.
    4.   Section 36.03(a)(1) violates Article I, Section 8 of the Texas Constitution
    because, as enacted into law, it is unconstitutionally vague on its face.
    5.   Section 36.03(a)(1) violates the First, Fifth, and Fourteenth Amendments to
    the United States Constitution because it is unconstitutionally vague as
    applied.
    7
    6.       Section 36.03(a)(1) violates Article I, Sections 8, 10, and 19 of the Texas
    Constitution because it is unconstitutionally vague as applied.
    7.       Section 36.03(a)(1) violates the First, Fifth, and Fourteenth Amendments to
    the United States Constitution because it is unconstitutionally overbroad as
    applied.
    8.       Section 36.03(a)(1) violates Article I, Sections 8, 10, and 19 of the Texas
    Constitution because it is unconstitutionally overbroad as applied.
    9.       Section 36.03(a)(1) is unconstitutional as applied because it infringes upon
    the Governor’s absolute constitutional right and duty to approve or
    disapprove “items of appropriation” under Article IV, Section 14 of the Texas
    Constitution.
    10.      Section 36.03(a)(1) is unconstitutional as applied because it violates the
    separation of powers between the various departments of government that is
    guaranteed to the People by Article II, Section 1 of the Texas Constitution.
    11.      Section 36.03(a)(1) is unconstitutional as applied because it violates the
    Speech and Debate Clause of Article III, Section 21 of the Texas
    Constitution.16
    As the district court observed, the claims raised by Perry are “unique,” “important,”
    and “certainly deserve careful consideration in an appropriate forum.”17 The court even went as far
    as to term “compelling” Perry’s arguments regarding the Separation of Powers and the Speech and
    Debate Clause.18 However, the district court was bound, as are we, to adhere to Court of Criminal
    Appeals precedents instructing lower courts that we cannot reach the merits of any claim presented
    16
    In addition to these constitutional challenges regarding the “Coercion of Public Servant”
    charge, Perry also challenged whether the indictment alleged sufficient facts to negate an exception
    to that offense that we will discuss below. That claim is not at issue in this appeal.
    17
    Order at 9-10 (quoting 
    Lykos, 330 S.W.3d at 911
    ).
    18
    
    Id. at 8-10;
    see also 
    id. at 5
    n.3 (similarly terming “persuasive” arguments urged by amici
    “Constitutional and Criminal Law Experts”).
    8
    through pretrial habeas, however meritorious it may potentially be, without first determining, as a
    “threshold” matter, that the claim is properly “cognizable” through that procedural mechanism—that
    is, whether the court can properly decide the merits of the claim at that juncture or must leave it to
    be addressed through other trial-level proceedings and any subsequent post-conviction appellate
    remedy.19 This requirement rests on jurisprudential policies, frequently emphasized by the Court of
    Criminal Appeals in recent years, that “pretrial habeas, followed by interlocutory appeal, is an
    ‘extraordinary remedy’” and should not be “‘misused to secure pretrial appellate review of matters
    that in actual fact should not be put before appellate courts at the pretrial stage.’”20 The court has
    similarly stressed that “[a] defendant may use a pretrial writ of habeas corpus only in very limited
    circumstances”21 and that the remedy “should be reserved for situations in which the protection of
    the applicant’s substantive rights or the conservation of judicial resources would be best served by
    interlocutory review.”22
    The district court thus proceeded immediately to that threshold inquiry and
    determined, without hearing evidence, that, under “the current state of the law in Texas,” only
    Perry’s challenges to the constitutionality of the statutory basis for the “Coercion of Public Servant”
    charge “on its face”—i.e., claims 1-4 regarding Count II—were cognizable in pretrial habeas. As
    for the remaining claims—sixteen in all, including all of Perry’s claims regarding Count I—the
    19
    
    Ellis, 309 S.W.3d at 79
    (citing Ex parte Doster, 
    303 S.W.3d 720
    , 721 & n.2, 727
    (Tex. Crim. App. 2010)).
    20
    
    Id. (quoting Doster,
    303 S.W.3d at 724).
    21
    Ex parte Smith, 
    178 S.W.3d 797
    , 801 (Tex. Crim. App. 2005) (per curiam).
    22
    
    Weise, 55 S.W.3d at 620
    .
    9
    district court concluded each was not cognizable—as the district court put it, “the court’s hands are
    tied” (emphasis in original)23—because the claim asserted an “as applied” constitutional challenge.
    Accordingly, the district court denied relief as to the sixteen claims asserting “as
    applied” challenges without reaching their merits. Although it did reach the merits of the facial
    constitutional challenges it held to be cognizable, the court rejected them. On appeal, Perry insists
    that both sets of rulings were in error.
    COGNIZABILITY ISSUES
    We will begin with Perry’s arguments relating to the sixteen “as applied” claims the
    district court declined to reach, because these arguments concern a threshold issue and because Perry
    devotes the majority of his issues on appeal to arguing the claims’ cognizability and merits.24 Perry’s
    specific contentions are best understood against the backdrop of the “the current state of the law in
    Texas” on which the district court relied.25
    23
    Order at 10.
    24
    As the district court observed, the cognizability of Perry’s claims turns on issues of law,
    and we review such questions de novo. See generally 
    Ellis, 309 S.W.3d at 79
    -82; cf. State v. Moff,
    
    154 S.W.3d 599
    , 601 (Tex. Crim. App. 2004) (reasoning that de novo standard governed review of
    trial court rulings to quash indictment because the sufficiency of the indictment is a question of law
    that does not turn on evaluations of witness credibility or demeanor or on disputed facts (citing
    Guzman v. State, 
    955 S.W.2d 85
    , 89 (Tex. Crim. App. 1997))).
    25
    The district court’s order includes approximately twenty pages of analysis, with citation
    to case authorities.
    10
    The Court of Criminal Appeals has held that “as applied” constitutional challenges are not
    cognizable in pretrial habeas corpus
    The district court emphasized several recent Court of Criminal Appeals decisions
    addressing the extent to which an “as applied” constitutional challenge to a penal statute can be
    properly decided through pretrial proceedings, including pretrial habeas corpus, in lieu of awaiting
    trial on the merits and any post-conviction appeal. As the Court of Criminal Appeals has explained,
    an “as applied” constitutional challenge “concedes the general constitutionality of the statute, but
    asserts that the statute is unconstitutional as applied to [the defendant’s] particular facts and
    circumstances.”26 In contrast, a “facial” constitutional challenge seeks to establish that the statute
    is unconstitutional and unenforceable as to any person.27 As between these two classifications, the
    district court concluded that each of the sixteen claims it did not reach was an “as applied” challenge
    because it asserted that a penal statute violated constitutional limitations as it would operate against
    Perry’s particular circumstances—with emphasis on his unique duties and powers as Governor—as
    opposed to contending that some constitutional defect rendered the statutes unenforceable as to
    anyone against whom it could be applied. Indeed, as the district court noted, Perry himself phrased
    virtually all of these claims in terms of the statutes’ constitutionality “as applied” to him and his role
    as Governor at the time.
    Having classified the sixteen claims as “as applied” challenges, the district court
    looked to Ex parte Weise,28 in which the Court of Criminal Appeals granted review to address
    26
    
    Lykos, 330 S.W.3d at 910
    .
    27
    
    Id. at 908.
            28
    
    55 S.W.3d 617
    .
    11
    “whether a pretrial writ of habeas corpus may issue on the ground that a penal statute is being
    unconstitutionally applied because of the allegations in the indictment or information.”29 The
    applicant, Weise, had been charged with illegal dumping and sought pretrial habeas corpus on the
    basis that the illegal-dumping statute was unconstitutional “as applied” to him because the charging
    instrument did not allege a mens rea.30 In evaluating whether pretrial habeas was available as a
    remedy, the court emphasized a longstanding general rule that pretrial habeas corpus is not available
    to “test the sufficiency” of the charging instrument.31 The Court of Criminal Appeals acknowledged,
    however, that it had also recognized certain “exceptions” to this general rule that it had deemed to
    fall into a broader category of cases in which it had long permitted pretrial habeas relief where “the
    alleged defect would bring into question the trial court’s power to proceed.”32 One such “exception,”
    the court noted, was where the face of the charging instrument showed that the prosecution was
    barred by limitations.33 Another recognized “exception” noted by the Weise court—and of more
    29
    
    Id. at 618,
    619.
    30
    
    Id. at 618-19.
           31
    
    Id. at 620
    (citing Ex parte Delbert, 
    582 S.W.2d 145
    (Tex. Crim. App. 1979); Ex parte
    Mangrum, 
    564 S.W.2d 751
    , 752 (Tex. Crim. App. 1978); Ex parte Ward, 
    560 S.W.2d 660
    , 660-61
    (Tex. Crim. App. 1978); Ex parte Dickerson, 
    549 S.W.2d 202
    , 203 (Tex. Crim. App. 1977)).
    32
    
    Id. at 619
    (citing 
    Mangrum, 564 S.W.2d at 752
    (indictment based on repealed statute);
    Menefee v. State, 
    561 S.W.2d 822
    , 830 (Tex. Crim. App. 1977) (juvenile indicted without examining
    trial); Ex parte Trillo, 
    540 S.W.2d 728
    , 733 (Tex. Crim. App. 1976), overruled on other grounds by
    Aguilar v. State, 
    621 S.W.2d 781
    (Tex. Crim. App. 1981) (probation-revocation proceedings without
    required hearing); Ex parte Becker, 
    459 S.W.2d 442
    , 443 (Tex. Crim. App. 1970) (indictment
    returned by irregularly empaneled grand jury)).
    33
    
    Id. at 620
    (citing Ex parte Tamez, 
    38 S.W.3d 159
    , 161 (Tex. Crim. App. 2001) (citing
    
    Dickerson, 549 S.W.2d at 203
    ). But see 
    Doster, 303 S.W.3d at 724
    -25 (more recently suggesting
    that this line of cases may be founded on an outmoded notion of jurisdiction).
    12
    direct relevance here—is a complaint that a statute defining the charged offense is unconstitutional
    on its face, as this would mean that “there is no valid statute and the charging instrument is void.”34
    The Court of Criminal Appeals concluded that Weise’s complaint did not fit
    under any of these recognized exceptions that would permit his claim to be raised through pretrial
    habeas corpus. It observed that Weise was not making a challenge to the facial constitutionality
    of the statute, nor “claiming that the trial court lacked the power to proceed.”35 Instead, the court
    reasoned, “he is claiming that the statute as applied via the information is unconstitutional because
    it fails to allege a mens rea.”36 It termed this sort of challenge, “in reality, simply an attack on the
    charging instrument.”37 Absent any “alleged . . . deficiencies that we have recognized as cognizable
    on habeas corpus,” the court held that the issue of whether the illegal-dumping statute required a
    culpable mental state “is not yet ripe for review.”38
    In addition to Weise, the district court also looked to the Court of Criminal Appeals’s
    more recent decision in Ex parte Ellis.39 Ellis involved an attempt by defendants to raise by pretrial
    habeas and subsequent appeal what they had styled as a “facial” vagueness challenge to Texas’s
    money-laundering statute. The thrust of this challenge, however, was not that the statute was vague
    in all of its applications, but that it was unconstitutionally vague if it was construed to apply to
    34
    See 
    Weise, 55 S.W.3d at 620
    .
    35
    
    Id. at 620
    -21.
    36
    
    Id. at 621
    (emphasis in original).
    37
    
    Id. 38 Id.
            39
    
    309 S.W.3d 71
    .
    13
    checks, an issue of eventual significance in the underlying prosecution.40 The district court denied
    relief, and that ruling was appealed to this Court. This Court affirmed the district court’s ruling,
    concluding that the money-laundering statute was not unconstitutionally vague, but its reasoning
    turned on a holding that the statute did not apply to checks.41 The Court of Criminal Appeals granted
    the State’s request for review and held that the defendants’ challenge was not cognizable because,
    in the court’s view, the defendants “did not really advance a facial challenge.” Specifically, the
    court reasoned that the defendants had presumed there were some valid applications of the money-
    laundering statute and had thus “advanced an ‘as applied’ claim that was disguised as a facial
    challenge.”42
    Citing Weise, the Ellis court emphasized the longstanding rule that “pretrial habeas
    is not available to test the sufficiency of the charging instrument.”43 Nor, the Ellis court added, could
    the remedy be used “to construe the meaning and application of the statute defining the offense
    charged.”44 Additionally, while acknowledging that “[p]retrial habeas can be used to bring a facial
    challenge to the constitutionality of the statute that defines the offense,” the Court of Criminal
    Appeals stressed that the remedy “may not be used to advance an ‘as applied’ challenge,” again
    40
    
    Id. at 75.
            41
    
    Id. at 76-77.
            42
    
    Id. at 80-82.
            43
    
    Id. at 79
    (citing 
    Weise, 55 S.W.3d at 620
    ).
    44
    
    Id. (citing Ex
    parte Smith, 
    185 S.W.3d 887
    , 893 (Tex. Crim. App. 2006); 
    Weise, 55 S.W.3d at 620
    -21).
    14
    citing Weise for that proposition.45 “Addressing the ‘as applied’ substance of the claim,” the
    high court held, thus “resulted in a circumvention of the pretrial habeas cognizability limitations.”46
    Another Court of Criminal Appeals case of significance to the district court was Lykos
    v. Fine.47 Lykos arose out of a pending capital murder case in which the State had given notice of
    its intent to seek the death penalty.48 The defendant filed a novel pretrial motion seeking a ruling
    declaring the death-penalty sentencing statute unconstitutional “as applied” to him, and attempted
    to demonstrate by pleadings and proof that he faced what he claimed to be an unconstitutionally high
    systemic risk of wrongful conviction or other error at trial.49 After the trial court set an evidentiary
    hearing on the motion, the State sought to bar the proceedings via mandamus and prohibition,
    challenging the trial court’s legal authority to conduct such a hearing before trial.50 Concluding
    that “there is no basis under Texas law to conduct a pretrial evidentiary hearing to determine the
    ‘as applied’ constitutionality of a state penal or criminal procedural statute” and that the trial court,
    consequently, was “acting beyond the scope of his lawful authority,” the Court of Criminal Appeals
    conditionally granted relief.51
    45
    Id. (citing 
    Weise, 55 S.W.3d at 620
    -21).
    46
    
    Id. at 81.
            47
    
    330 S.W.3d 904
    .
    48
    
    Id. at 906.
            49
    See 
    id. at 906-08.
            50
    
    Id. at 906-07.
            51
    
    Id. at 919-20.
    15
    In reaching that conclusion, the Court of Criminal Appeals relied heavily on the
    view that “as applied” constitutional challenges could only be brought “during or after a trial on the
    merits, for it is only then that the trial judge and reviewing courts could have the particular facts and
    circumstances of the case needed to determine whether the statute or law has been applied in an
    unconstitutional manner.”52 The court also relied upon prior decisions in which it had emphasized
    that the Legislature had not seen fit to provide criminal courts procedural mechanisms by which they
    could grant “declaratory judgments”53 or test, prior to trial, the sufficiency of evidence supporting
    or defeating the elements of charged offenses.54 In that regard, the court cited with approval a
    1950 case, Ex parte Hammonds,55 in which it had refused to entertain a pretrial habeas claim seeking
    determination of whether a set of agreed facts submitted by the parties constituted the crime of rape.
    In Hammonds, the court had observed that “[i]n Texas, procedure such as demurrer to the evidence,
    declaratory judgment or pre-trial judgment, in criminal cases, is not recognized,” and refused to
    allow pretrial habeas to be used to achieve effectively the same ends.56
    Emphasizing Weise, Ellis, and Lykos, the district court concluded that “[t]he
    Texas Court of Criminal Appeals has made it crystal clear that a trial court has no authority to
    consider the merits of a pretrial writ of habeas corpus based upon an ‘as applied’ challenge to the
    52
    
    Id. at 910;
    see also 
    id. at 911-12
    (emphasizing the “hypothetical” nature of the
    constitutional complaint).
    53
    See 
    id. at 909
    (citing Ex parte 
    Usener, 391 S.W.2d at 736
    ).
    54
    
    Id. at 919
    & n.68 (citing 
    Rosenbaum, 910 S.W.2d at 948
    ).
    55
    
    230 S.W.2d 820
    ; see 
    Lykos, 330 S.W.3d at 909
    n.18.
    56
    
    Hammonds, 230 S.W.2d at 821
    .
    16
    constitutionality of a statute”57 and held that this principle barred it from reaching the merits of the
    sixteen claims it had classified as “as applied” constitutional challenges.
    But Perry insists these precedents are distinguishable
    Although not disputing that the sixteen claims each assert a form of “as applied”
    constitutional challenge rather than what is generally considered a facial one, Perry insists his
    particular “as applied” challenges are nonetheless cognizable in pretrial habeas, notwithstanding
    the Court of Criminal Appeals precedents discussed above, for two related sets of reasons. First,
    while acknowledging that the Court of Criminal Appeals in Ellis “has made the broad statement that
    pretrial habeas ‘may not be used to advance an ‘as applied’ challenge,’” Perry insists that the high
    court’s jurisprudence is actually more nuanced than the district court assumed. He reasons that the
    “as applied” constitutional challenges that have been the concern of the Court of Criminal Appeals
    in cases like Ellis and Lykos refer only to challenges that, as a practical matter, could not be
    determined without recourse to evidence. While such evidentiary development may be necessary
    to assert “typical as-applied challenges,” Perry maintains, this is not true of all “as applied”
    challenges, because some “can be decided solely by reference to the indictment and the statute.” In
    fact, Perry urges, the Court of Criminal Appeals has previously entertained on pretrial habeas
    this very sort of “as-applied-to-the-indictment” challenge, as he terms it, in a 1991 decision,
    Ex parte Boetscher.58
    57
    Order at 6.
    58
    
    812 S.W.2d 600
    (Tex. Crim. App. 1991).
    17
    In that case, Boetscher, a resident of Michigan, was indicted in Lubbock County for
    criminal nonsupport of his children, which the then-applicable version of the Penal Code enhanced
    to a felony on the sole basis that he had resided out of state at the time the offense was allegedly
    committed.59 Boetscher sought relief by pretrial habeas corpus, and the Court of Criminal Appeals
    summarized his contentions as “argu[ing] that [the enhancement provision], as applied to the unusual
    circumstances of his case, denies him equal protection [under the Fourteenth Amendment] because
    it makes his alleged conduct a felony, rather than a misdemeanor, ‘solely because he is not a
    resident of Texas.’”60 There is no indication in the opinion that the State disputed the cognizability
    of Boetscher’s equal-protection challenge in pretrial habeas, and the Court of Criminal Appeals did
    not address that issue beyond dropping a footnote stating, “We have previously entertained pretrial
    habeas corpus proceedings challenging the constitutionality of penal statutes.”61 In support of that
    assertion, the court cited two cases, Ex parte Crisp,62 and Ex parte Psaroudis.63 Crisp involved a
    facial challenge to amendments to the Controlled Substances Act that was founded on an asserted
    defect in the bill caption.64 Psaroudis, on the other hand, addressed whether there was a “valid
    statute under which [the defendant] can be charged” without any explicit reference to an asserted
    constitutional defect; the court instead construed the Controlled Substances Act to determine
    59
    See 
    id. at 601
    (citing Tex. Penal Code § 25.05).
    60
    
    Id. at 603.
           61
    
    Id. at 601
    n.2.
    62
    
    661 S.W.2d 944
    (Tex. Crim. App. 1983).
    63
    
    508 S.W.2d 390
    (Tex. Crim. App. 1974).
    64
    
    Crisp, 661 S.W.2d at 945-48
    .
    18
    whether the statute prohibited the acts with which the applicant had been charged, possession or
    delivery of hashish.65
    The Boetscher court preceded its analysis of the claim by quoting the indictment “in
    relevant part,” noting allegations that Boetscher had failed to provide child support for his children
    in Lubbock County and that “the defendant was then residing in another state, to-wit: Michigan.”66
    The court subsequently observed that statutory amendments had changed the enhancement
    provisions, which had previously applied to persons who committed the offense in Texas and then
    fled the state, to “provide a felony penalty for all defendants who commit the offense while simply
    residing in another state.”67 This new enhancement scheme, the court concluded, “plainly implicates
    one of the basic rights of all Americans,” the right to travel, and was thus deemed invalid under the
    Equal Protection Clause of the Fourteenth Amendment unless “the government can show it is
    truly necessary to the promotion of a compelling governmental interest.”68 Because the State had
    not attempted to make any such showing, the court went on to hold that “the equal protection
    clause of the Fourteenth Amendment prohibits the application of [the enhancement provision]
    to appellant under this indictment.”69 In closing, the court expressly disclaimed any opinion as to
    65
    
    Psaroudis, 508 S.W.2d at 391-92
    . But cf. 
    Ellis, 309 S.W.3d at 79
    (pretrial habeas
    generally not available “to construe the meaning and application of the statute defining the offense
    charged” (citing 
    Smith, 185 S.W.3d at 893
    ; 
    Weise, 55 S.W.3d at 620
    -21)).
    66
    
    Boetscher, 812 S.W.2d at 602
    .
    67
    
    Id. at 603
    (emphasis in original).
    68
    
    Id. at 603
    -04 (emphases in original).
    69
    
    Id. at 604.
    19
    whether the statute could be applied against “nonsupport offenders who commit the offense in this
    state and then flee.”70
    Perry argues that his sixteen “as-applied-to-the-indictment” constitutional challenges
    are like those the Court of Criminal Appeals reached in Boetscher. As Perry sees it, his indictment,
    on its face, establishes that he “is being prosecuted for a veto and an alleged veto threat,” infringing
    not only his personal free-speech rights and immunities he possesses under the Speech and Debate
    Clause, but also the separation of powers mandated by the Texas Constitution, amounting to
    unlawful interference with the policymaking branches by entities within the Judicial Department.71
    In these ways, Perry reasons, his indictment is akin to the one in Boetscher, which facially revealed
    that the State was seeking to impose penalties on the applicant that hinged on the fact that he
    resided in Michigan, violating the right to travel. Just as Boetscher was permitted to challenge the
    constitutionality of the enhancement provision “as applied” to his circumstances via pretrial habeas,
    Perry urges, he is likewise permitted to bring his “as-applied-to-the-indictment” challenges that way.
    Perry’s second set of arguments draws upon additional jurisprudential policy
    justifications that the Court of Criminal Appeals has sometimes invoked when permitting pretrial
    habeas relief in other contexts. Foremost among these are cases where the high court has permitted
    the use of pretrial habeas to assert constitutional protections that it perceived would be effectively
    undermined otherwise. These have included claims regarding bail and those seeking to assert
    70
    
    Id. at 604
    n.8.
    71
    The Judicial Department under the Texas Constitution includes not only district courts but
    also district attorneys. See Tex. Const. art. V, §§ 1, 21.
    20
    the protection against double jeopardy.72 Perry regards the double-jeopardy cases as particularly
    instructive here because that constitutional protection entails a “right not to be tried” that
    must be vindicated before trial if it is to be effective. The same is true of his claims under the
    Texas Constitution’s Separation-of-Powers provision and Speech and Debate Clause, Perry insists,
    because these protections shield public officials not only from ultimately being held criminally liable
    based on acts within their scope, but also from being subjected to prosecution based on those
    acts at all.
    Perry further asserts that pretrial habeas relief would not only be the best (if not
    exclusive) means of protecting his substantive rights as compared to trial and appeal, but would also
    serve the broader jurisprudential policy interest of conserving judicial resources.73 In this regard,
    Perry argues that his “as-applied-to-the-indictment” constitutional challenges are the “functional
    equivalent” of facial constitutional challenges, turning on questions of law that require no evidentiary
    development and could be resolved by appellate courts as well as trial courts could. He adds that
    favorable resolution of his claims would compel his immediate discharge from restraint, another
    72
    See 
    Weise, 55 S.W.3d at 619
    -20 (citing Martinez v. State, 
    826 S.W.2d 620
    , 620
    (Tex. Crim. App. 1992) (citing Danziger v. State, 
    786 S.W.2d 723
    , 724 (Tex. Crim. App. 1990)
    (per curiam) (bail)); Ex parte 
    Robinson, 641 S.W.2d at 555
    (double jeopardy)).
    73
    See 
    Weise, 55 S.W.3d at 620
    (“Pretrial habeas should be reserved for situations in which
    the protection of the applicant’s substantive rights or the conservation of judicial resources would
    be best served by interlocutory review.”). In the same vein, Perry cites language in another Court
    of Criminal Appeals decision that noted, with reference to cognizable claims raising limitations
    bars established on the face of the charging instrument, “There is no point in wasting scarce judicial
    and societal resources or putting the defendant to great expense, inconvenience, and anxiety if
    the ultimate result is never in question.” 
    Smith, 178 S.W.3d at 802
    . The high court has since
    characterized this language as “dicta,” however, and intimated that this rationale would be
    insufficient in itself to make a pretrial habeas claim cognizable. See 
    Doster, 303 S.W.3d at 725
    .
    21
    consideration in the Court of Criminal Appeals’s pretrial habeas jurisprudence.74 And besides these
    judicial policy considerations, Perry urges, immediate resolution of his claims via pretrial habeas and
    appeal is compelled by the separation-of-powers concerns he has invoked, “[t]he paramount public
    interest in the effective functioning of state institutions in general, and the untrammeled exercise of
    the line-item veto by the governor in particular.” In short, Perry maintains that prudential limitations
    that the Court of Criminal Appeals has imposed on the pretrial habeas corpus remedy within the
    Judicial Department should not serve to facilitate a more serious ongoing infringement by that
    Department on the other governmental branches.
    The State attacks Perry’s proposed distinctions
    The State responds that the district court was correct—the Court of Criminal
    Appeals’s decisions in Ellis, Weise, and Lykos ultimately control and are fatal to Perry’s attempt to
    assert his sixteen “as-applied-to-the-indictment” claims via pretrial habeas corpus. As for Perry’s
    reliance on Boetscher, the State grants that the Court of Criminal Appeals permitted there an “as-
    applied equal protection challenge on the face of the indictment” via pretrial habeas. However, the
    State insists, “[f]ew cases are as simple or unusual as Ex parte Boetscher,” observing that the
    challenged statute “[o]n its face . . . treated in-state residents differently from out-of-state residents,”
    that Boetscher’s “out-of-state residence was the gravamen of the enhanced penalty,” and that the
    indictment’s allegation that Boetscher lived out of state was uncontroverted and “not subject
    to interpretation.” Under those particular circumstances, in the State’s view, Boetscher’s equal-
    74
    See 
    Weise, 55 S.W.3d at 619
    .
    22
    protection challenge amounted to a “‘pure law’ challenge that is justiciable using only the language
    in the indictment.”
    In this regard, the State draws comparisons to the Court of Criminal Appeals’s
    jurisprudence regarding cognizability of limitations-based challenges to charging instruments. As
    the high court noted in Weise, it has long recognized an “exception” against the general rule
    barring pretrial habeas challenges to “test the sufficiency” of the charging instrument “when the
    pleading, on its face, shows that the offense charged is barred by limitations.”75 But this principle
    has been further refined, as the State emphasizes, by a distinction between challenges based
    on charging instruments that establish an “incurable,” “irreparable,” and “absolute” limitations bar
    to prosecution, versus those that complain of asserted deficiencies in a “tolling paragraph,”
    “explanatory averment,” or “innuendo allegations” that would “suffice to show that the charged
    offense is not, at least on the face of the indictment, barred by limitations.”76 Only the former
    category—which the high court has elsewhere termed a “pure law” limitations defense—is deemed
    cognizable in pretrial habeas; the latter—what the court has labeled a “limitations factual
    defense”—is not.77
    The State urges that Perry’s “as-applied-to-the-indictment” constitutional challenges
    are far removed from the “pure law” challenge addressed in Boetscher and analogous limitations
    75
    
    Id. at 620
    (citing 
    Tamez, 38 S.W.3d at 161
    (citing 
    Dickerson, 549 S.W.2d at 203
    )).
    76
    
    Smith, 178 S.W.3d at 802
    -03.
    77
    Id.; see Phillips v. State, 
    362 S.W.3d 606
    , 617-18 (Tex. Crim. App. 2011) (citing Proctor
    v. State, 
    967 S.W.2d 840
    , 844 (Tex. Crim. App. 1998)); cf. Ex parte Heilman, 
    456 S.W.3d 159
    , 168-
    69 (Tex. Crim. App. 2015) (overturning the distinction as it bears upon whether a limitations defense
    can be waived).
    23
    cases, requiring factual development beyond what can be determined from the face of the indictment
    alone. In fact, as the State emphasizes, the parties have continued to litigate the precise content of
    the indictment—the predicate of Perry’s “as-applied-to-the-indictment” challenges—before the
    district court in the interim since that court issued the order on appeal, with the State having since
    filed a “Bill of Particulars & Amendment of Indictment” that purports to add “further clarity” to the
    asserted factual bases for both counts, and Perry objecting to that filing on numerous grounds and
    moving to quash. Among other changes, the State’s filing purports to modify Count I, which in its
    original form did not allege explicitly that Perry’s supposed “misuse [of] government property” made
    the basis for the charge consisted of a gubernatorial veto—a central premise of Perry’s “as-applied-
    to-the-indictment” constitutional challenges. The new language would include specific allegations
    that Perry’s “misuse [of] government property” underlying Count I was his use of “the lawful
    power of gubernatorial veto for an unlawful purpose, to-wit: eliminating funding for the Public
    Integrity Unit after Ms. Lehmberg refused to resign from her elected position as Travis County
    District Attorney.”78
    Leaving aside any such uncertainties regarding the content of the indictment, the State
    contends more broadly that Perry’s “as-applied-to-the-indictment” challenges rest upon myriad
    speculations, hypotheses, and interpretations as to what the underlying facts actually are and how the
    two statutes at issue would apply to them—e.g., precisely what then-Governor Perry said and did,
    78
    In light of these ongoing trial-court-level developments concerning the indictment, we
    requested and have received supplemental briefing from the parties addressing whether or how these
    events impact the justiciability or continued relevance of the issues Perry has raised in this appeal.
    We have concluded that the ongoing developments below do not impact our jurisdiction to decide
    the issues presented on appeal, but have considered the supplemental briefing as it informs our
    disposition of the cognizability questions.
    24
    whether these facts would constitute violations of Penal Code sections 36.03(a)(1) and 39.02(a)(2),
    and whether any such applications of the statutes would violate the constitutional provisions he
    has invoked. This factual record will exist only after evidence is presented at trial, the State insists,
    and Perry’s attempts to adjudicate them via pretrial habeas amount ultimately to the sorts of
    impermissible pretrial challenges to the sufficiency of the indictment, attempts “to construe the
    meaning and application of the statute defining the offense charged,” “declaratory judgment” claims,
    and “as applied” constitutional challenges that the Court of Criminal Appeals condemned in Ellis
    and Weise. The State further emphasizes additional Court of Criminal Appeals precedents that have
    refused pretrial habeas relief in other contexts when the court perceives evidentiary development at
    trial to be necessary or beneficial in resolving the claim.79
    Perry’s “as applied” constitutional challenges are not cognizable under the Court of Criminal
    Appeals’s current precedents
    Perry’s arguments ultimately amount to assertions about what Texas pretrial habeas
    law currently is, on one hand, and what Perry contends it ought to be, on the other. With regard to
    79
    See 
    Smith, 185 S.W.3d at 893
    (“[A]ppellant’s in pari materia claim is not yet ripe for
    review. . . . Though we may have a general idea of the facts of this case based on . . . testimony at
    the evidentiary hearing and the representations in the defensive pleadings, which appear to be based
    on newspaper accounts of the incident, we believe it apparent from the portions of the record set out
    above that the State has more evidence to present about which we can only speculate at this time.
    An appellate decision on the in pari materia claim would be premature before the State has had an
    opportunity to develop a complete factual record during a trial, and we are not aware of any authority
    that would require the State to prove its case before this time. Deciding the in pari materia claim
    now on what would amount to a hypothetical set of facts that might be presented at appellant’s trial
    would be merely advisory.”) (internal citations omitted); see also 
    Doster, 303 S.W.3d at 724
    (stating
    that “pretrial habeas is unavailable when the resolution of a claim may be aided by the development
    of a record at trial” (citing 
    Smith, 185 S.W.3d at 893
    )).
    25
    the existing law, the Court of Criminal Appeals has sent us lower courts the following unequivocal
    messages through its current pretrial habeas jurisprudence:
    •      Pretrial habeas and subsequent appeals are “extraordinary” remedies that are properly
    available “only in very limited circumstances.”80
    •      Pretrial habeas typically cannot be used to test the sufficiency of a charging instrument or
    to determine the legal effect of particular facts under a criminal statute.81 These limitations
    are grounded not only in concerns about the ripeness of material underlying facts before
    the evidence is presented at trial, but also a traditional reluctance by the high court (as
    emphasized in Lykos) to permit pretrial habeas to be used to achieve the effect of procedural
    mechanisms, such as a declaratory-judgment statute, that the Legislature has heretofore not
    seen fit to provide Texas criminal courts.82 In fact, in the Hammonds case cited by the Lykos
    court, the Court of Criminal Appeals held for these reasons that pretrial habeas cannot be
    used to obtain a determination regarding the construction and application of a criminal statute
    even to underlying facts to which the parties had agreed.83
    •      An “exception” to this general rule is where the applicant asserts that the statute under
    which he or she is being prosecuted is unconstitutional on its face because, if successful,
    the challenge would establish that “there is no valid statute and the charging instrument is
    void.”84 The distinguishing characteristic of a facial challenge to a penal statute, as the Court
    of Criminal Appeals emphasized in Ellis and later in Lykos, is that it contends the statute is
    unconstitutional regardless against whom it is applied, such that it can be decided based on
    the face of the statute alone, without regard to a defendant’s particular circumstances.85
    •      If a constitutional challenge to a criminal statute does not assert that the statute is wholly
    void, Ellis instructs us that it is to be classified as an “as applied” challenge, and that
    80
    E.g., 
    Ellis, 309 S.W.3d at 79
    ; 
    Smith, 178 S.W.3d at 801
    .
    81
    See 
    Ellis, 309 S.W.3d at 79
    (citing 
    Smith, 185 S.W.3d at 893
    ; 
    Weise, 55 S.W.3d at 620
    -
    21).
    82
    See 
    Lykos, 330 S.W.3d at 909
    -10, 919.
    83
    See 
    Hammonds, 230 S.W.2d at 821
    .
    84
    
    Weise, 55 S.W.3d at 620
    ; see 
    Ellis, 309 S.W.3d at 79
    .
    85
    See 
    Lykos, 330 S.W.3d at 908-09
    ; Ellis, 
    309 S.W.3d 79-82
    .
    26
    “[p]retrial habeas . . . may not be used to advance an ‘as applied’ challenge.”86 Weise
    similarly held that pretrial habeas was unavailable for a claim purporting to challenge the
    constitutionality of a penal statute as it had been applied in the charging instrument,
    concluding that the claim ultimately fell under the general rule prohibiting the use of
    the writ to challenge the sufficiency of a charging instrument.87 Lykos adds that “as applied”
    constitutional challenges characteristically require development through evidence presented
    at trial and cannot be decided at an earlier juncture.88
    As the district court concluded, these precedents would appear to make “crystal clear”
    that Perry’s “as-applied-to-the-indictment” claims are not cognizable in pretrial habeas. The closest
    existing Court of Criminal Appeals authority that Perry offers to support a contrary conclusion
    is Boetscher. That case, which predates Weise, Ellis, and Lykos by a decade or more, is somewhat
    difficult to reconcile with those more recent decisions, and the Psaroudis case, on which Boetscher
    partly founded its cognizability holding,89 would appear to be squarely inconsistent with them.90
    At least one respected secondary authority has suggested that some Court of Criminal Appeals
    cognizability decisions from that earlier era “fail[ed] at the time to have fully embraced the
    distinction [between] challenges to statutes on their faces and as applied” and would likely
    be decided differently by the high court today.91 As for the Court of Criminal Appeals’s own
    pronouncements, it has never explicitly overruled Boetscher, but amid its synthesis of Texas pretrial
    86
    
    Ellis, 309 S.W.3d at 79
    -81.
    87
    
    Weise, 55 S.W.3d at 620
    -21.
    88
    
    Lykos, 330 S.W.3d at 910
    .
    89
    
    Boetscher, 812 S.W.2d at 601
    n.2.
    90
    
    Psaroudis, 508 S.W.2d at 391-92
    (addressing, via pretrial habeas, whether Controlled
    Substances Act prohibited delivery of hashish, the act with which the defendant had been charged
    under the statute).
    91
    Dix & Schmolesky, supra note 13, § 35:19.
    27
    habeas law in Weise, the court cited Boetscher as an illustrative case where it had held facial
    constitutional challenges to be cognizable in pretrial habeas.92 Whether this aspect of Weise would
    imply support for Perry’s notion that “as-applied-to-the-indictment” challenges are deemed
    tantamount to facial challenges and are thus cognizable, represents an after-the-fact attempt by the
    Court of Criminal Appeals to recharacterize Boetscher in line with its current views regarding the
    cognizability of “as applied” challenges, or neither, is unclear.
    Without more definite guidance from the Court of Criminal Appeals, we must
    continue to follow Boetscher and, as neither case purported to overrule it, view it as an unstated
    qualification to the holdings of Ellis and Weise that “as applied” constitutional challenges are not
    cognizable in pretrial habeas.93 However, we agree with the State that Perry’s “as-applied-to-the-
    indictment” claims are distinguishable from those addressed in Boetscher. The factual bases for
    Boetscher’s “as applied” challenge were straightforward and readily ascertainable from the face of
    his indictment: he was being prosecuted for child-support nonpayment, with a penalty enhancement
    because he resided in Michigan. The opinion reflects no dispute regarding either the underlying fact
    of Boetscher’s Michigan residency or that the statute made him susceptible to higher penalties
    solely for that reason.94 Consequently, while employing “as applied” phrasing, the Court of Criminal
    Appeals’s analysis resembled that in a conventional facial challenge—the inquiry centered on the
    92
    
    Weise, 55 S.W.3d at 620
    & n.17.
    93
    See 
    DeLay, 208 S.W.3d at 607
    (“As an intermediate appellate court, we lack the authority
    to overrule an opinion of the court of criminal appeals,” and even where such a precedent has
    arguably been undermined by intervening developments, it remains “the law and we are not free to
    disregard it” until high court itself revisits the decision).
    94
    See 
    Boetscher, 812 S.W.2d at 601
    -04.
    28
    language of the statute itself, concluding that the statute’s “classification scheme . . . implicates one
    of the basic rights of all Americans,” the right to travel.95
    Perry’s “as applied” challenges, by contrast, are intertwined not only with disputes
    about what the underlying facts are—indeed, disputes even about what underlying facts have been
    alleged in the indictment—but also with disputes about whether those facts would constitute
    violations of the statutes under which he is charged. These features of his “as-applied-to-the-
    indictment” claims, unlike those in Boetscher, implicate jurisprudential policies against using pretrial
    habeas to test the sufficiency of allegations in a charging instrument or to obtain a “declaratory
    judgment” or otherwise determine the legal effect of particular facts under a criminal statute prior
    to trial. In these ways, Perry’s “as-applied-to-the-indictment” claims more closely resemble the “as-
    applied” claims addressed in Ellis and Weise, and we accordingly conclude that those decisions,
    rather than Boetscher, control here.96 Under Ellis and Weise, Perry’s “as-applied-to-the-indictment”
    95
    
    Id. at 603.
            96
    We similarly are not persuaded by Perry that language in the concurrence to the Court of
    Criminal Appeals’s more recent Karenev v. State decision, 
    281 S.W.3d 428
    (Tex. Crim. App. 2009),
    warrants a different conclusion. Perry emphasizes the following excerpt from the concurrence:
    [W]hat is the difference between a facial challenge and an “as applied” challenge to
    the constitutionality of a penal statute? Evidence. A facial challenge is based solely
    upon the face of the penal statute and the charging instrument, while an applied
    challenge depends on the evidence adduced at a trial or 
    hearing. 281 S.W.3d at 435
    (Cochran, J., joined by Price, Womack, and Johnson, JJ., concurring). Perry
    deduces that this language supports his proposed distinction between the cognizability of “typical”
    or “true” “as applied” challenges and “as-applied-to-the-indictment” challenges that are tantamount
    to facial challenges. He ascribes particular importance to the concurrence’s reference to a facial
    challenge being “based solely upon the face of the penal statute and the charging instrument.”
    Leaving aside that this concurring opinion does not represent the authoritative view of the Court
    of Criminal Appeals, this excerpt is less helpful to Perry than he suggests once it is examined in
    context.
    29
    claims are not cognizable in pretrial habeas. While the subject matter of these claims may indeed
    be “important,” and “worthy of careful consideration,” as the district court acknowledged, that
    consideration alone has not been a controlling determinant for the Court of Criminal Appeals.97
    Perry’s remaining rationales for limiting or avoiding the effect of Ellis and Weise are
    ultimately rooted not in any existing controlling precedent of the Court of Criminal Appeals, but
    broader “factors” he identifies in what he terms the high court’s “evolving jurisprudence regarding
    cognizability in pretrial habeas.” As we have already emphasized, this Court is not empowered to
    “evolve” or otherwise alter the binding effect of the Court of Criminal Appeals’s controlling
    precedents, even if we might perceive sound justifications for doing so.98 Such changes are the
    Karenev presented the Court of Criminal Appeals with the issue of whether a facial
    challenge to the constitutionality of a penal statute could be raised for the first time on appeal. The
    majority concluded it could not. 
    Id. at 435.
    The four concurring judges would have held that
    defendants should be allowed to raise facial challenges to penal statutes on appeal, reasoning in part
    that such a challenge presents a “pure” legal question “wholly divorced from the specific facts of the
    purported crime,” and is thus not dependent on evidence, such that appellate judges could resolve
    them as well as a trial judge could. See 
    id. at 435-38.
    The focus of the excerpt on which Perry relies,
    read in context, was merely to emphasize the “purely legal” nature of facial challenges and their
    suitability for resolution by appellate judges, as contrasted with “as applied” challenges. As for the
    reference to facial challenges being “based solely upon the face of the penal statute and the charging
    instrument,” the succeeding discussion suggests that this is an allusion to the fact that a defendant
    bringing a facial challenge does “not need any evidence other than the fact of their prosecution”—as
    would be established by the charging instrument itself—“to give them standing to challenge the
    constitutionality of the penal statute under which they were convicted.” 
    Id. at 435.
    In sum, the
    Karenev concurrence ultimately provides little support for Perry’s notion that his “as-applied-to-the-
    indictment” constitutional challenges should be considered tantamount to facial challenges, let alone
    provides guidance regarding the cognizability of such claims on pretrial habeas.
    97
    See 
    Weise, 55 S.W.3d at 620
    (“[W]e have held that an applicant may not use a pretrial writ
    to assert his or her constitutional rights to a speedy trial, challenge a denial of a pretrial motion to
    suppress, or make a collateral estoppel claim that does not involve a double jeopardy violation.
    Those issues are better addressed by a post-conviction appeal.”) (internal citations omitted).
    98
    See 
    DeLay, 208 S.W.3d at 607
    .
    30
    prerogative of the high court itself, and until it so acts, we remain bound by Ellis and Weise.99
    Similarly, “‘[a]s an intermediate appellate court, we are not free to mold Texas law as we see fit
    but must instead follow the precedents of the Texas Supreme Court [or the Texas Court of Criminal
    Appeals] unless and until the high court[s] overrule[] them or the Texas Legislature supersedes
    them by statute.’”100 In similar instances where that principle has required us to reject proposed
    modifications of the existing law that would conflict with higher court precedents, litigants have
    sometimes succeeded later in obtaining the desired change in a higher court or from the
    Legislature.101 But unless and until such changes occur here, Perry’s “as-applied-to-the-indictment”
    challenges are not cognizable in pretrial habeas corpus.
    As a final note regarding cognizability of these “as applied” challenges, we
    acknowledge a broader concern raised by Perry and also by amici who support him—in their view,
    this case represents an instance where a defendant has been made to face criminal charges of dubious
    legal viability (and/or politically motivated origins) and will inevitably be vindicated, the only
    question being at what point in the proceedings this will occur. In such circumstances, they urge,
    the opportunity and eventuality of obtaining a favorable judgment at trial or on appeal will often do
    99
    
    Id. 100 Texas
    Dep’t of Pub. Safety v. Cox Tex. Newspapers, L.P., 
    287 S.W.3d 390
    , 394-95
    (Tex. App.—Austin 2009) (quoting Petco Animal Supplies, Inc. v. Schuster, 
    144 S.W.3d 554
    , 565
    (Tex. App.—Austin 2004, no pet.), rev’d on other grounds, 
    343 S.W.3d 112
    (Tex. 2011).
    101
    See 
    id. at 392,
    394-95, 398 (declining to recognize proposed expansion of common-law
    or constitutional privacy exceptions so as to shield travel vouchers for then-Governor Perry’s
    security detail against mandatory disclosure under the Public Information Act). 
    Cf. 343 S.W.3d at 120
    (on appeal, Texas Supreme Court recognized a new common-law “public safety” exception);
    see also Act of May 30, 2011, 82d Leg., R.S., ch. 1229, § 2, 2011 Tex. Gen. Laws 3271, 3271
    (codified at Tex. Gov’t Code § 552.022(a)).
    31
    little to rectify the harm the defendant suffers to reputation, professional standing, and the like during
    the meantime. In fact, they suggest, inflicting such harms may be the primary goal of those who
    pursue the charges. We express no opinion at this juncture as to whether these characterizations of
    the charges pending against Perry are accurate—the more relevant observation now is that similar
    things were said of the proceedings that gave rise to Ellis and related cases, yet it was only through
    trial and post-judgment appeals that the now-former public official at the center of the cases was able
    to refute the legal viability of the charges against him.102 Under Ellis and similar decisions of the
    Court of Criminal Appeals, such potential harms incurred by defendants in the meantime, however
    considerable they may be, are simply deemed insufficient in themselves to provide a basis for relief
    through pretrial habeas corpus. If the Texas criminal justice system should operate differently, that
    change must come from the Court of Criminal Appeals or the Legislature.
    As the law stands now, the district court did not err in denying Perry pretrial habeas
    relief on all sixteen of his claims that assert “as applied” constitutional challenges. And because
    these include the sole claims Perry asserts regarding Count I (“Abuse of Official Capacity”), we
    affirm the district court’s denial of relief as to that charge. But as to Count II (“Coercion of Public
    Servant”), there remain to be considered Perry’s alternative facial constitutional challenges.
    FACIAL CONSTITUTIONAL CHALLENGES
    In claims 1-4 concerning Count II, Perry challenges the facial constitutionality of
    the statute on which that charge is based, section 36.03(a)(1) of the Penal Code, as it incorporates
    the relevant portion of the Penal Code’s definition of “coercion.” These claims are grounded in the
    102
    See generally DeLay v. State, 
    443 S.W.3d 909
    (Tex. Crim. App. 2014).
    32
    established doctrines of “overbreadth” and “vagueness” that derive from the “freedom of speech”
    guaranteed by the First Amendment to the United States Constitution,103 which has been applied to
    the states through the Fourteenth Amendment.104 Although Perry has also based these claims on
    the Texas Constitution’s free-speech provision, Article I, Section 8,105 his arguments, at least on
    appeal, rely entirely on case decisions applying the First Amendment, and he does not identify
    any feature of the Texas provision that would cause it to operate any differently than its federal
    counterpart. Accordingly, we will focus our analysis entirely on the First Amendment protection
    and jurisprudence.106
    The First Amendment prohibits overbroad and vague speech restrictions
    The First Amendment overbreadth doctrine holds that a statute is facially invalid if,
    as written, it sweeps within its coverage a “substantial” amount of First Amendment-protected
    103
    See U.S. Const. amend. I (“Congress shall make no law . . . abridging the freedom
    of speech”). “Speech” in this sense includes not only oral statements, but also writings and other
    mediums of communication or expression. E.g., Boos v. Berry, 
    485 U.S. 312
    , 316-18 (1988)
    (displays of signs were “classically political speech” protected by First Amendment); Organization
    for a Better Austin v. Keefe, 
    402 U.S. 415
    , 419 (1971) (“[P]eaceful pamphleteering is a form of
    communication protected by the First Amendment.”).
    104
    See, e.g., Virginia v. Black, 
    538 U.S. 343
    , 358 (2003); Ex parte Thompson, 
    442 S.W.3d 325
    , 334 (Tex. Crim. App. 2014) (citing Board of Educ. v. Barnette, 
    319 U.S. 624
    , 638-39 (1943)).
    105
    See Tex. Const. art. I, § 8.
    106
    See, e.g., Gilley v. State, 
    418 S.W.3d 114
    , 120 n.23 (Tex. Crim. App. 2014) (declining
    to reach right-to-counsel complaint grounded in Texas Constitution where appellant “makes no
    independent argument that it should be construed more protectively in the right-to-counsel context
    than the Sixth Amendment” (citing Barley v. State, 
    906 S.W.2d 27
    , 35-36 (Tex. Crim. App. 1995))).
    33
    expression as compared to any activity it proscribes constitutionally.107 The doctrine thus presumes
    that the challenged statute might otherwise have some legitimate applications, contrary to the typical
    character of facial challenges,108 and it follows that a party may bring an overbreadth challenge
    without regard to whether he would otherwise have suffered a constitutional violation from the
    statute’s application, an exception to typical standing requirements.109 This result is deemed justified
    by concerns that the statute would otherwise suppress or “chill” the constitutionally protected free
    expression of numerous persons not before the court.110 The Court of Criminal Appeals, quoting
    the United States Supreme Court, recently summarized these underlying jurisprudential policies in
    Ex parte Lo:
    “The Government may not suppress lawful speech as the means to suppress unlawful
    speech. Protected speech does not become unprotected merely because it resembles
    the latter. The Constitution requires the reverse.” This rule reflects the judgment
    that “[t]he possible harm to society in permitting some unprotected speech to go
    107
    E.g., Ex parte Lo, 
    424 S.W.3d 10
    , 18 (Tex. Crim. App. 2013) (quoting Virginia v. Hicks,
    
    539 U.S. 113
    , 118-19 (2003)); Morehead v. State, 
    807 S.W.2d 577
    , 579-80 (Tex. Crim. App. 1991)
    (citing Bynum v. State, 
    767 S.W.2d 769
    , 772 (Tex. Crim. App. 1989)).
    108
    Cf. 
    Ellis, 309 S.W.3d at 80
    (stating general rule that facial challenge must demonstrate
    that statute is invalid in all of its applications). Thus, the State’s reliance on the general rule is
    misplaced if, as Perry urges, the challenged statutes implicate First Amendment-protected
    expression. See 
    id. 109 See
    id. at 90-91 
    (citing Broadrick v. Oklahoma, 
    413 U.S. 601
    , 612 (1973)); see also
    Board of Trustees v. Fox, 
    492 U.S. 469
    , 482-84 (1989) (observing that “the person invoking
    overbreadth may challenge a statute that infringes protected speech even if the statute
    constitutionally might be applied to him” and that the doctrine’s “principal advantage . . . for a
    litigant is that it enables him to benefit from the statute’s unlawful application to someone else.”)
    (internal citations and quotations omitted).
    110
    
    Morehead, 807 S.W.2d at 580
    (quoting Coates v. Cincinnati, 
    402 U.S. 611
    , 619-20
    (1971)).
    34
    unpunished is outweighed by the possibility that protected speech of others may
    be muted[.]”111
    But because the overbreadth doctrine departs from normal standing concepts and
    has broader effects than case-by-case adjudication—the constitutional defect is not merely a bar
    to the statute’s enforcement against a particular defendant, but causes the statute to be invalidated
    altogether—the high courts have emphasized that the overbreadth doctrine is “strong medicine”
    that should be employed “sparingly” and “only as a last resort,”112 and “must be carefully tied to the
    circumstances in which facial invalidation of a statute is truly warranted.”113 Consequently, before
    a court invalidates a statute for overbreadth, the statute’s reach to impermissible applications
    “‘must be not only real, but substantial as well, judged in relation to the statute’s plainly legitimate
    sweep.’”114 Otherwise, “whatever overbreadth may exist should be cured through case-by-case
    analysis of the fact situations to which its sanctions, assertedly, may not be applied.”115
    The vagueness doctrine, on the other hand, derives in part from due-process notice
    concerns that require a criminal law to be sufficiently clear to afford a person of ordinary intelligence
    a reasonable opportunity to know what is prohibited while also establishing determinate
    
    111 424 S.W.3d at 18
    (quoting Ashcroft v. Free Speech Coal., 
    535 U.S. 234
    , 255 (2002);
    
    Broadrick, 413 U.S. at 612
    )) (quotations and alterations in original).
    112
    New York v. Ferber, 
    458 U.S. 747
    , 769 (1982) (quoting 
    Broadrick, 413 U.S. at 613
    );
    accord 
    Ellis, 309 S.W.3d at 91
    .
    113
    
    Ferber, 458 U.S. at 769
    .
    114
    
    Ellis, 309 S.W.3d at 91
    (quoting 
    Broadrick, 413 U.S. at 613
    , 615).
    115
    
    Broadrick, 413 U.S. at 615
    -16.
    35
    guidelines for law enforcement.116 According to the Texas Court of Criminal Appeals in Ellis, a
    facial vagueness challenge ordinarily must demonstrate that a criminal law fails this standard
    “in all of its applications.”117 However, “‘[w]hen a statute is capable of reaching First Amendment
    freedoms, the doctrine of vagueness ‘demands a greater degree of specificity than in other contexts’”
    for reasons similar to those underlying the overbreadth doctrine—“to preserve adequately the right
    of free expression because ‘uncertain meanings inevitably lead citizens to steer far wider of the
    unlawful zone than if the boundaries of the forbidden areas were clearly marked.’”118 Thus, “where
    First Amendment freedoms are implicated, the law must be sufficiently definite to avoid chilling
    protected expression” or be struck down.119 Likewise, when a vagueness challenge involves
    First Amendment considerations, a criminal law may be held invalid on its face, as with an
    overbroad law, “even if the law has some valid application” and “even though it may not be
    unconstitutional as applied to that defendant’s conduct.”120 However, “‘perfect clarity and precise
    guidance have never been required even of regulations that restrict expressive activity.’”121
    116
    See Long v. State, 
    931 S.W.2d 285
    , 287-88 (Tex. Crim. App. 1996) (citing Grayned
    v. Rockford, 
    408 U.S. 104
    , 108-09 (1972); Kramer v. Price, 
    712 F.2d 174
    , 176-77 (5th Cir. 1983).
    117
    
    Ellis, 309 S.W.3d at 80
    . But cf. Johnson v. United States, ___ U.S. ___, ____,
    
    192 L. Ed. 2d 569
    , 582 (June 26, 2015) (more recently rejecting the “theory that a vague provision
    is constitutional merely because there is some conduct that clearly falls within the provision’s
    grasp”).
    118
    
    Long, 931 S.W.2d at 287-88
    (quoting 
    Grayned, 408 U.S. at 109
    ; 
    Kramer, 712 F.2d at 177
    ).
    119
    
    Id. at 287
    (citing 
    Grayned, 408 U.S. at 109
    ); accord 
    Ellis, 309 S.W.3d at 86
    .
    120
    
    Ellis, 309 S.W.3d at 86
    ; 
    Long, 931 S.W.2d at 288
    (citing Gooding v. Wilson, 
    405 U.S. 518
    , 521 (1972); 
    Kramer, 712 F.2d at 176
    n.3)).
    121
    
    Ellis, 309 S.W.3d at 86
    (quoting United States v. Williams, 
    553 U.S. 285
    , 304 (2008)
    (quoting Ward v. Rock Against Racism, 
    491 U.S. 781
    , 794 (1989))).
    36
    Furthermore, the concern of the vagueness doctrine “‘is not the possibility that it will be sometimes
    difficult to determine whether the incriminating fact [the statute] establishes has been proved; but
    rather the indeterminancy of precisely what that fact is.’”122
    The State does not dispute that Perry’s claims asserting that Penal Code
    section 36.03(a)(1) is unconstitutionally overbroad and vague “on its face” are, in both form and
    substance, facial constitutional challenges, as opposed to being “disguised” as-applied claims of the
    sort Ellis condemned. Nor does the State dispute that facial constitutional challenges like these are
    cognizable in pretrial habeas corpus123—in fact, the Court of Criminal Appeals has recently decided
    both facial overbreadth and vagueness challenges to criminal statutes that had been raised through
    that procedural mechanism124—or that the district court could properly reach the merits of
    both challenges here. On appeal, however, the State urges us to decline to reach Perry’s appeal of
    the district court’s decision rejecting those challenges on the merits. Instead, the State argues, we
    should remand those claims to the district court, allow proceedings there to run their course,
    and weigh in only when and if warranted by an appeal from a judgment after trial. To support that
    notion, the State cites language from Supreme Court decisions emphasizing the jurisprudential
    policies favoring judicious use of the overbreadth doctrine as an alternative to awaiting “as applied”
    122
    
    Id. at 89-90
    (quoting 
    Williams, 553 U.S. at 306
    ).
    123
    See Ellis, 
    309 S.W.3d 79-82
    ; 
    Weise, 55 S.W.3d at 620
    .
    124
    See 
    Lo, 424 S.W.3d at 13-14
    (addressing facial overbreadth challenge to Penal Code
    section 33.021(b) raised via pretrial habeas); 
    Ellis, 309 S.W.3d at 82-90
    (addressing facial vagueness
    challenge to Election Code provision raised through pretrial habeas); 
    id. at 90-92
    (addressing
    facial overbreadth challenge to same provision); cf. 
    id. at 79-82
    (analyzing whether ostensibly
    facial vagueness challenge to money-laundering statute was truly cognizable in pretrial habeas or a
    “disguised” as-applied challenge).
    37
    constitutional challenges raised through case-by-case adjudication.125 It also argues more generally
    that analysis of First Amendment facial challenges tends to benefit from development of a full
    evidentiary record at trial, as opposed to relying on more abstract analysis of the statutory language
    and its hypothetical implications.
    While such considerations might inform application of the overbreadth doctrine here,
    we cannot agree that they permit us to defer or avoid addressing Perry’s facial challenges altogether.
    The State does not cite, nor are we aware of, any Court of Criminal Appeals decision where the court
    has deemed these considerations to impact the cognizability of a facial overbreadth or vagueness
    challenge on pretrial habeas or the subsequent availability of appellate relief. To the contrary, the
    Court of Criminal Appeals’s holdings instruct us that trial and appellate courts should reach facial
    constitutional challenges at the pretrial habeas stage because they implicate “the trial court’s
    power to proceed,” a jurisdiction-like concern.126 These decisions leave us no more discretion to
    defer addressing Perry’s facial challenges at this juncture, as the State urges, than they permit us to
    decide his “as-applied-to-the-indictment” challenges now, as he insists.
    125
    See 
    Fox, 492 U.S. at 484-85
    (“It is not the usual judicial practice, . . . nor do we consider
    it generally desirable, to proceed to an overbreadth issue unnecessarily—that is, before it is
    determined that the statute would be valid as applied. Such a course would convert use of the
    overbreadth doctrine from a necessary means of vindicating the plaintiff’s own right not to be bound
    by a statute that is unconstitutional into a means of mounting gratuitous wholesale attacks upon state
    and federal laws. Moreover, the overbreadth question is ordinarily more difficult to resolve than the
    as-applied, since it requires determination [of] whether the statute’s overreach is substantial, not only
    as an absolute matter, but ‘judged in relation to the statute’s plainly legitimate sweep,’ and therefore
    requires consideration of many more applications than those immediately before the court.” (quoting
    
    Broadrick, 413 U.S. at 615
    )).
    126
    
    Weise, 55 S.W.3d at 619
    -20; see also 
    Lo, 424 S.W.3d at 13-14
    ; 
    Ellis, 309 S.W.3d at 82
    -
    92.
    38
    Accordingly, we proceed to the merits of Perry’s facial constitutional challenges.
    Whether a statute is facially unconstitutional is a question of law that we review de novo.127 We
    begin by inquiring whether Penal Code section 36.03(a)(1), as it incorporates the relevant portion
    of the Code’s “coercion” definition, reaches a substantial amount of First Amendment-protected
    activity.128 The “first step” in that analysis “is to construe the challenged statute,” as “it is impossible
    to determine whether a statute reaches too far without first knowing what the statute covers.”129
    Section 36.03(a)(1) is an expansive criminal prohibition of speech
    When construing statutes, we ordinarily focus on the literal text and determine the
    objective meaning of the words the Legislature used, as “the text of the statute is the law, in the
    sense that it is the only thing actually adopted by the legislators” and it “is the only definitive
    evidence of what the legislators . . . had in mind when the statute was enacted into law.”130 Penal
    Code section 36.03(a), titled “Coercion of a Public Servant or Voter,” states:
    (a)       A person commits an offense if by means of coercion he:
    (1)    influences or attempts to influence a public servant in a specific
    exercise of his official power or a specific performance of his official
    127
    
    Lo, 424 S.W.3d at 14-15
    & n.8.
    128
    See Village of Hoffman Estates v. Flipside, Hoffman Estates, Inc., 
    455 U.S. 489
    , 494
    (1982) (suggesting that where party asserts both facial overbreadth and vagueness challenges
    to a law, the court’s “first task” is to determine whether law reaches substantial amount of
    constitutionally protected conduct; “[i]f it does not, then the overbreadth challenge must fail,” and
    court then turns to the vagueness issue).
    129
    United States v. Stevens, 
    559 U.S. 460
    , 474 (2010) (quoting 
    Williams, 553 U.S. at 293
    ).
    130
    Boykin v. State, 
    818 S.W.2d 782
    , 785 (Tex. Crim. App. 1991).
    39
    duty or influences or attempts to influence a public servant to violate
    the public servant’s known legal duty; or
    (2)     influences or attempts to influence a voter not to vote or to vote in a
    particular manner.131
    The focus of the offense created by section 36.03(a)(1) is thus the use of “coercion” to “influence”
    (i.e., bring about or cause132), or attempt to so “influence,” certain behavior of a “public servant.”133
    Other Penal Code provisions require that these actions must be committed intentionally or
    knowingly.134 Consequently, a person violates section 36.03(a)(1) if he employs “coercion” with the
    131
    Tex. Penal Code § 36.03(a).
    132
    Although “influence” is not defined specifically, the word in both its noun and verb
    forms would ordinarily denote the exercise of a power or capacity to cause an effect upon or to bring
    about a particular result. Webster’s Third New Int’l Dictionary 1160 (2002); see, e.g., Olivas
    v. State, 
    203 S.W.3d 341
    , 345-46 (Tex. Crim. App. 2006) (looking to common dictionary definitions
    for guidance in determining plain meaning of undefined words in Penal Code). The Legislature
    used “influence” in a similar sense throughout chapter 36 of the Penal Code. See Tex. Penal Code
    §§ 36.04 (creating offense of “improper influence,” “privately address[ing] a representation, entreaty,
    argument, or other communication to any public servant who exercises or will exercise official
    discretion in an adjudicatory proceeding with an intent to influence the outcome of the proceeding
    on the basis of considerations other than those authorized by law”) (emphasis added), 36.05 (creating
    witness-tampering offense, defined in part as “offer[ing], confer[ring], or agree[ing] to confer any
    benefit on a witness in an official proceeding” “with intent to influence the witness”) (emphasis
    added). In fact, chapter 36 as a whole is titled “Bribery and Corrupt Influence” (emphasis added).
    133
    See Phillips v. State, 
    401 S.W.3d 282
    , 290 (Tex. App.—San Antonio 2013, pet. ref’d)
    (making a similar observation in context of evidentiary-sufficiency and procedural challenge to
    convictions for attempted coercion of public servant through threats of felonious bodily injury).
    134
    See Tex. Penal Code § 6.02(b), (c). A person acts intentionally, or with intent, with
    respect to the nature of his conduct when it is his conscious objective or desire to engage in the
    conduct. 
    Id. § 6.03(a).
    A person acts knowingly with respect to the nature of his conduct when he
    is aware of the nature of his conduct. 
    Id. § 6.03(b).
    40
    conscious objective or desire, or actual awareness of, bringing about, or in an attempt to bring about,
    the behavior of a “public servant” described in the statute.135
    In both the legal arena and ordinary usage, the precise parameters of “coercion” and
    when it occurs have often been elusive,136 although the concept frequently denotes some sort of
    impingement on a listener’s free will or autonomy through force or threat.137 As “coercion” is used
    135
    Thus, we disagree with Perry’s assertion that section 36.03(a)(1) “defin[es] the crime with
    reference to consequences (‘influencing a public servant’) without requiring that offenders have any
    intent or knowledge regarding those consequences.”
    136
    See, e.g., United States v. Velasquez, 
    772 F.2d 1348
    , 1357 (7th Cir. 1985) (acknowledging
    that “the ambiguity of such words as threat, intimidate, and coerce” had presented First Amendment
    problems when used to define criminal conduct in broadly written statutes); see also Oren Bar-Gill
    & Omri Ben-Shahar, Credible Coercion, 
    83 Tex. L. Rev. 717
    , 720-21 & nn. 4-5 (2005) (referencing
    some of the scholarly literature attempting to distinguish “coercion” and “threats” from mere “offers”
    and “bargaining”); Comment: Coercion, Blackmail, and the Limits of Protected Speech, 131 U. Pa.
    L. Rev. 1469, 1471-72 & n.12 (1983) (noting scholarly disagreement as to the meaning of “coercion”
    and proposing that “coercive speech” means only “speech forcing the listener to choose between
    two things when the listener has a legitimate claim to both things,” thereby “reduc[ing] a listener’s
    legitimate options”).
    137
    Webster’s Third New Int’l Dictionary 439 (2002) (“to compel to an act or choice by force,
    threat, or other pressure”); Black’s Law Dictionary 258 (6th ed. 1990) (“Compulsion; constraint;
    compelling by force or arms or threat. It may be actual, direct, or positive, as where physical force
    is used to compel act against one’s will, or implied, legal or constructive, as where one party
    is constrained by subjugation to other to do what his free will would refuse.”); see Davis v. State,
    
    313 S.W.3d 317
    , 337 (Tex. Crim. App. 2010) (“Coercive government misconduct renders a
    confession involuntary if the defendant’s ‘will has been overborne and his capacity for self-
    determination critically impaired’” (quoting Schneckloth v. Bustamonte, 
    412 U.S. 218
    , 225-26
    (1973))); In re Frank Kent Motor Co., 
    361 S.W.3d 628
    , 632 (Tex. 2012) (noting that “elements of
    economic duress or business coercion” include “a threat that overcomes the other party’s free will
    and causes it to do what it otherwise would not have done and that it was not legally bound to do”);
    see also Scheidler v. Nat’l Org. for Women, Inc., 
    537 U.S. 393
    , 405-06 (2003) (explaining that “the
    crime of coercion,” as created by the statutes of some states other than Texas, “involves the use of
    force or threat of force to restrict another’s freedom of action,” and contrasting it with extortion, a
    crime with common-law roots that focuses on the obtaining of property); Model Penal Code § 212.5
    (Official 1962 Draft and Revised Comments) (American Law Institute 1980) (offense of “criminal
    coercion” defined as the making of certain types of threats with the purpose “unlawfully to restrict
    another’s freedom of action”).
    41
    in the Texas Penal Code, however, the Legislature has defined the term more specifically. This
    definition currently appears in paragraph (9) of the Code’s general definitions provision,
    section 1.07(a):
    “Coercion” means a threat, however communicated:
    (A)      to commit an offense;
    (B)      to inflict bodily injury in the future on the person threatened or another;
    (C)      to accuse a person of any offense;
    (D)      to expose a person to hatred, contempt, or ridicule;
    (E)      to harm the credit or business repute of any person; or
    (F)      to take or withhold action as a public servant or to cause a public servant to
    take or withhold action.138
    Thus, the defining feature of “coercion” under the Penal Code is “a threat” to do or perform one or
    more of the six types of acts specified in paragraphs (A)-(F) of the definition. And, as confirmed
    by the phrase “however communicated” that immediately follows “threat,” the Legislature has
    limited “coercion” to speech and excluded means of compulsion that might be considered non-
    communicative in nature, such as bare physical force.139
    Further guidance regarding the nature of these “threats” is found in Olivas v. State,
    where the Court of Criminal Appeals examined “the meaning of the term ‘threaten’ as used in the
    138
    Tex. Penal Code § 1.07(a)(9).
    139
    See, e.g., Watts v. United States, 
    394 U.S. 705
    , 707 (1969) (per curiam) (stating that
    federal law prohibiting the willful or knowing making of written or oral threats “to take the life of
    or inflict bodily harm upon the President” or others in line of succession “makes criminal a form of
    pure speech”).
    42
    Penal Code” in order to identify the elements of the Code’s assault-by-threat prohibition.140 After
    observing that “[t]he word ‘threaten’ is not statutorily defined in the Penal Code,” the court turned
    to, and cited approvingly, the following definition of “threaten” from Webster’s:
    1.       to declare an intention of hurting or punishing; to make threats against;
    2.       to be a menacing indication of (something dangerous, evil, etc.); as the clouds
    threaten rain or a storm;
    3.       to express intention to inflict (injury, retaliation, etc.);
    4.       to be a source of danger, harm, etc., to.141
    The court similarly quoted a definition of “threat” from Black’s Law Dictionary: “A communicated
    intent to inflict harm or loss on another or another’s property.”142 Because the court couched its
    analysis in terms of determining the meaning of “threaten” “as used in the Penal Code,” we must
    presume that it would ascribe a similar meaning to “threat” as used in the Penal Code’s “coercion”
    definition. Accordingly, “threat” as used there would denote a declared or expressed intention “of
    hurting or punishing” or “to inflict injury,” a “menacing indication of . . . something dangerous or
    evil,” or “a source of danger [or] harm” that is communicated to another through speech. It also
    seems implicit in the notion of such a “threat” that the communication would be sufficiently specific
    140
    
    Olivas, 203 S.W.3d at 345-49
    ; see Tex. Penal Code § 22.01(a)(2) (“A person commits
    an offense if the person . . . intentionally or knowingly threatens another with imminent bodily
    injury”).
    141
    
    Olivas, 203 S.W.3d at 345
    (quoting Noah Webster, Webster’s New Twentieth Century
    Dictionary of the English Language Unabridged 1901 (2d ed. 1983)).
    142
    
    Id. at 345-46
    (quoting Black’s Law Dictionary 1203 (7th ed. 2000)).
    43
    to generate expectation that the actor could and would actually carry out particular harm on a
    particular person, thereby excluding more generalized complaints or advocacy.143
    In turn, paragraphs (A)-(F) of the definition specify six categories of threatened harm
    or loss that would distinguish “coercion” under the Penal Code.144 If the threatened harm or loss
    would itself constitute a felony offense, the offense created by section 36.03(a)(1) would be a third-
    degree felony; otherwise, it is a Class A misdemeanor.145 The specific focus of Perry’s facial
    challenges is the portion of paragraph (F) that references “threats . . . to take or withhold action as
    a public servant.”146 “Public servant” as used in the Penal Code is defined as:
    a person elected, selected, appointed, employed, or otherwise designated as one of
    the following, even if he has not yet qualified for office or assumed his duties:
    143
    That is not to say that the Penal Code’s “coercion” definition requires that the actor
    actually have intended to carry out the threatened harm. Cf. 
    Velasquez, 772 F.2d at 1357
    (regarding
    federal retaliation statute barring threats of violence or property damage against witnesses, observing
    that “[i]t . . . can make no difference whether the threatener intends to carry out the threat. . . . When
    making a threat one hopes not to have to carry it out; one hopes that the threat itself will be
    efficacious. Most threats, indeed, are bluffs.”).
    144
    Accord Board v. State, No. 03-96-00024-CR, 1998 Tex. App. LEXIS 3206, *16-17
    (Tex. App.—Austin May 29, 1998, pet. ref’d) (not designated for publication) (holding that “threat”
    as used in the “coercion” definition, as that definition is incorporated into section 36.05’s witness-
    tampering prohibition, was not unconstitutionally vague because nature of “threat” was informed by
    the harms enumerated in the definition, in that case “hatred, contempt, and ridicule”); see Tex. Penal
    Code § 36.05 (“a person commits an offense if, with intent to influence the witness, he . . . coerces
    a witness or a prospective witness in an official proceeding” in regard to testimony or other
    participation in the proceeding).
    145
    See Tex. Penal Code § 36.03(b).
    146
    Perry emphasizes that he is challenging section 36.03(a)(1) only as it incorporates this
    portion of paragraph (F) and that he not challenging either section 36.03 or section 1.07(a)(9)
    standing alone. Cf. 
    Lo, 424 S.W.3d at 13-14
    , 17-27 (addressing—and ultimately sustaining—facial
    overbreadth challenge to single subsection within Penal Code section 33.021).
    44
    (A)       an officer, employee, or agent of government [and “government” is defined
    in the Penal Code to mean “the state; . . . a county, municipality, or political
    subdivision of the state; or . . . any branch or agency of the state, a county,
    municipality, or political subdivision”147];
    (B)       a juror or grand juror; or
    (C)       an arbitrator, referee, or other person who is authorized by law or private
    written agreement to hear or determine a cause or controversy; or
    (D)       an attorney at law or notary public when participating in the performance of
    a governmental function; or
    (E)       a candidate for nomination or election to public office; or
    (F)       a person who is performing a governmental function under a claim of right
    although he is not legally qualified to do so.148
    In short, “public servant” encompasses public officials and employees in every permutation of
    Texas state or local government, without distinction or limitation regarding branch or department
    (legislative, executive, judicial), level (county, city, district, etc.), or how the position is selected
    (elected, appointed, etc.). The definition also extends to certain other persons who provide a specific
    or limited form of governmental service or function—jurors, grand jurors, attorneys and notaries
    “participating in performing a governmental function,” and arbitrators and other private adjudicators
    of causes or controversies. Even candidates for public office, others not yet having qualified or
    assumed their official duties, and persons performing a governmental function under a claim of right
    come within the definition.
    147
    Tex. Penal Code § 1.07(a)(24).
    148
    
    Id. § 1.07(a)(41).
    45
    As is implicit in the phrase “threat . . . to take or withhold action as a public servant,”
    the focus of paragraph (F), as it relates to Perry’s facial challenges, is on threats made by a public
    servant that he will take or withhold action in his official capacity or under color of his delegated
    authority.149 We can also discern that paragraph (F) contemplates a taking or withholding of
    action by a public servant that would “hurt,” “punish,” inflict injury” upon, amount to “danger” to,
    or “harm” another person, as this would follow from the definition of “threat” endorsed in Olivas.150
    With this understanding of the “coercion” element in mind, we now return to the
    remaining text of Penal Code section 36.03(a)(1). Combining the two, section 36.03(a)(1), as it
    operates against threats made by a public servant concerning his own actions, prohibits that public
    servant from:
    •       communicating an intent to take or withhold action in his official capacity or under color of
    his delegated authority that would “hurt,” “punish,” inflict injury” upon, amount to “danger”
    to, or “harm” another person . . .
    •       with the conscious objective, desire, or actual awareness of bringing about, or in an attempt
    to bring about . . .
    149
    Paragraph (F) of the “coercion” definition also encompasses threats made by a different
    category of actors—threats made by any person, whether a public servant or ordinary citizen, that
    he or she will cause a public servant to take or withhold action. See Tex. Penal Code § 1.07(a)(9).
    Because Perry’s arguments are directed entirely at the other component of paragraph (F)—threats
    made by public servants to take or withhold action themselves—we have no occasion to address
    the constitutionality of paragraph (F) and section 36.03(a)(1) as they would proscribe threats by
    members of the public and others to cause such public-servant actions as a means of bringing about
    actions by other public servants. But cf. U.S. Const. amend. I (protecting “the right of the people . . .
    to petition the Government for a redress of grievances”). Except where indicated otherwise, all
    subsequent references to “paragraph (F)” or “section 36.03(a)(1) and paragraph (F)” denote only the
    portion of paragraph (F), as it is incorporated into section 36.03(a)(1), that Perry has challenged.
    150
    See 
    Olivas, 203 S.W.3d at 345-46
    (explaining that ordinary meaning of “threat” includes
    a declared or expressed intent “of hurting or punishing” or “to inflict injury,” as well as a “menacing
    indication of . . . something dangerous [or] evil,” or “a source of danger [or] harm”).
    46
    •       any of the following actions by another “public servant” (defined the same way as with the
    actor; i.e., expansively):
    •       “a specific exercise of his official power,” or
    •       “a specific performance of his official duty,” or
    •       a “violat[ion of] the public servant’s known legal duty.”
    The required mens rea element, as previously indicated, relates to the actor’s intent or awareness of
    using the threat to induce, or in an attempt to induce, the desired conduct of the other public servant.
    Neither section 36.03(a)(1) nor paragraph (F) requires that the actor make any explicit demand
    or quid-pro-quo offer regarding the desired action on the part of the public servant sought to be
    influenced; it is enough that a specific threat to take or withhold action was made with the requisite
    mens rea.151 While proof of an explicit demand for action would certainly be probative of an aim
    to “influence” the second public servant to those ends, nothing in the statute forecloses proof of the
    prohibited aim through other circumstances. Further, neither section 36.03(a)(1) nor paragraph (F)
    requires that the public servant sought to be influenced necessarily be the same person who would
    be harmed if the threat were carried out.152
    151
    Cf. Isassi v. State, 
    330 S.W.3d 633
    , 644 (Tex. Crim. App. 2010) (“The improper-
    influence statute does not require . . . a quid pro quo. That conduct is covered by the bribery
    statute.”); State v. Robertson, 
    649 P.2d 569
    , 577-79 (Or. 1982) (addressing a state criminal coercion
    statute requiring proof of an explicit demand (citing Or. Rev. Stat. § 163.275)).
    152
    See 
    Phillips, 401 S.W.3d at 289-90
    (upholding conviction for coercion of a public servant
    based on evidence that defendant communicated oral threat to dispatcher (a “public servant”) that
    he would inflict felonious bodily injury on a police officer (another “public servant”) in order to
    influence the dispatcher’s performance of duty, and noting, “The fact that the threatened third person
    in this case happened to be another public servant does not matter.”).
    47
    As for the action desired of the public servant sought to be “influenced,” the exact
    phrase “influence [a public servant] to violate his known legal duty” appears in section 240.2 of the
    Model Penal Code, the analog to both section 36.03 and section 36.04 (the improper-influence
    prohibition) in the Texas Penal Code.153 As the drafters of the model code (the American Law
    Institute) explained, “influence . . . to violate his known legal duty” denotes an attempt to secure
    action by a public servant that would “violate a specific obligation of his office.”154 Such “legal
    duties,” the Institute elaborated, are those “specific[ally] and clearly delineated” by constitutional
    provisions, statutes, rules, or other legal authorities governing his performance of official functions,
    in contrast to discretionary decisions or any “general obligation of fidelity to the public interest
    or other implicit moral obligation.”155 Furthermore, according to the Institute, “the requirement of
    knowledge” of the legal duty applies both to the public servant sought to be influenced and the actor
    153
    See Model Penal Code § 240.2 (Official 1962 Draft and Revised Comments) (American
    Law Institute 1980). Subsections (a)-(c) of section 240.2 are the counterparts to Texas Penal Code
    section 36.03—with subsection (c) containing the language quoted above—while subsection (d) of
    section 240.2 corresponds to section 36.04. The Court of Criminal Appeals has previously sought
    guidance from section 240.2 and accompanying commentary when construing parallel language that
    appears in section 36.04, and we will follow its lead in construing the parallel language that appears
    in section 36.03. See 
    Isassi, 330 S.W.3d at 638-39
    ; see also 
    id. at 645
    (Keller, P.J., dissenting)
    (observing that “Section 240.02 . . . is comparable to our Penal Code § 36.03 (Coercion of Public
    Servant or Voter) and § 36.04 (Improper Influence) together.”).
    “Public servant” as used in the model code is defined similarly to the Texas version.
    Model Penal Code §§ 240.0(7) (“any officer or employee of government, including legislators and
    judges, and any person participating as a juror, advisor, consultant or otherwise, in performing a
    governmental function; but the term does not include witnesses”), 240.2 (no defense “that a person
    whom the actor sought to influence was not qualified to act in the desired way, whether because he
    had not yet assumed office, or lacked jurisdiction, or for any other reason”).
    154
    
    Id. § 240.2
    cmt. 2, at 51-52.
    155
    
    Id. § 240.2
    (c) cmt. 2, at 51-52; see 
    id. § 240.1(3)
    & cmt. 3, at 13, cmt. 8, at 35-36.
    48
    seeking to influence him.156 The import of this language, in other words, is to proscribe threats
    that are calculated to bring about action by a public servant whom the threatener knows does
    not have lawful authority or discretion to so act. To this extent, the language has some parallels to
    section 36.04’s improper-influence prohibition, which criminalizes certain private communications
    made to public servants who exercise official discretion in adjudicatory proceedings (e.g., courts,
    administrative law judges, or prosecutors) made “with an intent to influence the outcome of the
    proceedings on the basis of considerations other than those authorized by law.”157
    Standing in contrast to this portion of section 36.03(a)(1) are the other two types of
    desired public-servant conduct that the statute addresses, “specific exercise of . . . official power”
    and “specific performance of . . . official duty.” These components would extend more broadly to
    capture threats calculated to cause action by a public servant who would possess lawful authority and
    discretion to so act based on the threat,158 as well as those aimed at public servants whom the
    threatener does not know to lack such authority. The modifiers “specific exercise of . . . official
    power” and “specific performance of . . . official duty” make clear, however, that some particular
    156
    See 
    id. § 240.1(3)
    cmt. 8, at 35.
    157
    Tex. Penal Code § 36.04(a) (emphasis added); see also 
    Isassi, 330 S.W.3d at 642-45
    (upholding improper-influence conviction based on evidence that county attorney made series of
    contacts with district attorney’s office that “might be regarded as lawful when viewed in a vacuum,”
    yet there was sufficient evidence county attorney intended the contacts to cause dismissal of aunt’s
    pending charges because of that relationship rather than considerations authorized by law).
    158
    See 
    Phillips, 401 S.W.3d at 288-89
    (“specific performance” of dispatcher’s “official duty”
    was manner in which dispatcher responded to 911 call); see also City of El Paso v. Heinrich,
    
    284 S.W.3d 366
    , 372 (Tex. 2009) (distinguishing between “government officer’s exercise of
    discretion” and conduct actionable under “ultra-vires exception” to sovereign immunity); Tobias
    v. State, 
    884 S.W.2d 571
    , 574-76, 580-81 (Tex. App.—Fort Worth 1994, pet. ref’d) (upholding
    conviction for attempted coercion, through threats of violence, of appellate court justices with aim
    of achieving favorable decision in pending case).
    49
    action or conduct by the public servant must be sought and not merely some effect on the public
    servant’s general comportment in office.159
    The range of threats made by public servants that are ultimately criminalized by
    section 36.03(a)(1) is limited somewhat by a subsection (c) of section 36.03. That provision states:
    It is an exception to the application of Subsection (a)(1) of this section that the
    person who influences or attempts to influence the public servant is a member of
    the governing body of a governmental entity, and that the action that influences or
    attempts to influence the public servant is an official action taken by the member
    of the governing body. For the purposes of this subsection, the term “official action”
    includes deliberations by the governing body of a governmental entity.160
    Negation of this exception has been held to be an element of the offense.161 In other words, in cases
    where the asserted violation of section 36.03(a)(1) is predicated on a threat by a public servant, the
    State must prove, in addition to the other elements of the offense, that (1) the public servant who
    made the threat is not “a member of the governing body of a governmental entity,” and (2) the threat
    was not an “official action” of that member, a phrase that denotes an act performed by the member
    in his official capacity and under color and by virtue of his office.162
    A key effect of subsection (c), as Perry acknowledges and the district court agreed,
    is to exclude from section 36.03(a)(1)’s proscription threats to take or withhold action made
    159
    See Black’s Law Dictionary 1398 (6th ed. 1990) (defining specific as “[h]aving a certain
    form or designation; observing a certain form; particular; precise; tending to specify, or to make
    particular, definite, limited, or precise”).
    160
    Tex. Penal Code § 36.03(c).
    161
    See 
    Tobias, 884 S.W.2d at 578
    .
    162
    See Black’s Law Dictionary 1084 (6th ed. 1990) (defining “official act” as one “done by
    an officer in his official capacity under color and by virtue of his office. Authorized act.”).
    50
    by members of the Legislature (who would be part of the “governing body” of a “governmental
    entity,” the State of Texas) made in the course of their wranglings over legislation and policy.
    Subsection (c) would have similar application to other elected officials and policymakers who serve
    on city councils, school boards, and county commissioners’ courts, to name but a few examples. In
    fact, subsection (c) originated in a package of three amendments impacting section 36.03 (which
    originated in the 1974 Penal Code163) that were made by the Seventy-First (1989) Legislature
    following controversy regarding the existing statute’s potential ramifications for policymakers
    at the county level.164 The documented legislative history reflects that proponents advocated the
    amendments “[t]o protect public officials from criminal prosecution arising from the execution of
    their legal duties,” and cited a purported incident where “certain county commissioners” had come
    under grand jury investigation regarding possible violations of the existing statute “in response
    to budget cuts” they had imposed.165 The timing of the 1989 amendments also corresponds to the
    prosecution that gave rise to State v. Hanson.166 Hanson (which we will explore in more detail
    when analyzing section 36.03(a)(1)’s First Amendment implications) arose from charges brought
    under the original versions of section 36.03(a)(1) and paragraph (F) against the then-constitutional
    county judge for Bosque County, Hon. Regina Hanson.167 As the Tenth Court of Appeals
    163
    Act of May 24, 1973, 63d Leg., R.S., ch. 399, § 1, 1973 Tex. Gen. Laws 883, 944
    (amended 1989, 1993) (current version at Tex. Penal Code § 36.03).
    164
    Act of April 27, 1989, 71st Leg., R.S., ch. 67, §§ 1, 2, 1989 Tex. Gen. Laws 380, 380
    (current versions at Tex. Penal Code §§ 1.07(a)(9), 36.03(c)).
    165
    House Comm. on State Affairs, Bill Analysis, Tex. H.B. 594, 71st Leg., R.S. (1989).
    166
    
    793 S.W.2d 270
    (Tex. App.—Waco 1990, no pet.).
    167
    See 
    id. at 271-73.
    51
    summarized the charges, it had been alleged that Judge Hanson had “intentionally or knowingly
    threatened to terminate the county’s funding of the salaries of a deputy district clerk and an assistant
    district attorney in an attempt to coerce the district judge into firing the county auditor and the county
    attorney into revoking a misdemeanant’s probation.”168
    Another of the 1989 amendments added the phrase “influences or attempts to
    influence a public servant to violate the public servant’s known legal duty,”169 thereby specifying that
    section 36.03(a)(1)’s prohibition extends to threats aimed at causing action by another public servant
    whom the threatener knows does not have lawful authority or discretion to so act. The final change
    consisted of an amendment to the “coercion” definition (which was then located in Penal Code
    section 36.01(1)) to require in paragraph (F) that the threatened taking or withholding of action
    by a public servant must be “unlawful,”170 a term that the Penal Code defines as conduct that would
    be either criminal or tortious absent a defense amounting to justification or privilege.171 However,
    the Legislature removed the “unlawfully” qualifier from paragraph (F) in 1993, amid sweeping
    changes to the Penal Code in which the Legislature also moved the “coercion” definition to
    168
    
    Id. at 271.
    Although the Legislature enacted the 1989 amendments during the pendency
    of Hanson, the case was controlled by the prior version of the law. See 
    id. at 273.
            169
    Act of April 27, 1989, 71st Leg., R.S., ch. 67, § 3, 1989 Tex. Gen. Laws 380, 380 (current
    version at Tex. Penal Code § 36.03(a)(1)).
    170
    Act of April 27, 1989, 71st Leg., R.S., ch. 67, § 2, 1989 Tex. Gen. Laws 380, 380 (current
    version at Tex. Penal Code § 1.07(a)(9)). As amended, paragraph (F) was limited to threats:
    (F)      to unlawfully take or withhold action as a public servant, or to cause a public servant
    to unlawfully take or withhold action.
    
    Id. 171 Tex.
    Penal Code § 1.07(a)(48).
    52
    its current location in section 1.07.172 The remainder of section 36.03(a)(1) and the “coercion”
    definition—including the other two 1989 amendments—has survived without substantive change
    to this day.
    In   addition   to   excluding    a    category of    public-servant    threats   from
    section 36.03(a)(1)’s prohibition, subsection (c) also provides further illumination regarding the
    nature of threats that remain covered. By requiring that an excepted threat be an “official action”
    of a “governing board” member, subsection (c) implies that section 36.03(a)(1)’s proscription
    reaches a range of threats that would not be considered official actions of a public servant,
    whether governing board members or other kinds. This category, as it relates to threats covered by
    paragraph (F) of the “coercion” definition, would seem to contemplate exceptional instances in
    which a public servant has utilized threats to take or withhold official action to ends wholly beyond
    the servant’s delegated powers, such as when used to pursue some sort of entirely personal benefit
    or interest.173 The same feature of subsection (c) also confirms that 36.03(a)(1)’s proscription would
    reach a range of threats that would be considered official actions of the public servants who are not
    172
    Act of May 29, 1993, 73d Leg., R.S., ch. 900, § 1.01, 1993 Tex. Gen. Laws 3586, 3588,
    3659 (current version at Tex. Penal Code §§ 1.07(a)(9), 36.03).
    173
    Cf. 
    Tobias, 884 S.W.2d at 584
    (observing that “threatening specific criminal acts of
    violence with a firearm against an appellate justice . . . could never constitute an ‘official action’
    within the meaning of the exception of section 36.03(c)”). Other examples might include a juror
    threatening to vote unfavorably to a municipality in a pending case in order to sway city personnel
    to cease charging the juror for city services, or a city manager threatening employees of the city’s
    municipal road crew with adverse personnel actions as a means of causing them to improve a private
    road on his property.
    53
    governing board members. In fact, as the State seems to recognize, this would be the principal effect
    of the statute.174
    If the sparse volume of appellate opinions addressing section 36.03 to date is any
    indication, the statute has rarely been utilized. However, the evident purpose of criminal statutes of
    this sort—like the improper-influence statute, the prohibition against bribery of public servants in
    section 36.02,175 and other provisions within chapter 36 of the Penal Code—is “to reach various
    means by which the integrity of government can be undermined.”176 In that regard, prohibitions
    like that in section 36.03(a)(1), at least in theory, serve as a “complement” to the bribery offense,
    in that bribery focuses on the corruptive influence of offering or conferring a “benefit” as
    consideration for a public servant’s actions, whereas section 36.03(a)(1) combats the use of a
    negative incentive—threats of certain kinds of harm—to induce the public servant’s actions.177 The
    definition of “coercion” incorporated into section 36.03 also has some similarities to the types of
    threats that would be criminalized under the Model Penal Code through a “residual,” stand-alone
    “coercion” offense when used “with purpose unlawfully to restrict another’s freedom of action to
    his detriment” and not done with “benign purpose.”178
    174
    E.g., the State’s heavy reliance on First Amendment theories relating to “governmental
    speech” and speech made by public servants pursuant to official duties, discussed below.
    175
    Tex. Penal Code § 36.02.
    176
    
    Isassi, 330 S.W.3d at 639
    (quoting Model Penal Code §§ 240.0-240.7 explanatory note);
    see also 
    id. at 645
    (Keller, P.J., dissenting) (making a similar observation).
    177
    See Model Penal Code § 240.2 cmt. 1, at 49; see also 
    id. (further noting
    “the congruence
    of rationale[s] between the two offenses” and that model code section 240.2(a)-(c) (the Penal Code
    section 36.03(a)(1) counterpart) “proscribes use of threat against the same classes of persons with
    the same illicit objective”).
    178
    See 
    id. § 212.5
    & cmt. 2, at 264-67.
    54
    But translating such concepts into specific statutes presents numerous line-drawing
    challenges in regard to a wide range of communications made to, by, or between public servants
    that can be fairly characterized as “threats,” yet are considered to be a commonplace and
    accepted—if not also constitutionally protected—component of the day-to-day debate, bargaining,
    and give-and-take that is characteristic of American governmental and political processes.179 In this
    regard, section 36.03 (aside from subsection (c)), as it incorporates paragraph (F), is most notable
    in the lines it does not attempt to draw, as revealed by our review of the statutory text:
    179
    As the Institute observed in regard to section 240.2 of the Model Penal Code:
    The chief difficulty in drafting a statute of this sort lies in drawing the line between
    permissible and impermissible threats. Many kinds of harm may be threatened or
    inflicted without contravening accepted standards of behavior and without impairing
    the integrity of government. A threat to withdraw political support, for example, is
    not only a legitimate means of influencing political decisions but is in most instances
    constitutionally protected. More commonly, use of threat may be either appropriate
    or blameworthy depending on the motives of the actor and the sympathies of the
    observer. Thus, for example, a public official’s threat to discharge a subordinate over
    a difference in policy may be legitimate supervision or reprehensible interference
    with the independence of another public servant. And a threat to arrest may be a
    proper means to induce another to abide by the law or a method of improper
    intimidation. These distinctions are too subtle for resolution by the blunt instrument
    of a criminal prosecution. However one may characterize the facts of a particular
    case, it would be intolerable to subject all such decisions to review under the penal
    law.
    
    Id. § 240.2
    cmt. 2, at 50-51; see also 
    id. § 240.1
    cmt. 3, at 9-10 (expressing concern that blanket
    prohibition in bribery statute against offers or acceptance of “benefits” could criminalize “logrolling”
    or similar bargaining in legislative or political processes); 
    id. § 212.5
    (1) cmt. 2, at 264-65 (regarding
    stand-alone coercion offense, observing that “analysis and experience confirms the wisdom of
    assigning definite limits to criminal liability for threats. Such constraints are an inevitable part of
    a society where individuals are free to confer or to withhold benefits desired by others. Thus, absent
    improper purpose, a person who has a legal right to take a certain action is also free to threaten to
    do so. Indeed, threat is implicit in the idea of bargain. Threats to cut an expectant legatee out of a
    will or to sell or use one’s land in a lawful manner deemed undesirable by neighbors, or to cease
    patronizing a merchant, or to foreclose a mortgage are all permissible tactics in striking a bargain,
    whether for money or for other concession not in itself unlawful.”).
    55
    •       While the term “threat” that is incorporated into paragraph (F) and section 36.03(a)(1)
    denotes (per Olivas) the declared intention to take or withhold action so as to “hurt,”
    “punish,” “inflict injury” upon, amount to “danger” to, or “harm” another person, the
    Legislature has not currently seen fit to require that such threatened detriments rise to the
    level of crimes or otherwise be unlawful (i.e., amount to legal “injury” or “harm”). In fact,
    as previously explained, the Legislature specifically removed any such limitation from
    paragraph (F) in 1993 after having inserted it in 1989. The current versions of section
    36.03(a)(1) and paragraph (F) thus stand in contrast to other provisions of the Texas Penal
    Code that require proof of threats that foretell unlawful action (e.g., section 36.06’s
    prohibition against obstruction and retaliation, which requires proof of an intentional or
    knowing threat to harm another “by an unlawful act”180 ) as well as Model Penal Code §
    240.2’s general rule.181
    •       Section 36.03(a)(1) and paragraph (F) do not require proof that the threat cause or be aimed
    at causing any physical or emotional harm to the recipient of the threat, only that the threat
    be aimed at “influencing” (i.e., bringing about) certain governmental actions by the
    recipient.182 And, aside from its prohibition against threats aimed at inducing a knowing
    180
    Tex. Penal Code § 36.06(a).
    181
    Section 240.2 of the model code would criminalize, subject to a single exception, threats
    of harm aimed at influencing a “decision, opinion, recommendation, vote, or other exercise of
    discretion as a public servant” only when the threatened harm would be “unlawful,” Model Penal
    Code § 240.2(a) (emphasis added), with “unlawful” having a meaning similar to the Texas Penal
    Code’s definition of the term. See 
    id. § 240.2
    cmt. 2, at 52 (“The term ‘unlawful’ includes threats
    of physical attack, threat of property damage forbidden by penal statute or by the law of torts, and
    threat to discharge a public servant in violation of applicable civil service statutes or regulations.”).
    The exception to this general rule would apply to a “decision, opinion, recommendation, vote or
    other exercise of discretion in a judicial or administrative proceeding”—in that context only, any
    threat of harm aimed at influencing the public servant’s actions, not just threats of unlawful
    harm, would be prohibited. 
    Id. § 240.2
    (b) (emphasis added). Additionally, the Institute proposed
    to proscribe any threat of harm, not merely unlawful harm, that was aimed at influencing a public
    servant to “violate his known legal duty,” as opposed to obtaining a decision or act that was within
    the public servant’s lawful discretion to make. 
    Id. § 240.2
    (c) (emphasis added).
    Incidentally, the rationale for the model code’s general rule, the Institute explained, was
    to “exclude from coverage accepted behavior, such as threat of political opposition, with respect to
    the exercise of discretion by a public servant.” 
    Id. § 240.2
    cmt. 2, at 52.
    182
    Cf. Scott v. State, 
    322 S.W.3d 662
    , 668-70 (Tex. Crim. App. 2010) (upholding telephone-
    harassment statute against First Amendment challenge; statute “is directed only at persons who, with
    the specific intent to inflict emotional distress, repeatedly using the telephone to invade another
    56
    violation of a public servant’s legal duties, section 36.03(a)(1) does not require that the threat
    seek conduct of the other public servant that would be unlawful if performed.
    •      Similarly, section 36.03(a)(1) and paragraph (F) prohibit even threats aimed at bringing about
    official actions that the threatener could lawfully demand or require through other means.
    This statutory feature differs from, e.g., the Model Penal Code’s stand-alone coercion
    offense,183 coercion concepts known to civil law,184 and certain federal extortion prohibitions
    that have been held to require, in cases where a threat foretells lawful rather than unlawful
    harm, that the objective of the threat be “wrongful” in the sense of seeking property to which
    the actor had no plausible claim of right.185
    •      Nor is there any requirement in section 36.03(a)(1) or paragraph (F) that the threat in
    question lack a “nexus” or logical relationship to the desired conduct.186 Such a limitation
    has been held to be an aspect of the “wrongfulness” requirement under certain federal
    extortion prohibitions.187 The Model Penal Code’s stand-alone coercion offense incorporates
    a similar limitation in the form of an affirmative defense that would apply, in regard to
    threats by public servants to take or withhold action, where the actor “believed . . . the
    proposed official action justified and that his purpose was limited to compelling the other to
    behave in a way reasonably related to the circumstances which were the subject of the . . .
    proposed official action, as by desisting from further misbehavior, making good a wrong
    done, refraining from taking any action or responsibility for which the actor believes
    person’s personal privacy, and do so in a manner reasonably likely to inflict emotional distress.”),
    overruled on other grounds, Wilson v. State, 
    448 S.W.3d 418
    , 422-23 (Tex Crim. App. 2014).
    183
    
    Id. § 212.5(1)
    & cmt. 2, at 265 (defining stand-alone offense of “coercion” to require
    proof of certain threats “with purpose unlawfully to restrict another’s freedom of action to his
    detriment,” and explaining that “‘unlawfully’ means that the actor must intend to coerce conduct that
    he has no legal right to require”).
    184
    See Frank Kent Motor 
    Co., 361 S.W.3d at 632
    (elements of economic duress or business
    coercion include “a threat of an act that the actor had no legal right to do” that also causes another
    party “to do what it otherwise would not have done and that it was not legally bound to do”).
    185
    See United States v. Jackson, 
    180 F.3d 55
    , 70-71 (2d Cir. 1999).
    186
    This concept is illustrated by the distinction between a threat that seeks recovery of a
    valid debt (something the actor can lawfully demand or require payment of) by threatening to initiate
    garnishment proceedings against the debtor or to publicly disclose the debt’s existence, which would
    be deemed permissible, versus threatening to disseminate unrelated secrets regarding the debtor’s
    sexual indiscretions, which would not be. See 
    id. at 70-71.
           187
    See 
    id. 57 the
    other disqualified.”188 No corresponding limitation is found in the Texas Penal Code,
    however.
    Absent such limitations, the net result is that section 36.03(a)(1), as it incorporates paragraph (F),
    would criminalize:
    •       A threat by a public servant to take or withhold official action lawfully.
    •       A threat by a public servant to take or withhold official action lawfully that seeks only to
    bring about lawful conduct by another public servant.
    •       A threat by a public servant to take or withhold official action lawfully that seeks only to
    bring about lawful conduct by another public servant that the first public servant has the
    lawful right to demand or require.
    •       A threat by a public servant to take or withhold official action lawfully that seeks only to
    bring about lawful conduct by another public servant that the first public servant has the
    lawful right to demand or require, even where the threat has a logical nexus to the conduct
    being sought of the other public servant.
    These sorts of implications are the focus of Perry’s facial constitutional challenges.
    In these ways, he urges, section 36.03(a)(1), as it incorporates paragraph (F), criminalizes a “virtually
    endless” array of threats that are in the nature of “ordinary give and take” between and among
    the public servants who are not excepted by subsection (c). He posits hypothetical examples that
    include:
    •       “[A] manager could not threaten to fire or demote a government employee for poor
    performance.”
    •       “A judge could not threaten to sanction an attorney for the State, to declare a mistrial if jurors
    did not avoid misconduct, or to deny warrants that failed to contain certain information.”
    188
    Model Penal Code § 212.5(1).
    58
    •       “An inspector general could not threaten to investigate an agency’s financial dealings.”
    •       “A prosecutor could not threaten to bring charges against another public servant.”
    •       “A [public] university administrator could not threaten to withdraw funding from a
    professor’s research program.”
    •       “A public defender could not threaten to file a motion for suppression of evidence to secure
    a better plea bargain for his client.”
    At least to the extent each hypothetical threat would be aimed at bringing about some specific
    action on the part of another public servant, we agree that Perry’s illustrations would indeed come
    within section 36.03(a)(1)’s proscription, as written. Each example would, in terms of the statutory
    language, represent a “public servant” (under the Penal Code’s broad definition) seeking “by means
    of coercion” (defined, again, as a “threat” to “take or withhold action as a public servant” that, while
    “harmful” or detrimental to another, need not be unlawful) to “influence[] or attempt[] to influence”
    (i.e., bring about) some “specific exercise” or “specific performance” of another public servant’s
    duties or powers (which also need not be unlawful, nor beyond the first public servant’s powers to
    demand or require).
    And it is not difficult to think of other similar examples. Among them, it has
    occurred to the members of this panel that unless appellate court justices can shoehorn themselves
    into subsection (c)’s exception, section 36.03(a)(1) would seemingly put at risk that time-honored
    practice whereby one justice will seek changes to another justice’s draft majority opinion
    by threatening to write a dissent exposing flaws in the other’s legal reasoning.189 Similar concerns
    189
    See also 
    Robertson, 649 P.2d at 580
    (citing the example of one appellate judge telling
    another, “Change your opinion, or I shall dissent and expose your complete ignorance of this area
    of the law.” (quoting State v. Paige, 
    638 P.2d 1173
    , 1176 (Or. App. 1982) (Gillette, J., dissenting))).
    59
    would arise regarding the standard letter our Clerk issues to prompt action whenever briefs or
    records are late, in which he warns of imminent dismissal if the deficiency is not promptly rectified,
    at least when the party in interest is a government entity or official.
    One’s view of section 36.03(a)(1) is further informed by considering its implications
    as it incorporates a portion of paragraph (F) that Perry has not challenged in this case—a threat “to
    cause a public servant to take or withhold action.”190 Within the literal scope of this prohibition
    would be ordinary citizens who make credible threats to obtain legislative or judicial remedies as a
    means of prompting some action by a local government official,191 not to mention members of the
    media who might have to resort to similar means of persuasion in order to overcome governmental
    foot-dragging on Public Information Act requests. We mention this not to plant ideas in the minds
    of local prosecutors across Texas who may be inclined to protect their fellow public servants, but
    to provide stark demonstration that section 36.03(a)(1) and the “coercion” definition it incorporates
    were not crafted with the sort of precision necessary to avoid First Amendment problems when, as
    with these statutes, government purports to criminalize speech.
    In rejecting Perry’s overbreadth challenge, the district court evidently perceived
    that section 36.03(a)(1) and paragraph (F) are much more limited in scope than we have
    concluded they are. And it is this vast breadth that causes section 36.03(a)(1), as it incorporates
    190
    See Tex. Penal Code § 1.07(a)(9)(F) (defining “coercion” as a “threat . . . to take or
    withhold action as a public servant, or to cause a public servant to take or withhold action”)
    (emphasis added).
    191
    Subsection (c)’s exemption would be unavailing—that protection, again, benefits only
    public servants, and only those who are members of governing bodies of governmental entities.
    60
    paragraph (F), to impinge upon substantial amounts of First Amendment-protected speech among
    Texas’s public servants.
    Section 36.03(a)(1), as it incorporates paragraph (F), criminalizes First Amendment-protected
    speech
    There is little room for disagreement that section 36.03(a)(1) and paragraph (F)
    criminalize speech—that much is apparent in the phrase “a threat, however communicated . . . ” that
    is a defining characteristic of all types of “coercion” prohibited by section 36.03(a)(1).192 But it is
    a somewhat closer question whether this speech is a type that the First Amendment actually protects.
    In contending that the proscription reaches protected speech (and a substantial amount
    at that), Perry emphasizes the First Amendment’s central concern with protecting and fostering
    discussion and advocacy concerning public issues and political change193 and what the Supreme
    Court has termed the provision’s embodiment of a “profound national commitment” to the ideal
    that “debate on public issues should be uninhibited, robust, and wide-open.”194 This is not simply
    liberty to engage in “abstract discussion” or “merely to describe facts,” as the Supreme Court
    has emphasized, but the liberty “to persuade to action,” as “[t]he First Amendment is a charter for
    192
    See, e.g., Watts, 
    394 U.S. 707
    (stating that federal law prohibiting the willful or knowing
    making of written or oral threats “to take the life of or inflict bodily harm upon the President” or
    other officials “makes criminal a form of pure speech”).
    193
    See, e.g., 
    Boos, 485 U.S. at 318
    ; Meyer v. Grant, 
    486 U.S. 414
    , 421-22 (1988).
    194
    
    Boos, 485 U.S. at 318
    (quoting New York Times Co. v. Sullivan, 
    376 U.S. 254
    , 270
    (1964)); see also Dun & Bradstreet, Inc. v. Greenmoss Builders, Inc., 
    472 U.S. 749
    , 759 (1985)
    (“‘[S]peech concerning public affairs is more than self-expression; it is the essence of
    self-government.’” (quoting Garrison v. Louisiana, 
    379 U.S. 64
    , 74-75 (1964))).
    61
    government, not for an institution of learning.”195 The court has also said that the First Amendment’s
    protections are at their “zenith” for such “core political speech,”196 and Perry insists that this is
    precisely the sort of speech section 36.03(a)(1) and paragraph (F) reach—speech by public servants
    regarding their official actions that is aimed at prompting other public servants to undertake
    official action.
    Perry similarly emphasizes the Supreme Court’s longstanding recognition that
    discussion, debate, and advocacy regarding public issues “is often vituperative, abusive, and
    inexact,” yet is protected by the First Amendment nonetheless.197 In Hanson, the then-Chief Justice
    of the Tenth Court of Appeals, the late Bob Thomas, made a similar observation regarding speech
    to and in Texas government at its local levels:
    A preeminent purpose of the First Amendment is to guarantee free and unfettered
    political discussions within government and among the citizenry. Consequently,
    those who enter the political arena are fair game for sharp attacks inflicted by both
    the electorate and the elected. The hurly-burly world of courthouse politics is an
    arena where robust debate, often accompanied by blunt, caustic and even intemperate
    and vituperative language, is the by-product of public officials clashing over divisive
    issues. However, as long as the means are peaceful and their actions lawful, the
    boundaries of their political debates cannot be measured for constitutional protections
    by conventional standards of acceptability. Freedom of speech must encompass the
    liberty of elected officials to discuss matters of public concern without prior restraint
    or fear of punishment.198
    195
    N.A.A.C.P. v. Claiborne Hardware Co., 
    458 U.S. 886
    , 910 (1982) (quoting Thomas v.
    Collins, 
    323 U.S. 516
    , 537 (1945)).
    196
    
    Meyer, 486 U.S. at 421-22
    , 425.
    197
    Claiborne Hardware 
    Co., 458 U.S. at 911
    (quoting 
    Watts, 394 U.S. at 708
    ).
    198
    
    Hanson, 793 S.W.2d at 272-73
    (citing 
    Keefe, 402 U.S. at 419
    ; Greenbelt Coop. Publ’g
    Ass’n v. Bresler, 
    398 U.S. 6
    , 10-12 (1970); 
    Garrison, 379 U.S. at 74-75
    ; Thornhill v. Alabama,
    
    310 U.S. 88
    , 101-02 (1940)).
    62
    The State counters that section 36.03(a)(1) and paragraph (F) do not implicate
    any First Amendment interests due to the identity of the speakers who are targeted—public
    servants—and the content and effect of the speech that is prohibited—what the State characterizes
    as “coercive” or “extortionate” threats.
    Contrary to the State’s arguments, public servants have First Amendment rights
    The State insists that “[s]tatements made by public officials to other public officials
    are unprotected” under the First Amendment, at least when uttered as part of an official’s job. The
    State derives this proposition from its understanding of the United States Supreme Court’s
    holdings in Garcetti v. Ceballos.199 Garcetti involved a section 1983 claim brought by a deputy
    district attorney (Ceballos) against his governmental employer to obtain relief based on alleged
    violations of Ceballos’s First Amendment rights.200 The asserted violations consisted of a job
    reassignment, transfer, and promotion denial that Ceballos perceived to be in retaliation for a
    memorandum that he had written—undisputedly as part of his job duties201—concerning a pending
    case.202 The Supreme Court framed the dispositive issue as “whether the First Amendment protects
    a government employee from discipline based on speech made pursuant to the employee’s official
    duties.”203 After analysis, the court concluded that “when public employees make statements
    pursuant to their official duties, the employees are not speaking as citizens for First Amendment
    199
    
    547 U.S. 410
    (2006).
    200
    See 
    id. at 414-15.
           201
    See 
    id. at 421.
           202
    See 
    id. at 413-15.
           203
    
    Id. at 413.
    63
    purposes, and the Constitution does not insulate their communication from employer discipline.”204
    And because “the First Amendment does not prohibit managerial discipline based on an employee’s
    expressions made pursuant to official responsibilities,” the court held that Ceballos’s claim of
    unconstitutional retaliation “must fail.”205
    The State reads Garcetti to mean that statements made by public employees while
    performing their official duties enjoy no First Amendment protection not only as against employer
    discipline—the issue in Garcetti206—but for all other purposes, even as against criminal penalties
    that might be imposed based on that official speech. In that regard, the State places great emphasis
    on the Garcetti court’s phrasing of its holding in terms of public employees “not speaking as citizens
    for First Amendment purposes” when making statements pursuant to their official duties, while
    diminishing the significance of the clause that immediately follows, “. . . and the Constitution does
    not insulate their communications from employer discipline.”207 Perry disputes that Garcetti has any
    204
    
    Id. at 421.
           205
    
    Id. at 424.
           206
    As the Garcetti court repeatedly made clear. E.g., 
    id. at 413
    (“The question presented by
    the instant case is whether the First Amendment protects a government employee from discipline
    based on speech made pursuant to the employee’s official duties.”), 421 (“We hold that when public
    employees make statements pursuant to their official duties, the employees are not speaking as
    citizens for First Amendment purposes, and the Constitution does not insulate their communications
    from employer discipline.”), 421-22 (“Restricting speech that owes its existence to a public
    employee’s professional responsibilities does not infringe on any liberties the employee might
    have enjoyed as a private citizen . . . [but] simply reflects the exercise of employer control over
    what the employer itself has commissioned or created.”), 424 (“[T]he First Amendment does not
    prohibit managerial discipline based on an employee’s expressions made pursuant to official
    responsibilities.”), 426 (“We reject . . . the notion that the First Amendment shields from discipline
    the expression employees make pursuant to their professional duties.”) (emphases added).
    207
    
    Id. at 421
    (emphasis added).
    64
    bearing in the present context of a criminal prosecution based on speech, as opposed to a claim or
    issue involving employee discipline. We agree.
    While Garcetti has admittedly generated occasional confusion of this sort among
    lower courts,208 a close reading of that opinion, especially as informed by antecedent precedents
    on which the Supreme Court relied in that case, belies the State’s expansive reading of it. Garcetti
    208
    Although the State does not cite any case that has construed or applied Garcetti in
    the manner it proposes—let alone any precedents from the Supreme Court—a Texas federal
    district court once did so in the first round of the renowned First Amendment challenges to the
    Texas Open Meetings Act. Rangra v. Brown, No. P-05-CV-075, 
    2006 U.S. Dist. LEXIS 85833
    ,
    at *1-4, 14-17 (W.D. Tex. Nov. 7, 2006). The district court extended Garcetti to claims asserted by
    elected city council members and reasoned that “[b]ecause the speech at issue [deliberations
    concerning official business or policy] is uttered entirely in the speaker’s capacity as a member of
    a collective decision-making body, and thus is the kind of communication in which he or she is
    required to engage as part of his or her official duties, it is not protected by the First Amendment
    from the restriction imposed by the Texas Open Meetings Act.” 
    Id. at *14
    (citing 
    Garcetti, 547 U.S. at 420-22
    ). The district court also refused to ascribe any significance to the plaintiffs’ status as
    elected officials, in contrast to the unelected public employee whose claims were at issue in Garcetti,
    reasoning that “[f]or purposes of determining what is protected speech under the First Amendment,
    there is no meaningful distinction among public employees, appointed public officials, and elected
    public officials.” 
    Id. A panel
    of the Fifth Circuit Court of Appeals subsequently reversed, squarely
    rejecting the district court’s application of Garcetti to the elected officials. Rangra v. Brown,
    
    566 F.2d 515
    , 522-26 (5th Cir. 2009). Yet this panel decision—and the underlying case—was later
    vacated as moot by the full Fifth Circuit. Rangra v. Brown, 
    584 F.3d 206
    , 207 (5th Cir. 2009)
    (en banc). In the meantime, however, a different Fifth Circuit panel, addressing a state district
    judge’s First Amendment challenge to judicial conduct sanctions, had similarly rejected Garcetti’s
    application to limit the First Amendment rights of elected officials. Jenevein v. Willing, 
    493 F.3d 551
    , 557-58 (5th Cir. 2007). In the subsequent round of First Amendment challenges to the
    Texas Open Meetings Act, the district court, while ultimately upholding the Act, did not revisit
    Garcetti’s implications beyond observing that the plaintiff elected officials “certainly [did] not lose
    their right to political expression once they attain public office” and enjoyed First Amendment
    protections for their official deliberations. Asgeirsson v. Abbott, 
    773 F. Supp. 2d 684
    , 694 (W.D.
    Tex. 2011), aff’d, 
    696 F.3d 454
    (5th Cir. 2012), cert. denied, 
    133 S. Ct. 1634
    (2013) (citing Bond
    v. Floyd, 
    385 U.S. 116
    , 135 (1966)). The Fifth Circuit’s analysis similarly presumed that the
    officials enjoyed First Amendment protections in regard to their deliberations, focusing instead on
    whether the statutory restrictions were justified. See 
    generally 696 F.3d at 458-67
    .
    65
    is rooted firmly in a series of cases (sometimes termed the Pickering209-Connick210-Garcetti line
    of cases) that derives from a long-recognized principle that “a State cannot condition public
    employment on a basis that infringes the employee’s constitutionally protected interest in freedom
    of expression.”211 Pickering and its progeny represent a particularized application of that principle
    to the termination, discipline, or other adverse actions imposed by governmental employers
    against their employees based on the employees’ expression.212 Accordingly, these cases have
    consistently emphasized the unique nature of government’s relationship to its citizens in that
    context—government is acting in the role and capacity of employer, as opposed to its usual or
    general role “as sovereign”213 —and have, correspondingly, consistently involved government’s
    regulation or punishment of speech within the context of that employment relationship, such as
    through termination or other adverse personnel actions, as opposed to the imposition of criminal
    209
    Pickering v. Board of Educ., 
    391 U.S. 563
    (1968).
    210
    Connick v. Myers, 
    461 U.S. 138
    (1983).
    211
    
    Garcetti, 547 U.S. at 413
    (quoting this statement of the principle—as the first sentence
    of the opinion—from 
    Connick, 461 U.S. at 142
    ); see also 
    Connick, 461 U.S. at 143-45
    (explaining
    that the first case in the line, Pickering, was rooted in same rationale as 1950s-era cases invalidating
    loyalty oaths and political disclosure requirements made a condition of government employment).
    212
    See 
    Connick, 461 U.S. at 144-45
    ; see also 
    Garcetti, 547 U.S. at 419
    (recognizing that
    “[t]he First Amendment limits the ability of a public employer to leverage the employment
    relationship to restrict, incidentally or intentionally, the liberties employees enjoy in their capacities
    as private citizens” (citing Perry v. Sindermann, 
    408 U.S. 593
    , 597 (1972))).
    213
    See 
    Garcetti, 547 U.S. at 418-19
    (contrasting relative powers of “government as
    employer” vis-a-vis “government as sovereign” (quoting Waters v. Churchill, 
    511 U.S. 661
    , 671
    (1994) (plurality op.))).
    66
    penalties or other remedies that government administers in its sovereign capacity.214 In fact,
    Pickering contrasted the governmental personnel action at issue there (a school board’s dismissal
    of a teacher in response to a letter to the editor that had been critical of the board) with “criminal
    sanctions and damage awards.”215
    A central premise of the Pickering-Connick-Garcetti line is that when government
    acts “as employer,” it “has far broader powers than does the government as sovereign” to regulate
    speech.216 The Supreme Court deems this distinction justified because “[g]overnmental employers,
    like private employers, need a significant degree of control over their employees’ words and
    actions; [as] without it, there would be little chance for the efficient provision of public services.”217
    Similarly, the court has voiced a reluctance to “‘constitutionalize the employee grievance.’”218 But
    while a citizen entering government service must thereby “accept certain limitations on his or her
    freedom,”219 the Supreme Court has also emphasized that “a citizen who works for the government
    is nonetheless a citizen”220 and “do[es] not surrender all [his] First Amendment rights by reason of
    214
    See, e.g., Lane v. Franks, 573 U.S. ___, ___, 
    134 S. Ct. 2369
    , 2375 (2014) (alleged
    retaliatory discharge); 
    Garcetti, 547 U.S. at 415
    (alleged retaliatory transfer and failure to promote);
    
    Connick, 461 U.S. at 141
    (termination); 
    Pickering, 391 U.S. at 574
    (termination).
    215
    
    Pickering, 391 U.S. at 574
    .
    216
    
    Garcetti, 547 U.S. at 418
    (quoting 
    Waters, 511 U.S. at 671
    ).
    217
    Id.; see also 
    id. at 419
    (elaborating that government employees could otherwise “express
    views that contravene governmental policies or impair the proper performance of governmental
    functions”).
    218
    
    Id. at 420
    (quoting 
    Connick, 461 U.S. at 154
    ).
    219
    
    Id. at 418.
            220
    
    Id. at 419.
    67
    [his] employment.”221 The point of the Pickering-Connick-Garcetti line has been to delineate the
    parameters of the First Amendment rights that public employees retain against expression-based
    personnel actions, and the basic rule is this: a public employee may “speak as a citizen addressing
    matters of public concern,” subject to the governmental employer’s power to impose restrictions
    when there is “adequate justification for treating the employee differently from any other member
    of the general public.”222 Pickering, Connick, and Garcetti each illustrates different points along that
    continuum—Pickering is an example of a public employee’s speech “as a citizen” (a teacher writing
    a letter to the editor outside of his job duties) addressing matters of “public concern” (school fiscal
    matters) and where no adequate justification was shown for employee discipline on that basis,223
    while Connick and Garcetti are on the opposite side of that line, with the former concerning
    discharge based on a public employee’s speech deemed not to be of “public concern” (various
    internal office grievances)224 and the latter involving personnel actions allegedly based on a public
    employee’s speech deemed not to have been uttered “as a citizen” (a memo written as part of his job
    duties).225 None of these cases addresses or would logically extend to the situation presented by the
    present case—the potential imposition of criminal penalties, as opposed to employee discipline, by
    the State of Texas acting in its capacity as sovereign rather than as an employer. If the Pickering-
    221
    
    Id. at 417.
           222
    
    Id. at 417,
    418 (citing 
    Pickering, 391 U.S. at 568
    ); see also 
    id. at 418
    (observing that such
    “restrictions . . . must be directed at speech that has some potential to affect the entity’s
    operations.”).
    223
    See 
    Pickering, 391 U.S. at 568
    -75.
    224
    See 
    Connick, 461 U.S. at 144-48
    .
    225
    See 
    Garcetti, 547 U.S. at 421
    .
    68
    Connick-Garcetti line has any bearing here, it would only be to emphasize a baseline rule that public
    employees possess First Amendment rights just like other citizens do.226
    In addition to its misplaced reliance on Garcetti, the State insists more broadly that
    public servants have no First Amendment protection against criminal punishment for their official
    speech because, in essence, it is not actually their speech, but that of their governmental employers.
    The State attempts to tie this notion to the Supreme Court’s “governmental speech” jurisprudence,
    which is to the effect that the First Amendment generally permits the government to communicate
    its own viewpoints through, e.g., the types of specialty license plates the government decides to
    issue, the monuments it allows to be placed in public parks, or its promotion of beef consumption,
    without having a duty to subsidize or promote other viewpoints.227 In that sense and context, the
    Supreme Court has said that “[t]he Government’s own speech . . . is exempt from First Amendment
    scrutiny.”228 Seizing on this language, the State reasons that section 36.03(a)(1) implicates no First
    Amendment interests of public servants, at least with regard to speech made in their official
    capacities, because it represents Texas’s regulation of its “own speech and actions” to advance a
    governmental “viewpoint” that “official speech should not be coerced speech.” And because this
    226
    E.g., 
    id. at 417
    (“The Court has made clear that public employees do not surrender all
    their First Amendment rights by reason of their employment.”) (emphasis added).
    Even if Garcetti might otherwise have application in the present context, Perry points out
    the Fifth Circuit’s holding in Jenevein that Garcetti does not govern analysis of elected officials’
    First Amendment 
    rights. 493 F.3d at 57-58
    . Because we agree with Perry’s primary contention that
    Garcetti has no application whatsoever here, we need not reach this narrower contention.
    227
    See Walker v. Texas Div., Sons of Confederate Veterans, Inc., 576 U.S. ___, ___,
    
    135 S. Ct. 2239
    , 
    192 L. Ed. 2d 274
    , 282 (June 18, 2015); Pleasant Grove City v. Summum, 
    555 U.S. 460
    , 467 (2009); Johanns v. Livestock Mktg. Ass’n, 
    544 U.S. 550
    , 559 (2005).
    228
    
    Johanns, 544 U.S. at 553
    .
    69
    State-desired end product of non-coerced official speech is “governmental” speech, the State adds,
    the Legislature may likewise burden any private speech that might compete with that “viewpoint.”
    As an initial observation, if, as the State argues, public servants’ official speech
    equals “governmental speech” in the sense of that doctrine, that theory would seem to suggest
    that the State itself would be criminally responsible for any violations of section 36.03(a)(1) through
    that official speech.229 And if, as the State suggests, speech inimical to the government’s official
    “viewpoint” can be criminalized for that reason alone, there would seem to be little left of the
    First Amendment’s rights of speech and petition. But more to the point, the Supreme Court has
    never held (nor has any other court, as far as we can tell) that the “governmental speech” doctrine
    means that governments can freely criminalize the speech of their citizens (whether spoken in their
    official or individual capacities) free of any First Amendment constraints. Rather, it is fundamental
    that the First Amendment limits the sovereign power of government to criminally punish the speech
    of its officials and agents, including that uttered in their official roles.230 Also belying the State’s
    notion that public servants can be freely punished criminally for their speech in their official
    capacities, the Supreme Court has emphasized that the First Amendment’s application does not turn
    solely on the identity of the speaker or source of the expression at issue.231
    229
    See also Tex. Penal Code § 9.21 (public-duty defense).
    230
    See, e.g., 
    Garrison, 379 U.S. at 67-75
    (applying New York Times Co. v. Sullivan analysis
    in context of criminal libel prosecution of district attorney based on public criticism of local judges);
    Wood v. Georgia, 
    370 U.S. 375
    , 394-95 (1962) (First Amendment protected sheriff with respect to
    criminal contempt sanctions imposed for his public statements regarding voting-related controversy,
    whether made in his official or individual capacities). Accord 
    Jenevein, 493 F.3d at 557-58
    ;
    
    Asgeirsson, 773 F. Supp. 2d at 694
    .
    231
    See First Nat’l Bank of Boston v. Bellotti, 
    435 U.S. 765
    , 777, 784-85 (1978) (political
    speech by corporation).
    70
    In short, contrary to the State’s arguments, “[s]tatements made by public officials
    to other public officials” on public issues are generally protected by the First Amendment—and
    neither the “governmental speech” doctrine nor Garcetti holds otherwise. Consequently, if the
    State is correct that section 36.03(a)(1), as it incorporates paragraph (F), does not impinge upon
    First Amendment-protected speech, that must be so because of the nature of the speech the statute
    proscribes.
    Nor does any historical exception to the First Amendment’s protections apply
    The State’s arguments concerning the content or effect of the threats proscribed by
    section 36.03(a)(1) and paragraph (F) implicate the Supreme Court’s jurisprudence delineating
    certain types of speech for which even content-based restrictions have not been considered “to raise
    any Constitutional problem.”232 In recent years, the Supreme Court has rejected any “free-floating
    test for First Amendment coverage . . . [based on] an ad hoc balancing of relative social costs and
    benefits”233 in favor of a categorical approach that looks instead to certain “historic and traditional
    categories long familiar to the bar.”234 These categories, as identified by the court to date, include
    the likes of obscenity, defamation, and so-called “fighting words.”235 Another refers specifically to
    232
    
    Stevens, 559 U.S. at 469
    (quoting Chaplinski v. New Hampshire, 
    315 U.S. 568
    , 571-72
    (1942)).
    233
    
    Id. at 470.
            234
    
    Id. at 468-69.
           235
    
    Id. (listing examples
    of obscenity, defamation, “fraud,” “incitement,” and “speech integral
    to criminal conduct”); 
    Black, 538 U.S. at 358-59
    (citing “fighting words,” “advocacy . . . directed
    to inciting or producing imminent lawless action and . . . likely to incite or produce such action,” and
    “true threats”).
    71
    a type of threat—what the Supreme Court has termed “true threats.”236 But “true threats,” according
    to the court, are only “those statements where the speaker means to communicate a serious
    expression of intent to commit an act of unlawful violence to a particular individual or group
    of individuals.”237
    Although the few reported appellate cases arising from prosecutions under
    Penal Code section 36.03(a)(1) have tended to involve “true threats,”238 such threats of violence
    would comprise a relatively small fraction of section 36.03(a)(1)’s potential applications, especially
    with respect to the threats by public servants to take or withhold official action that would be within
    the coverage of paragraph (F). Further, as Perry emphasizes, the Supreme Court has never seen fit
    to extend this unprotected category of threats beyond those parameters, and it has also demarked
    the category’s boundaries strictly in relation to political speech by holding that a wide range of
    236
    
    Black, 538 U.S. at 359
    .
    237
    
    Id. at 359-60
    (concerning state ban on cross-burning with intent to “intimidate” in “the
    constitutionally proscribable sense,” “a type of true threat where a speaker directs a threat to a person
    or group of persons with the intent of placing the victim in fear of bodily injury or death”); see also
    R.A.V. v. City of St. Paul, 
    505 U.S. 377
    , 388 (1992) (observing that “threats of violence are outside
    the First Amendment,” further citing justifications of “protecting individuals from the fear of
    violence, from the disruption that fear engenders, and from the possibility that the threatened
    violence will occur”); 
    Watts, 394 U.S. at 707-08
    (indicating that First Amendment did not protect
    a threat to assassinate the President of the United States).
    238
    See 
    Tobias, 884 S.W.2d at 580-81
    (rejecting overbreadth challenges to section 36.03
    where “coercion” was predicated on threats of violence against appellate court justices because
    threats were “true threats” rather than mere political hyperbole); see also 
    Phillips, 401 S.W.3d at 287-90
    (procedural and evidentiary-sufficiency challenges to conviction under section 36.03 where
    “coercion” based on threats of violence against police officers).
    72
    “intemperate” and “vituperative” expression related to public issues—even some referencing or
    advocating violence—falls short of “true threats” and is protected by the First Amendment.239
    Aside from these limitations on proscribable “true threats,” Perry points out
    Supreme Court holdings to the effect that the First Amendment’s protections are not rendered
    inapplicable merely because political speech can be said to be “coercive” in nature. He refers us to
    Organization for a Better Austin v. Keefe,240 in which the Supreme Court overturned, as an invalid
    prior restraint, an injunction restraining a pamphleteering campaign by the organization that had
    been aimed at pressuring a real estate broker to sign an agreement not to engage in certain business
    practices the group perceived to be detrimental to the community.241 In so doing, the Supreme Court
    rejected a lower court’s view that the campaign was unprotected by the First Amendment because
    239
    See, e.g., Rankin v. McPherson, 
    483 U.S. 378
    , 386-87 (1987) (First Amendment protected
    statement by government employee, following attempted assassination of President Reagan,
    expressing employee’s “hope they get him” in any subsequent attempts; reasoned that context of
    statement—a political discussion—revealed that statement addressed matter of public concern rather
    than making an actionable threat); Hess v. Indiana, 
    414 U.S. 105
    , 107-09 (1973) (anti-war protester’s
    statement, to no one in particular, that “[w]e’ll take the f__ing street later” was protected by
    First Amendment); Brandenburg v. Ohio, 
    395 U.S. 444
    , 446-49 (1969) (Ku Klux Klan leader’s
    referencing “possibility” of “revengeance” fell short of specific threat of violence and was protected
    by First Amendment); 
    Watts, 394 U.S. at 706
    , 708 (holding utterance that “[i]f they ever make me
    carry a rifle [upon being drafted into the U.S. military] the first man I want to get in my sights is
    L.B.J.” was merely “a kind of very crude offensive method of stating a political opposition to the
    President” and was thus protected by the First Amendment).
    240
    
    402 U.S. 415
    .
    241
    See 
    id. at 415-18.
    The pressuring tactics employed by the organization included
    distributing pamphlets in the broker’s town of residence—and to his neighbors and members of his
    church—publicizing the broker’s “panic peddling,” harshly criticizing the practice, and urging
    recipients to call the broker—at his home, providing the number—and urge him to sign the “no
    solicitation” agreement the group desired. See 
    id. at 416-17.
    Other leaflets communicated a more
    explicit threat and demand that “[w]hen he signs the agreement, we stop coming to [the broker’s
    town of residence].” 
    Id. at 417.
    73
    the effort’s aim had been to “force” the broker to sign the desired agreement rather than merely
    informing the public.242 The Supreme Court reasoned:
    The claim that the expressions were intended to exercise a coercive impact
    on respondent [the broker] does not remove them from the reach of the
    First Amendment. Petitioners plainly intended to influence respondent’s conduct
    by their activities; this is not fundamentally different from the function of a
    newspaper.243
    More recently, in N.A.A.C.P. v. Claiborne Hardware Company,244 on which Perry also relies,
    the Supreme Court cited Keefe for the proposition that “‘offensive’ and ‘coercive’ speech was
    nevertheless protected by the First Amendment.”245 The court there also applied similar reasoning
    in holding that the First Amendment had protected various peaceful measures by which participants
    in a business boycott, aimed at achieving political and social goals related to racial equality and
    integration, had endeavored to compel participation through both advocacy and social pressure.
    While acknowledging that the boycott advocates had “admittedly sought to persuade others through
    social pressure and the ‘threat’ of social ostracism,” the Supreme Court emphasized that “[s]peech
    does not lose its protected character . . . simply because it may embarrass others or coerce them
    into action.”246
    242
    
    Id. at 419.
            243
    Id.
    244
    
    458 U.S. 886
    .
    245
    
    Id. at 911.
            246
    
    Id. at 909-10.
    74
    The State does not respond directly to Perry’s arguments regarding the narrowness
    of proscribable “true threats” and the implications of Claiborne Hardware and Keefe. Instead, it
    advances arguments that, while not framed explicitly in these terms, potentially implicate a different
    “historic and traditional” category of proscribable speech—what the Supreme Court has termed
    “speech integral to criminal conduct.”247 The basic rationale underlying the court’s recognition of
    this historical category of unprotected speech is that the First Amendment does not prohibit
    government from “mak[ing] a course of conduct illegal merely because the conduct was in part
    initiated, evidenced, or carried out by means of language, either spoken, written, or printed.”248
    Within this category, the Supreme Court has placed such activities as picketing having the sole
    objective of inducing a business to engage in an illegal restraint of trade,249 speech soliciting illegal
    transactions or other crimes,250 or speech that discloses our Nation’s defense secrets in furtherance
    of treason.251
    Applying a similar rationale, a number of courts have held or otherwise expressed the
    view that speech incident to bribery or extortion is not protected by the First Amendment—and these
    have included the Court of Criminal Appeals. In Sanchez v. State, the Court of Criminal Appeals
    247
    
    Stevens, 559 U.S. at 468-69
    (citing Giboney v. Empire Storage & Ice Co., 
    336 U.S. 490
    ,
    498 (1949)).
    248
    
    Giboney, 336 U.S. at 502
    .
    249
    See 
    id. at 492-504.
            250
    
    Williams, 553 U.S. at 297
    (regarding statute restricting pandering of child pornography).
    Accord 
    Lo, 424 S.W.3d at 16-17
    & n. 21 (observing that offers to engage in illegal transactions,
    such as online solicitation of a minor, have been “routinely upheld as constitutional” against
    First Amendment challenges, as the speech at issue is merely the “vehicle” for the conduct the statute
    prohibits).
    251
    See 
    R.A.V., 505 U.S. at 389
    .
    75
    addressed overbreadth challenges to the sexual-harassment provision of the Penal Code’s official-
    oppression statute, an offense that it summarized as having the elements of: (1) “an official’s use
    of his official position”; (2) “to intentionally engage in conduct of a sexual nature or attempt to
    procure sexual favors”; (3) “which he knows is not welcomed by the recipient”; (4) “intending
    submission to which to be a term or condition of the recipient’s or another person’s enjoyment of
    something of value to the person.”252 The court anchored its analysis in the premise, derived from
    some federal intermediate appellate decisions, that “[b]ribery and extortion, while involving
    ‘speech,’ are not protected by the First Amendment.”253 Quoting language from the federal
    decisions, the Court of Criminal Appeals observed that “[t]hreats and bribes are not protected simply
    because they are written or spoken; extortion is a crime although it is verbal,”254 and that “‘[i]t may
    categorically be stated that extortionate speech has no more constitutional protection than that uttered
    by a robber while ordering his victim to hand over the money, which is no protection at all.’”255
    To resolve the overbreadth challenge presented in Sanchez, the Court of Criminal
    Appeals took this analysis a step further by comparing the sexual-harassment offense at issue to
    extortion as that crime had been known both historically and in modern times. The court observed
    that the crime of “extortion” had originated under English common law as a proscription against a
    public official’s taking of “money not due him for the performance of official duties,” which
    252
    
    995 S.W.2d 677
    , 687 (Tex. Crim. App. 1999).
    253
    
    Id. at 688.
           254
    
    Id. at 688
    (quoting United States v. Marchetti, 
    466 F.2d 1309
    , 1314 (4th Cir. 1972),
    cert. denied, 
    409 U.S. 1063
    (1972)).
    255
    
    Id. (quoting United
    States v. Quinn, 
    514 F.2d 1250
    , 1268 (5th Cir. 1975), cert. denied,
    
    424 U.S. 955
    (1976)).
    76
    the court termed “essentially a form of bribery.”256 Over time, the court continued, extortion had
    evolved by statute to encompass the taking of property by private individuals “through force,
    fear, or threats”—essentially a species of theft.257 Today there is no “extortion” offense by that
    name in the Texas Penal Code, but vestiges survive within the bribery offense under section 36.02258
    and the theft offense created by section 31.03. The theft offense—which was expressly intended to
    subsume “extortion” and various other theft-related crimes previously known to the law259—in part
    proscribes the appropriation of another’s property through consent obtained by “coercion,” thereby
    incorporating the same “coercion” element and definition as does section 36.03(a)(1).260
    In the view of the Court of Criminal Appeals, the sexual-harassment offense at issue
    in Sanchez had several material similarities to extortion in both its historical and modern forms, so it
    followed that any speech the offense proscribed lacked First Amendment protection:
    256
    
    Id. at 687-88
    (citing Evans v. United States, 
    504 U.S. 255
    , 266 (1992)); see 
    Scheidler, 537 U.S. at 402
    (“At common law, extortion was a property offense committed by a public official
    who took ‘any money or thing of value’ that was not due him under the pretense that he was entitled
    to such property by virtue of his office.” (quoting 4 William Blackstone, Commentaries on the Laws
    of England 141 (1765); 3 Ronald Anderson, Wharton’s Criminal Law and Procedure § 1393, at 790-
    91 (1957))).
    257
    
    Sanchez, 995 S.W.2d at 687
    (citing 
    Evans, 504 U.S. at 261
    ); see United States
    v. Nardello, 
    393 U.S. 286
    , 296 (1969) (terming threats by private individual to reveal private facts
    in order to obtain monetary payment as “a type of activity generally known as extortionate since
    money was to be obtained from the victim by virtue of fear and threats of exposure”).
    258
    See Tex. Penal Code § 36.02(a) (“A person commits an offense if he intentionally or
    knowingly . . . solicits, accepts, or agrees to accept from another” a “benefit as consideration for”
    a “public servant’s” official action or “violation of a duty imposed by law.”).
    259
    See 
    id. § 31.02.
            260
    See 
    id. §§ 31.01(3)(A),
    .03(b)(1).
    77
    As with official extortion—what we would now call bribery—the sexual harassment
    provision is concerned with the use of official power to obtain a benefit to which
    the official was not otherwise entitled. In a bribery/official extortion case, that
    benefit was traditionally money or tangible property, but the receipt of someone’s
    submission to sexual conduct seems to be as legitimate an object of government
    regulation. The First Amendment does not give an official the right to trade official
    services for sexual favors or for submission to conduct of a sexual nature.
    Further, . . . the sexual harassment statute goes beyond mere bribery due to the
    requirement that the conduct be “unwelcome.” With that requirement, the sexual
    harassment provision encompasses coercive conduct—analogous to private extortion.
    Sexual harassment under the statute is essentially sexual extortion: an official
    uses his official position to coerce submission to conduct of a sexual nature. And the
    statute criminalizes sexual harassment that is intentional. To be liable, the official
    must intend the sexual nature of his conduct, he must be aware that the conduct
    is unwelcome, and he must intend submission to the conduct to be made a term
    or condition of enjoying something of value to the recipient or another
    person—something of value that the official is in a position to withhold or provide.
    In other words, the official must intend to carry out sexual extortion. The
    First Amendment is not implicated by such activity.261
    Subsequently, relying on Sanchez, the Fourth Court of Appeals summarily rejected an overbreadth
    challenge to section 31.03’s theft-by-coercion offense in Roberts v. State.262
    The gist of the State’s position is that we should, similar to the courts in Sanchez and
    Roberts, regard any threats proscribed by section 36.03(a)(1) and paragraph (F) to be tantamount
    261
    
    Sanchez, 995 S.W.2d at 688
    .
    262
    
    278 S.W.3d 778
    , 790-91 (Tex. App.—San Antonio 2008, pet. ref’d) (“The offense
    proscribed . . . is in many ways similar to bribery or extortion. Bribery and extortion, while
    involving ‘speech,’ are not protected by the First Amendment. Threats and bribes are not protected
    simply because they are written or spoken; extortion is a crime although it is verbal. Accordingly,
    the type of speech prohibited by [Penal Code] section 31.03 is not within the nature of speech
    protected by the First Amendment.” (citing 
    Sanchez, 995 S.W.2d at 687
    )).
    The “coercion” at issue in Roberts involved threats by a private party to expose others to
    “hatred, contempt, or ridicule” and harm to “credit or business repute”—specifically, revelations of
    the victims’ extramarital affairs with the defendant’s wife—as means of eliciting monetary
    payments. See 
    id. at 791
    (citing Tex. Penal Code § 1.07(a)(9)(D), (E)).
    78
    or analogous to extortion or bribery and, for that reason, unprotected by the First Amendment. To
    similar effect, the State urges that the statutes reach only “conduct,” and cites a Houston Court of
    Appeals case that rejected an overbreadth challenge to Penal Code section 38.15 (Interference with
    the Duties of a Public Servant), a statute that explicitly provides a defense where the acts in question
    “consist[] of speech only.”263
    In reply, Perry does not dispute that speech in furtherance of extortion or bribery
    would lack First Amendment protection, but he rejects the State’s attempts to equate those crimes
    or the sexual-harassment offense addressed in Sanchez with section 36.03(a)(1), at least as it
    incorporates paragraph (F). At most, Perry suggests, any such comparisons could establish only that
    section 36.03(a)(1), as it incorporates paragraph (F), would have some constitutionally permissible
    applications, such as if a public servant threatened to take or withhold action as a means of obtaining
    some sort of personal benefit that would violate the theft-by-coercion or bribery prohibitions.
    But section 36.03(a)(1) and paragraph (F) extend far beyond this, Perry urges, to impinge
    First Amendment-protected speech. We ultimately agree with Perry. The threats proscribed by
    section 36.03(a)(1), as it incorporates paragraph (F), are not limited to those that would fall within
    any recognized category of speech integral to criminal conduct, like extortion, bribery, or (to follow
    the Court of Criminal Appeals’s lead in Sanchez) any analogues or equivalents to those crimes.
    To be sure, section 36.03(a)(1), as it incorporates paragraph (F), would reach some
    threats aimed at achieving illicit ends that the State could properly proscribe criminally. A public
    263
    Duncantell v. State, 
    230 S.W.3d 835
    , 843-44 (Tex. App.—Houston [14th Dist.] 2007,
    pet. ref’d) (“The interference statute provides that it is a defense to prosecution . . . if the
    interruption, disruption, impediment, or interference alleged consists of speech only. Therefore, we
    must only examine the interference statute’s limitations on conduct to determine if it restricts a
    substantial amount of constitutionally protected conduct.” (citing Tex. Penal Code § 38.15(d))).
    79
    servant’s threat to take or withhold action in order to induce another public servant to knowingly
    violate his or her legal duties would resemble (and in some instances could include) solicitation of
    a crime, a recognized category of unprotected speech.264 Threats seeking some sort of prohibited
    personal benefit, a la extortion or bribery, would be another example. But the extortion or bribery
    analogy does not extend much further—as the Court of Criminal Appeals observed in Sanchez, the
    crimes have long focused on the use of threats or official power to extract some form of personal
    benefit to which the actor would otherwise not be entitled.265 About the most that could be
    extrapolated from the extortion crime is that the State can validly prohibit the use of threats in
    situations where the parties’ relationship does not provide the threatener a legitimate basis for
    seeking conduct of the recipient (i.e., he had no right to demand or require it) and where the recipient
    would have no underlying obligation to consider performing the conduct aside from the threat.266
    Such use of threats might also be said to seek or effect a sort of transaction in which a public servant
    interjects a threat to take or withhold official action, then offers freedom from the threatened harm
    solely to exchange for some otherwise-unrelated desired conduct by another public servant whose
    sole rationale or justification would be avoidance of the threatened harm. In this respect, such threats
    would achieve an effect similar to bribery of the recipient.
    264
    See Tex. Penal Code § 15.03(a); 
    Williams, 553 U.S. at 298
    (indicating that “speech . . .
    that is intended to induce or commence illegal activities” is “undeserving of First Amendment
    protection”).
    265
    See 
    Sanchez, 995 S.W.2d at 688
    ; see also 
    Robertson, 649 P.2d at 586
    (similarly observing
    that “the fact that the threatener’s demand is for money or other selfish gain is a central element in
    robbery by threat, blackmail, and extortion,” and adding that even threats to picket “when designed
    to gain financial payments or other legally permissible benefits” may be protected free speech).
    266
    See 
    Robertson, 649 P.2d at 589
    (making a similar observation regarding the nature of
    extortion and blackmail).
    80
    Perry also grants that if a public servant threatened to take or withhold action in a
    manner that would in itself be unlawful, that threat would “generally not [be] protected,” even if
    not foretelling violence against persons.267 Such threats would present the victim the choice
    of engaging in the sought-after conduct in order to regain a right that had belonged to him or her in
    the first instance—undertaking official action in order to regain freedom from the breach of criminal
    law or tort duties being threatened. The same basic dynamic is also a feature of robbery—the victim
    must hand over property in order to regain his or her preexisting right to personal safety—and
    extortion where the threat foretells unlawful action.
    But these analogies do not fit the class of potential applications of section 36.03(1)
    and paragraph (F) that Perry emphasizes. Where government managers threaten to demote poor-
    performing employees unless they improve, public defenders threaten to file suppression motions
    in order to secure better plea deals, or an appellate justice threatens to write a dissent in order to
    prompt changes in a draft majority opinion, the threatened taking or withholding of action would
    generally be lawful; consequently, the recipient would have no right to be free of the threatened
    action in the first instance. The sought-after action would likewise be lawful—the threat would not
    be akin to solicitation of a crime. And in these sorts of instances, the desired action would generally
    be within the actor’s lawful rights to demand or require of the recipient, and the threat in itself would
    typically have no independent impact on the recipient’s ultimate rights or options relative to
    the public servant seeking the action. Whatever leverage that was possessed by the public servant
    267
    See United States ex rel Holder v. Circuit Court of 17th Judicial Cir., 
    624 F. Supp. 68
    ,
    71 (N.D. Ill. 1985) (acknowledging that threat to inflict property damage would not be protected).
    But see Wurtz v. Risley, 
    719 F.2d 1438
    , 1441-42 (9th Cir. 1983) (invalidating Montana
    “intimidation” statute proscribing threats “to commit any criminal offense” on basis that it reached
    First Amendment-protected threats to commit acts of civil disobedience).
    81
    making the threat, in other words, would derive not from the threat in itself, but from the underlying
    legal relationship and relative distribution of powers between public servants that the People
    have chosen through their Constitution and laws. The threat, as such, would amount merely to
    an articulated expression of that relative distribution of powers, in the nature of a warning of
    consequences that the public servant could lawfully impose in response to the recipient’s failure to
    comply with a lawful request or demand.268
    These kinds of threats are “speech incident to criminal conduct” only if the basic
    workings of government are considered criminal conduct, a proposition we cannot sanction. Nor,
    absent the sorts of unlawful means or ends we have described, would any characterization of
    these threats as “coercive” suffice to displace them from the First Amendment’s protections, as the
    State would have us conclude; on the contrary, the Supreme Court has instructed in Claiborne
    Hardware and Keefe that “‘offensive’ and ‘coercive’ speech [is] nevertheless protected by the
    First Amendment.”269 These threats remain protected instead—indeed, as Perry urges, “[s]tatements
    268
    Cf. 
    Jackson, 180 F.3d at 70-71
    (distinguishing “wrongful” threats under federal extortion
    statute as those made without any nexus to a plausible claim of right and “the only leverage to force
    the payment of money resides in the threat, where [carrying through on the threat] would be
    counterproductive, and compliance with the threatener’s demands provides no assurance against
    additional demands based on renewed threats” of the same consequences); Kent Greenwalt, Criminal
    Coercion and Freedom of Speech, 78 Nw. U. L. Rev. 1081, 1095-1108 (1983) (positing a
    First Amendment theory distinguishing between “warning” and “situation-altering” threats).
    269
    Claiborne Hardware 
    Co., 458 U.S. at 911
    (citing Keefe); see 
    id. at 909
    -10 (“Speech does
    not lose its protected character . . . simply because it may embarrass others or coerce them into
    action.”); 
    Keefe, 402 U.S. at 419
    (“The claim that the expressions were intended to exercise a
    coercive impact on respondent does not remove them from the reach of the First Amendment.”).
    Cf. NLRB v. Gissel Packaging Co., 395 U.S, 575, 617-20 (1969) (previously holding that “coercive”
    speech, in form of threats of reprisals with the goal of unlawfully impeding union organizational
    efforts, are “without the protection of the First Amendment,” but also noting uniqueness of
    communications in employer-employee context as compared to political speech among citizens
    generally).
    82
    so intrinsic to government, particularly when they relate to matters of public policy, lie at the
    core of First Amendment protection.” In the very least, by criminalizing these types of threats,
    section 36.03(a)(1), as it incorporates paragraph (F), plainly impinges upon the First Amendment-
    protected speech of Texas’s public servants.270
    Our holding is hardly a novel one—Hanson reached essentially the same conclusions
    regarding section 36.03(a)(1) and paragraph (F) a quarter century ago. In that case, the Tenth Court
    had little difficulty determining that “[w]hen applied to Judge Hanson’s alleged conduct”
    (“threaten[ing] to terminate the county’s funding of the salaries of a deputy district clerk and
    an assistant district attorney in an attempt to coerce the district judge into firing the county auditor
    and the county attorney into revoking a misdemeanant’s probation”), section 36.03(a)(1), as it
    incorporated paragraph (F), “clearly implicated [Hanson’s] First Amendment rights because she was
    indicted for words allegedly spoken to other public officials”—she was charged with “having
    made a threat to take action as a public official in an attempt to coerce another public official into
    performing an official act.”271 The court elaborated that “[t]hreats may portend either lawful or
    unlawful action” and that “First Amendment protection is extended to the former but not the
    latter.”272 And it was likewise true, the court continued, that “[c]oercion of a lawful act by a threat
    270
    By this, we do not rule out the possibility that other threats within the proscription’s
    coverage would also be protected by the First Amendment, but we need not decide that here.
    271
    
    Hanson, 793 S.W.2d at 271-72
    (emphases in original). Although Hanson was governed
    by the pre-1989 version of section 36.03, its analysis remains material in cases involving public
    servants not excepted by subsection (c). Moreover, while paragraph (F) was amended in 1989, that
    provision, as previously explained, was subsequently returned to its original form.
    272
    
    Id. at 272
    (citing 
    Watts, 394 U.S. at 707
    ; 
    Wurtz, 719 F.2d at 1441
    ).
    83
    of lawful action is protected free expression.”273 In this regard, the court observed, with reference
    to the statutory powers of all three offices, and assuming the allegations in the charging instruments
    were true, “Judge Hanson could have lawfully taken the actions threatened, and the district judge
    and county attorney, had they acted as she desired, would have acted lawfully.”274 The State suggests
    that Hanson also involved a third variable, although one not obviously emphasized by the
    Tenth Court—as the State explains it, Judge Hanson “could legally request that the county attorney
    institute proceedings to revoke a misdemeanant’s probation [such that] the act requested by the
    defendant as part of her threat was an act that was within the scope of the lawful authority that she,
    the defendant, otherwise had.” Section 36.03(a)(1), as its incorporates paragraph (F), reaches threats
    having all of these features.
    The Tenth Court addressed these First Amendment concerns under the rubric of
    vagueness, concluding that the statutes failed to afford Judge Hanson sufficient notice as to whether
    “the term ‘threat’ encompass[ed] a threat of lawful action or only prohibit[ed] a threat of unlawful
    action”275 and whether Hanson could seek to “coerce” lawful actions of the other “public servants.”276
    But the foundation for these holdings was the same conclusion we reach here—section 36.03(a)(1),
    as it incorporates paragraph (F), impinges upon speech that the First Amendment protects.
    273
    
    Id. 274 Id.
           275
    
    Id. at 272
    .
    276
    
    Id. (“Could Judge
    Hanson threaten to use her lawful authority and prerogatives of her
    office to coerce other public officials into taking lawful actions which she or the commissioners’
    court deemed expedient or desirable, or should she refrain from doing so out of fear of prosecution?
    What is and what is not lawful conduct cannot be left to such conjuncture.”).
    84
    Our reasoning, and that of Hanson, is also consistent with decisions from other
    jurisdictions that have recognized threats to be protected by the First Amendment absent
    some applicable exclusion. Some of these courts have invalidated criminal prohibitions against
    threats on overbreadth grounds.277 Still others have resorted to narrowing constructions of threat
    prohibitions in order to avoid these sorts of free-speech problems.278
    Section 36.03(a)(1)’s impingement upon First Amendment-protected speech is not justified
    Having concluded that section 36.03(a)(1), as it incorporates paragraph (F), reaches
    into the realm of First Amendment-protected speech, we must next consider whether that
    impingement can be justified. Under the Supreme Court’s most recent guidance, it now seems clear
    that section 36.03(a)(1) must be classified as a “content-based” speech prohibition—on its face, it
    targets speech having a specified content (communicated intent to inflict one of the six categories
    of harms enumerated in the “coercion” definition) based on the communicative impact the threat
    277
    See, e.g., 
    Wurtz, 719 F.2d at 1441
    -42 (invalidating Montana “intimidation” statute
    proscribing threats “to commit any criminal offense” on basis that it reached First Amendment-
    protected threats to commit acts of civil disobedience); 
    Holder, 624 F. Supp. at 71
    (similarly
    invalidating Illinois “intimidation” statute prohibiting threats to “commit any criminal offense”);
    
    Robertson, 649 P.2d at 589
    -90 (invalidating Oregon “coercion” prohibition that criminalized the
    “compel[ling] or induc[ing] of another person to engage in conduct from which he has a legal right
    to abstain, or to abstain from engaging in conduct in which he has a legal right to engage, by means
    of instilling in him a fear” of certain specified harms “if the demand is not complied with”).
    278
    See State v. Pauling, 
    69 P.3d 331
    , 336 (Wash. 2003) (construing state extortion statute
    to incorporate a “wrongfulness” element, borrowed from federal law, limiting its reach to threats
    aimed at obtaining property that lack any nexus to a claim of right (citing 
    Jackson, 180 F.3d at 70
    -
    71)), cert. denied, 
    540 U.S. 986
    (2003); State v. Hynes, 
    978 A.2d 264
    , 278-79 (N.H. 2009)
    (following Pauling in implying element of “wrongful” acquisition of property into extortion statute
    so as to exclude “legitimate claims to property through threats”); People v. Hickman, 
    988 P.2d 628
    ,
    636-37 (Colo. 1999) (holding that criminal “threat” prohibition was impliedly limited to threats of
    “illegal” or “unlawful” acts).
    85
    has or is intended to have (bringing about certain specified conduct of a public servant), and we are
    instructed that these facial features of the statute, not any asserted underlying content-neutral
    rationales, control.279 Where, as here, a statute “seeks to restrict and punish speech based on its
    content,” “the usual presumption of constitutionality is reversed”—the statute is instead presumed
    invalid, and “the government bears the burden to rebut that presumption.”280 In that event, courts
    apply “strict scrutiny,” which requires that a law regulating speech be (1) necessary to serve (2) a
    compelling state interest and (3) be narrowly drawn (i.e., that it employ the least restrictive means
    to achieve its goal and there be a close nexus between the government’s compelling interest and the
    restriction).281
    The State posits that section 36.03(a)(1), as it incorporates paragraph (F), is
    justified by a “singular interest in intervening when public officials try to leverage the powers of
    government for their personal or political whims.” It also refers to perceived interests in protecting
    279
    See Reed v. Town of Gilbert, 576 U.S. ___, ___, 
    135 S. Ct. 2218
    , 2226-27, 2228-31
    (June 18, 2015) (explaining that “content-based” laws “target speech based on its communicative
    content” and that “the government’s benign motive, content-neutral justification, or lack of animus
    toward the ideas contained . . . cannot transform a facially content-based law into one that is content-
    neutral”); see also United States v. Williams, 
    690 F.3d 1056
    , 1061-61 (8th Cir. 2012) (terming
    federal statutes prohibiting false threats to commit certain crimes as “content-based restrictions on
    speech”), cert. denied, Williams v. United States, ___ U.S. ___, 
    133 S. Ct. 1516
    (2013); United
    States v. Cassel, 
    408 F.3d 622
    , 626-27 (9th Cir. 2005) (analyzing federal statute criminalizing
    “intimidation” hindering land sale as content-based because it prohibited speech based on
    communicative impact); see also 
    R.A.V., 505 U.S. at 394
    (“Listeners’ reactions to speech are not the
    type of ‘secondary effects’ we referred to in Renton [v. Playtime Theatres, Inc., 
    475 U.S. 41
    (1986)].
    The emotive impact of speech on its audience is not a ‘secondary effect.’” (quoting 
    Boos, 485 U.S. at 321
    )).
    280
    
    Lo, 424 S.W.3d at 15
    (citing Ashcroft v. Am. Civil Liberties Union, 
    542 U.S. 656
    , 660
    (2004)).
    281
    
    Id. (citing Denver
    Area Educ. Telecomms. Consortium, Inc. v. F.C.C., 
    518 U.S. 727
    , 755-
    56 (1996); Sable Comms. of Ca., Inc. v. F.C.C., 
    492 U.S. 115
    , 126 (1989)).
    86
    the “integrity” of Texas’s government institutions (similar to the Court of Criminal Appeals’s
    observations in Isassi282) or protecting public servants from “interference” in the performance of their
    duties. The State also refers us to various court of appeals cases that have referenced interests in
    protecting participants in the judicial system—such as judges, jurors, or witnesses—against threats
    of physical violence or threats of exposure to “hatred, contempt, and ridicule” in the course
    of rejecting overbreadth challenges to section 36.03(a)(1),283 section 36.05’s witness-tampering
    prohibition,284 or section 36.06’s retaliation provision.285
    Assuming without deciding that each of these asserted interests would rise to the
    level of “compelling,” it cannot be said that section 36.03(a)(1), as it incorporates paragraph (F), is
    “narrowly drawn” to achieve those objectives. Indeed, it begins to strain even rational-basis scrutiny
    to conclude that a statute that goes as far as to criminalize a public servant’s threat merely to lawfully
    exercise his delegated powers as a related consequence of another public servant’s failure or refusal
    282
    
    Isassi, 330 S.W.3d at 638-39
    (observing that section 36.03 and other provisions within
    chapter 36 of the Penal Code are “designed to reach various means by which the integrity of
    government can be undermined”).
    283
    
    Tobias, 884 S.W.2d at 580-81
    (regarding threat of violence against appellate court
    justices, determining that threats in question were unprotected “true threats” and adding that “[t]he
    State has a valid and substantial interest in protecting the integrity of the judicial system and in
    allowing its appellate justices to perform their respective duties without interference from threats
    of physical violence” (citing Puckett v. State, 
    801 S.W.2d 188
    , 192-93 (Tex. App.—Houston
    [14th Dist.] 1990, pet. ref’d), cert. denied, 
    502 U.S. 990
    (1991))).
    284
    Board, 1998 Tex. App. LEXIS 3206, at *14 (“We believe the State of Texas has a very
    substantial interest in protecting witnesses from threats of exposure to hatred, contempt, and
    ridicule.”).
    285
    
    Puckett, 801 S.W.2d at 192-93
    (citing Texas’s “valid and substantial interest in protecting
    the integrity of its judicial system and in allowing public servants, witnesses, and prospective
    witnesses to perform their respective duties without interference from threats of physical violence”).
    87
    to comply with a lawful demand for action would protect the “integrity” of government or prevent
    “interference” with public servants’ performance of their delegated functions. If anything, the effect
    of the statutes in those circumstances would be to undermine these interests by criminalizing much
    of the ordinary day-to-day workings of government. And to the extent the unique circumstances of
    the judicial process might justify the proscription as it would apply in that context, we need only
    observe that the proscription extends far more broadly.286
    Perry further questions the extent to which section 36.03(a)(1) and paragraph (F)
    are “necessary” to effectuate these professed state interests. He points out, for example, that other
    subsections of the Penal Code’s “coercion” definition address threats of violence or other unlawful
    conduct and that other Code provisions—e.g., the bribery statute, the theft-by-coercion proscription,
    or the official-oppression prohibition287—address more directly any instances of public servants
    wielding their power merely to advance “personal whims.” “The only discrete function of
    [paragraph (F)], when combined with Section 36.03(a)(1),” in Perry’s view, “is to prohibit
    speech protected by the First Amendment.” In this regard, Perry draws comparisons to the Court of
    Criminal Appeals’s analysis in Ex parte Lo, in which the court struck down, on overbreadth grounds
    (and via pretrial habeas), subsection (b) of Penal Code section 33.021, which had prohibited a person
    286
    Cf. Model Penal Code § 240.2 (differentiating between threats seeking to influence
    adjudicatory proceedings and those in other governmental contexts, and prohibiting the latter only
    when foretelling “unlawful” harm or seeking knowing violations of a public servant’s legal duties).
    287
    See Tex. Penal Code § 39.03(a) (“A public servant acting under color of his office or
    employment commits an offense if he: (1) intentionally subjects another to mistreatment or to
    arrest, detention, search, seizure, dispossession, assessment, or lien that he knows is unlawful;
    (2) intentionally denies or impedes another in the exercise or enjoyment of any right, privilege,
    power, or immunity, knowing his conduct is unlawful; or (3) intentionally subjects another to sexual
    harassment.”).
    88
    from communicating online in a “sexually explicit” manner (defined so broadly as to encompass
    “many modern movies, television shows, and ‘young adult’ books”) with a minor if the person
    intended to arouse or gratify anyone’s sexual desire.288 While acknowledging that the State had a
    compelling interest—“indeed a solemn duty”—to protect minors from sexual predation, the high
    court concluded that the statute was not narrowly drawn where “everything that Section 33.021(b)
    prohibits and punishes is speech and is either already prohibited by other statutes (such as obscenity,
    distributing harmful materials to minors, or child pornography) or is constitutionally protected.”289
    We agree that while some applications of section 36.03(a)(1) and paragraph (F) may be permissible
    or justified under the First Amendment, Lo’s rationale would be an additional reason for invalidating
    the statute as to other applications.
    There is no alternative to invalidation
    It remains to be addressed whether the potential unconstitutional applications of
    section 36.03(a)(1), as it incorporates paragraph (F), are so substantial relative to permissible ones
    that we should apply the “strong medicine” of invalidating the proscription for overbreadth. We
    conclude that the proscription’s overreach into First Amendment-protected territory is to an
    extent and nature that cannot merely be left to remedy through future case-by-case adjudication. The
    proscription, as we have seen, can be fairly said to be of “alarming” breadth, reaching even a public
    servant’s declared intention to take or withhold action lawfully, aimed at bringing about another
    public servant’s lawful action that the first public servant could lawfully demand or require, and even
    
    288 424 S.W.3d at 17-27
    .
    289
    
    Id. at 20-21
    (emphasis in original).
    89
    where is a close relationship between the foretold action and the desired action.290 Furthermore,
    there is no requirement that the actor articulate a specific demand for action or quid-pro-quo offer
    to accompany the threat—it is enough that the public servant makes the threat and a fact-finder might
    infer the prohibited intent to bring about some sort of official action by the recipient. The statutes
    would criminalize many utterances that are ordinary and commonplace in the day-to-day workings
    of government—and that are protected by the First Amendment.
    The State downplays the possibility that any perceived overbreadth of
    section 36.03(a)(1) and paragraph (F) gives rise to any chilling effect on the speech of Texas’s public
    servants, or at least has until now. It emphasizes that the statutes have been on the books “for over
    four decades” and that there has not been (aside from this case) any evident outcry or concern
    regarding their potential reach. We must acknowledge being unaware of any widespread incidence
    of prosecutors pursuing “coercion of a public servant” charges for the likes of government managers
    who threaten to demote poor-performing employees or public defenders who threaten to file
    suppression motions, and it seems that the longstanding practice of appellate judges threatening to
    write dissents to prompt changes in majority opinions remains as vibrant as ever. But then
    again, section 36.03(a)(1) has apparently been rarely utilized—at least until now. Perhaps more
    importantly, for the past quarter century one of those few appellate decisions has been Hanson, and
    its recognition of First Amendment constraints on the enforcement of section 36.03(a)(1) and
    paragraph (F) would have had its own chilling effect on prosecutorial zeal. Nor have Hanson’s
    limits been seriously questioned since—at least until now.
    290
    See 
    Thompson, 442 S.W.3d at 350
    (citing 
    Stevens, 559 U.S. at 474
    ).
    90
    Nor is it any answer to overbreadth concerns to say that prosecutors have heretofore
    not exercised their discretion to pursue charges under section 36.03(a)(1) and paragraph (F) as
    aggressively as they might have, or that we should assume they will display similar reticence in the
    future. The “First Amendment protects against the Government; it does not leave us at the mercy
    of noblesse oblige.”291 “We would not uphold an unconstitutional statute merely because the
    Government promised to use it responsibly.”292
    But before proceeding to invalidate section 36.03(a)(1) as it incorporates
    paragraph (F), we must consider whether we can stop short of that remedy by adopting some
    sort of reasonable narrowing construction that would cure the proscription’s overreach into
    First Amendment-protected speech.293 Yet as judges, our tools are limited in this regard—we “may
    not rewrite a statute that is not readily susceptible to a narrowing construction because such a
    rewriting constitutes a serious invasion of the legislative domain and would sharply diminish the
    legislature’s incentive to draft a narrowly tailored statute in the first place.”294 And short of
    engaging in this sort of prohibited statutory rewriting, a viable narrowing construction of either
    section 36.03(a)(1) or paragraph (F) eludes us.
    One potential option, followed by courts in some other states when addressing similar
    First Amendment problems with criminal proscriptions against threats, has been to construe the
    291
    
    Stevens, 559 U.S. at 480
    .
    292
    
    Id. 293 See
    Thompson, 442 S.W.3d at 339 
    (“We have held that Texas courts have a duty to
    employ a reasonable narrowing construction” of a statute to avoid a constitutional violation (citing
    
    Long, 931 S.W.2d at 295
    )).
    294
    
    Id. at 339
    (citing 
    Stevens, 559 U.S. at 481
    ; 
    Long, 931 S.W.2d at 295
    ).
    91
    prohibition so as to apply only to threats of unlawful action.295 While these courts have sometimes
    relied on textual features not found in the Texas statutes, at least one court relied on an alternative
    definition of “threat” that appears in Black’s Law Dictionary—“[a] declaration of an intention to
    injure another or his property by some unlawful act.”296 But this definition of “threat” was not
    among those cited with approval by the Court of Criminal Appeals in Olivas—while referring to
    declared intention to “hurt,” “punish,” “inflict injury” upon, amount to “danger” to, or “harm”
    another person, the definitions cited in Olivas did not include the additional specification that such
    harm or injury rise to the level of unlawful harm.297 Moreover, we cannot conclude, in any event,
    that the Legislature intended to incorporate an “unlawful” harm limitation into paragraph (F) or
    section 36.03(a)(1) where it has conspicuously omitted any mention of it in either provision, in
    contrast to other Penal Code provisions where it has explicitly included such a limitation.298 Further,
    if we look to legislative history, we discover that the Legislature even specifically removed such a
    limitation from paragraph (F) in 1993 after having added it in 1989.299 Against this backdrop,
    we can only conclude that if the Legislature desired to limit section 36.03(a)(1) or paragraph (F)
    295
    See 
    Hickman, 988 P.2d at 636-37
    .
    296
    Black’s Law Dictionary 1480 (6th ed. 1990) (emphasis added); see 
    Hickman, 988 P.2d at 636-37
    (relying on this narrower definition of “threat” as basis for holding that criminal “threat”
    prohibition was impliedly limited to threats of “illegal” or “unlawful” acts).
    297
    See 
    Olivas, 203 S.W.3d at 345-46
    .
    298
    See Tex. Penal Code § 36.06(a) (obstruction and retaliation offense; requiring an
    intentional or knowing threat to harm another “by an unlawful act”).
    299
    Act of May 29, 1993, 73d Leg., R.S., ch. 900, § 1.01, 1993 Tex. Gen. Laws 3586, 3588,
    3659 (current version at Tex. Penal Code §§ 1.07(a)(9), 36.03).
    92
    solely to threats by public servants to take or withhold action unlawfully, the statutes would read
    that way today.
    Similar textual constraints preclude us from construing section 36.03(a)(1) or
    paragraph (F) so as to apply only to threats akin to criminal solicitation—again, section 36.03(a)(1)
    explicitly prohibits not only threats aimed at bringing about a “violat[ion of] the public servant’s
    known legal duty,” but also those seeking “a specific exercise of his official power” or “a specific
    performance of his official duty” that would be entirely lawful.300 Likewise, we cannot, without
    baldly inserting new language into the statutes that the Legislature has not seen fit to include,
    construe section 36.03(a)(1) or paragraph (F) so as to proscribe only threats seeking conduct that
    the actor could not lawfully demand or require or that lack any nexus to such conduct. Had the
    Legislature intended such a limitation, section 36.03(a)(1) would have prohibited, e.g., “wrongfully
    influenc[ing] or attempt[ing] to influence a public servant” by means of “coercion”/threat. However,
    we acknowledge that courts in some other states have adopted this sort of fix.301
    The State suggests no good alternatives, either.        While condemning Perry’s
    hypothetical applications of section 36.03(a)(1) and paragraph (F) as “alarmist,” the State does not
    assert either that the statutes are ambiguous or that the Legislature could not possibly have intended
    300
    Tex. Penal Code § 36.03(a)(1).
    301
    See 
    Hynes, 978 A.2d at 278-79
    ; 
    Pauling, 69 P.3d at 336
    .
    93
    them to reach as broadly as they do.302 Nor could it do so persuasively;303 indeed, as previously
    explained, other states had also enacted similarly broad threat prohibitions with similar implications
    and outcomes.304 And even if we were to look to legislative history in lieu of the text,305 it tends only
    to confirm the Legislature’s desire that section 36.03(a)(1) and paragraph (F) apply expansively. In
    addition to the Legislature’s 1993 elimination of the “unlawfully” limitation it had added to
    paragraph (F) in 1989, in the same session it rejected a proposal, initially passed by the House,
    that would have criminalized only threats made with specific intent to “obtain a benefit” when
    communicated by members of governing bodies.306
    The State does urge that “threat” should be construed in light of the connotation of
    “coercion” as an overcoming of free will so as to exclude “threats” that would amount merely to
    302
    See 
    Thompson, 442 S.W.3d at 339
    -40 (referencing “our longstanding practice of giving
    effect to the plain meaning of a statute unless the language is ambiguous or the plain meaning leads
    to absurd results that the legislature could not possibly have intended” (citing 
    Boykin, 818 S.W.2d at 785
    )).
    303
    See 
    Boykin, 818 S.W.2d at 785
    (emphasizing that “absurd results” limitation is “a narrow
    exception to the plain meaning rule,” applicable only where “the Legislature could not possibly have
    intended” the meaning of a statute as read literally) (emphasis in original). The Court of Criminal
    Appeals has policed this limitation strictly. See, e.g., Spence v. State, 
    325 S.W.3d 646
    , 651
    (Tex. Crim. App. 2010) (not an “absurd result” to construe statute requiring display of license plate
    at “front” of vehicle to mean front bumper rather than a windshield or similar location); 
    Boykin, 818 S.W.2d at 786
    (holding that prohibition against delivering a simulated controlled substance
    while “expressly represent[ing] the substance to be a controlled substance” excluded references made
    in slang terms and that this “literal application of [the provision’s] plain language does not lead to
    absurd consequences”).
    304
    E.g., 
    Robertson, 649 P.2d at 579-80
    , 589 (discussing implications of Oregon’s broad
    “coercion” prohibition, including the hypothetical about appellate justices we borrowed earlier,
    before invalidating the statute for overbreadth).
    305
    
    Boykin, 818 S.W.2d at 785
    -86 (explaining that when literal reading of statute leads to
    “absurd results,” courts look to extratextual factors like legislative history to determine meaning).
    306
    H.J. of Tex., 73d Leg., R.S. 1945 (1993) (Naishtat amendment).
    94
    “negotiation.”307 But where the State would draw this line is unclear. The State posits that “coercive
    control . . . provides the context for the threat,” that “[c]oercion implies intimidation to violate any
    choice or free will of the listener,” that “[c]oercion depends on a listener acting against his own
    interest to avoid a greater harm,” and that “[c]oercive threats are in the same category [as] extortion
    and blackmail [by] cross[ing] a societal line between acceptable and unacceptable areas of
    negotiation.”
    Leaving aside whether the State’s proposed limitation could salvage the statutes in
    light of Claiborne Hardware and Keefe, it fails as a matter of statutory construction. Neither the
    “coercion” definition nor section 36.03(a)(1) provides textual support for imposing qualitative
    limitations along the lines the State proposes. Instead, the statutes’ text, context, and structure
    embody legislative intent to prescribe a particular meaning for “coercion” under the Penal Code that
    departs somewhat from—and clarifies—what might otherwise be the dimensions of coercion in
    common or legal parlance. For example, “coercion” under the Penal Code definition is narrower in
    some respects than more general notions of “coercion,” being limited exclusively to communicated
    threats regarding particular enumerated subjects; other threats or means of compulsion are excluded.
    Conversely, neither the “coercion” definition nor section 36.03(a)(1) makes any mention of any
    actual or potential deprivation of that public servant’s free will or exertion of “control” over that
    public servant.308 At most, the statutes might be said to deem or presume that a threat to inflict one
    307
    The State also insists that “[t]he legislative exception under Section 36.03(c) provides a
    limitation [so] that the daily operations of governmental negotiation are not criminalized.” But
    subsection (c), again, protects only members of governing bodies, and thus provides no protection
    for “the daily operations of government negotiations” by all other types of public servants.
    308
    Cf. 
    Davis, 313 S.W.3d at 337
    (whether “[c]oercive government misconduct renders a
    confession involuntary” —i.e., “the defendant’s will has been overborne and his capacity for self-
    95
    of the harms enumerated within the “coercion” definition should be considered, at least for purposes
    of the Penal Code, to have coercive effects on a listener, as opposed to requiring proof of an actual
    deprivation of free will.309 Further confirming this intent is that the “coercion” definition, as we have
    seen, eschews several other limitations on coercion as known to the common law and other statutes.
    To the extent the State is suggesting that the Legislature intended merely to leave
    the parameters of “coercion” or impermissible-versus-permissible “threats” to the discretion of
    prosecutors or fact-finders, to determine ad hoc or subjectively whether a given threat “crosses the
    line” or is deemed “unacceptable” in their own view, it has identified a different constitutional
    defect—impermissible vagueness.310 We would be required to strike down section 36.03(a)(1),
    as it incorporates paragraph (F), for the same reasons the Hanson court held it unconstitutional
    in that case.311
    We cannot conceive of any viable means of construing the statutes more narrowly
    than we have. As such, we are left with the “last resort” of invalidation. However, our analysis
    may identify some factors the Legislature may wish to consider when and if it chooses to
    determination critically impaired”—“is determined by assessing the totality of all the surrounding
    circumstances”) (internal citations omitted).
    309
    Cf. 
    Evans, 504 U.S. at 266
    (under federal Hobbs Act, which prohibits “extortion,” the
    “obtaining of property from other, with his consent . . . under color of official right,” the “coercive
    element” or “inducement” “is provided by the public office itself”).
    310
    See 
    Long, 931 S.W.2d at 289-97
    (invalidating, for vagueness, stalking statute that
    prohibited certain conduct intended to, inter alia, “annoy” or “alarm” another).
    311
    
    Hanson, 793 S.W.2d at 272-73
    ; see also Johnson, ___ U.S. at ____, 192 L. Ed. 2d at 581-
    82 (rejecting the “theory that a vague provision is constitutional merely because there is some
    conduct that clearly falls within the provision’s grasp” and labeling notion “a tautology” because
    “[i]f we hold a statute to be vague, it is vague in all its applications”).
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    revise the statutes. But in the meantime, we must hold that section 36.03(a)(1), as it incorporates
    paragraph (F) of the Penal Code’s “coercion” definition, is facially invalid under the
    First Amendment and is thus unenforceable. Because this holding entitles Perry to habeas relief with
    respect to Count II of the indictment, we need not address his remaining arguments.
    CONCLUSION
    We reverse the district court’s order to the extent it upholds the facial constitutionality
    of the statute on which Count II of the indictment is based, Penal Code section 36.03(a)(1), as that
    statute incorporates paragraph (F) of the Code’s “coercion” definition. However, because Perry has
    asserted only “as applied” constitutional challenges regarding Count I of the indictment (“Abuse of
    Official Capacity”), the binding precedents of the Court of Criminal Appeals preclude any
    relief as to that charge at this juncture. Accordingly, we affirm the district court’s denial of relief
    as to Count I. We remand the case to the district court for further proceedings consistent with this
    opinion, including dismissal of Count II.
    __________________________________________
    Bob Pemberton, Justice
    Before Justices Puryear, Pemberton, and Field
    Affirmed in part, Reversed and Remanded in part
    Filed: July 24, 2015
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