Donald Trump v. Mazars USA, LLP
710/11/2019
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Full Opinion
United States Court of Appeals
FOR THE DISTRICT OF COLUMBIA CIRCUIT
Argued July 12, 2019 Decided October 11, 2019
No. 19-5142
DONALD J. TRUMP, ET AL.,
APPELLANTS
v.
MAZARS USA, LLP AND COMMITTEE ON OVERSIGHT AND
REFORM OF THE U.S. HOUSE OF REPRESENTATIVES,
APPELLEES
Appeal from the United States District Court
for the District of Columbia
(No. 1:19-cv-01136)
William S. Consovoy argued the cause for appellants. With
him on the briefs were Cameron T. Norris and Stefan C.
Passantino.
Duane Morley Cox, pro se, filed the brief for amicus
curiae Duane Morley Cox in support of appellants.
Douglas N. Letter, General Counsel, U.S. House of
Representatives, argued the cause for appellee Committee on
Oversight and Reform of the U.S. House of Representatives.
With him on the briefs were Todd B. Tatelman, Deputy General
Counsel, Megan Barbero and Josephine Morse, Associate
2
General Counsel, and Brooks M. Hanner, Assistant General
Counsel.
Elizabeth B. Wydra, Brianne J. Gorod, and Ashwin P.
Phatak were on the brief for amicus curiae Constitutional
Accountability Center in support of intervenor-defendant-
appellee Committee on Oversight and Reform of the U.S.
House of Representatives.
Hashim M. Mooppan, Deputy Assistant Attorney General,
U.S. Department of Justice, and Mark R. Freeman, Scott R.
McIntosh, and Gerard Sinzdak, Attorneys, were on the brief as
amicus curiae The United States.
Before: TATEL, MILLETT and RAO, Circuit Judges.
Opinion for the Court filed by Circuit Judge TATEL.
Dissenting opinion filed by Circuit Judge RAO.
TATEL, Circuit Judge: On April 15, 2019, the House
Committee on Oversight and Reform issued a subpoena to the
accounting firm Mazars USA, LLP for records related to work
performed for President Trump and several of his business
entities both before and after he took office. According to the
Committee, the documents will inform its investigation into
whether Congress should amend or supplement current ethics-
in-government laws. For his part, the President contends that
the Committeeâs investigation into his financial records serves
no legitimate legislative purpose, and he has sued to prevent
Mazars from complying with the subpoena. The district court
granted summary judgment in favor of the Committee, and we
affirm. Contrary to the Presidentâs arguments, the Committee
possesses authority under both the House Rules and the
Constitution to issue the subpoena, and Mazars must comply.
3
I.
Shortly after the 116th Congress convened on January 3,
2019, the new U.S. House of Representatives debated and
adopted a set of rules to govern its proceedings. See H.R.
Res. 6, 116th Cong. (2019). Like previous Congresses, the
116th established an oversight committee, the Committee on
Oversight and Reform, which it charged with âreview[ing] and
study[ing] on a continuing basis the operation of Government
activities at all levelsâ and which it permitted to âconduct
investigationsâ âat any time . . . of any matter,â âwithout regard
toâ other standing committeesâ jurisdictions. Rules of the
House of Representatives, 116th Cong., Rule X, cls. 3(i),
4(c)(2) (2019) (âHouse Rulesâ); see also id., cl. 1(n)
(establishing the Committee on Oversight and Reform). To
âcarry[] out . . . [these] functions and duties,â the Oversight
Committee may ârequire, by subpoena or otherwise . . . the
production of such . . . documents as it considers necessary.â
House Rule XI, cl. 2(m).
This case concerns one such subpoena. Issued on April 15
by the chairman of the House Committee on Oversight and
Reform, Representative Elijah Cummings, to President
Trumpâs accounting firm, the subpoena requests financial
documents concerning the President and his companies
covering years both before and during his presidency.
In order to explain the impetus behind the subpoena, we
must go back to the Ethics in Government Act of 1978. Enacted
in the wake of the Watergate scandal, that statute requires many
aspiring and current government officials, including
presidential candidates and sitting Presidents, to file financial
disclosure reports at various times during their candidacies and
incumbencies. See 5 U.S.C. app. 4 § 101(a), (c), (d), (f)
(requiring âa candidate . . . for nomination or election to the
office of Presidentâ and âthe Presidentâ to âfile a report
4
containing the information describedâ in section 102 of the
Act). In their initial reports, presidential candidates and new
Presidents must provide information concerning their income,
assets, liabilities, and employers. See id. § 102(b) (requiring
â[e]ach report filed pursuant to subsections (a), (b), and (c) of
section 101â to contain such information). Once in office,
sitting Presidents must file annual reports disclosing that same
information plus details about any covered gifts, real estate and
securities transactions, and blind trusts. See id. § 102(a)
(requiring â[e]ach report filed pursuant to section 101(d) and
(e)â to contain such information). Presidential candidates
submit their reports to the Federal Election Commission, see
id. § 103(e), while incumbent Presidents file with the Office of
Government Ethics, an âexecutive agencyâ tasked with
âinterpreting rules and regulations . . . governing . . . the filing
of financial statements,â id. §§ 103(b), 401(a), 402(b)(3),
402(b)(6).
Last year, the Office of Government Ethics announced that
it had identified an error in one of the several reports that
President Trump had filed since he became a presidential
candidate in 2015. Specifically, by letter dated May 16, 2018,
the Acting Director of the Office of Government Ethics advised
the Deputy Attorney General that, âbased on the information
providedâ in President Trumpâs 2018 financial disclosure
report (covering calendar year 2017), he had determined that
the Presidentâs 2017 financial disclosure (covering calendar
year 2016) omitted âa reportable liability under the Ethics in
Government Act,â namely, âa payment made by Mr. Michael
Cohen,â President Trumpâs former personal lawyer, âto a third
party.â Letter from David J. Apol, Acting Director, Office of
Government Ethics, to Rod J. Rosenstein, Deputy Attorney
General, Department of Justice 1 (May 16, 2018) (âApol
Letterâ). Because President Trumpâs 2018 filing disclosed that
in 2017 the President had reimbursed Cohen for the 2016
5
payment, the Acting Director concluded that âthe payment
made by Mr. Cohen [was] required to be reported as a liabilityâ
before it was reimbursed. Id. at 1; see also OGE Form 278e,
2017 Annual Report for Donald J. Trump, Part 8 n.3 (May 15,
2018), https://oge.app.box.com/v/Trump2018Annual278
(disclosing that âMr. Trump fully reimbursed Mr. Cohen in
2017â).
Several months later, then-Ranking Member Cummings
wrote to White House Counsel seeking documents related to
President Trumpâs payments to Cohen. See Letter from Elijah
E. Cummings, Ranking Member, House Committee on
Oversight and Reform, to Donald F. McGahn II, Counsel to the
President, The White House, and George A. Sorial, Executive
Vice President of the Trump Organization 4â5 (Sept. 12, 2018).
That letter remained unanswered as of January 2019, when
Representative Cummings, who in the intervening months had
become Chairman Cummings, reiterated his request in a
second letter. See Letter from Elijah E. Cummings, Chairman,
House Committee on Oversight and Reform, to Pat Cipollone,
Counsel to the President, The White House 1â2 (Jan. 8, 2019).
Chairman Cummings also wrote to the new Director of the
Office of Government Ethics, asking him, too, for âdocuments
related to President Donald Trumpâs reporting of debts and
payments to his personal attorney, Michael Cohen.â Letter
from Elijah E. Cummings, Chairman, House Committee on
Oversight and Reform, to Emory A. Rounds III, Director,
Office of Government Ethics 1 (Jan. 22, 2019).
In February, White House Counsel responded that the
President would consider permitting the Committee to review,
on a limited basis, a subset of the requested documents, but
Chairman Cummings rejected this proposal as inadequate. See
Letter from Elijah E. Cummings, Chairman, House Committee
on Oversight and Reform, to Pat Cipollone, Counsel to the
6
President, The White House 1 (Feb. 15, 2019) (âCummings
Feb. 15 Letterâ) (stating that the Presidentâs offer to âconsider
providing Committee staff with the ability to review limited
portions of two of the six categories of documents in cameraâ
would ânot obviate the need . . . to fully complyâ (internal
quotation marks omitted)). Citing the Oversight Committeeâs
status as âthe authorizing Committee for the Office of
Government Ethics,â the Presidentâs statutory obligation to
âfile . . . public financial disclosure report[s],â and Congressâs
âplenary authority to legislate and conduct oversight regarding
compliance with ethics laws and regulations,â Chairman
Cummings urged the White House âto provide documents
relevant to the Committeeâs investigation of these matters.â Id.
at 7â8. âThese documents will help the Committee determine,â
he explained, âwhy the President failed to report . . . payments
and whether reforms are necessary to address deficiencies with
current laws, rules, and regulations.â Id. at 9.
Two weeks later, Michael Cohen appeared at a hearing
before the Oversight Committee. See Hearing with Michael
Cohen, Former Attorney to President Donald Trump: Hearing
Before the House Committee on Oversight and Reform, 116th
Cong. (Feb. 27, 2019). He testified that he believed, based on
his experience working for President Trump, that the President
had âinflated his total assets when it served his purposesâ in
some situations and had âdeflated his assetsâ in others. Id. at
13 (testimony of Michael D. Cohen). Several Committee
Members questioned Cohenâs credibility; he had, after all,
recently pleaded guilty to various crimes, including lying to
Congress. See, e.g., id. at 7 (statement of Ranking Member Jim
Jordan) (âThis might be the first time someone convicted of
lying to Congress has appeared again so quickly in front of
Congress.â); id. at 57 (statement of Rep. Michael Cloud)
(asking Cohen to âstate what youâve been convicted ofâ).
Seeking to support his testimony, Cohen produced to the
7
Committee several accounting documents, all of which
predated Mr. Trumpâs presidency. Two of these documentsâ
2011 and 2012 âStatements of Financial Conditionâ for Donald
J. Trumpâwere prepared by Mazars. See âDonald J. Trump
Statement of Financial Conditionâ dated June 30, 2011;
âDonald J. Trump Statement of Financial Conditionâ dated
June 30, 2012.
Chairman Cummings next wrote to Mazars. In a March
2019 letter, he explained that the statements of financial
condition prepared by the firm and supplied by Cohen had
âraise[d] questions about the Presidentâs representations of his
financial affairs,â âparticularly [his] debts,â âon these forms
and on other disclosures.â Letter from Elijah E. Cummings,
Chairman, House Committee on Oversight and Reform, to
Victor Wahba, Chairman and Chief Executive Officer, Mazars
USA, LLP 1 (Mar. 20, 2019) (âCummings Mar. 20 Letterâ).
Chairman Cummings highlighted several âspecific concerns,â
including: (1) that â[t]he 2012 Statement of Financial
Condition prepared by [Mazars]â intentionally omitted over
$50 million in assets and $75 million in liabilities that âthen-
Candidate Trumpâ later disclosed on his âfirst publicly filed
financial disclosure made . . . in 2015,â (2) that read together,
the 2012 statement of financial condition and 2015 financial
disclosure indicated that Deutsche Bank had reduced the
interest rate it was charging on a $125 million loan to then-
Candidate Trump, potentially saving him âabout $625,000â
each year, and (3) that âboth the 2011 and 2012 financial
statementsâ noted that, before becoming a presidential
candidate, Mr. Trump âha[d] pledgedâ almost $20 million to a
âformer partner in the Trump World Tower at United Nations
Plaza,â who, â[a]ccording to contemporaneous reports,â was
possibly âthe Korean conglomerate Daewooâ or a âGerman
financial institution.â Id. at 2â3. âTo assist [its] review of these
issues,â the Committee requested several categories of
8
documents relating to President Trumpâs accounts going back
to January 2009. Id. at 4.
Mazars responded that it could not provide the requested
documents voluntarily. See Letter from Jerry D. Bernstein,
Partner, Blank Rome LLP, to Elijah E. Cummings, Chairman,
House Committee on Oversight and Reform 1 (Mar. 27, 2019).
So, on April 12, Chairman Cummings sent a memorandum to
his fellow committee members explaining his intention to
issue, pursuant to the Committeeâs authority under House Rule
X to âinvestigate âany matter at any time,ââ a subpoena to
Mazars. Memorandum from Chairman Elijah E. Cummings to
Members of the Committee on Oversight and Reform 3
(Apr. 12, 2019) (âCummings Memoâ). The Chairman
identified four subject matters that, in his view, â[t]he
Committee has full authority to investigateâ: (1) âwhether the
President may have engaged in illegal conduct before and
during his tenure in office,â (2) âwhether [the President] has
undisclosed conflicts of interest that may impair his ability to
make impartial policy decisions,â (3) âwhether [the President]
is complying with the Emoluments Clauses of the
Constitution,â and (4) âwhether [the President] has accurately
reported his finances to the Office of Government Ethics and
other federal entities.â Id. at 4. âThe Committeeâs interest in
these matters,â he stated, âinforms its review of multiple laws
and legislative proposals under [its] jurisdiction.â Id.
The subpoena issued three days later. It requested, â[w]ith
respect to Donald J. Trumpâ and several of his affiliated
businessesâincluding the Trump Organization, the Trump
Corporation, and the Trump Old Post Office LLCââ[a]ll
statements of financial condition, annual statements, periodic
financial reports, and independent auditorsâ reports prepared,
compiled, reviewed, or audited by Mazars . . . or its
predecessor.â Subpoena to Mazars USA, LLP, Apr. 15, 2019
9
(âSubpoenaâ). Furthermore, with respect to Mazarsâs
âpreparation, compilation, review, or auditingâ of those
documents, the subpoena requested all related âengagement
agreements or contractsâ â[w]ithout regard to timeâ; â[a]ll
underlying, supporting, or source documents and records . . . or
any summaries of such documentsâ; and all related
âmemoranda, notes, and communications,â including
âcommunications related to potential concerns that . . .
information . . . provided by Donald J. Trump or . . . the Trump
Organization[] [was] incomplete, inaccurate, or otherwise
unsatisfactory.â Id. Narrowed somewhat from the Chairmanâs
initial request to Mazars, the subpoena sought documents from
âcalendar years 2011 through 2018â â[u]nless otherwise
noted.â Id. The subpoena instructed Mazars to comply by
April 29.
Before that date arrived, however, President Trump and
several of his business entities (collectively, the âTrump
Plaintiffsâ) filed this lawsuit seeking a declaratory judgment
invalidating the subpoena and a permanent injunction
prohibiting its enforcement. See Complaint at 13, Trump v.
Committee on Oversight & Reform of U.S. House of
Representatives,
380 F. Supp. 3d 76
(D.D.C. 2019) (No.
19-cv-01136) (âComplaintâ). The Trump Plaintiffs also moved
for a preliminary injunction, and while that motion was
pending, the Committee agreed to defer Mazarsâs deadline to
comply with the subpoena.
The district court worked quickly to provide the parties
with an answer. Following the Supreme Courtâs direction to
âgive[] the most expeditious treatmentâ to suits seeking to
enjoin congressional subpoenas, Eastland v. U.S. Servicemenâs
Fund,
421 U.S. 491
, 511 n.17 (1975), the court âconsolidate[d]
[its] hearing on the preliminary injunctionâ with a resolution of
the merits by âtreat[ing] the partiesâ briefingââwhich raised
10
no disputes of material factââas cross-motions for summary
judgment,â Trump,
380 F. Supp. 3d at 88, 90
; see also Fed. R.
Civ. P. 65(a)(2) (permitting the court, â[b]efore or after
beginning the hearing on a motion for a preliminary
injunction,â to âadvance the trial on the merits and consolidate
it with the hearingâ). Then, after explaining that its âanalysis
must be highly deferential to the legislative branch,â Trump,
380 F. Supp. 3d at 91
, the court concluded that each of the four
investigative topics set forth in Chairman Cummingsâs
April 12 memorandum represents âa subject âon which
legislation could be had,ââ
id.
at 94 (quoting McGrain v.
Daugherty,
273 U.S. 135, 177
(1927)). The court thus granted
summary judgment in favor of the Oversight Committee. See
id. at 105.
The Trump Plaintiffs now appeal, challenging the district
courtâs grant of summary judgment to the Committee (though
not its decision to treat the briefs as cross-motions for summary
judgment). By agreement of the parties, Mazars need not
comply with the subpoena during the pendency of this
expedited appeal. See Oral Arg. Tr. 129. After oral argument,
and at the courtâs invitation, the Department of Justice filed an
amicus brief, and the Trump Plaintiffs and Committee
responded. Our review is de novo. See Teva Pharmaceuticals
USA, Inc. v. Food & Drug Administration,
441 F.3d 1, 3
(D.C.
Cir. 2006) (reviewing de novo âthe district courtâs legal
determinationâ made after âconsolidat[ing] [a] motion for a
preliminary injunction with a final decision on the meritsâ).
11
II.
This is hardly the first subpoena Congress has issuedâ
legislative subpoenas are older than our country itselfâand the
parties draw upon the historical record to support their claims.
Accordingly, before digging into the details of this case, we
think it necessary to place the challenged subpoena in historical
context.
The story of legislative subpoenas extends all the way back
to the âemergence of [the English] Parliament,â when that
body, as part of its campaign to âchallenge the absolute power
of the monarch,â asserted âplenary authorityâ to hold offending
parties in contempt. Watkins v. United States,
354 U.S. 178,
188
(1957). Beginning in the late seventeenth century,
Parliament armed âa host of committeesâ with the âpowers to
send for persons and papersâ in aid of their
âinvestigat[ions] . . . [into] the operations of governmentââ
from âthe conduct of the war in Irelandâ to â[t]he unwarranted
proclamation of martial law . . . by a commissioner of the East
India Companyâ to âthe State of the Gaols of [the] Kingdom.â
James M. Landis, Constitutional Limitations on the
Congressional Power of Investigation,
40 Harv. L. Rev. 153
,
162â63 (1926). Across the Atlantic, too, â[t]he privileges and
powers of the [House of] Commons were naturally assumed to
be an incident of the representative assemblies of the Thirteen
Colonies.â
Id. at 165
.
After the Revolutionary War and the Constitutional
Convention, the U.S. Congress wasted little time in asserting
its power to use compulsory process to investigate matters of
nationalâand potentially legislativeâimportance. The House
of Representatives opened the first such investigation in 1792,
when it passed a resolution appointing a committee âto inquire
into the causes of the failure of the late expedition under Major
General St. Clair,â whose troops had recently suffered an
12
embarrassing defeat in the Northwest Territory, and
âempoweredâ that committee âto call for such persons, papers,
and records, as may be necessary to assist [its] inquiries.â
3 Annals of Congress 493 (1792); see also George C. Chalou,
General St. Clairâs Defeat, 1792â93, in 1 Congress
Investigates: A Critical and Documentary History 1, 2 (Roger
A. Bruns et al. eds., rev. ed. 2011). More investigatory
committees, similarly empowered to issue subpoenas,
followed. For example, in 1814, the House directed an inquiry
âinto the causes of the success of the enemyââthat is, the
Britishââin his late enterprisesâ in burning the Capitol, 28
Annals of Congress 310 (1814), and, in 1859, the Senate
established a select committee to âinquire into the facts
attendingâ John Brownâs raid on Harpers Ferry and to âreport
whether . . . and what legislation may . . . be necessary . . . for
the future preservation of the peace,â Cong. Globe, 36th Cong.,
1st Sess. 141 (1859).
But not until 1880 did âthe first case reach[] [the Supreme]
Court to challenge the use of compulsory process as a
legislative device.â Watkins,
354 U.S. at 193
. In that case,
Kilbourn v. Thompson,
103 U.S. 168
(1881), the Court held
that the House had exceeded its investigatory authority by
opening an inquiry into the bankruptcy proceedings of a firm
into which the United States had invested money. The Court
explained that Congressâs sole route to a remedy in that
bankruptcy proceeding, like that of all other dissatisfied
creditors, was âby a resort to a court of justice.â
Id. at 193
.
Accordingly, because under those circumstances the Houseâs
investigation âcould result in no valid legislation,â
id. at 195
,
the Court concluded that the House had impermissibly
âassumed a power which could only be properly exercised by
another branch of the government,â
id. at 192
.
13
If Kilbourn created any doubt about Congressâs power to
conduct legislative investigations, the Supreme Court dispelled
that cloud in a pair of cases arising out of alleged corruption in
the administration of President Warren G. Harding. In the first,
McGrain v. Daugherty, the Court considered a subpoena issued
to the brother of then-Attorney General Harry Daugherty for
bank records relevant to the Senateâs investigation into the
Department of Justice. Concluding that the subpoena was valid,
the Court explained that Congressâs âpower of inquiry . . . is an
essential and appropriate auxiliary to the legislative function,â
as â[a] legislative body cannot legislate wisely or effectively in
the absence of information respecting the conditions which the
legislation is intended to affect or change.â 273 U.S. at 174â
75. It mattered not that the Senateâs authorizing resolution
lacked an âavow[al] that legislative action was had in viewâ
because, said the Court, âthe subject to be investigated was . . .
[p]lainly [a] subject . . . on which legislation could be hadâ and
such legislation âwould be materially aided by the information
which the investigation was calculated to elicit.â
Id.
at 176â77
(internal quotation marks omitted). That was enough. Although
â[a]n express avowalâ of the Senateâs legislative objective
âwould have been better,â the Court admonished that âthe
presumption should be indulged that [legislation] was the real
object.â
Id. at 178
.
Two years later, in Sinclair v. United States,
279 U.S. 263
(1929), the Court echoed many of the same refrains. In this
second case, Harry Sinclair, the president of an oil company,
appealed his conviction for refusing to answer a Senate
committeeâs questions regarding his companyâs allegedly
fraudulent lease on federal oil reserves at Teapot Dome in
Wyoming. The Court, acknowledging individualsâ âright to be
exempt from all unauthorized, arbitrary or unreasonable
inquiries and disclosures in respect of their personal and private
affairs,â
id. at 292
, nonetheless explained that because â[i]t was
14
a matter of concern to the United States,â âthe transaction
purporting to lease to [Sinclairâs company] the lands within the
reserve cannot be said to be merely or principally . . . personal,â
id. at 294
. The Court also dismissed the suggestion that the
Senate was impermissibly conducting a criminal investigation.
âIt may be conceded that Congress is without authority to
compel disclosures for the purpose of aiding the prosecution of
pending suits,â explained the Court, âbut the authority of that
body, directly or through its committees, to require pertinent
disclosures in aid of its own constitutional power is not
abridged because the information sought to be elicited may also
be of use in such suits.â
Id. at 295
.
The Court returned to the question of Congressâs
investigative authority during the Cold War, as âinvestigations
into the threat of subversion of the United States Governmentâ
began to raise ânovel questions [about] the appropriate limits
of congressional inquiryâ âinto the lives and affairs of private
citizens.â Watkins,
354 U.S. at 195
. At first, the Court avoided
these thorny First Amendment issues by resolving cases on
other grounds. In United States v. Rumely, the Court overturned
a defendantâs contempt-of-Congress conviction for refusing to
answer a congressional committeeâs request for âthe names of
those who made bulk purchasesâ of âbooks of a particular
political tendentiousness.â
345 U.S. 41, 42
(1953). Rather than
reach the â[g]raveâ First Amendment question posed by such
an inquiry, the Court interpreted the Houseâs authorizing
resolution, which instructed the committee to study âlobbying
activities,â as failing to permit an investigation into the sale of
books.
Id. at 45, 48
. And a few years later, in Watkins v. United
States, the Court overturned another contempt conviction, this
time holding that the defendant, a labor organizer who had
refused âto testify about persons who may in the past have been
Communist Party members,â
354 U.S. at 185
, had received
insufficient notice of âthe âquestion under inquiryââ at his
15
congressional hearing,
id.
at 214 (quoting
2 U.S.C. § 192
). In
that case, the Court took the opportunity to emphasize that
although âthere is no congressional power to expose for the
sake of exposure,â courts should avoid âtesting the motives of
committee members for this purpose.â
Id. at 200
. Rather, the
crucial inquiry is whether a âlegislative purpose is being
served.â
Id.
The Court soon reached the First Amendment issue it had
been avoiding. In Barenblatt v. United States, the Court
considered the case of a teacher convicted of criminal contempt
for refusing, when testifying before a Subcommittee of the
House Committee on Un-American Activities, to answer
questions about his âpast or present membership in the
Communist Party.â
360 U.S. 109, 126
(1959). Unlike the
Watkins defendant, the Barenblatt defendant had been
âsufficiently apprised of the topic under inquiryâ by âother
sources of . . . information,â such as the Subcommittee
âChairmanâs statement as to why he had been calledâ to testify
and the questions posed by the Subcommittee to previous
witnesses.
Id.
at 124â25 (internal quotation marks omitted).
Proceeding, then, to the âprecise constitutional issueââ
namely, âwhether the Subcommitteeâs inquiry . . . transgressed
the provisions of the First Amendmentââthe Court explained
that although âCongress may not constitutionally require an
individual to disclose his . . . private affairs except in relation
toâ âa valid legislative purpose,â such a purpose was present in
that case.
Id. at 127
. Congressâs âwide power to legislate in the
field of Communist activity . . . and to conduct appropriate
investigations in aid thereof[] is hardly debatable,â said the
Court, and â[s]o long as Congress acts in pursuance of its
constitutional power, the Judiciary lacks authority to intervene
on the basis of the motives which spurred the exercise of that
power.â
Id. at 127, 132
. Thus, given âthe governmental
interests . . . at stake,â the Court concluded that âthe First
16
Amendment [had] not been offendedâ and affirmed the
defendantâs conviction.
Id. at 134
.
Presidents, too, have often been the subjects of Congressâs
legislative investigations, though fewer of these have required
judicial intervention. Historical examples stretch far back in
time and broadly across subject matters. In 1832, for example,
the House vested a select committee with subpoena power âto
inquire whether an attempt was made by the late Secretary of
War . . . [to] fraudulently [award] . . . a contract for supplying
rationsâ to Native Americans and to âfurther . . . inquire
whether the President . . . had any knowledge of such attempted
fraud, and whether he disapproved or approved of the same.â
H.R. Rep. No. 22-502, at 1 (1832) (internal quotation marks
omitted). Shortly after World War II, Congressâs Pearl Harbor
Committee published a joint report exonerating the President
of âchargesâ that he had âtricked, provoked, incited, cajoled, or
coerced Japan into attacking this Nation.â S. Doc. No. 79-244,
at xiii, 251 (1946). In 1987, the House established a committee
to investigate the Iran-Contra Affair, including âthe role of the
President.â H.R. Rep. No. 100-433, at 21 (1987). During that
investigation, President Reagan declined to assert executive
privilege, going so far as to furnish ârelevant excerpts of his
personal diariesâ to Congress. Morton Rosenberg,
Congressional Research Service, RL 30319, Presidential
Claims of Executive Privilege: History, Law, Practice and
Recent Developments 14 (Aug. 21, 2008) (internal quotation
marks omitted). And in the 1990s, first the House and Senate
Banking Committees and then a Senate special committee
investigated President and Mrs. Clintonâs involvement in the
Whitewater land deal and related matters. See Douglas L.
Kriner & Eric Schickler, Investigating the President 56â62
(2016) (describing the âthree-year congressional investigation
of Whitewaterâ); see also S. Res. 120, 104th Cong. (1995)
(establishing the Senate Special Committee to Investigate
17
Whitewater Development Corporation and Related Matters).
Thanks to a last-minute compromise between the White House
and the Senate, the courts were kept out of a dispute over
whether the special committee could subpoena meeting notes
taken by President Clintonâs former lawyer. See Louis Fisher,
Congressional Research Service, RL 31836, Congressional
Investigations: Subpoenas and Contempt Power 16â18
(Apr. 2, 2003).
Of all the historical examples, perhaps the most high-
profile congressional investigation into a Presidentâand the
only one we have found that produced an appellate-level
judicial opinionâwas Congressâs investigation into President
Nixon. The Senate created the Senate Select Committee on
Presidential Campaign Activities, better known as the Senate
Watergate Committee, to investigate âillegal, improper, or
unethical activities engaged in by any personsâ involved in a
campaign âconducted by . . . any person seeking nomination or
election . . . for the office of the President of the United Statesâ
during the âPresidential election of 1972.â S. Res. 60, 119
Cong. Rec. 3255, 93rd Cong. § 1(a) (1973) (emphasis added).
In Senate Select Committee on Presidential Campaign
Activities v. Nixon, our court was asked to decide whether
President Nixon had âa legal duty to comply withâ a subpoena
issued by the Senate Watergate Committee for âtaped
recordings of five conversations . . . discussing alleged
criminal acts.â
498 F.2d 725
, 726â27 (D.C. Cir. 1974) (en
banc). President Nixon, apparently taking no issue with the
general power of congressional committees to subpoena sitting
Presidents, instead asserted executive privilege over the
individual tapes requested, arguing that they â[could] []not be
made public consistent with the confidentiality essential to the
functioning of the Office of the President.â Id. at 727 (internal
quotation marks omitted). In the end, we agreed with the
President: although the âpresumptive[] privilege[]â protecting
18
âpresidential conversationsâ could âbe overcome . . . by an
appropriate showing of public need,â id. at 730 (internal
quotation marks omitted), we explained, the Committee had
failed to make such a showing âin the peculiar circumstances
of [that] case,â id. at 733. But even though the Senate
Watergate Committee ultimately lost, Senate Select Committee
strongly implies that Presidents enjoy no blanket immunity
from congressional subpoenas. After all, if such immunity
exists, it would have been wholly unnecessary for the court to
explore the subpoenaâs particulars and to weigh âthe public
interest [in] favor[] [of] confidentialityâ against a âshowing of
need by another institution of governmentââthat is, Congress.
Id. at 730.
All told, from Congressâs centuries-long experience
issuing legislative subpoenas, and the courtsâ (somewhat less
frequent) experience reviewing them, a few principles
emergeâprinciples that control our resolution of this case.
As an initial matter, âwhether [a] committee [is]
authorized [to] exact the informationâ it has subpoenaed âmust
first be settled before . . . consider[ing] whether Congress had
the [constitutional] power to confer upon the committee the
authority which it claim[s].â Rumely, 345 U.S. at 42â43. In
other words, it matters not whether the Constitution would give
Congress authority to issue a subpoena if Congress has given
the issuing committee no such authority.
That said, once a committee has been delegated â[t]he
power of the Congress to conduct investigations,â that
constitutional authority âis broad.â Watkins,
354 U.S. at 187
;
accord Eastland,
421 U.S. at 504
n.15 (â[T]he power to
investigate is necessarily broad.â); Barenblatt,
360 U.S. at 111
(describing Congressâs investigative power as âbroadâ);
Quinn v. United States,
349 U.S. 155, 160
(1955) (same);
19
McGrain, 273 U.S. at 173â74 (same). âIt encompasses
inquiries concerning the administration of existing laws as well
as proposed or possibly needed statutes,â â[i]t includes surveys
of defects in our social, economic or political system for the
purpose of enabling the Congress to remedy them,â and â[i]t
comprehends probes into departments of the Federal
Government to expose corruption, inefficiency or waste.â
Watkins,
354 U.S. at 187
. In short, â[a] legislative inquiry may
be as broad, as searching, and as exhaustive as is necessary to
make effective the constitutional powers of Congress.â
Townsend v. United States,
95 F.2d 352, 361
(D.C. Cir. 1938).
Expansive as it is, however, Congressâs subpoena power is
subject to several key constraints.
First, because âthe power of Congress . . . to investigateâ
is âco-extensive with [its] power to legislate,â Quinn,
349 U.S.
at 160
, Congress may in exercising its investigative power
neither usurp the other branchesâ constitutionally designated
functions nor violate individualsâ constitutionally protected
rights. Congress may not conduct itself as âa law enforcement
or trial agency,â as â[t]hese are functions of the executive and
judicial departments.â Watkins,
354 U.S. at 187
. And Congress
lacks any âgeneral power to expose where the predominant
result can only be an invasion of the private rights of
individuals.â
Id. at 200
.
Next, precisely because â[t]he scope of [Congressâs]
power of inquiry . . . is as penetrating and far-reaching as the
potential power to enact and appropriate under the
Constitution,â Barenblatt,
360 U.S. at 111
, Congress may
investigate only those topics on which it could legislate, see
Quinn,
349 U.S. at 161
(stating that Congressâs âpower to
investigateâ does not âextend to an area in which Congress is
forbidden to legislateâ). If no constitutional statute may be
20
enacted on a subject matter, then that subject is off-limits to
congressional investigators.
And finally, congressional committees may subpoena only
information âcalculated toâ âmaterially aid[]â their
investigations. McGrain,
273 U.S. at 177
. Even a valid
legislative purpose cannot justify a subpoena demanding
irrelevant material.
With these principles in mind, we proceed to the
particulars of this case. The Trump Plaintiffs dispute both the
Committeeâs authority from the House to issue the subpoena
and the Houseâs authority under the Constitution to confer the
same. For reasons that shall become clear later, we address
these questions in reverse order.
III.
At the outset, we emphasize that to resolve this case we
need not decide whether the Constitution permits Congress, in
the conduct of a legislativeâthat is, non-impeachmentâ
investigation, to issue subpoenas to a sitting President. That
issue is not presented here because, quite simply, the Oversight
Committee has not subpoenaed President Trump. Rather, the
Committee has issued its subpoena to Mazars, an accounting
firm with whom President Trump has voluntarily shared
records from his time as a private citizen, as a candidate, and
as President. Neither the Trump Plaintiffs nor the Department
of Justice argues that the Constitution denies Congress
authority to subpoena non-governmental custodians of the
Presidentâs financial information. Cf. Oral Arg. Tr. 50 (stating
that assuming a committee has authority from the House to
issue a subpoena, the relevant inquiry is whether âthe subpoena
ha[s] a legitimate legislative purposeâ); id. at 68 (denying that
the President is âabsolutely immune from any oversight
whatsoeverâ); Department Br. 7â8. Nor do the Trump Plaintiffs
21
assert any property rights in, or executive or other recognized
evidentiary privilege over, the subpoenaed information. See
Complaint (failing to assert any claim of privilege or property
right in the subpoenaed materials); Oral Arg. Tr. 15
(confirming that the President asserts no claim of executive
privilege or immunity); see also Couch v. United States,
409
U.S. 322, 335
(1973) (recognizing that âno confidential
accountant-client privilege exists under federal law, and no
state-created privilege has been recognized in federal casesâ);
Peerenboom v. Marvel Entertainment, LLC,
148 A.D.3d 531,
532
(N.Y. App. Div. 1st Depât 2017) (holding that â[t]here is
no accountant-client privilege in [New York]â). Instead, the
Trump Plaintiffs ask us to do what courts have done ever since
Kilbourn: to determine â[w]hether the Committeeâs subpoena
. . . is ârelated to, and in furtherance of, a legitimate task of the
Congress.ââ Appellantsâ Br. 5 (quoting Watkins,
354 U.S. at
187
); see also Department Br. 10 (quoting same).
Taking up that question, we consider whether the
Oversight Committee is pursuing a legislative, as opposed to a
law-enforcement, objective; whether the Committee is
investigating a subject on which constitutional legislation
âcould be had,â McGrain,
273 U.S. at 177
; and whether the
challenged subpoena seeks information sufficiently relevant to
the Committeeâs legislative inquiry.
A.
While â[t]he power of the Congress to conduct
investigations is inherent in the legislative process,â Watkins,
354 U.S. at 187
, that authority âmust not be confused with any
of the powers of law enforcement,â which âare assigned under
our Constitution to the Executive and the Judiciary,â Quinn,
349 U.S. at 161
. The Trump Plaintiffs contend that the
Committee has crossed this constitutional line, veering from
permissible legislative investigation into impermissible law
22
enforcement. In assessing whether Congress has strayed
outside its legislative lane, we face two analytical hurdles.
First, the case law is quite stingy in describing what
impermissible congressional law enforcement might look like
in practice. The Supreme Court has framed its primary
instruction on this point in the negative: the fact that an
investigation might expose criminal conduct does not
transform a legislative inquiry into a law-enforcement
endeavor. As the Court explained in Sinclair, Congressâs
âauthority . . . to require pertinent disclosures in aid of its own
constitutional power is not abridgedâ merely âbecause the
information sought to be elicited may also be of useâ in
criminal prosecutions.
279 U.S. at 295
. âNor [is] it a valid
objection,â said the Court in McGrain, that an investigation
âmight possibly disclose crime or wrongdoing.â 273 U.S. at
179â80. Indeed, thanks to the Courtâs clarity on this matter, all
parties here agree that âa permissible legislative investigation
does not become impermissible merely because it might expose
law violations.â Appellantsâ Br. 33 (internal quotation marks
omitted); see also Appelleeâs Br. 44 (âThe fact that the . . .
underlying conduct might also be unlawful . . . does not
invalidate the inquiry.â).
Second, the Supreme Court has made plain that âin
determining the legitimacy of a congressional act,â courts may
ânot look to the motives alleged to have prompted it.â Eastland,
421 U.S. at 508
; see also Watkins,
354 U.S. at 200
(stating that
âa solution to our problem is not to be found in testing the
motives of committee members for [legislative] purposeâ);
Barenblatt,
360 U.S. at 132
(âSo long as Congress acts in
pursuance of its constitutional power, the Judiciary lacks
authority to intervene on the basis of the motives which spurred
the exercise of that power.â). This is true both because âit is not
for [the courts] to speculate as to the motivations that may have
23
prompted the decision of individual [committee] members,â
Wilkinson v. United States,
365 U.S. 399, 412
(1961), and
because, in any event, those âmotives alone would not vitiate
an investigation which had been instituted by a House of
Congress if that assemblyâs legislative purpose is being
served,â Watkins,
354 U.S. at 200
. On this point, too, the parties
agree. See Appellantsâ Reply Br. 11 (âTo determine whether a
subpoena is pursuing [the] impermissible goalâ of law
enforcement, âcourts . . . cannot delve into legislatorsâ hidden
motives . . . .â); Appelleeâs Br. 43 (â[C]ourts cannot examine
Congressâs motives to determine the validity of a subpoena.â).
Thus stranded between Charybdis and Scylla, we must
determine whether Congressâs âlegislative purpose is being
served,â Watkins,
354 U.S. at 200
, without taking into account
either whether the investigation will reveal, or whether the
investigators are motivated to reveal, criminal conduct.
According to the Committee, the way out of this dilemma is
simple: just ââpresume Congress is acting in furtherance of its
constitutional responsibility to legislate and . . . defer to
congressional judgments about what Congress needs to carry
out that purpose.ââ Appelleeâs Br. 46 (quoting Trump,
380 F.
Supp. 3d at 82
). In most cases, such a presumption would be
entirely appropriate. As the Court instructed in Tenney v.
Brandhove, â[t]o find that a committeeâs investigation has
exceeded the bounds of legislative power it must be obvious
that there was a usurpation of functions exclusively vested in
the Judiciary or the Executive,â
341 U.S. 367, 378
(1951)
(emphasis added); or, as it said in McGrain, even absent an
âexpress avowalâ by Congress that the purpose of an
âinvestigation was to aid it in legislating,â âthe presumption
should be indulged that this was the real object,â
273 U.S. at
178
.
24
The trouble, however, is that this deferential presumption
finds its roots in the principle that âevery reasonable
indulgence of legality must be accorded to the actions of a
coordinate branch of our Government,â Watkins,
354 U.S. at
204
, and here, we arguably confront not one but two
âcoordinate branch[es] of our GovernmentââCongress and
the President. We say âarguablyâ because it is far from obvious
that President Trump, proceeding in his individual capacity,
carries the mantle of the Office of the President in this case.
The challenged subpoena seeks financial records totally
unrelated to any of the Presidentâs official actions; indeed, for
six of the eight years covered by the subpoena, President
Trump was merely Mr. Trump or Candidate Trump. Cf.
Clinton v. Jones,
520 U.S. 681, 697
(1997) (â[W]e have never
suggested that the President . . . has an immunity that extends
beyond the scope of any action taken in an official capacity.â).
That said, the fact remains that the constitutional authority
assigned to the Office of the President can be exercised only by
the flesh-and-blood human occupying that office, so as a
practical matter, a restriction on the person might constrain the
branch of government. Cf. In re Lindsey,
158 F.3d 1263, 1286
(D.C. Cir. 1998) (âBecause the Presidency is tied so tightly to
the persona of its occupant[,] . . . official matters . . . often have
personal implications for a Presidentâ and vice versa.) (Tatel,
J., concurring in part and dissenting in part). In short, although
the challenged subpoena, which seeks financial documents
related to President Trump in his pre-presidential, private
capacities, presents no direct inter-branch dispute, separation-
of-powers concerns still linger in the air. Cf. United States v.
Nixon,
418 U.S. 683, 702
(1974) (explaining that where a
pretrial âsubpoena is directed to a President of the United
States, appellate review, in deference to a coordinate branch of
Government, should be particularly meticulousâ).
25
Assuming for the moment that we owe Congress no
deference, we must figure out how to assess whether the
subpoena serves âa valid legislative purpose,â Barenblatt,
360
U.S. at 127
, without resorting to the âpresumptionâ âthat
[legislation] was the real objectâ of Congressâs investigation,
McGrain,
273 U.S. at 178
. The Trump Plaintiffs, arguing that
ââpurposeâ and âmotiveââ are different, suggest that we may
rely upon âavailable evidenceââthat is, âwhat [the
Committee] is doing and what it has stated publiclyââto
âdiscern for [ourselves] what the Committeeâs actual purpose
is.â Appellantsâ Br. 29â30. Following that course, we conclude
that the public record reveals legitimate legislative pursuits, not
an impermissible law-enforcement purpose, behind the
Committeeâs subpoena. As a result, we need not decide
precisely what deference we owe Congress, as we would reach
the same conclusion absent any deference at all.
We start with Chairman Cummingsâs April 12
memorandum, in which he laid out the âneed for [the]
subpoenaâ issued to Mazars. Cummings Memo 1. As the
document most closely tied in time and subject matter to the
subpoena, that memorandum offers a natural starting point for
our analysis. Cf. Shelton v. United States,
404 F.2d 1292, 1297
(D.C. Cir. 1968) (identifying âthe opening statement of the
Chairman at [committee] hearingsâ and the âstatements of the
members of the committeeâ as ââsources [that might] indicate
the existence of a legislative purposeââ (quoting Wilkinson,
365
U.S. at 410
)). The Trump Plaintiffs and the Committee appear
to agree, as does the dissent. See Appelleeâs Br. 30â31 (relying
on Chairman Cummingsâs memorandum to supply a list of the
subjects of the Committeeâs investigations); Appellantsâ Reply
Br. 20â21 (dismissing as âretroactive rationalizationsâ
potential legislative purposes that did not âappear[] in the
Chairmanâs memorandumâ (alterations and internal quotation
26
marks omitted)); Dissenting Op. at 2 (tracing the âreasonsâ for
the subpoena to Chairman Cummingsâs Memo).
Chairman Cummingsâs memorandum identifies four
questions that the subpoena will help answer: âwhether the
President may have engaged in illegal conduct before and
during his tenure in office,â âwhether [the President] has
undisclosed conflicts of interest that may impair his ability to
make impartial policy decisions,â âwhether [the President] is
complying with the Emoluments Clauses of the Constitution,â
and âwhether [the President] has accurately reported his
finances to the Office of Government Ethics and other federal
entities.â Cummings Memo 4. But even more important than
this list, the Chairmanâs very next sentence explains that â[t]he
Committeeâs interest in these matters informs [the
Committeeâs] review of multiple laws and legislative proposals
under [its] jurisdiction.â
Id.
Such an âexpress avowal of the
[Committeeâs] objectâ offers strong evidence of the
Committeeâs legislative purpose. McGrain,
273 U.S. at 178
.
The April memorandum does not stand alone. Just two
months earlier, Chairman Cummings articulated the same
remedial legislative objective in his letter to White House
Counsel. In that letter, he explained that obtaining the
requested financial documents would âhelp the Committee
determine why the President failed to report . . . payments and
whether reforms are necessary to address deficiencies with
current laws, rules, and regulations.â Cummings Feb. 15 Letter
9. âSince the earliest days of our republic,â the Chairman
emphasized, âCongress has investigated how existing laws are
being implemented and whether changes to the laws are
necessary.â
Id.
And â[f]or decades,â he concluded, âthis has
included laws relating to financial disclosures required of the
President.â
Id.
27
Whatâs more, although the House is under no obligation to
enact legislation after every investigation, the fact that the
House has pending several pieces of legislation related to the
Committeeâs inquiry offers highly probative evidence of the
Committeeâs legislative purpose. See In re Chapman,
166 U.S.
661, 670
(1897) (â[I]t is certainly not necessaryâ to identify
future legislation âin advance.â); see also Eastland,
421 U.S.
at 509
(âThe very nature of the investigative functionâlike any
researchâis that it takes the searchers up some âblind alleysâ
and into nonproductive enterprises.â). The House has already
passed one such bill, H.R. 1, which requires Presidents to list
on their financial disclosures the liabilities and assets of any
âcorporation, company, firm, partnership, or other business
enterprise in whichâ they or their immediate family have âa
significant financial interest.â H.R. 1, 116th Cong. § 8012
(2019). Another bill currently pending, H.R. 706, would
require both sitting Presidents and presidential candidates to
âsubmit to the Federal Election Commission a copy of the
individualâs income tax returnsâ for the preceding nine or ten
years, respectively. H.R. 706, 116th Cong. § 222 (2019). And
still another, H.R. 745, would amend the Ethics in Government
Act to make the Director of the Office of Government Ethics
removable only for cause. See H.R. 745, 116th Cong. § 3
(2019) (making the Director âsubject to removal only for
inefficiency, neglect of duty, or malfeasance in officeâ).
Despite these indicia of legislative purpose, the Trump
Plaintiffs contend that â[t]he subpoenaâs actual purpose is law
enforcement.â Appellantsâ Reply Br. 9 (emphasis added). They
make four principal arguments.
First, the Trump Plaintiffs question whether the
Committeeâs avowals of legislative purpose are genuine.
Quoting our courtâs opinion in Shelton v. United States, they
argue that âCongress cannot cure [a] constitutional violation
28
through âthe mere assertion of a need to consider remedial
legislation.ââ Appellantsâ Br. 34 (quoting Shelton,
404 F.2d at
1297
). But the Trump Plaintiffs stop at a key conjunction.
â[T]he mere assertion of a need to consider âremedial
legislationâ may not alone justify an investigation,â we
explained in Shelton.
404 F.2d at 1297
. â[B]ut,â we continued,
âwhen the purpose asserted is supported by references to
specific problems which in the past have been or which in the
future could be the subjects of appropriate legislation, then we
cannot say that a committee of the Congress exceeds its broad
power.â
Id.
(emphasis added).
That is just this case. We do not confront an insubstantial,
makeweight assertion of remedial purpose. To the contrary,
Chairman Cummingsâs April 12 memorandum to his
colleagues lists four investigative topics; his March 20 letter to
Mazars details several âspecific concerns raised by the [firmâs]
financial statements,â Cummings Mar. 20 Letter 2; and his
February 15 letter to White House Counsel states his intent to
assess whether âchanges to the laws . . . relating to financial
disclosures required of the Presidentâ âare necessary,â
Cummings Feb. 15 Letter 9. These âreferences to specific
problems,â Shelton,
404 F.2d at 1297
, together with actual
legislation now pending, see supra at 26â27, are more than
sufficient to demonstrate the Committeeâs interest in
investigating possible remedial legislation.
Second, the Trump Plaintiffs contend that, far from
âavow[ing]â a legislative intent, McGrain,
273 U.S. at 178
,
Chairman Cummingsâs memorandum and statements by other
Representatives have âaffirmatively and definitely avowed an
unlawful law-enforcement purpose,â Appellantsâ Reply Br. 13
(internal quotation marks omitted); see also Dissenting Op. at
43. In particular, the Trump Plaintiffs take issue with the first
investigative rationale offered in Chairman Cummingsâs
29
memorandum: âto investigate whether the President may have
engaged in illegal conduct before and during his tenure in
office.â Cummings Memo 4. But even if such an investigation
would not by itself serve a legitimate legislative purpose, we
can easily reject the suggestion that this rationale spoils the
Committeeâs otherwise valid legislative inquiry. Simply put, an
interest in past illegality can be wholly consistent with an intent
to enact remedial legislation.
Take Hutcheson v. United States, in which the Court
considered the activities of a Senate committee tasked with
âinvestigat[ing] . . . the extent to which criminal . . . practices
or activitiesâ were occurring âin the field of labor-management
relationsâ and âdetermin[ing] whether any changes [were]
required in the laws . . . to protect . . . against . . . such practices
or activities.â
369 U.S. 599
, 600â01 (1962) (quoting S. Res. 74,
85th Cong. (1957)). The president of the United Brotherhood
of Carpenters and Joiners of America, called before the
committee to testify regarding whether he had used âunion
funds . . . to âfixâ a 1957 criminal investigation . . . by a state
grand jury,â
id. at 603
, refused to answer such questions and
was convicted of criminal contempt, see
id. at 605
. Even
though â[t]he Committeeâs concern . . . was to discover
whether . . . [union] funds . . . had been used . . . to bribe a state
prosecutor,â and even though â[i]f these suspicions were
founded, they might . . . have warranted a separate state
prosecution for obstruction of justice,â the Supreme Court
nonetheless affirmed the contempt conviction.
Id.
at 617â18.
What mattered to the Court was that the committeeâs
investigation into the details of the defendantâs illegal conduct
âwould have supported remedial federal legislation for the
future.â
Id. at 617
. â[S]urely,â the Court concluded, âa
congressional committee . . . engaged in a legitimate legislative
investigation need not grind to a halt whenever . . . crime or
30
wrongdoing is disclosed.â
Id. at 618
(internal citations
omitted).
Sinclair teaches a similar lesson. Shortly before the Senate
summoned the oil tycoon Sinclair to testify, it had passed a
joint resolution ârecit[ing] that [his companyâs] leases . . . were
executed under circumstances indicating fraud and corruptionâ
and âdirect[ing] the President . . . to prosecute such . . .
proceedings, civil and criminal, as were warranted by the
facts.â
279 U.S. at 289
. When Sinclair appeared for the hearing,
the Senate committee considered but rejected a motion that
would have prohibited âinquir[ies] . . . relat[ing] to pending
controversies before any of the Federal courts in which Mr.
Sinclair [was] a defendant.â
Id. at 290
. âIf we do not examine
Mr. Sinclair about those matters,â one committee member
lamented, âthere is not anything else to examine him about.â
Id.
Despite all this, the Court held that â[t]he record [did] not
sustain [Sinclairâs] contention that the investigation was
avowedly not in aid of legislation.â
Id. at 295
. The failed
motion and the memberâs statement were ânot enough to show
that the committee intended to depart from the purpose to
ascertain whether additional legislation might be advisable,â
explained the Court, because â[i]t [was] plain that investigation
of the matters involved inâ pending or future âsuits . . . might
directly aid in respect of legislative action.â
Id.
So too here. Like the committees in Hutcheson and
Sinclair, the Oversight Committee has expressed an interest in
determining whether and how illegal conduct has occurred. But
also like the committees in Hutcheson and Sinclairâindeed,
even more soâthe Oversight Committee has repeatedly
professed that it seeks to investigate remedial legislation. In
fact, the House has even put its legislation where its mouth is:
it has passed one bill pertaining to the information sought in
the subpoenas and is considering several others. See supra at
31
26â27. The Committeeâs interest in alleged misconduct,
therefore, is in direct furtherance of its legislative purpose.
Third, the Trump Plaintiffs argue that the subpoenaâs
âlaser-focus[] on the businesses and finances of one personâ
evinces âa particularity that is the hallmark of executive and
judicial power.â Appellantsâ Br. 35. But again, Supreme Court
precedent forecloses this contention. In McGrain, for example,
the Senate authorized a select committee âto investigate . . . the
alleged failure of Harry M. Daugherty, Attorney General of the
United States, to prosecute properly violators ofâ anti-trust
laws and âfurther directed [the committee] to inquire into,
investigate and report . . . the activities of the said Harry M.
Daugherty, Attorney General, and any of his assistants . . .
which would in any manner tend to impair their efficiency or
influence as representatives of the government of the United
States.â 273 U.S. at 151â52 (internal quotation marks omitted).
Untroubled by the resolutionâs âdirect reference to the then
Attorney General by name,â the Court held that âthe resolution
and proceedingsâ of the investigatory committee âg[a]ve no
warrant for thinking the Senate was attempting or intending to
try the Attorney General . . . before its committee for any crime
or wrongdoing.â Id. at 179.
The lesson of McGrain is that an investigation may
properly focus on one individual if that individualâs conduct
offers a valid point of departure for remedial legislation. Again,
such is the case here. It is not at all suspicious that the
Committee would focus an investigation into presidential
financial disclosures on the accuracy and sufficiency of the
sitting Presidentâs filings. That the Committee began its inquiry
at a logical starting point betrays no hidden law-enforcement
purpose.
Finally, the Trump Plaintiffs detect something untoward in
32
the Committeeâs interest in the Presidentâs finances. âIf this
subpoena is valid,â they argue, âthen Congress is free to
investigate every detail of a Presidentâs personal life, with
endless subpoenas to his accountants, bankers, lawyers,
doctors, family, friends, and anyone else with information that
a committee finds interesting.â Appellantsâ Reply Br. 24.
But unlike a subpoena to, say, a doctor or an attorney, the
congressional request at issue in this case implicates no
material subject to a recognized legal privilege or an asserted
property interest. See supra at 20. Moreover, as the Court
explained in Sinclair, although Congress may not make
âunauthorized, arbitrary or unreasonable inquiriesâ into
individualsâ âpersonal and private affairs,â Congress most
assuredly does possess authority âto require pertinent
disclosures in aid of its . . . constitutional powerâ when those
affairs become a âmatter of [public] concernâ amenable to a
legislative solution.
279 U.S. at 292
, 294â95; see also
Barenblatt,
360 U.S. at 127
(explaining that âCongress
may . . . constitutionally require an individual to disclose his
political relationships or other private affairsâ if âin relation toâ
âa valid legislative purposeâ). The same rationale applies here.
Whether current financial disclosure laws are successfully
eliciting the right information from the sitting President,
occupant of the highest elected office in the land, is
undoubtedly âa matter of concern to the United States.â
Sinclair,
279 U.S. at 294
; cf. Washington Post Co. v. U.S.
Department of Health & Human Services,
690 F.2d 252, 265
(D.C. Cir. 1982) (â[T]he [Ethics in Government] Act shows
Congressâ general belief that public disclosure of conflicts of
interest is desirable despite its cost in loss of personal
privacy.â).
In its amicus brief, the Justice Department argues that the
subpoena is invalid for still another reason, namely that the
33
House (or at least the Committee) failed to offer a âclear,
specific statement . . . of the legislative purpose that it believes
justifies its subpoena.â Department Br. 12 (emphasis added).
In the Departmentâs view, general indicia of legislative purpose
are not enough; the House must identify âwith sufficient
particularity the subject matter of potential legislation.â Id. at
14. In support, the Department cites Watkins, where, it argues,
âthe Supreme Court demanded just such a clear statement of
purpose.â Id. at 13. But the Watkins Court demanded no such
thing. That case concerned not the legitimacy of an
investigative subpoena, but rather an appeal of a criminal
conviction for contempt of Congress under
2 U.S.C. § 192
,
which makes it a misdemeanor to refuse to answer any question
posed by a member of Congress âpertinent to the question
under inquiry.â Watkins,
354 U.S. at 207
(quoting
2 U.S.C.
§ 192
). Because the committeeâs âauthorizing resolution, the
remarks of the chairman or members of the committee, [and]
even the nature of the proceedings themselves,â
id. at 209
,
failed to articulate âthe âquestion under inquiry,ââ
id. at 214
,
the Court reversed the conviction, holding that an individual
risking criminal contempt must âhave knowledge of the subject
to which the interrogation is deemed pertinent . . . with the same
degree of explicitness and clarity that the Due Process Clause
requires in the expression of any element of a criminal
offense.â
Id.
at 208â09. The fact that the Watkins Court probed
the committeeâs statements in an attempt to remedy âthe vice
of vaguenessââpresent for criminal contempt of Congress, âas
in all other crimes,â
id.
at 209âprovides no support for the
Departmentâs contention that Congress must identify its
legislative purpose âwith sufficient particularityâ in order to
justify an investigative subpoena. See Barenblatt,
360 U.S. at
123
(explaining that in Watkins, the Court ârest[ed] [its]
decision on [the] groundâ that âa conviction for contempt
under
2 U.S.C. § 192
cannot stand unless the questions asked
are pertinent to the subject matter of the investigationâ).
34
Far from finding support in Watkins, the Departmentâs
argument conflicts with binding Supreme Court precedent.
Over a century ago, the Court made clear in In re Chapman that
it is âcertainly not necessary that the resolutions should declare
in advance what the [Congress] meditate[s] doing when the
investigation [i]s concluded.â
166 U.S. at 670
. The Court has
twice reiterated this holding, stating in McGrain that âit was
not essential that the Senate declare in advance what it
meditated doing,â
273 U.S. at 172
, and then in Eastlandâ
issued nearly two decades after Watkinsâthat âto be a valid
legislative inquiry there need be no predictable end result,â
421
U.S. at 509
. After all, the purpose of an investigation, as the
Court explained in McGrain, is to gather âinformation
respecting the conditions which the legislation is intended to
affect or change,â 273 U.S. at 174â75; it is, as the Court added
in Eastland, âresearchâ that informs future Congressional
action,
421 U.S. at 509
. Congressâs decision whether, and if so
how, to legislate in a particular area will necessarily depend on
what information it discovers in the course of an investigation,
and its preferred path forward may shift as members educate
themselves on the relevant facts and circumstances. Requiring
Congress to state âwith sufficient particularityâ the legislation
it is considering before it issues an investigative subpoena
would turn the legislative process on its head.
Moreover, it is not at all clear what such a statement would
accomplish. The Department suggests that a clear statement
rule is âmandate[d]â by the âparticular separation-of-powers
issues that arise when Congress attempts to compel the
President to produce information.â Department Br. 9. Setting
aside the fact that this subpoena, which is addressed to Mazars,
âcompel[s] the President to produceâ nothing, we still see no
justification in the Departmentâs brief for why specificity is
required in this scenario as opposed to any other. To be sure,
35
â[t]he President occupies a unique position in the constitutional
scheme.â Nixon v. Fitzgerald,
457 U.S. 731, 749
(1982). But
that unique position has little bearing on our ability to
determine whether Congress has strayed from the realm of
legitimate legislation into improper law enforcementâan
inquiry that, as we have just demonstrated, we can
meaningfully conduct without the specific articulation the
Department seeks. Nor does the Department explain how
specificity would meaningfully protect the President beyond
simply burdening Congressâs exercise of its own Article I
power.
The Departmentâs argument also ignores how much
Congress has already revealed about its legislative objectives.
In his February 15 letter and April 12 memorandum, Chairman
Cummings explained that the Committee was reviewing
âmultiple laws and legislative proposals under [its]
jurisdiction,â Cummings Memo 4, including whether âchanges
. . . are necessaryâ to âlaws relating to financial disclosures
required of the President,â Cummings Feb. 15 Letter 9. The
House has already passed H.R. 1, which would require
Presidents to disclose businesses in which they or their
immediate families have significant interests, and is
considering legislation which would require Presidential
candidates and Presidents to submit their income tax returns to
the Federal Election Commission and make the Director of the
Office of Government Ethics removable only for cause. See
supra at 26â27. To be sure, as the Department points out, the
House passed H.R. 1 without the information the subpoena
seeks. But House passage is far from the end of the legislative
process. Information revealed by the subpoena could inform
the Senate as it considers the bill, as well as any subsequent
conference committee or the House itself, should it reconsider
the bill post-conference
36
Based on all the foregoing, we conclude that in issuing the
challenged subpoena, the Committee was engaged in a
âlegitimate legislative investigation,â Hutcheson,
369 U.S. at
618
, rather than an impermissible law-enforcement inquiry.
We next assess whether that legislative investigation concerned
a subject âon which legislation could be had.â McGrain,
273
U.S. at 177
.
B.
Because âCongress may only investigate into those areas
in which it may potentially legislate or appropriate,â
Barenblatt,
360 U.S. at 111
, a congressional committee may
issue only those subpoenas that are âintended to gather
information about a subject on which legislation may be had,â
Eastland,
421 U.S. at 508
; see also McGrain,
273 U.S. at 177
(stating that âthe subjectâ of investigation âwas one on which
legislation could be hadâ). The Trump Plaintiffs argue that the
challenged subpoena fails this test because, in their view, â[t]he
subpoena could not result in valid legislation regarding the
President.â Appellantsâ Reply Br. 17.
In addressing this argument, we emphasize that the
relevant inquiry is whether legislation âmay be had,â Eastland,
421 U.S. at 508
(emphasis added), not whether constitutional
legislation will be had. Accordingly, we first define the
universe of possible legislation that the subpoena provides
âinformation about,â
id.,
and then consider whether Congress
could constitutionally enact any of those potential statutes.
We must, however, tread carefully. As the Committee
points out, our limited judicial role gives us no authority to
reach out and â[s]trik[e] down a statute before it is even
enacted.â Appelleeâs Br. 41; see also Nashville, Chattanooga
& St. Louis Railway v. Wallace,
288 U.S. 249, 262
(1933)
(explaining that courts may not make âabstract
37
determination[s] . . . of the validity of a statuteâ or issue
âdecision[s] advising what the law would be on an uncertain or
hypothetical state of factsâ). That said, as the Trump Plaintiffs
observe, see Appellantsâ Br. 21 (â[b]ecause valid legislation
could not âbe hadâ if it would be unconstitutional, the court
ha[s] to decide whether this subpoena is designed to advance
unconstitutional legislationâ), the only way to determine
whether the Committeeâs investigation informs âa subject on
which legislation may be hadâ is to ask, abstract as the inquiry
may be, whether âlegislation may be hadâ on that âsubject,â
Eastland,
421 U.S. at 508
(emphasis added). Although we must
avoid passing on the constitutionality of hypothetical statutes,
we must also fulfill our responsibility to decide the case in front
of us, even if the road to resolution passes through an issue of
constitutional law. See Cohens v. Virginia,
19 U.S. 264, 404
(1821) (âThe judiciary cannot, as the legislature may, avoid a
measure because it approaches the confines of the
[C]onstitution. . . . [W]e must decide [a case] if it be brought
before us.â). Accordingly, in order to resolve this case, we need
to identify a statutory litmus test. The Committee and the
Trump Plaintiffs each offer one, but neither quite fits our needs.
The Committee urges us to consider whether any law
âconcerning government ethics and conflicts of interest
affecting Executive Branch officialsâ could pass constitutional
muster. Appelleeâs Br. 30. But this test is too broad. The
challenged subpoenaâor, more specifically, the portion of the
subpoena that seeks a sitting Presidentâs financial
informationâwould produce no relevant âinformation about,â
id.,
laws that apply to ordinary Executive Branch employees.
Because â[t]he President occupies a unique position in the
constitutional scheme,â Fitzgerald,
457 U.S. at 749
,
Congressâs constitutional authority to regulate the Presidentâs
conduct is significantly more circumscribed than its power to
regulate that of other federal employees, see supra at 35â36.
38
Just as a congressional committee could not subpoena the
Presidentâs high school transcripts in service of an
investigation into K-12 education, nor subpoena his medical
records as part of an investigation into public health, it may not
subpoena his financial information except to facilitate an
investigation into presidential finances. Thus, to determine
whether the records of pre-Candidate, Candidate, and President
Trump provide âinformation about a subject on which
legislation may be had,â Eastland,
421 U.S. at 508
, we must
train our attention on laws that apply to Presidents (and
presidential hopefuls).
In that vein, the Trump Plaintiffs urge us to focus on the
constitutionality of laws that âimpose conflict-of-interest
restrictions on the President.â Appellantsâ Br. 37. As the Trump
Plaintiffs point out, such restrictions raise difficult
constitutional questions. Statutes mandating divestment from
financial interests or recusal from conflicted matters might
impermissibly âdisempower [Presidents] from performing
some of the functions prescribed [by] the Constitution or . . .
establish a qualification for . . . serving as President . . . beyond
those contained in the Constitution.â Memorandum from
Laurence H. Silberman, Deputy Attorney General, to Richard
T. Burress, Office of the President, Re: Conflict of Interest
Problems Arising out of the Presidentâs Nomination of Nelson
A. Rockefeller to be Vice President Under the Twenty-Fifth
Amendment to the Constitution 5 (Aug. 28, 1974) (âSilberman
Memoâ). But we need not grapple with those constitutional
issues because the Mazars subpoena seeks information related
to a class of statutes that impose far fewer burdens than laws
requiring Presidents to change their behavior based on their
financial holdings. This less burdensome species of law would
require the President to do nothing more than disclose financial
information. Such statutes might amend the Ethics in
Government Act, for example, to require Presidents and
39
presidential candidates to file reports more frequently, to
include information covering a longer period of time, or to
provide new kinds of information such as past financial
dealings with foreign businesses or current liabilities of closely
held companies. We take this category of statutes as the
appropriate object of our litmus test in this case.
The Trump Plaintiffs argue that the Constitution prohibits
even these. Relying on Chief Justice Burgerâs concurrence in
Nixon v. Fitzgerald, they contend that financial disclosure laws
unconstitutionally ââimpinge[] on and hence interfere[] with
the independence that is imperative to the functioning of the
office of a President.ââ Appellantsâ Br. 44 (quoting Fitzgerald,
457 U.S. at 761
(Burger, C.J., concurring)).
But that is not the ruleâat least not quite. As the Court
explained in Nixon v. Administrator of General Services (Nixon
II), the mere act of âregulat[ing] . . . Presidential materials,â
âwithout more,â does not âconstitute[] . . . a violation of the
principle of separation of powers.â
433 U.S. 425, 441
(1977).
Instead, rejecting âthe argument that the Constitution
contemplates a complete division of authority between the
three branches,â the Court reaffirmed its reliance on âthe more
pragmatic, flexible approach of Madison in the Federalist[]
Papers.â
Id.
at 442â43. âIn . . . dividing and allocating the
sovereign power among three coequal branches,â the Court
explained, âthe Framers of the Constitutionâ did not intend âthe
separate powers . . . to operate with absolute independence.â
Id. at 443
(internal quotation marks and emphasis omitted). The
Court therefore announced the following test: âin determining
whether [a statute] disrupts the proper balance between the
coordinate branches, the proper inquiry focuses on the extent
to which it prevents the Executive Branch from accomplishing
its constitutionally assigned functions.â
Id.
Applying this rule,
we have no basis for concluding that complying with financial
40
disclosure laws would in any way âprevent[] the [President]
from accomplishing [his] constitutionally assigned functions.â
Id.
The most persuasive evidence on this score comes from
the Constitution itself. The very same document that âvest[s]â
â[t]he executive Power . . . in [the] President,â U.S. Const.
art. II, § 1, cl. 1, and directs him to âtake Care that the Laws be
faithfully executed,â id. art. II, § 3, also imposes two separate
requirements pertaining to the Presidentâs private finances. The
first, the so-called Domestic Emoluments Clause, prohibits the
President from receiving âany . . . Emolumentâ from the
federal or state governments other than a fixed
âCompensationâ âfor his Services.â Id. art. II, § 1, cl. 7. And
the second, the so-called Foreign Emoluments Clause,
prohibits any federal official âholding any Office of Profit or
Trustââthe President includedâfrom âaccept[ing] . . . any
present, Emolument, Office, or Title, of any kind whatever,
from any King, Prince, or foreign Stateâ without âthe Consent
of the Congress.â U.S. Const. art. I, § 9, cl. 8; see also
Applicability of the Emoluments Clause & the Foreign Gifts &
Decorations Act to the Presidentâs Receipt of the Nobel Peace
Prize, O.L.C. slip op. at 4,
2009 WL 6365082
, at *4 (Dec. 7,
2009) (âThe President surely âhold[s] an[] Office of Profit or
Trustâ . . . .â (alterations in original) (quoting U.S. Const. art. I,
§ 9, cl. 8)). If the President may accept no domestic
emoluments and must seek Congressâs permission before
accepting any foreign emoluments, then surely a statute
facilitating the disclosure of such payments lies within
constitutional limits.
The United States Code, too, provides ample precedent for
laws that regulate Presidentsâ finances and records. Cf. Nixon
II,
433 U.S. at 445
(noting the âabundant statutory precedent
for the regulation and mandatory disclosure of documents in
41
the possession of the Executive Branchâ). The Foreign Gifts
and Decorations Act requires all federal employees, including
the President, to âfile a statementâ regarding any gift they
receive âof more than minimal value.â
5 U.S.C. § 7342
(c). The
STOCK Act prohibits all âexecutive branch employees,â
including the President, from âus[ing] nonpublic information
derived from such personâs position . . . as a means for making
a private profit.â
Pub. L. No. 112-105, §§
2, 9,
126 Stat. 291
,
291, 297. And the Presidential Records Actâwhose
constitutionality the Trump Plaintiffs readily concedeâ
establishes a whole statutory scheme for âcategoriz[ing],â
âfil[ing],â âdispos[ing]â of, and âmanag[ing]â âPresidential
records.â
44 U.S.C. § 2203
; see Appellantsâ Br. 40 (âThe
Presidential Records Act . . . did not cause a disruption of
executive functions significant enough to trigger separation of
powers analysisâ (internal quotation marks omitted)). History
discloses no evidence that these statutes have disrupted
presidential functions.
The history of past Presidentsâ financial disclosures offers
a particularly useful guide. As explained above, see supra at 3â
4, the Ethics in Government Act requires Presidents to file
periodic reports detailing, among other things, â[t]he source,
type, and [approximate] amount or value of income . . . from
any [non-federal] source,â â[t]he identity and [approximate]
value of . . . total liabilities owed,â and âthe date . . . and
[approximate] value of any purchase, sale or exchange [of real
property and securities] during the preceding calendar year.â
5 U.S.C. app. 4 § 102(a). Every President to have served since
the Ethics in Government Act became law in 1978âPresidents
Carter, Reagan, H.W. Bush, Clinton, W. Bush, Obama, and
now Trumpâhas complied with these disclosure requirements.
See, e.g., Philip Taubman, Carter Drops âBlind Trustâ Secrecy
and Divulges Finances for 1978-9, N.Y. Times, May 31, 1979,
at A1; Edward T. Pound, Reaganâs Worth Put at $4 Million,
42
N.Y. Times, Feb. 23, 1981, at A1; Associated Press,
Presidentâs Trust Grows in Value, N.Y. Times, May 15, 1992,
at A17; Stephen Labaton, Most of Clintonsâ Wealth Held by
Mrs. Clinton, Disclosure Form Shows, N.Y. Times, May 18,
1994, at A20; Richard W. Stevenson, Bushesâ Assets Put at
$8.8 Million in Filing, N.Y. Times, May 16, 2003, at A22; U.S.
Office of Government Ethics, Presidential and Vice
Presidential Financial Disclosure Reports,
https://extapps2.oge.gov/201/Presiden.nsf/President%20and%
20Vice%20President%20Index (financial disclosure reports of
Presidents Obama and Trump); see also Appellantsâ Br. 44
(acknowledging that âPresident [Trump] has voluntarily
complied with those statutory requirementsâ). In fact,
Presidents Carter, Reagan, H.W. Bush, Clinton, W. Bush, and
Obama exceeded statutory disclosure requirements by
releasing their personal federal income tax returns to the public.
See Presidential Tax Returns, TaxNotes,
taxnotes.com/presidential-tax-returns (collecting presidential
tax records).
Of course, as the Trump Plaintiffs point out, âcompliance
is not the measure of constitutionality.â Appellantsâ Br. 44. But
when asked to decide whether an act of Congress âdisrupts the
proper balance between the coordinate branches,â Nixon II,
433
U.S. at 443
, a court would be foolish to ignore those branchesâ
prior pattern of conflictâor, as here, cooperation. See
id. at 441
(finding it significant that â[n]either President Ford nor
President Carter support[ed] [former-President Nixonâs]
claimâ that the challenged statuteâs âregulation of the
disposition of Presidential materials . . . constitutes, without
more, a violation of the principle of separation of powersâ); cf.
Zivotofsky v. Kerry,
135 S. Ct. 2076, 2091
(2015) (âIn
separation-of-powers cases this Court has often âput significant
weight upon historical practice.ââ (quoting NLRB v. Noel
Canning,
573 U.S. 513
, 524 (2014))). Though not dispositive,
43
the fact that every President during the last four decades has
filed financial disclosures offers persuasive evidence that such
disclosures neither âprevent[]â nor âdisrupt[],â Nixon II,
433
U.S. at 443
, the Presidentâs efforts to âtake Care that the Laws
be faithfully executed,â U.S. Const. art. II, § 3.
To be sure, it is possible that some hypothetical statute
could go too far. One could certainly imagine disclosure
mandates so onerous that they begin to âprevent[] the
Executive Branch from accomplishing its constitutionally
assigned functions.â Nixon II,
433 U.S. at 443
; see, e.g., Oral
Arg. Tr. 17 (positing âa statute [requiring] the President . . . to
submit 100,000 pages of financial disclosures and [to] meet
with Congress once a month to discuss themâ). But to accept
the Trump Plaintiffsâ suggestion that Congress may impose no
disclosure requirements whatsoever on the President, see Oral
Arg. Tr. 51â52 (stating it is âvery difficult to think ofâ a
constitutional law Congress âcould passâ with respect to the
President)âor, put another way, that the challenged subpoena
could result in no valid legislationâwould be to return to an
âarchaic view of the separation of powersâ that ârequir[es]
three airtight departments of government,â Nixon II,
433 U.S.
at 443
(internal quotation marks omitted). That is not the law.
Instead, âour constitutional system imposes upon the
Branches a degree of overlapping responsibility, a duty of
interdependence as well as independence[,] the absence of
which âwould preclude the establishment of a Nation capable
of governing itself effectively.ââ Mistretta v. United States,
488
U.S. 361, 381
(1989) (quoting Buckley v. Valeo,
424 U.S. 1,
121
(1976)). As the Supreme Court has observed, âseparation
of powers does not mean that the branches âought to have no
partial agency in, or no controul over, the acts of each other.ââ
Clinton, 520 U.S. at 702â03 (quoting The Federalist No. 47, at
325â326 (J. Cooke ed.1961) (emphasis in original)); see also
44
Nixon II,
433 U.S. at 442
-43 & n.5 (affirming âthe more
pragmatic, flexible approach of Madison in the Federalist
Papers and later of Mr. Justice Storyâ to the separation of
powers); Nixon,
418 U.S. at 703
(âIn designing the structure of
our Government and dividing and allocating the sovereign
power among three coequal branches, the Framers of the
Constitution sought to provide a comprehensive system, but the
separate powers were not intended to operate with absolute
independence.â). As the Nixon cases teach, the âproper inquiry
focuses on the extent to which [another branchâs actions]
prevent[] the Executive branch from accomplishing its
constitutionally assigned functions.â Nixon II,
433 U.S. at 443
(citing Nixon,
418 U.S. at 711-712
). Congress can require the
President to make reasonable financial disclosures without
upsetting this balance.
The Trump Plaintiffs challenge the constitutionality of
legislation that âmay be hadâ on another basis. Eastland,
421
U.S. at 508
. Drawing on the principle announced in Powell v.
McCormack,
395 U.S. 486
(1969), and U.S. Term Limits,
Inc. v. Thornton,
514 U.S. 779
(1995), that â[n]either Congress
nor the states can add to the constitutional qualifications for
holding federal elective office,â Walker v. United States,
800
F.3d 720
, 723â24 (6th Cir. 2015), they argue that imposing
conflict-of-interest laws on the President would impermissibly
âchange or expand the qualifications for serving as President,â
Appellantsâ Br. 38 (citing Powell and Thornton). But once
again, we need not reach this issue. Regardless of whether
Congress may require Presidents to âeliminat[e] [their]
financial conflictsâ through divestment or recusal, the Trump
Plaintiffs offer no reason to suspect that a statute requiring
nothing more than disclosure of such conflicts might also
ââestablish a qualification for . . . serving as President.ââ
Appellantsâ Br. 38 (quoting Silberman Memo 5). Financial
disclosure laws would not, as in Powell, prevent a âduly
45
electedâ official from assuming office,
395 U.S. at 550
, nor, as
in U.S. Term Limits, add a term limit to âthe exclusive
qualifications set forth in the text of the Constitution,â
514 U.S.
at 827
; cf. Appellantsâ Br. 39 (conceding that â[t]he
Presidential Records Act does not add or alter the qualifications
for officeâ). In the end, laws requiring disclosure exclude
precisely zero individuals from running for or serving as
President; regardless of their financial holdings, all
constitutionally eligible candidates may apply.
In sum, we detect no inherent constitutional flaw in laws
requiring Presidents to publicly disclose certain financial
information. And that is enough. Without treading onto any
other potentially fertile grounds from which constitutional
legislation could flower, we conclude that given the
constitutionally permissible options open to Congress in the
field of financial disclosure, the challenged subpoena seeks
âinformation about a subject on which legislation may be had.â
Eastland,
421 U.S. at 508
.
To the dissent, however, this makes no difference.
Although acknowledging that the Committee is pursuing a
âvalid legislative inquiry,â the dissent insists that the Mazars
subpoena is nonetheless invalid because it âseeks to investigate
individual suspicions of criminality against the President,â an
inquiry that âmay be pursued only through impeachment.â
Dissenting Op. at 44. In support, the dissent claims to rely on
the âtext and structure of the Constitution, its original meaning
and longstanding practice.â Id. at 3.
Of course, the Constitution always serves as our starting
point, and particularly in separation-of-powers disputes, we
âput significant weight upon historical practice.â Zivotofsky,
135 S. Ct. at 2091
(internal quotations omitted). Indeed, this is
a path the Supreme Court and this court have already
46
trod. Nearly a century of precedent has laid out an established
test that resolves this inter-branch dispute in a way that, unlike
the dissent, respects the co-equal status and roles of both the
legislative and executive branches. Settled Supreme Court
precedent teaches thatâat least where, as here, no party argues
that compliance with the subpoena would impair the
Presidentâs execution of the Article II powerâthe Constitution
protects both branchesâ prerogatives by determining whether
the subpoena serves âa valid legislative purpose.â Barenblatt,
360 U.S. at 127
. Both the Trump Plaintiffs and the Department
of Justice agree that this is the relevant inquiry. See Appellantsâ
Br. 16 (âWhen Congress issues subpoenas in aid of valid
legislation, it needs a legitimate legislative purposeâ);
Department Br. 10. (âThe court must first determine whether
the subpoena serves a âvalid legislative purpose.ââ).
To be sure, a Congress pursuing a legitimate legislative
objective may, as the many examples recounted in the dissent
demonstrate, choose to move from legislative investigation to
impeachment. But the dissent cites nothing in the Constitution
or case lawâand there is nothingâthat compels Congress to
abandon its legislative role at the first scent of potential
illegality and confine itself exclusively to the impeachment
process. Nor does anything in the dissentâs lengthy recitation
of historical examples dictate that result. All involved
investigations targeted at individual conduct; none involved a
Congressional effort to investigate the need to amend existing
laws or enact remedial legislation. Instead, those examples
merely demonstrate that Congress has, at various points
throughout our history, debated and decided when it wishes to
shift from legislating to impeaching. Where legislation may be
hadâand especially here, where bills are pending and no
intrusion on the Presidentâs execution of his official duties is
allegedâthe Constitution assigns that decision to Congress.
47
Unable to prevail under the test the Supreme Court has
enforced for more than a century, the dissent moves the
goalposts. The dissent proposes a brand-new test for the
President (and other âimpeachable officials,â Dissenting Op. at
44) that would enfeeble the legislative branch. According to the
dissent, once some Membersâor perhaps just one Memberâ
raise âsuspicions of criminalityâ by an impeachable official,
Congress must âend[]â all legislative investigation and either
do nothing at all or âmove[] that part of the investigation into
impeachment.â Dissenting Op. at 19.
In other words, Congress must either initiate the grave and
weighty process of impeachment or forgo any investigation in
support of potential legislation. Under the dissentâs novel test,
âeven a valid legislative purposeâ cannot âjustifyâ the
investigation. Id. at 19. The dissent identifies nothing in the
text, structure, or original meaning of Article I or Article II of
the Constitution to support such a sweeping rule of legislative
paralysis. As the Trump Plaintiffs and the Department of
Justice agree, the Supreme Court has said just the opposite: âa
congressional committee which is engaged in a legitimate
legislative investigation need not grind to a halt whenever . . .
crime or wrongdoing is disclosed.â Hutcheson,
369 U.S. at 618
.
The dissent tries to house its theory in the Supreme Courtâs
decision in McGrain. Quoting the Courtâs observation that an
investigation would be invalid âif the Senate was âattempting
or intending to try the Attorney General at its bar or before its
committee for crime or wrongdoing,ââ the dissent insists that
â[i]t was essential to the Courtâs decision that the investigation
did not target the unlawful behavior of the Attorney General,â
Dissenting Op. at 49 (quoting McGrain, 273 U.S. at 179â80)
(emphasis added). But as the sentence quoted by the dissent
reveals, the Court said nothing about âtargetingâ specific
conduct. Instead, the Court made clear that the investigation
48
was not invalid because the authorizing âresolution, like the
charges which prompted its adoption . . . [made] reference to
[the Attorney General] by name,â nor was it âa valid objection
to the investigation that it might possibly disclose crime or
wrongdoing on his part.â McGrain, 273 U.S. at 179â80.
Indeed, the district court in McGrain had adopted the dissentâs
view, invalidating the subpoena because the authorizing
resolution alleged âspecific instances of . . . neglectâ and the
Senate was âproposing . . . to determine the guilt of the
Attorney General of the shortcomings and wrongdoings set
forth in th[ose] resolutions.â Id. at 177. The Senate was, as the
district court saw it, âexercising the judicial function,â a power
âimpliedly negatived by th[e] Constitution, in its provision
conferring the sole power of impeachment on the House of
Representatives.â Ex parte Daugherty,
299 F. 620, 639
(S.D.
Ohio 1924). The Supreme Court labeled this reasoning
âwrong,â explaining âthat the object of the investigation . . .
was to obtain information for legislative purposes.â McGrain,
273 U.S. at 177
.
The dissent points to McGrainâs language that â[i]t [wa]s
not as if an inadmissible or unlawful object were affirmatively
and definitely avowed,â arguing that, here, the subpoena is
invalid because â[t]he Committee has âaffirmatively and
definitely avowedâ its suspicions of criminality against the
President.ââ Dissenting Op. at 50â51 (quoting McGrain,
273
U.S. at 180
). The dissent misreads that sentence. According to
the Court, the Senate resolution in McGrain sought
âinformation necessary as a basis for such legislative and other
action as the Senate may deem necessary and proper.â
273
U.S. at 179
(emphasis added). But there was âno other action,â
the Court explained, âwhich would be within the power of the
Senate.â
Id.
It was the Senateâs âindefinite and untenable
suggestionâ of non-legislative actionânot an avowal of
suspicions of individual wrongdoingâthat the Court held did
49
not âinvalidate[] the entire proceeding.â
Id.
McGrain thus
squarely forecloses the dissentâs theory.
It is unsurprising that no case law supports the
dissent. Under its view, Congressâs power to investigate, when
it comes to the President and all other impeachable officials,
would no longer be âco-extensive with [its] power to legislate.â
Quinn,
349 U.S. at 160
. The dissent would reorder the very
structure of the Constitution. Throughout history, the
Constitution has left to Congress the judgment whether to
commence the impeachment process. But the dissentâs
approach would not even allow Congress to make the
quintessentially legislative judgment that some concerns about
potential misconduct or illegality are better addressed through
oversight and legislation than impeachment. Worse still, the
dissentâs novel approach would now impose upon the courts
the job of ordering the cessation of the legislative function and
putting Congress to the Hobsonâs Choice of impeachment or
nothing.
To be sure, the dissent would still allow Congress to âenact
legislation.â Dissenting Op. at 64. But it would have to do so
uninformed and with its oversight function informationally
crippled. This would mean that, at times when oversight and
legislation are most urgent, such as to prevent executive branch
overreach or to keep officialsâ behavior within ethical
boundaries going forward, Congress would be legislatively
hamstrung unless it were to pull the impeachment trigger. And
if Congress chooses not to pursue impeachment, or if
impeachment is unavailable because Congress believes the
alleged misconduct falls short of a high crime or misdemeanor,
then there can be no investigation ofâand thus no viable
legislative check onâthe President at all. A proposition that so
strips Congress of its power to legislate would enforce only the
Executiveâs arrogation of power, not the separation of powers.
50
At bottom, this subpoena is a valid exercise of the
legislative oversight authority because it seeks information
important to determining the fitness of legislation to address
potential problems within the Executive Branch and the
electoral system; it does not seek to determine the Presidentâs
fitness for office.
C.
Thus far we have concluded that the Committee is
pursuing a legislative, non-law-enforcement purpose and that
at least one kind of constitutional legislation may be had on the
subject matter of the Committeeâs investigation. What is left to
decide is whether the documents requested in this subpoena are
relevant to that investigation. The Trump Plaintiffs insist that
at least some are not.
As the Watkins Court described it, the requirement that a
subpoena request only those documents that are relevant to a
committeeâs legitimate investigation âis a jurisdictional
concept of pertinency drawn from the nature of a congressional
committeeâs source of authority.â
354 U.S. at 206
. Though
complex sounding, the relevancy requirement functions merely
as a corollary to the other restraints on congressional
committeesâ investigative powers: if a committee could
subpoena information irrelevant to its legislative purpose, then
the Constitution would in practice impose no real limit on
congressional investigations.
The Supreme Court has used various formulations to
describe the relevancy standard that applies to congressional
subpoenas. In McGrain, the Court held that Congress could
subpoena any information that would âmaterially aid[]â a
legitimate investigation.
273 U.S. at 177
. In Watkins, it
explained that committees may subpoena information âto be
used . . . in coping with a problem that falls within [their]
51
legislative sphere.â
354 U.S. at 206
. And in McPhaul v. United
States, the Court offered not one but two explanations,
validating a subpoena because, in the Courtâs words, the
subcommittee had requested records that âwere not plainly
incompetent or irrelevant to any lawful purpose . . . , but, on
the contrary, were reasonably relevant to the inquiry.â
364 U.S.
372
, 381â82 (1960) (alterations, citations, and internal
quotation marks omitted). We read all these statements, varied
as they are, as conveying essentially the same straightforward
proposition: Congress may subpoena only that information
which is âreasonably relevantâ to its legitimate investigation.
Id.; accord Appellantsâ Br. 19 (âIf the congressional subpoena
is not âreasonably relevant to the inquiry,â then it lacks a
legitimate purpose.â (quoting McPhaul, 364 U.S. at 381â82)).
With this standard in mind, we turn to the challenged
subpoena. Recall that it seeks four categories of documents: for
âcalendar years 2011 through 2018,â (1) âstatements of
financial condition, annual statements, periodic financial
reports, and independent auditorsâ reports,â (2) âunderlying,
supporting, or source documents and records,â and (3) related
âmemoranda, notes, and communications;â and, (4) â[w]ithout
regard to time,â all related âengagement agreements or
contracts.â Subpoena. For clarity, we label these four
categories Accounting Records, Source Documents, Related
Communications, and Engagement Agreements, respectively.
In our view, all are reasonably relevant to remedial legislation
addressing at least two of the topics listed in Chairman
Cummingsâs Memo: the Presidentâs potential âundisclosed
conflicts of interestâ and the Presidentâs âreport[s] . . . to the
Office of Government Ethics and other federal entities.â
Cummings Memo 4.
We begin with Accounting Records and Source
Documents for calendar years 2014 through 2018. Because
52
then-Candidate and now-President Trump filed financial
disclosure reports covering these years, financial records from
this period are highly relevant to the Committeeâs inquiry into
whether Candidate and President Trump âaccurately reported
his finances to . . . federal entities,â
id.,
and, by extension,
âwhether reforms are necessary to address deficiencies with
current laws, rules, and regulations,â Cummings Feb. 15 Letter
9. A clear line connects the Office of Government Ethicsâs May
2018 determination that President Trumpâs financial disclosure
form failed to list âa reportable liabilityâ to Michael Cohen,
Apol Letter 1; to Chairman Cummingsâs January 2019 requests
to the White House and the Office of Government Ethics for
further information on President Trumpâs payments to Cohen;
to Cohenâs February 2019 production of Mazars accounting
documents revealing financial information different from and
additional to Candidate and President Trumpâs financial
disclosures; and finally to the Committeeâs March 2019 request
and April 2019 subpoena to Mazars. From this logical
progression we discern âno indicationâ that the subpoena
âfollow[ed] from indiscriminate dragnet procedures, lacking in
probable cause for belief thatâ Mazars âpossesse[s]
information which might be helpful to theâ Committee.
Barenblatt,
360 U.S. at 134
. Tellingly, the Trump Plaintiffs
raise no relevance objection to this subset of subpoenaed
documents.
We next consider the same two categories of recordsâ
Accounting Records and Source Documentsâfor years 2011
through 2013. According to the Trump Plaintiffs, these
documents are irrelevant to the Committeeâs investigation
because they âreach[] back many years before the President
was even a candidate for public office.â Appellantsâ Reply Br.
16â17. This is true, but beside the point. The fact that the Ethics
in Government Act currently requires candidates and
Presidents to disclose information for âthe preceding calendar
53
year,â e.g., 5 U.S.C. app. 4 § 102(b)(1)(A), hardly forecloses
Congress from amending the Act to require filers to go back a
reasonable amount of additional time to provide a more
accurate financial picture. That is especially true here because
the sitting President possesses financial holdings that are
arguably more complex than past Presidents held, has elected
while in office to handle his finances differently than past
Presidents did, and has declined to voluntarily release the sorts
of tax-return information that past Presidents disclosed. See,
e.g., H.R. 1: Strengthening Ethics: Hearing Before the House
Committee on Oversight and Reform, 116th Cong. 125 (Feb. 6,
2019) (statement of Walter M. Shaub, Jr.) (describing the
Presidentâs decision not âto divest his conflicting financial
interestsâ as a âradical departureâ from previous Presidents).
Congress might therefore reasonably wonder whether the
Ethics in Government Act needs an update, and even pre-
candidacy documents from the President would shed light on
that inquiry. Requiring presidential candidates and Presidents
to disclose earlier yearsâ information might, for example,
reveal forgiven debts, financial partnerships, or favorable deals
that Congress determines should be disclosed to the publicâ
that is, âundisclosed conflicts of interest.â Cummings Memo 4.
In fact, at least one bill now pending before the House would
require presidential candidates to âsubmit to the Federal
Election Commission a copy of [their] income tax returns for
the 10 most recent taxable years.â H.R. 706, 116th Cong.
§ 222(b)(1)(A) (2019).
Of course, the Committee may discover nothing notable in
Mazarsâs 2011 through 2013 records. But that is not the test for
relevancy. As the Supreme Court has explained, â[t]he very
nature of the investigative functionâlike any researchâis that
it takes the searchers up some âblind alleysâ and into
nonproductive enterprises.â Eastland,
421 U.S. at 509
; see also
54
Appellantsâ Br. 32 (conceding that âCongress cannot be
penalized if an otherwise valid investigation turns out to be a
dead endâ). To be sure, information from the past may at some
point become so stale as to be irrelevant to present inquiries,
but the eight-year mark falls comfortably on the relevant side
of the line.
We last turn to the Committeeâs request for Related
Communications and Engagement Agreements. According to
the Trump Plaintiffs, these documents âhave nothing to do with
the financial statements the Committee says it needs.â
Appellantsâ Reply Br. 17. But again, we think the recordsâ
relevancy is quite clear. As the Committee explains, the import
of the Mazars accounting documents hinges on the conditions
under which they were preparedâfor example, whether
Mazars accepted documents âas a given,â whether Mazars
prepared its reports intending third parties to rely upon them,
and whether Mazars had the âpower[] or responsibilit[y]â to
conduct independent audits. Oral Arg. Tr. 108. Obviously not
every âagreement[]â or ânote[]â will provide this information.
Subpoena. But absent foreknowledge of the documentsâ
contents, congressional investigators have no way to reliably
determine before issuing a subpoena which specific
communications might reveal relevant information. It is
enough that the categories of information sought are
âreasonably relevantâ to the Committeeâs legitimate legislative
inquiry.
IV.
Having found no constitutional defect in the Committeeâs
subpoena to Mazars, we at last arrive at the question of
authority: âwhether the committee [is] authorizedâ by the full
House âto exact the informationâ it seeks. Rumely, 345 U.S. at
42â43; see also Exxon Corp. v. FTC,
589 F.2d 582, 592
(D.C.
Cir. 1978) (âTo issue a valid subpoena, . . . a committee or
55
subcommittee must conform strictly to the resolution
establishing its investigatory powers.â). The Trump Plaintiffs
urge us to interpret the House Rules narrowly to deny the
Committee the authority it claims. But we have no needâand
most important, no authorityâto do so.
A.
We start with the proposition, undisputed by the Trump
Plaintiffs, that under the most natural reading of the House
Rules, the full chamber has authorized the Committee to issue
the challenged subpoena. See Oral Arg. Tr. 38â39 (Trump
Plaintiffs conceding that the Rules, under a ânormal reading,â
authorize the subpoena). A brief tour through the Rules
confirms as much.
To begin with, the Rules vest the Oversight Committee
with standing authority to institute investigations and issue
subpoenas without first âobtain[ing] such authority . . . by a
separate resolution.â House Rules and Manual, 115th Cong.,
§ 788 note (2017); see also Morton Rosenberg, When Congress
Comes Calling: A Study on the Principles, Practices, and
Pragmatics of Legislative Inquiry 33â34 & 34 n.5 (2017)
(explaining that although â[t]he required authorization from the
full House . . . may take the form of a statute, a resolution, or a
standing rule of the House,â â[t]his [last] mode is the most
common todayâ (footnotes omitted)). Clause 1(b)(1) of House
Rule XI permits â[e]ach committee [to] conduct at any time
such investigations and studies as it considers necessary.â And
Clause 2(m) of the same Rule authorizes committeesâor,
when the committees so choose, their chairsââto require, by
subpoena or otherwise, . . . the production of such books,
records, correspondence, memoranda, papers, and documents
as [they] consider[] necessaryâ â[f]or the purpose of carrying
out any of [their] functions and duties under . . . rule X.â House
Rule XI, cl. 2(m)(1); see also id. cl. 2(m)(3)(A)(i) (permitting
56
committees to âdelegate[] to the[ir] chairâ â[t]he power to
authorize and issue subpoenasâ); Rules of the House
Committee on Oversight and Reform, 116th Cong., Rule 12(g)
(2019) (authorizing the Oversight Committee Chair to âissue
subpoenas as provided in House Rule XI, clause 2(m), in the
conduct of any investigation or activity or series of
investigations or activities within the jurisdiction of the
Committeeâ).
Rule X, in turn, establishes the Oversight Committeeâs
jurisdiction, which unquestionably includes financial-
disclosure and other ethics-in-government laws. Rule X, clause
1(n) assigns the Committee jurisdiction over the â[f]ederal civil
service . . . and the status of officers and employees of the
United States,â â[g]overnment management and accounting
measures generally,â and â[p]ublic information and records.â
Pursuant to this clause, the Oversight Committee has for
decades exercised jurisdiction over the Ethics in Government
Act and served as the authorizing committee for the Office of
Government Ethics. See, e.g., 165 Cong. Rec. H1209 (daily ed.
Jan. 24, 2019) (referring H.R. 745, a âbill to amend the Ethics
in Government Act of 1978 to provide for reform in the
operations of the Office of Government Ethics, . . . to the
Committee on Oversight and Reformâ); Letter from Jason
Chaffetz, Chairman, House Committee on Oversight and
Government Reform, to Walter M. Shaub, Jr., Director, Office
of Government Ethics 2 (Jan. 12, 2017) (stating that the
Oversight Committee âhas jurisdiction in the House of
Representatives for reauthorizing the [O]fficeâ of Government
Ethics); see also H.R. Rep. No. 95-642, pt. 1 (1977) (report of
the Committee on Post Office and Civil Service, predecessor
to the Oversight Committee, on H.R. 6954, predecessor to the
Ethics in Government Act of 1978). Furthermore, Rule X,
clause 3(i) directs the Oversight Committee to âreview and
study on a continuing basis the operation of Government
57
activities at all levels, including the Executive Office of the
President.â And lest any confusion remain regarding the
Oversight Committeeâs authority to oversee, Rule X,
clause 4(c)(2) states that the Committee âmay at any time
conduct investigations of any matter without regard to [any
other] clause conferring jurisdiction over the matter to another
standing committee.â
Having placed âany matterâ within the Oversight
Committeeâs wide purview, the Rules nowhere disclose an
intent to carve out the President. It would be quite strange for
the Rules to permit the Oversight Committee to âreview and
study,â House Rule X, cl. 3(i), financial disclosure laws in all
their applications save for oneâtheir application to the
President. See 5 U.S.C. app. 4 §§ 101(a), (f)(1), 102 (requiring
the President to file financial reports). So, too, would it be
strange to direct the Committee to oversee âthe operation of
Government activities at all levels,â House Rule X, cl. 3(i), if
the Rules really meant âat all levels except the President.â And
although we do not read the second half of clause 3(i), which
specifies that âGovernment . . . at all levels . . . includ[es] the
Executive Office of the President,â to refer to the President
himself, cf. Kissinger v. Reporters Committee for Freedom of
the Press,
445 U.S. 136, 156
(1980) (holding that in the
Freedom of Information Act, the term ââExecutive Officeâ does
not include the Office of the Presidentâ), neither do we take the
âincludingâ phrase to imply that âGovernment activities at all
levelsâ means something less than âall,â see Federal Land
Bank of St. Paul v. Bismarck Lumber Co.,
314 U.S. 95, 100
(1941) (â[T]he term âincludingâ is not one of all-embracing
definition, but connotes simply an illustrative application of the
general principle.â). Indeed, the Trump Plaintiffs urge us to
draw no such negative inference. See Appellantsâ Reply Br. 6
(âPlaintiffs do not claim that [adding the] new language
58
[âExecutive Office of the Presidentâ] narrowed the
Committeeâs authority.â).
B.
Acknowledging that literally read, the Rules permit the
Committee to issue the challenged subpoena, see supra at 49,
the Trump Plaintiffs insist that a literal reading is not enough.
In their view, the Mazars subpoena alters the separation of
powers and raises serious constitutional questions, so nothing
less than an âunequivocal[] grantâ by the House of âjurisdiction
to subpoena the Presidentâs accountant for his private financial
recordsâ could authorize the Committee to issue it. Appellantsâ
Reply Br. 2; see also Dissenting Op. at 52â58. In support, they
raise three related arguments.
First, the Trump Plaintiffs contend that because âa âclear
statement ruleâ applies âto statutes that significantly alter the
balance between Congress and the President,ââ Appellantsâ Br.
16 (quoting Armstrong v. Bush,
924 F.2d 282, 289
(D.C. Cir.
1991)), the House could have âauthorized the Committee to
embark on [the instant] investigationâ only through âan express
statement,â Appellantsâ Reply Br. 3 (internal quotation marks
omitted); see also Dissenting Op. at 54â55. For this
proposition, they rely primarily on two decisions, both of
which held that the President is not an âagencyâ subject to
judicial review under the Administrative Procedure Act (APA).
In the first case, Armstrong v. Bush, our court held that â[w]hen
Congress decides purposefully to enact legislation restricting
or regulating presidential action, it must make its intent clear.â
924 F.2d at 289
. âAlthough the âclear statementâ rule was
originally articulated to guide interpretation of statutes that
significantly alter the federal-state balance,â we explained,
âthere are similar compelling reasons to apply the rule to
statutes that significantly alter the balance between Congress
and the President.â
Id.
And in the second case, Franklin v.
59
Massachusetts, the Supreme Court confirmed that â[o]ut of
respect for the separation of powers and the unique
constitutional position of the President,â the Court âwould
require an express statement by Congress before assuming it
intended the Presidentâs performance of his statutory duties to
be reviewed for abuse of discretionâ under the APA.
505 U.S.
788
, 800â01 (1992).
This case is nothing like Armstrong and Franklin for a
simple reason: the House Rules have no effect whatsoever on
âthe balance between Congress and the President.â Armstrong,
924 F.2d at 289
(emphasis added). What Rules X and XI have
done is delegate from the House to the Oversight Committee
the authority to exercise Congressâs subpoena power without
first âobtain[ing] such authority . . . by a separate resolutionâ
of the full House. House Rules and Manual, 115th Cong., § 788
note (2017). The Trump Plaintiffs nowhere dispute that,
assuming a legitimate legislative purpose exists, the House
could have either issued the challenged subpoena by a vote of
the full chamber or, via express statement, authorized the
Committee to issue the subpoena on its behalf. See Oral Arg.
Tr. 5 (conceding that the House has the power to issue the
subpoena itself and arguing that the question is âwhether [it]
gave [that authority] to [the] Committeeâ); id. at 6 (stating that
it is âa question of clarity and not a question of powerâ); id. at
130â31 (stating that, although it would be âbetterâ for the
subpoena to come from âthe full House,â the full House could
pass a rule that âsays . . . the committee could do itâ). The
Rules, which establish a mechanism for exercising the Houseâs
subpoena power, thus deal exclusively with the allocation of
authority within the legislative branch, leaving unaltered the
Houseâs subpoena power vis-Ă -vis the President. Because
Congress already possessesâin fact, has previously exercised,
see supra at 16â17âthe authority to subpoena Presidents and
their information, nothing in the House Rules could in any way
60
âalter the balance betweenâ the two political branches of
government. Armstrong,
924 F.2d at 289
.
The Trump Plaintiffsâ second argument, containing many
ingredients of their first, is similarly unavailing. Observing that
â[t]he parties seriously dispute whether the subpoena has a
legitimate legislative purpose,â Appellantsâ Reply Br. 3âand,
consequently, whether the subpoena exceeds constitutional
limits on Congressâs subpoena powerâthe Trump Plaintiffs
urge us to âresolve[] this case in a way that avoid[s] decidingâ
constitutional questions âby quashing the subpoena as beyond
the Committeeâs . . . jurisdiction,â Appellantsâ Br. 23; see also
Department Br. 14; Dissenting Op. at 52â58. They call our
attention to two cases in particular: the Supreme Courtâs
decision in United States v. Rumely and ours in Tobin v. United
States,
306 F.2d 270
(D.C. Cir. 1962). In Rumely, the Court
âg[a]veâ the authorizing resolution at issue âa more restricted
scopeâ because the governmentâs favored interpretation, which
would have permitted it âto inquire into all efforts of private
individuals to influence public opinion through books and
periodicals,â raised âdoubts of constitutionality in view of the
prohibition of the First Amendmentâ and thus presented a
â[g]rave constitutional question[].â Rumely, 345 U.S. at 46â48.
And in the latter, we âconstru[ed] [a] resolution[] of authority
narrowly . . . in order to obviate the necessity of passing onâ
the âserious and difficult constitutional question[]â presented
by that case, Tobin, 306 F.2d at 274â75ânamely, whether
Congress has âthe power, under the compact clause of the
Constitution, to âalter, amend or repealâ its consent to an
interstate compact,â
id. at 272
. Concerned that âthe suspicion
of even potential impermanency would be damaging to the
very concept of interstate compacts,â
id. at 273
, we observed
that the argument against recognizing such an implied power
to alter or repeal âis not unpersuasive,â
id. at 274
.
61
In contrast to Rumely and Tobin, the constitutional
questions raised here are neither â[g]rave,â Rumely,
345 U.S.
at 48
, nor âserious and difficult,â Tobin,
306 F.2d at 275
. We
harbor no doubts that the subpoena to Mazars comports with
constitutional limits, as it seeks documents reasonably relevant
to a legitimate legislative inquiry into âa subject on which
legislation may be had.â Eastland,
421 U.S. at 508
; see supra
Parts III.AâC. We therefore have no cause to invoke the canon
of constitutional avoidance. See Empresa Cubana Exportadora
de Alimentos y Productos Varios v. U.S. Department of
Treasury,
638 F.3d 794, 801
(D.C. Cir. 2011) (âA clear statute
and a weak constitutional claim are not a recipe for successful
invocation of the constitutional avoidance canon.â).
That is not to say the issues presented here are
unimportantâfar from it. But the canon of constitutional
avoidance âis not a license for the judiciary to rewrite language
enacted by the legislature.â United States v. Albertini,
472 U.S.
675, 680
(1985). To adopt a restrictive interpretation of the
Rules when uncompelled by constitutional concerns, âwhile
purporting to be an exercise in judicial restraint,â would in fact
be to âtrench upon the legislative powers vested in Congress by
[Article I] of the Constitution.â
Id.
We have no authority to
avoid questionsâeven important onesâsimply because we
might prefer not to answer them. Cf. United States v. American
Telephone & Telegraph Co.,
567 F.2d 121, 126
(D.C. Cir.
1977) (âThe simple fact of a conflict between the legislative
and executive branches over a congressional subpoena does not
preclude judicial resolution.â).
Finally, the Trump Plaintiffs argue that even if no
separation-of-powers concerns demand application of the clear
statement rule, and even if no constitutional questions rise to
the level of serious, it would, given the âsensitiveâ nature of the
Committeeâs request, Appellantsâ Reply Br. 2 (internal
62
quotation marks omitted), still be âbetter,â Oral Arg. Tr. 130,
for the full House to grant the Committee âexpress authority to
subpoena the President for his personal financial records,â
Appellantsâ Reply Br. 5. We, however, have no authority to
impose such a requirement on the House. The Constitution
gives â[e]ach Houseâ of Congress authority to âdetermine the
Rules of its Proceedings,â U.S. Const. art. I, § 5, cl. 2, meaning
that courts lack the power to invalidate a duly authorized
congressional subpoena merely because it might have been
âbetter [if] . . . the full Houseâ had specifically authorized or
issued it, Oral Arg. Tr. 130. See Eastland,
421 U.S. at 509
(âThe wisdom of congressional approach or methodology is
not open to judicial veto.â). To be sure, âthe courts will
intervene to protect constitutional rights from infringement by
Congress, including its committees and members.â Exxon
Corp.,
589 F.2d at 590
. But unless and until Congress adopts a
rule that offends the Constitution, the courts get no vote in how
each chamber chooses to run its internal affairs. See
id.
(â[W]here constitutional rights are not violated, there is no
warrant for the judiciary to interfere with the internal
procedures of Congress.â).
The trouble with clear statement rules, then, is that they
both âinvolve[] an unwillingness to give full effect to
[Congressâs] unambiguous textâ as it exists now, Owner-
Operator Independent Drivers Assân v. U.S. Department of
Transportation,
724 F.3d 230, 237
(D.C. Cir. 2013), and offer
a not-so-subtle encouragement to Congress to alter its rules in
the future. Without some constitutionally compelled reason, we
may do neither. As our court recently explained, âinterpreting
a congressional rule âdifferently than would the Congress
itself,â is tantamount to âmaking the Rulesâa power that the
Rulemaking Clause reserves to each House alone.ââ Barker v.
Conroy,
921 F.3d 1118, 1130
(D.C. Cir. 2019) (quoting United
States v. Rostenkowski,
59 F.3d 1291
, 1306â07 (D.C. Cir.
63
1995)). Accordingly, absent a substantial constitutional
question pertaining to the Houseâs legislative power, we have
no more authority to give a cramped interpretation to a House
Rule via a clear statement requirement or the constitutional
avoidance canon than we do to take out our red pens and edit
the Rules ourselves.
But the House may. And indeed it has. On July 24, several
weeks after oral argument in this case and several months after
the Oversight Committee issued the challenged subpoena to
Mazars, the full House adopted a resolution that in no uncertain
terms âratifie[d] and affirm[ed]â the Oversight Committeeâs
authority under House Rules X and XI to issue subpoenas
âconcerning . . . the President in his personal or official
capacity [and] his immediate family, business entities, or
organizations.â H.R. Res. 507, 116th Cong. (2019). Resolution
507âa resolution â[a]ffirming the validity of subpoenas duly
issued and investigations undertaken by . . . committee[s] of
the House . . . pursuant to authorities delegated by . . . the
[House] Rules,â id.âpurports neither to enlarge the
Committeeâs jurisdiction nor to amend the House Rules.
Instead, the Resolution clarifies the authority that the
Committee had on the day it issued the subpoena. It is âplainly
incorrect,â the Resolution states, to assert that previously
issued subpoenas âseeking personal, financial, banking, and tax
information related to the Presidentâ âwere not authorized by
the full House.â
Id.
Because the Trump Plaintiffs concede, as they must, that
â[t]he Resolution does not expand the Committeeâs
jurisdiction,â Appellantsâ July 31 Letter 1; see also Dissenting
Op. at 55 n.18, we need not address their argument that âthe
âscopeâ of a committeeâs jurisdiction must âbe ascertained as of
th[e] timeâ of the request,â
id.
(alteration in original) (quoting
Rumely,
345 U.S. at 48
). The Trump Plaintiffs may very well
64
be right that the authority of a congressional committee to issue
subpoenas ââcannot be enlarged by subsequent action of
Congress.ââ
Id.
(quoting Rumely,
345 U.S. at 48
); but cf.
Dombrowski v. Burbank,
358 F.2d 821, 825
(D.C. Cir. 1966),
affâd in part, revâd in part on other grounds sub nom.
Dombrowski v. Eastland,
387 U.S. 82
(1967) (holding that for
purposes of establishing immunity from suit, a subcommittee
could ratify a subpoena previously issued âwithout prior
authorization from the [s]ubcommitteeâ). Resolution 507,
however, âenlargesâ nothing. It merely confirms what the
Trump Plaintiffs admitâthat the plain text of the House Rules
authorizes the subpoena, see supra at 46, and merely provides
what the Trump Plaintiffs requestâthat the House ââspell[] out
[its] intentionââ by ââadopt[ing] a resolution which in express
terms authorizesââ the challenged subpoena. Appellantsâ Reply
Br. 8â9 (quoting Tobin, 306 F.2d at 275â76). Because the
House has âclearly manifest[ed] its intention of putting such a
decisional burden upon us,â we have no choice but to âmeet
and decideâ the issues presented by this case. Tobin,
306 F.2d
at 276
.
The Justice Department adds one final objection. Although
conceding that the Resolution âclearly authorizes the
Committeeâs subpoena[,]â Department Br. 16, the Department
warns that because Resolution 507 also authorizes future
subpoenas, there is a âserious riskâ that â[C]ongressional
committees may issue successive subpoenas in waves, making
far-reaching demands that harry the President and distract his
attention.â Department Br. 6. Time will tell whether the
Departmentâs prediction is accurate. At present, however, we
have no need to consider that hypothetical scenario because the
only subpoena currently before us is the one directed at Mazars.
And to be clear, neither the Trump Plaintiffs nor the
Department has argued that compliance with that subpoena
risks unconstitutionally burdening the Presidentâs core duties.
65
Nor could they. It is Mazars, a third-party, that will retrieve
and organize the relevant information; the subpoena seeks non-
confidential records in which the President has asserted no
proprietary or evidentiary protections; and Mazars, not the
President, risks contempt through non-compliance. To be sure,
monitoring Mazarsâs compliance with the subpoena might
require some presidential time and attention. But as the
Supreme Court made clear in Clinton v. Jones, a âburden [on]
the time and attention of the Chief Executive,â standing alone,
âis not sufficient to establish a violation of the Constitution.â
520 U.S. at 703
.
V.
Though our journey has been long, we find ourselves at
the end of a familiar tale. A congressional committee, as
committees have done repeatedly over the past two centuries,
issued an investigative subpoena, and the target of that
subpoena, questioning the committeeâs legislative purpose, has
asked a court to invalidate it. The fact that the subpoena in this
case seeks information that concerns the President of the
United States adds a twist, but not a surprising one: disputes
between Congress and the President are a recurring plot in our
national story. And that is precisely what the Framers intended.
As Justice Brandeis wrote, â[t]he doctrine of the separation of
powers was adopted . . . not to promote efficiency but to
preclude the exercise of arbitrary power.â Myers v. United
States,
272 U.S. 52, 293
(1926) (Brandeis, J., dissenting). âThe
purpose,â he explained, âwas not to avoid friction, but, by
means of the inevitable friction incident to the distribution of
the governmental powers among three departments, to save the
people from autocracy.â
Id.
Having considered the weighty interests at stake in this
case, we conclude that the subpoena issued by the Committee
66
to Mazars is valid and enforceable. We affirm the district
courtâs judgment in favor of the Oversight Committee and
against the Trump Plaintiffs.
So ordered.
RAO, Circuit Judge, dissenting: The majority breaks new
ground when it determines Congress is investigating
allegations of illegal conduct against the President, yet
nonetheless upholds the subpoena as part of the legislative
power. The Committee on Oversight and Reform has
consistently maintained that it seeks to determine whether the
President broke the law, but it has not invoked Congressâs
impeachment power to support this subpoena. When Congress
seeks information about the Presidentâs wrongdoing, it does
not matter whether the investigation also has a legislative
purpose. Investigations of impeachable offenses simply are
not, and never have been, within Congressâs legislative power.
Throughout our history, Congress, the President, and the courts
have insisted upon maintaining the separation between the
legislative and impeachment powers of the House and
recognized the gravity and accountability that follow
impeachment. Allowing the Committee to issue this subpoena
for legislative purposes would turn Congress into a roving
inquisition over a co-equal branch of government. I
respectfully dissent.
I.
We are asked to determine whether the Committeeâs
subpoena is within the legislative power, a question that raises
serious separation of powers concerns about how a House
committee may investigate a sitting president. The
constitutional questions only hinted at by the majority become
clearer when the proper framework is applied. First, the
Committeeâs subpoena and investigation explicitly state a
purpose of investigating illegal conduct of the President,
including specific violations of ethics laws and the
Constitution. Second, Congressâs power to investigate for
legislative purposes, although broad, is not unlimited and
cannot circumvent the distinct power to investigate for
purposes of impeachment. Allegations that an impeachable
official acted unlawfully must be pursued through
impeachment. Finally, the subpoena targets the President and
2
raises implications for the separation of powers that the
majority cannot brush aside simply because the subpoena is
addressed to the Presidentâs accountants, Mazars USA, LLP.
These preliminary matters place this novel investigation in
context and frame the analysis of the substantial constitutional
questions presented in this case.
The Committee, the Trump plaintiffs, and the majority all
agree that the most relevant document for assessing the
Committeeâs reasons for issuing the subpoena is Chairman
Elijah E. Cummingsâs April 12 Memorandum. See
Memorandum from Chairman Elijah E. Cummings to
Members of the Committee on Oversight and Reform (Apr. 12,
2019) (âCummings Memorandumâ); Appellant Br. 32â33;
Maj. Op. 25; cf. Wilkinson v. United States,
365 U.S. 399, 410
(1961) (looking to the âChairmanâs statement at the opening of
the hearingsâ for signs of legislative purpose); Shelton v.
United States,
404 F.2d 1292, 1297
(D.C. Cir. 1968). The
Cummings Memorandum states the Committee is investigating
âwhether the President may have engaged in illegal conductâ
and notes that this information will âinform[] its review of
multiple laws and legislative proposals under our jurisdiction.â
Cummings Memorandum at 4. The Committee also makes an
âexpress avowalâ to investigate alleged violations of ethics
laws and the Constitution by the President. See McGrain v.
Daugherty,
273 U.S. 135, 178
(1927) (noting that â[a]n express
avowal of the objectâ of an investigation would aid the courts
in reviewing the Senateâs purpose); see also infra Part III.A
(discussing Committeeâs purposes in detail).
The Committee announces two distinct investigations: one
to explore allegations of illegal conduct by the President; and
another to review multiple laws and legislative proposals
within the Committeeâs jurisdiction. The Committee justifies
both inquiries under the legislative power, and the majority
accepts this framework when it examines the legislative power
3
in isolation to determine whether this investigation falls within
its scope. Maj. Op. 20â54. Yet the Constitution vests the House
of Representatives with more than one investigative power.
Most frequently, the House investigates and issues subpoenas
ancillary to its legislative powers. That investigative power is
âco-extensive with the power to legislate.â Quinn v. United
States,
349 U.S. 155, 160
(1955); see also Watkins v. United
States,
354 U.S. 178, 187
(1957) (âThe power of the Congress
to conduct investigations is inherent in the legislative process.
That power is broad.â).
The House, however, has a separate power to investigate
pursuant to impeachment, which has always been understood
as a limited judicial power to hold certain impeachable officials
accountable for wrongdoing. 1 See Kilbourn v. Thompson,
103
U.S. 168, 191
(1880) (âThe Senate also exercises the judicial
power of trying impeachments, and the House of preferring
articles of impeachment.â). The text and structure of the
Constitution, its original meaning, and longstanding practice
demonstrate that Congressâs legislative and judicial powers are
distinct and exercised through separate processes, for different
purposes, and with entirely different protections for individuals
targeted for investigation. See infra Part II.
1
In addition to the legislative and impeachment powers, the House
and the Senate have other investigative powers, not relevant here, to
maintain the integrity of their proceedings and members against
bribery, nuisance, and violence. See Anderson v. Dunn,
19 U.S. (6
Wheat.) 204
, 228â30 (1821); Barry v. United States ex rel.
Cunningham,
279 U.S. 597, 613
(1929) (the Senate has âcertain
powers, which are not legislative, but judicial, in character. Among
these is the power to judge of the elections, returns, and
qualifications of its own members.â (citing U.S. CONST. art. I, § 5,
cl. 1)).
4
The Committeeâs investigation into alleged illegal actions
of the President naturally raises the specter of impeachment.
Although the Trump plaintiffs maintain that â[t]he one thing
the parties agree on is that this case is not about impeachment,â
Appellants Br. 14, the impeachment power unmistakably sits
in the background of the legal arguments. 2 The Trump
plaintiffs and the Department of Justice have suggested that the
impeachment power might provide a different source of
authority for this subpoena, even though it was not invoked
here. See Appellants Br. 45 (noting with regard to
impeachment that â[w]hile Congress could presumably use
subpoenas to advance these non-legislative powers, the
Committee has not invoked themâ); DOJ Br. 15 n.1 (âThe
Houseâs impeachment power is an express authority whose
exercise does not require a connection to valid legislation. But
the Committee has asserted neither jurisdiction over, nor an
objective of pursuing, impeachment.â). Furthermore, one of the
primary legal arguments raised by the Trump plaintiffs is that
the Committeeâs investigation is an impermissible form of âlaw
enforcement.â Appellants Br. 33â37. While law enforcement is
normally the province of the executive branch, the House has a
narrowly circumscribed power to serve as the âNATIONAL
INQUESTâ when it acts pursuant to the impeachment power.
The Federalist No. 65, at 338 (Alexander Hamilton) (George
W. Carey & James McClellan eds., 2001). The Committee is
2
Notably, the district court concluded that the impeachment and
removal powers of the House and the Senate somehow bolster
Congressâs ability to investigate the President through the legislative
power. See Trump v. Comm. on Oversight & Reform,
380 F. Supp.
3d 76, 95
(D.D.C. 2019) (âIt is simply not fathomable that a
Constitution that grants Congress the power to remove a President
for reasons including criminal behavior would deny Congress the
power to investigate him for unlawful conductâpast or presentâ
even without formally opening an impeachment inquiry.â).
5
ânot here relying on impeachment power.â Oral Arg. at
1:34:19â22. Nevertheless, understanding the impeachment
power is essential to identifying the limits of the legislative
power when Congress seeks to investigate allegations of
specific unlawful actions by the President.
Constitutional powers do not stand in isolation, but rather
are part of a complex structure in which each power acquires
specific content and meaning in relation to the others. The
Supreme Court often locates the limits of one constitutional
power by identifying what is at the core of another. See, e.g.,
Zivotofsky ex rel. Zivotofsky v. Kerry,
135 S. Ct. 2076, 2096
(2015) (âCongress has substantial authority over passports . . . .
[But] [t]o allow Congress to control the Presidentâs
communication in the context of a formal recognition
determination is to allow Congress to exercise that exclusive
power itself.â); Bowsher v. Synar,
478 U.S. 714, 722
(1986)
(âThe Constitution does not contemplate an active role for
Congress in the supervision of officers charged with the
execution of the laws it enacts.â); Youngstown Sheet & Tube
Co. v. Sawyer,
343 U.S. 579, 587
(1952) (âIn the framework of
our Constitution, the Presidentâs power to see that the laws are
faithfully executed refutes the idea that he is to be a
lawmaker.â); Myers v. United States,
272 U.S. 52, 164
(1926)
(â[A]rticle 2 excludes the exercise of legislative power by
Congress to provide for appointments and removals, except
only as granted therein to Congress in the matter of inferior
offices.â); Kilbourn,
103 U.S. at 192
(the House ânot only
exceeded the limit of its own authority, but assumed a power
which could only be properly exercised by another branch of
the government, because it was in its nature clearly judicialâ).
This method helps illuminate the scope of the legislative power
to investigate. Comparing Congressâs legislative power with its
wholly distinct judicial power of impeachment demonstrates
the essential difference between these powers when Congress
seeks to investigate the wrongdoing of the President.
6
As explained below, allegations of illegal conduct against
the President cannot be investigated by Congress except
through impeachment. The House may impeach for âTreason,
Bribery, or other high Crimes and Misdemeanors,â U.S.
CONST. art. II, § 4, and has substantial discretion to define and
pursue charges of impeachment. See The Federalist No. 65, at
338 (impeachable offenses âare of a nature which may with
peculiar propriety be denominated POLITICAL, as they relate
chiefly to injuries done immediately to the society itselfâ).
While it is unnecessary here to determine the scope of
impeachable offenses, Congress has frequently treated
violations of statutes or the Constitution as meeting this
threshold. 3 Impeachment provides the exclusive method for
Congress to investigate accusations of illegal conduct by
impeachable officials, particularly with the aid of compulsory
process. 4 Thus, the key determination is whether this
3
This discussion of the impeachment power proceeds only in relation
to understanding the scope of the legislative power. As the
Committee has not raised the impeachment power as a basis for this
subpoena, questions regarding whether such a subpoena could issue
under the impeachment power are outside the scope of this opinion,
as are other questions regarding the justiciability of the impeachment
power or the specific scope of impeachable offenses. Recognizing
the political nature of impeachable offenses, I refer to them
throughout the opinion by various terms to reflect that such offenses
may include wrongdoing or illegal conduct deemed by the House to
be a high crime or misdemeanor.
4
Voluntary compliance with congressional investigations is
commonplace. Different concerns arise, however, when one branch
invokes power over the other through compulsory process. See, e.g.,
Watkins,
354 U.S. at 215
(âIt is only those investigations that are
conducted by use of compulsory process that give rise to a need to
protect the rights of individuals against illegal encroachment. That
protection can be readily achieved through procedures which prevent
7
investigation targets allegations Congress might treat as âhigh
Crimesâ or âMisdemeanors.â To make this determination
requires no search for hidden motives, but simply crediting the
Committeeâs consistently stated purpose to investigate âillegal
conductâ of the President. Cummings Memorandum at 4; cf.
Eastland v. United States Servicemenâs Fund,
421 U.S. 491,
508
(1975) (â[I]n determining the legitimacy of a congressional
act we do not look to the motives alleged to have prompted
it.â).
The Committeeâs stated interest in remedial legislation
may support any number of investigations, including into the
conduct of agencies and how officials administer the laws. Yet
a legislative purpose cannot whitewash this subpoena, whichâ
by the Committeeâs own descriptionâtargets allegations of
illegal conduct by the President. The most important question
is not whether Congress has put forth some legitimate
legislative purpose, but rather whether Congress is
investigating suspicions of criminality or allegations that the
President violated a law. Such investigations may be pursued
exclusively through impeachment. The House may not use the
legislative power to circumvent the protections and
accountability that accompany the impeachment power.
The majority recognizes this subpoena concerns the
Committeeâs âinterest in determining whether and how illegal
conduct has occurred,â Maj. Op. 30, but nonetheless concludes
that it is a valid exercise of the legislative power. This marks a
sharp break with the few judicial precedents in this area. The
Supreme Court has consistently maintained that Congress
cannot undertake a legislative investigation of an impeachable
official if the âgravamenâ of the investigation rests on
âsuspicions of criminality.â Kilbourn,
103 U.S. at 193, 195
. In
the separation of power from responsibility and which provide the
constitutional requisites of fairness for witnesses.â).
8
Senate Select Committee on Presidential Campaign Activities
v. Nixon, our court refused to enforce a legislative subpoena to
President Richard Nixon by the Senate Select Committee
tasked with investigating the Watergate break-in.
498 F.2d 725
(D.C. Cir. 1974) (en banc). The tapes sought by the subpoena
were too âtangentialâ to the Committeeâs asserted legislative
purposes, especially because the House had commenced
impeachment proceedings to ascertain the Presidentâs role in
these events. Id. at 733.
The majorityâs holding also breaks with the longstanding
historical practice of Congress and the Executive. Without
analyzing the Constitution or responding to the consistent
historical understanding presented below, the majority simply
asserts that Congress must be able âto make the
quintessentially legislative judgment that some concerns about
potential misconduct or illegality are better addressed through
. . . legislation than impeachment.â Maj. Op. 49. The majorityâs
novel holding, however, fails to explain how specific
accusations of wrongdoing by impeachable officials can be
pursued through legislation. The Constitution, historical
practice, and our cases prohibit rolling this investigation of
illegal conduct of the President into a legislative investigation.
Allowing Congress to use the legislative power to circumvent
the impeachment process disrupts the separation of powers. By
simply invoking a need for remedial legislation, Congress may
now expand its control over the other branches and avoid the
accountability and responsibility inherent in the impeachment
power.
Finally, the inter-branch conflict in this case does not
dissipate simply because the subpoena for the Presidentâs
papers is strategically directed to Mazars rather than the
President. In an attempt to sidestep thorny separation of powers
questions, the majority reduces the conflict to a merely
personal one involving the Presidentâs accountants: â[T]o
9
resolve this case, we need not decide whether the Constitution
permits Congress, in the conduct of a legislativeâthat is, non-
impeachmentâinvestigation, to issue subpoenas to a sitting
President.â Id. at 20. By the majorityâs account, the subpoena
does not transgress any constitutionally prescribed boundaries
between co-equal branches in part because âquite simply, the
Oversight Committee has not subpoenaed President Trump.â
Id. The majority thus concludes that concerns about the relative
powers of the President and Congress do not come into play.
Yet this claim belies both precedent and common sense.
Indeed, by the end of its opinion, the majority abandons even
this reservation and simply asserts, âCongress already
possesses . . . the authority to subpoena Presidents and their
information.â Id. at 59.
The official actions of the Chief Executive are essentially
bound up in the Mazars subpoena. A subpoenaâs force extends
beyond its recipient, which the majority has implicitly
acknowledged by declining to question President Trumpâs
standing to challenge the subpoenaâs validity. As we have
previously explained: â[T]he fortuity that documents sought by
a congressional subpoena are not in the hands of a party
claiming injury from the subpoena should not immunize that
subpoena from challenge by that party . . . . The fact that the
Executive is not in a position to assert its claim of constitutional
right by refusing to comply with a subpoena does not bar the
challenge.â United States v. AT&T,
567 F.2d 121, 129
(D.C.
Cir. 1977) (citing Eastland,
421 U.S. at 513
(Marshall, J.,
concurring)). Moreover, we have recognized that
congressional subpoenas may create a âportentous clash
between the executive and legislative branchesâ
notwithstanding the fact that the subpoena was issued against a
private party. United States v. AT&T,
551 F.2d 384, 385
(D.C.
Cir. 1976); accord Eastland,
421 U.S. at 498
, 501 n.14
(reviewing challenge to third-party subpoena because
10
otherwise âcompliance by the third person could frustrate any
judicial inquiryâ).
The Committeeâs subpoena is directed to Mazars but
targets the Presidentâs papers. The form of the subpoena cannot
mask the inter-branch conflict between Congress and the
President. Cf. Judicial Watch, Inc. v. U.S. Secret Serv.,
726
F.3d 208
, 225â26 (D.C. Cir. 2013) (refusing to allow âend
runsâ around âseparation-of-powers concernsâ by subpoenaing
the Secret Service instead of the President for presidential
calendars). Despite the majorityâs skepticism, President Trump
necessarily âcarries the mantle of the Office of the President in
this case.â Maj. Op. 24; cf. In re Lindsey,
158 F.3d 1263, 1286
(D.C. Cir. 1998) (Tatel, J., concurring in part and dissenting in
part) (âBecause the Presidency is tied so tightly to the persona
of its occupant . . . the line between official and personal can
be both elusive and difficult to discern.â). 5
The basic contours of the problem are straightforwardâ
the Committeeâs subpoena seeks information regarding alleged
unlawful actions of the President. The direct conflict between
Congress and the President cannot be evaded by treating this as
an ordinary legislative inquiry involving a subpoena to an
accounting firm. In pursuit of remedial legislation, the
Committee may investigate broadly, but this subpoena goes too
5
As the Department of Justice points out, it is also possible that
judicial resolution would not be necessary if the Committee had
issued the subpoena to the President directly. DOJ Br. 7â8. Instead,
the President and the House would negotiate in the âhurly-burly, the
give and take of the political process between the legislative and the
executive,â likely raising a mix of legal and political arguments and
appealing to the public for support. Executive Privilege - Secrecy in
Government: Hearings Before the Subcomm. on Intergovernmental
Relations of the S. Comm. on Government Operations, 94th Cong.
87 (1975) (statement of Antonin Scalia, Assistant Attây Gen., Office
of Legal Counsel).
11
far because the legislative power cannot target whether the
President violated the law.
II.
The question of whether the House may issue this
subpoena for a legislative purpose presents a serious conflict
between Congress and the President. While the question has
never been squarely addressed by the Supreme Court, Congress
and the executive branch have regularly confronted similar
problems. Accordingly, I start at the beginning. The text and
structure of the Constitution are best read to provide for
impeachment as the exclusive mechanism for reaching the
wrongdoing of the President and other impeachable officials.
The original understanding of Congressâs separate legislative
and impeachment powers, as well as consistent historical
practice since the Founding, confirms that congressional
investigations of the alleged unlawful actions of the President
cannot be pursued through the legislative power. Cf. NLRB v.
Noel Canning,
573 U.S. 513
, 524â26 (2014) (ââ[L]ong settled
and established practice is a consideration of great weight in a
proper interpretation of constitutional provisionsâ regulating
the relationship between Congress and the President.â (quoting
The Pocket Veto Case,
279 U.S. 655, 689
(1929))).
Targeting an individual officer for suspicions of
criminality requires proceeding through the impeachment
power, with its attendant procedural protections and
accountability. The majority claims to recount a âfamiliar taleâ
of congressional subpoenas and investigations, Maj. Op. 65;
however, its story covers only legislative investigations that
involve no allegations of wrongdoing against an impeachable
official. The majorityâs cursory and selective use of history
glosses over important distinctions carefully maintained by all
three branches between Congressâs legislative and judicial
powers of investigation.
12
A.
The text and structure of the Constitution set out with
precision the process for Congress to investigate the unlawful
actions of the Presidentânamely, impeachment by the House
followed by a trial in the Senate. The distinctions between the
legislative and judicial powers of Congress are firmly rooted in
the Constitution and reflect the fundamental differences
between these powers in our system of government. The
original meaning confirms that Congress acts in an exceptional
judicial capacity when exercising impeachment powers.
Investigating unlawful actions by impeachable officials is
outside the legislative power because impeachment provides
the exclusive mechanism for Congress to investigate such
conduct.
Congress is vested with limited and enumerated legislative
powers, and while the power to investigate is not in the text of
the Constitution, it has long been recognized that Congress may
investigate and issue subpoenas necessary and proper to the
exercise of the legislative power. U.S. CONST. art. I, § 8, cl. 18.
As the Court has explained, âthe power of inquiryâwith
process to enforce itâis an essential and appropriate auxiliary
to the legislative function.â McGrain,
273 U.S. at 174
. Such
investigations are part of the legislative power and may extend
no farther than that power permits. See Quinn,
349 U.S. at 161
.
In the United States, however, the legislative power does
not include the exercise of judicial power to determine the guilt
or innocence of individuals. 6 The Constitution prohibits bills
6
By contrast, at the time of the Founding, the British House of
Commons possessed broad powers to âimpeachâ not only officials
but individual citizens, who could be tried by the House of Lords in
a judicial capacity for any criminal offense. 4 William Blackstone,
Commentaries *259â61. As such, Parliament could not only remove
13
of attainder. U.S. CONST. art. I, § 9, cl. 3; art. I, § 10, cl. 1; see
also United States v. Brown,
381 U.S. 437, 442
(1965) (â[T]he
Bill of Attainder Clause was intended not as a narrow, technical
. . . prohibition, but rather as an implementation of the
separation of powers, a general safeguard against legislative
exercise of the judicial function, or more simplyâtrial by
legislature.â). The Framers understood the importance of
prohibiting Congress from turning its substantial powers
against an individual and possessed a âsense of a sharp
necessity to separate the legislative from the judicial power.â
Plaut v. Spendthrift Farm, Inc.,
514 U.S. 211, 219
(1995); see
also Calder v. Bull,
3 U.S. (3 Dall.) 386
, 389 (1798) (reviewing
parliamentary abuses of bills of attainder and noting âthe
Federal and State Legislatures, were prohibited from passing
any bill of attainder; or any ex post facto lawâ to prevent âacts
of violence and injusticeâ against individuals). As
Montesquieu warned, if the judicial powers were âjoined with
the legislative, the life and liberty of the subject would be
exposed to arbitrary control; for the judge would then be the
legislator.â Montesquieu, The Spirit of the Laws 157 (A.
Cohler et al. eds., 1989).
Vested with the power to make the laws, Congress cannot
also execute and adjudicate them. See Fletcher v. Peck,
10 U.S.
(6 Cranch) 87, 136
(1810) (âIt is the peculiar province of the
legislature to prescribe general rules for the government of
society; the application of those rules to individuals in society
an official but also assess a broad range of punishments at the
discretion of âthe wisdom of the peers.â
Id.
at *121â22. Against the
abuses of this practice, the Founders limited the scope of
impeachable offenses and punishments for conviction. See Peter
Hoffer & N.E.H. Hull, Impeachment in America, 1635-1805, at 96â
98 (1984); see also Akhil R. Amar, Americaâs Constitution: A
Biography 199â203 (2005) (describing how the âsystem of federal
impeachment broke decisively with English impeachment practiceâ).
14
would seem to be the duty of other departments.â). Exercising
the legislative power, Congress may enact general, prospective
rules for the whole of society. Yet Congress cannot prosecute
and decide specific cases against individuals. Such powers
properly belong to the executive branch and the independent
judiciaryâa division essential to maintaining fundamental
aspects of our separation of powers and protecting the rights of
individuals accused of illegal actions.
As an exception to this separation, the Constitution confers
upon the House and Senate limited judicial powers over
impeachable officials. The Constitution vests the House of
Representatives with the âsole Power of Impeachment,â U.S.
CONST. art. I, § 2, cl. 5, and the Senate with the âsole Power to
try all Impeachments,â U.S. CONST. art. I, § 3, cl. 6. The
Constitution creates a two-tier system, dividing limited judicial
power between the House and the Senate to target individual
cases of wrongdoing by impeachable officials. These judicial
powers were understood as exceptions to the legislative power
vested in Congress. See Kilbourn, 103 U.S. at 190â91 (noting
impeachment and removal as exceptions to the separation of
powers because they place judicial power in Congress);
Hayburnâs Case,
2 U.S. (2 Dall.) 408
, 410 (1792) (â[N]o
judicial power of any kind appears to be vested [in the
legislature], but the important one relative to impeachments.â).
In the context of an impeachment inquiry, the House
serves as a kind of grand jury, investigating public officials for
misconduct. As Hamilton noted, the âdelicacy and magnitude
of [this] trustâ transforms the House into a âNATIONAL
INQUEST.â The Federalist No. 65, at 338. The Senate acts as
a âcourt for the trial of impeachments,â exercising the âawful
discretion which a court of impeachments must necessarily
have, to doom to honour or to infamy the most confidential and
the most distinguished characters of the community.â Id. at
339. Trial by the Senate in cases of impeachment is part of the
15
âjudicial character of the Senate.â Id. at 337; see also
Jeffersonâs Manual of Parliamentary Practice § 619 (âThe trial,
though it varies in external ceremony, yet differs not in
essentials from criminal prosecutions before inferior courts.â).
The Constitution requires senators trying an impeachment to
be on âOath or Affirmationâ and for the Chief Justice to preside
when the President is tried; conviction requires âtwo thirds of
the Members present.â U.S. CONST. art. I, § 3, cl. 6. The
Constitution refers to âJudgment in Cases of Impeachment.â
U.S. CONST. art. I, § 3, cl. 7.
As an exercise of judicial power, the impeachment process
targets the individual. The Constitutionâs text confirms this
understanding: âno Person shall be convicted,â and âthe Party
convictedâ shall be liable according to the law. U.S. CONST. art.
I, § 3, cls. 6â7. âThe President, Vice President, and all civil
Officers of the United Statesâ are subject to impeachment. U.S.
CONST. art. II, § 4. Article I makes clear that in this role, the
Senate acts as a court trying impeachable offenses and renders
judgment that could result in removal from office and
disqualification from holding any âOffice of honor, Trust, or
Profit under the United States.â U.S. CONST. art. I, § 3, cl. 6.
The impeachable offenses enumerated in the Constitution
specifically target individual wrongdoing, namely âTreason,
Bribery, or other high Crimes and Misdemeanors.â U.S.
CONST. art. II, § 4; see also The Federalist No. 65, at 339
(observing the Senate was the only body with âconfidence
enough in its own situation, to preserve, unawed and
uninfluenced, the necessary impartiality between an individual
accused, and the representatives of the people, his accusersâ).
The Founders treated impeachable offenses as wholly
distinct from the subjects of investigation for legislative
purposes, such as maladministration. The exact phrasing of an
impeachable offense was debated at the Philadelphia
Convention. After the Convention settled on âTreason, or
16
bribery,â George Mason moved to include âmaladministrationâ
as an additional ground for impeachment. 2 Records of the
Federal Convention 550 (Max Farrand ed., 1937). James
Madison objected, arguing that â[s]o vague a term will be
equivalent to a tenure during pleasure of the Senate,â and
Gouverneur Morris argued that â[a]n election of every four
years will prevent maladministration.â Id. Conceding the point,
Mason withdrew âmaladministrationâ and submitted the text
eventually enacted: âother high crimes & misdemeanors.â Id.
Thus, impeachment addresses a public officialâs wrongdoingâ
treason, bribery, and high crimes or misdemeanorsâwhile
problems of general maladministration are left to the political
process.
In addition, impeachment by the House and trial by the
Senate were understood to include constitutional rights
normally afforded to the accused in a criminal trial. After
examining English, colonial, and early constitutional practice,
Justice Story concluded that the common law rights of criminal
defendants apply in the exercise of the impeachment power.
See 3 Joseph Story, Commentaries on the Constitution of the
United States § 796 (1833) (â[I]n trials by impeachment the law
differs not in essentials from criminal prosecutions before
inferior courts. The same rules of evidence, the same legal
notions of crimes and punishments prevail.â); see also 3 Asher
C. Hinds, Hindsâ Precedents of the House of Representatives
§ 2486 (âHindsâ) (âIn the prosecution of an impeachment, such
rules must be observed as are essential to justice; and, if not
exactly the same as those which are practiced in ordinary
courts, they must be analogous, and as nearly similar to them
as forms will permit.â (quoting Op. Attây Gen. of May 9,
1796)).
The Supreme Court has long recognized the enhanced
protections required by impeachmentâs judicial function, even
if such matters are generally not justiciable. See Nixon v.
17
United States,
506 U.S. 224, 238
(1993) (concluding that
judicial review of impeachment procedures would be
inconsistent with the text and structure of the Constitution);
Marshall v. Gordon,
243 U.S. 521, 547
(1917) (noting that
when the congressional contempt power is âtransformed into
judicial authorityâ as when a âcommittee contemplate[es]
impeachment,â the authority becomes âsubject to all the
restrictions and limitations imposed by the Constitutionâ);
Kilbourn,
103 U.S. at 190
(impeachment proceedings assume
âthe same mannerâ and employ the âsame means that courts of
justice can in like casesâ).
Moreover, impeachment and removal ensure
accountability to Congress but are not designed to give
Congress direct control over the executive branch. The
President is the head of a co-equal and independent branch of
government. The impeachment power raised concerns for
Gouverneur Morris and other Framers who feared âthe
prospect of impeachment would make the chief executive
dependent upon the legislature.â Peter Hoffer & N.E.H. Hull,
Impeachment in America, 1635-1805, at 100 (1984); see also
The Federalist No. 65, at 341 (noting the risk of âpersecution
of an intemperate or designing majority in the House of
Representativesâ).
Because of the weighty responsibility of investigating and
trying public officers, âthe Constitution structured
impeachment as a system of national accountability.â Akhil R.
Amar, Americaâs Constitution: A Biography 201 (2005). The
Framers established a mechanism for Congress to hold even the
highest officials accountable, but also required the House to
take responsibility for invoking this power. See 3 Annals of
Cong. 903 (1793) (statement of Rep. Smith) (describing the
âsolemnities and guardsâ the impeachment process offers to
public officers âaccused of a breach of dutyâ); H.R. Rep. No.
93-1305, at 182 (1974) (describing the Houseâs âresponsibility
18
as representatives of the peopleâ in the Nixon impeachment
process). By vesting this visible and solemn power in one
institution, the Constitution forces the House to take
accountability for its actions when investigating the Presidentâs
misconduct. See Michael J. Gerhardt, The Federal
Impeachment Process: A Constitutional and Historical
Analysis 110 (1996) (â[M]embers of Congress seeking
reelection have a political incentive to avoid any abuse of the
impeachment power. . . . [T]he cumbersome nature of the
impeachment process makes it difficult for a faction guided by
base personal or partisan motives to impeach and remove
someone from office.â); Julie R. OâSullivan, The Interaction
Between Impeachment and the Independent Counsel Statute,
86 GEO. L.J. 2193, 2229â30 (1998) (â[E]lectoral accountability
is the ultimate check by which Congressâs abuse of its
otherwise externally unchecked power of impeachment may be
constrained.â).
In light of the text, structure, and original meaning, the
Constitution is best read to provide for impeachment as the
exclusive mechanism for Congress to investigate the
wrongdoing of the President and other impeachable officials.
See Kendall v. United States ex rel. Stokes,
37 U.S. (12 Pet.)
524, 610
(1838) (âThe executive power is vested in a President;
and as far as his powers are derived from the constitution, he is
beyond the reach of any other department, except in the mode
prescribed by the constitution through the impeaching
power.â). It would be wholly inconsistent with this exacting
structure and its explicit safeguards if Congress could target
unlawful actions by impeachable officials simply through its
legislative power, thereby encroaching on the Executive
without the processes, protections, and accountability of
impeachment.
B.
19
Because âthe interpretive questions before us concern the
allocation of power between two elected branches of
Government,â Noel Canning, 573 U.S. at 524, I proceed to
consider the historical practice regarding congressional
investigations of the executive branch and executive officials.
Cf. Zivotofsky,
135 S. Ct. at 2084
(âTo determine whether the
President possesses the exclusive power of recognition the
Court examines the Constitutionâs text and structure, as well as
precedent and history bearing on the question.â). While
historical practice is relevant, it does not alter the original
meaning of the Constitution. See McIntyre v. Ohio Elections
Commân,
514 U.S. 334, 370
(1995) (Thomas, J., concurring in
the judgment) (recognizing the concern with overturning
longstanding state practice, but concluding that âthe historical
evidence from the framing outweighs recent traditionâ).
With respect to Congressâs investigative powers, the
original meaning and historical practice alignâall three
branches have consistently distinguished between
investigations for legislative purposes and investigations
targeting wrongdoing by an impeachable official. Moreover,
the historical evidence demonstrates that Congress often begins
an investigation into the executive branch with general
questions properly pertaining to legislation; however, if an
inquiry turns to suspicions of criminality, Congress moves that
part of the investigation into impeachment or ends the inquiry
into the impeachable official. Thus, even a valid legislative
purpose has never been thought to justify probing specific
accusations of wrongdoing by impeachable officials.
Exercising their independent duty to interpret the Constitution,
the political branches have maintained that impeachment is the
exclusive mechanism for investigating impeachable offenses.
This historical practice reflects and reinforces the
Constitutionâs text, structure, and original meaning, and is
consistent with the Supreme Courtâs precedents.
20
1.
Founding Era practice confirms the Constitutionâs original
meaningâinvestigations of unlawful actions by an
impeachable official cannot proceed through the legislative
power. For instance, in 1793 the House passed a broad
resolution to investigate the administration of the Department
of the Treasury. See 3 Annals of Cong. 835â40 (1793).
Representative William Giles subsequently introduced a string
of resolutions alleging wrongdoing and lawbreaking by
Secretary Alexander Hamilton. Id. at 900 (alleging, inter alia,
â[t]hat the Secretary of the Treasury has violated the lawâ).
Responding to Representative Gilesâs resolution,
Representative William Smith argued that an investigation of
whether âthe Secretary violated a lawâ could not proceed under
the guise of âan investigation of theoretic principles of
Government.â Id. at 901. Instead, the Constitution âdirectsâ
that Congress must confront âgreat public functionaries . . .
accused of a breach of dutyâ through the impeachment process,
with its attendant âsolemnities and guards.â Id. at 903; see also
id. at 903â04 (statement of Rep. Murray); id. at 947â48
(statement of Rep. Boudinot) (â[The Committee] were no
longer acting in a Legislative capacity, but were now exercising
the important office of the grand inquest of the Nation . . . . The
honor and reputation of the officer thus charged . . . required a
steady, uniform, and disinterested examination of every
question from us.â). Representative Gilesâs resolutions were
decisively defeated. See id. at 955â63.
Similarly, in 1796 the House requested from President
George Washington documents and diplomatic
correspondence related to the Jay Treaty and its ratification in
order to determine whether to appropriate the funds necessary
to implement the Treaty. President Washington argued that
because the House could not compel him to disclose the
documents through an exercise of its legislative powers, it
21
could demand the documents only through an exercise of its
impeachment power: âIt does not occur that the inspection of
the papers asked for can be relative to any purpose under the
cognizance of the House of Representatives, except that of an
impeachment; which the resolution has not expressed.â See 5
Annals of Cong. 760â62 (1796). The House passed a resolution
disapproving of President Washingtonâs message, but
eventually appropriated the funds necessary to implement the
Treaty without receiving the papers it demanded from the
President. See id. at 1291.
Moreover, during the early years of the Republic, when the
House sought to target individual, official misconduct, it
proceeded through the impeachment power, not the legislative
power. In the high profile 1805 impeachment of Associate
Justice Samuel Chase, the investigation into his misconduct
proceeded unambiguously under the impeachment power. See
3 Hinds §§ 2342â46. The House specifically defined its role as
that of a grand jury and voted to authorize an impeachment
investigation by a committee vested with subpoena powers. See
id. § 2342. 7
One early impeachment illustrates the line between
general investigation and impeachment particularly well.
During an investigation of the âdisposition of the funds of the
district court,â âthe conduct of the judge of the district had been
somewhat implicated.â 32 Annals of Cong. 1715â16 (1818)
(discussing Judge William P. Van Ness of the Southern District
of New York). The Judiciary Committee thought it improper to
7
Congress conducted such investigations exclusively through the
impeachment power throughout the Founding Era. See 3 Hinds
§§ 2294â2302 (impeachment of Senator William Blount, 1797);
§§ 2319â23 (impeachment of Judge John Pickering, 1803); §§ 2364â
67 (impeachment of Judge James Peck, 1830, highlighting the
importance of protections for the accused before the Senate trial).
22
proceed under the existing resolution and sought specific
authority from the House to transfer from a legislative
investigation to an investigation of the judgeâs âofficial
conduct.â Id. After such authority was granted, the Committee
conducted an impeachment inquiry and found no âground for
the constitutional interposition of the House.â 3 Hinds § 2489.
Ignoring these Founding Era precedents, the majority
touches briefly on investigations for legislative purposes that
concerned only general maladministration. None of the
majorityâs examples involve an allegation of individual
wrongdoing or unlawful activity by an impeachable officer.
Indeed, the majorityâs examples help to demonstrate the
original understanding that such investigations proceed
exclusively through the impeachment power.
The majority begins with the Houseâs 1792 investigation
into the failure of the expedition under General Arthur St. Clair
in the Northwestern Territory. Maj. Op. 11. This investigation
did not single out any particular officer for misconduct; instead,
it was a general investigation into âthe causes of the late defeat
of the army under the command of Major-General St. Clairâ
and associated problems of logistics and supply. 3 Hinds
§ 1725. The investigation did not focus on General St. Clair,
who was in any event not an impeachable officer because the
impeachment power extends only to âcivil Officers.â U.S.
CONST. art. II, § 4. Rather, the House sought to study the
problems of execution in the expedition as a whole.
Furthermore, at the Washington Administrationâs urging,
Congress amended its resolution of inquiry to disclaim any
intention of seeking private papers. See Thomas Jefferson,
Memoranda of Consultations with the President (11 Mar. to 9
Apr. 1792); 3 Hinds § 1726 (calling for papers only âof a public
natureâ). Contrast this general investigation with the
investigation of Secretary Hamilton: when the inquiry began to
focus on whether Hamilton had violated the law, the House
23
insisted such inquiries could not proceed through the ongoing
legislative investigation. The investigation of the St. Clair
expedition never turned toward an impeachable official, and
therefore remained within Congressâs legislative powers. See 3
Annals of Cong. 490â94 (1792).
Similarly, the majorityâs reference to Congressâs
investigation of the burning of Washington in 1814 offers a
useful example of the line maintained throughout the Founding
Era between general investigation and impeachment. Maj. Op.
12. This legislative investigation focused on the general causes
of the military disaster without targeting any individual officer.
See Herman J. Viola, âThe Burning of Washington, 1814,â in
Congress Investigates: A Critical and Documentary History
41â45 (Roger A. Bruns et al. eds., 2011). The majorityâs
Founding Era precedents thus buttress the rule that
investigations into the causes of maladministration may
proceed under the legislative power; however, the legislative
power cannot support an investigation into whether an
impeachable official has violated the laws. Such congressional
inquiry must proceed, if at all, through the impeachment
process.
2.
The Founding Era practice continued into the Jacksonian
Era. For example, in 1832, Representative John Quincy Adams
defeated a resolution seeking to conduct a legislative
investigation into charges of public misconduct against a
federal land commissioner. The matter was referred to the
House Judiciary Committee after Adams argued that â[t]he
resolution contained a matter of charge against a public officer.
Prima facie it would lead to an expectation of an impeachment.
It was alike due to the character of the officer in question, and
to the reputation of the House, to investigate the matter
solemnly and effectually.â 8 Reg. Deb. 2198â99 (1832).
24
In 1836, the House appointed a select committee to
conduct a broad investigation of all departments of the Jackson
Administration, empowering the committee to call for persons
and papers. 3 Hinds § 1737. When the Committeeâs
investigation focused on particular officials, President Andrew
Jackson intervened in protest of the Committeeâs âillegal and
unconstitutional calls for information.â Id. The President
argued that he would fully cooperate with an investigation
conducted âin the accustomed mode,â impeachment, but would
not subject himself to âthe establishment of a Spanish
inquisition.â Letter from President Andrew Jackson to Rep.
Henry A. Wise, Chairman, H. Select Comm. (Jan. 26, 1837).
Chairman Wise resisted and submitted a resolution disagreeing
with the doctrine expounded by the President, providing a rare
contrary understanding of the scope of the legislative power to
investigate. But the Chairmanâs position was soundly defeated
by his committee, which issued a report endorsing President
Jacksonâs position and noting that the investigation amounted
to charges âagainst the individual officers for âcorrupt
violationâ of existing laws.â 3 Hinds § 1740. The Committee
further concluded that âthe only constitutional power under
which the House of Representatives, as a coordinate branch of
the Government, could constitute a committee to inquire into
alleged âcorrupt violations of dutyâ by another coordinate
branch of the Government (the Executive) is the âpower of
impeachment.ââ Id.
Indeed, Congress reaffirmed that it could not censure
President Jackson outside the context of impeachment. After
initially voting to censure, the Senate later expunged the
censure from the record on the grounds that âPresident Jackson
was adjudged and pronounced to be guilty of an impeachable
offence, and a stigma placed upon him, as a violator of his oath
of office, and of the laws and constitution which he was sworn
to preserve, protect, and defend, without going through the
forms of an impeachment, and without allowing him the
25
benefits of a trial, or the means of defence.â 12 Reg. Deb. 878
(1836). 8
Presidents James Polk, Ulysses Grant, and Grover
Cleveland continued to vigorously defend the line between
legislative and impeachment investigations, maintaining the
latter included legal protections for the officer accused. In
1846, the House formed a select committee to investigate the
possibility of impeaching Daniel Webster, the former Secretary
of State (and then-Senator), with the power to send for papers.
Cong. Globe, 29th Cong., 1st Sess. 945 (1846). While the
Select Committee conducted its investigation, the House
debated a resolution calling for the State Department to
produce documents tending to incriminate Webster. Id. at 636.
Some members argued that only the duly authorized Select
Committee could make such a request. Id. at 636â43.
Representative Adams maintained that an impeachable official
âmay not be reached by side-blows.â Id. at 641. The resolution
passed, but President Polk refused to turn over the requested
documents because the resolution did not clearly spell out
8
The majority asserts that âPresidents, too, have often been the
subject of Congressâs legislative investigations.â Maj. Op. 15. Its one
example from the Jacksonian Era, however, fails to support its
conclusion. The majority refers to the select committee appointed to
investigate former Representative Samuel Houston and whether he
received money from the Secretary of War with the Presidentâs
knowledge. Id. at 15â16. Far from an investigation of the Presidentâs
wrongdoing, this inquiry was part of a broader investigation of
Houstonâs assault on a member of Congress for statements made on
the floor. The Committee Report never mentions the President, nor
does it indicate the Committee took any steps to investigate the
President. See 2 Hinds §§ 1616â19; 8 Reg. Deb. 2591â92 (1832)
(context of inquiry); id. at 2595 (then-Rep. Polk proposing inquiry);
id. at 2853 (need for resolution was to determine veracity of
statement made on floor that provoked Houstonâs attack); id. at
3022â33 (resolution forming select committee).
26
Congressâs intent to obtain the documents pursuant to its
impeachment power.
President Polk emphasized, however, that he would fully
cooperate with a duly authorized impeachment investigation.
See 2 Hinds § 1561 (â[T]he power of impeachment belongs to
the House of Representatives, and that with a view to the
exercise of this power, that House has the right to investigate
the conduct of all public officers under the government.â
(quoting President James K. Polk, Message to the House of
Representatives, April 20, 1846)). The Select Committee
âentirely concur[red] with the President of the United Statesâ
and his decision not to âcommunicate or make public, except
with a view to an impeachmentâ the document sought. Cong.
Globe, 29th Cong. 1st Sess. 946â48, 988 (1846); see also H.R.
Rep. No. 29-684, at 4 (1846). The House approved the Select
Committeeâs proposal and took no further action on the matter.
See 2 George Ticknor Curtis, The Life of Daniel Webster 283
(1870). President Polk and the House agreed that the House
may call for documents seeking evidence of a public officerâs
wrongdoing only pursuant to an impeachment investigation. 9
This issue was raised again by the 1860 House Select
Committee to Investigate Alleged Corruptions in Government
(âCovode Committeeâ) when it investigated âwhether the
President of the United States, or any other officer of the
Government, has, by money, patronage, or other improper
means, sought to influence the action of Congress.â
9
Presidents adhered to this position throughout the Nineteenth
Century without pushback from Congress. See, e.g., 17 Cong. Rec.
1903 (1886) (statement of President Cleveland) (âI am also led
unequivocally to dispute the right of the Senate, by the aid of any
documents whatever, or in any way save through the judicial process
of trial on impeachment, to review or reverse the acts of the
Executive in the suspension . . . of Federal officials.â).
27
2 Hinds § 1596. President Buchanan protested the attempt to
circumvent the impeachment process, noting that while the
House has the âwholesome prerogativeâ of examining
administration of the departments of the government:
Should [the House] find reason to believe in the
course of their examinations that any grave
offense had been committed by the
President . . . rendering it proper, in their
judgment, to resort to impeachment, their
course would be plain. They would then transfer
the question from their legislative to their
accusatory jurisdiction, and take care that . . .
the accused should enjoy the benefit of cross-
examining the witnesses and all the other
safeguards with which the Constitution
surrounds every American citizen.
President James Buchanan, Addendum to March 28 Message
to Congress (June 22, 1860). The House asserted its power to
investigate generally, but issued no subpoena seeking evidence
of unlawful conduct by the President. See 2 Hinds § 1596; 3
Hinds § 1683.
Even the Civil War and Reconstruction Congresses, which
strongly asserted congressional power, adhered to the
distinction between investigations for legislative purposes and
investigations of illegal conduct by an impeachable official.
For example, the Joint Committee on the Conduct of the War
harangued non-impeachable military officers and articulated
broad theories of congressional power, but never issued
compulsory process to the President or sought to determine if
particular civil officers violated the law. See generally
Elizabeth Joan Doyle, âThe Conduct of the Civil War, 1861â
65â in Congress Investigates at 160â89. The majorityâs
reference to the Harpers Ferry investigation, Maj. Op. 12,
similarly misses the mark because that investigation never
28
focused on the unlawful conduct of an impeachable official, but
instead sought facts about the raid generally in order to
determine whether legislation was necessary. See Roger A.
Bruns, âJohn Brownâs Raid on Harpers Ferry, 1859â60â in
Congress Investigates at 127â28.
The impeachment of President Andrew Johnson
demonstrates the strength of the rule against using legislative
inquiries to circumvent the impeachment process. The House
rebuffed early attempts to initiate an inquiry into President
Johnsonâs wrongdoing under the auspices of an investigation
into the executive branchâs administration. See Michael Les
Benedict, âThe Impeachment of President Andrew Johnson,
1867â68â in Congress Investigates at 263â64. While a
minority of representatives would have favored using the
legislative power to address President Johnsonâs abuses, âthe
tedious job of taking testimony and searching through
documentsâ did not begin until after a formal impeachment
process was initiated. Id.; see also 3 Hinds §§ 2399â2400.
President Grant maintained the line against aggressive
congressional requests in the midst of Reconstruction. The
House requested detailed information regarding President
Grantâs whereabouts while performing executive functions to
determine whether the President was in violation of the Act of
16 July 1790, which established the District of Columbia as the
seat of government. See 3 Hinds § 1889. President Grant
refused to comply with the request on separation of powers
grounds. See 4 Cong. Rec. 2999â3000 (1876). As he explained,
the investigation did not âbelong to the province of legislation,â
nor did it bear on any impeachment proceeding. Id. He
therefore felt obliged under the Constitution to refuse the
request in order to prevent âencroachments upon the proper
powers of the office which the people of the United States have
confided to me.â Id.; see also 3 Hinds § 1889 (âWhat the House
of Representatives may require as a right in its demand upon
29
the Executive for information is limited to what is necessary
for the proper discharge of its powers of legislation or of
impeachment.â). The House took no further action. See 3
Hinds § 1889.
In the 1879 investigation of United States Consul George
Seward, the House again reaffirmed the separation between
legislative and impeachment investigations. Acting under its
legislative authority, the House Committee on Expenditures in
the State Department attempted to hold Seward in contempt for
failing to comply with a subpoena seeking certain official
papers. Id. § 1699. Seward argued that the Committee was not
authorized to conduct an impeachment inquiry and could not
investigate his alleged misconduct pursuant to the legislative
power. Agreeing with Seward, the House referred the matter to
the Judiciary Committee. Id. The Judiciary Committeeâs report
âdistinguished[ed] this case from the case of an ordinary
investigation for legislative purposes,â and held that the
Committee on Expenditures had acted beyond its legislative
powers by attempting to circumvent the protections of the
impeachment process:
The Executive is as independent of either House
of Congress as either House of Congress is
independent of him, and they cannot call for the
records of his action or the action of his officers
against his consent, any more than he can call
for any of the journals or records of the House
or Senate.
Id. §§ 1700, 2514. The Judiciary Committee maintained that
the House had no right to issue compulsory process against the
executive branch outside the impeachment process. 10
10
The Judiciary Committee recognized that Seward could not be
compelled to produce either private or public papers. His private
30
3.
Continuing into the Twentieth Century, presidents have
been vigilant against congressional attempts to circumvent the
impeachment process. In 1909, the Senate attempted to
subpoena documents from the Attorney General regarding the
Department of Justiceâs failure to act against U.S. Steel
Corporation. President Theodore Roosevelt refused to comply,
so the Senate subpoenaed the Commissioner of Corporations,
an officer within the Department of Commerce and Labor, for
the same documents. See Commissioner of Corporationsâ
Right of Senate Committee to Ask for Information, 27 Op. Attây
Gen. 150 (1909). After ordering the Commissioner to withhold
the documents, the President informed the Senate that he would
turn over the documents only if the Senate was acting in its
capacity as an impeachment court. See History of Refusals by
Executive Branch Officials to Provide Information Demanded
by Congress,
6 Op. O.L.C. 751
, 769 (1982) (citing Edward S.
Corwin, The President: Office and Powers 429â30 (1957)).
The Senate took no further action. 11
Investigations of Secretary of the Treasury Andrew
Mellon similarly demonstrate the executive branchâs resistance
papers were protected by the right against self-incrimination and his
title to his private property, which could not be collaterally stripped
by Congress. As for public papers, the Committee recognized them
as within the province of executive privilege. 3 Hinds §§ 1700, 2514.
11
President Rooseveltâs handling of the matter was recorded by his
personal aide: âI told [Senator Clark] that the Senate should not have
those papers and that [the Commissioner] turned them over to me.
The only way the Senate or the committee can get those papers now
is through my impeachment.â Archibald Willingham Butt &
Lawrence F. Abbott, The Letters of Archie Butt, Personal Aide to
President Roosevelt 305â06 (1924).
31
to releasing documents demanded for legislative purposes in
relation to an impeachable officialâs wrongdoing. In 1925,
President Calvin Coolidge refused to hand over Mellonâs tax
returns to a Senate committee tasked with a legislative
investigation of the Bureau of Internal Revenue, noting that
âthe attack which is being made on the Treasury Department
goes beyond any . . . legitimate requirements.â 65 Cong. Rec.
6087â88 (1924). 12 In 1929, the Senate Judiciary Committee
investigated Mellonâs alleged violations of financial conflicts
of interest laws. The Committee determined it did not have the
power to issue compulsory process because âit would be a
judicial inquiry and [] not in aid of any legislative function of
the Senateâ and could be reached only through âduly instated
criminal proceedings or impeachment proceedings originating
in the House of Representatives.â S. Rep. No. 71-7, at 3 (1929).
In 1932, the House Judiciary Committee was authorized to
conduct a formal impeachment investigation, with subpoena
power, into the same allegations of Mellonâs alleged
lawbreaking. 3 Deschlerâs Precedents, Ch. 14, § 14.1
(âDeschlerâ). 13
12
Congress did not attempt to enforce the subpoena in court but
instead engaged in negotiations with the executive branch, which
resulted in a compromise and Congress passing legislation regarding
the disclosure of tax returns. See George K. Yin, James Couzens,
Andrew Mellon, the âGreatest Tax Suit in the History of the World,â
and Creation of the Joint Committee on Taxation and Its Staff, 66
TAX L. REV. 787, 857 (2013).
13
The majorityâs citation to the Pearl Harbor investigation, Maj. Op.
16, is of limited value, as President Franklin Roosevelt passed away
on April 12, 1945, nearly five months before Congress authorized
the investigation on September 6, 1945, placing the former President
beyond the reach of Congressâs subpoena power. See Wayne
Thompson, âThe Pearl Harbor Committee, 1945â46â in Congress
Investigates at 670.
32
4.
In the modern era, Congress has investigated allegations
of illegal conduct by Presidents Richard Nixon, Ronald
Reagan, and Bill Clinton. The majority cites these as examples
of presidents being âthe subject of Congressâs legislative
investigations.â Maj. Op. 16â18. Contrary to the majorityâs
characterization, these investigations reinforce that Congress
may launch legislative investigations into administration
generally, including the Presidentâs involvement in
discretionary decisionmaking and purported scandals, but
when wrongdoing by the President is targeted or uncovered the
House transfers allegations of such conduct to an impeachment
inquiry.
For example, the congressional inquiry into the break-in at
the Democratic National Committeeâs headquarters in the
Watergate Hotel began with the creation of a Senate Select
Committee to investigate the incident and determine whether
new legislation on electoral safeguards might be needed. See
S. Res. 60, 93d Cong. § 1(a) (1973). The inquiry centered on
whether any actionsââillegal, improper, or unethicalââtook
place, but the inquiry did not target any specific persons. Id.
President Nixon initially rebuffed the Select Committeeâs
informal requests for information. See Letter from President
Richard M. Nixon to Sen. Sam J. Ervin Jr., Chairman, Sen.
Select Comm. on Presidential Campaign Activities (July 6,
1973). The Committee, acting pursuant to its legislative power,
later issued two subpoenas to the President. Those subpoenas
were eventually quashed by this court. See Senate Select, 498
F.2d at 733. 14
14
When the Supreme Court upheld the grand jury request for
President Nixonâs tapes, it specifically confined its decision to the
context of criminal investigations and noted it was not concerned
33
While litigation was pending, the House Judiciary
Committee determined that the evidence gathered through both
the Senate and special counsel investigations had shifted the
focus so heavily toward allegations of wrongdoing by President
Nixon that a formal impeachment investigation was necessary
to proceed any further:
We have reached the point when it is important
that the House explicitly confirm our
responsibility under the Constitution.
We are asking the House of Representatives, by
this resolution, to authorize and direct the
Committee on the Judiciary to investigate the
conduct of the President of the United States, to
determine whether or not evidence exists that
the President is responsible for any acts that in
the contemplation of the Constitution are
grounds for impeachment . . . .
[W]e are asking the House to give the Judiciary
Committee the power of subpoena in its
investigations. Such a resolution has always
been passed by the House. . . . It is a necessary
step if we are to meet our obligations.
3 Deschler Ch. 14, § 6.2. Only after the House passed a
resolution explicitly invoking its authority under the
impeachment power did the Judiciary Committee subpoena the
President. See H.R. Res. 803, 93d Cong. (1974); H.R. Rep. No.
93-1305, at 6 (1974).
The House Judiciary Committee took responsibility for
commencing an impeachment investigation and thereafter
with how these issues might be resolved in the context of
âcongressional demands for information.â United States v. Nixon,
418 U.S. 683
, 712 n.19 (1974).
34
accorded robust procedural protections to ensure that
documents obtained in the course of that process remained
confidential. H.R. Rep. No. 93-1305, at 8â9. The Committee
also determined that the President must comply only with
subpoenas issued ârelative to the impeachment inquiry.â 3
Deschler Ch. 14, § 6.12. Notably, one of the grounds in the
resulting articles of impeachment was President Nixonâs
failure to comply with subpoenas, but only those issued after
formal authorization of the impeachment investigation. Id.
§ 15.13. The majority neglects this institutional history and
focuses only on the Select Committeeâs unsuccessful attempt
to subpoena the President for legislative purposes. Maj. Op.
17â18. In the 1970s, as in the 1790s, the House recognized the
importance of invoking the impeachment power when an
investigation shifts from a legislative inquiry to an
investigation of the illegal action of an impeachable official.
Regarding the Iran-Contra Affair in 1987, the majority
asserts that the House committee established to inquire into
illegal arms sales to Iran to finance Nicaraguan rebels sought
to âinvestigate . . . the role of the Presidentâ in those events. Id.
at 16. This misrepresents the broad scope of the investigation,
which inquired into whether and how the National Security
Council staff and other agency officials were involved. The
House resolution forming the Select Committee to Investigate
Covert Arms Transactions with Iran refers to the President only
in relation to assessing the need for legislation regarding
âauthorization and supervision or lack thereof of the matters in
this section by the President and other White House personnel.â
H.R. Res. 12, 100th Cong. § 1(e) (1987). The corresponding
Senate resolution does not mention the President at all. See S.
Res. 23, 100th Cong. (1987). Reflecting the general focus on
the process of national security decisionmaking, the joint report
issued by the House and Senate select committees sought to
âexplain what happened in the Iran-Contra Affairâ rather than
target the actions of any individual official. H.R. Rep. No. 100-
35
433, at xvâxvi (1987). The Committees obtained over one
million pages of documents, in part through subpoenas, but
only accessed the Presidentâs personal papers through his
voluntary cooperation.
Similarly, the majority mischaracterizes the lessons of
Congressâs investigation of the Whitewater Development
Corporation and the eventual impeachment trial of President
Clinton. Congressional involvement began several years after
a United States Attorney forwarded a criminal investigation of
the failure of Madison Guaranty Savings and Loan Association
to the Department of Justice and, ultimately, an independent
counsel. From 1994 to 1998, various House and Senate
committees gathered facts on Madison Guarantyâs failure and
whether agencies and administration officials cooperated with
the independent counsel. See S. Res. 120, 104th Cong. (1995).
The committees investigated with a wide lens, but stopped well
short of targeting offenses by particular officers. See, e.g., S.
Rep. No. 104-191, at 1â3 (1995). Then-Governor Clintonâs
involvement in Whitewater was parsed in relation to public
ethics, good governance, and the regulation of financial
institutions. See The Failure of Madison Guaranty Savings and
Loan Association and Related Matters: Hearing Before the H.
Comm. on Banking and Fin. Servs., 104th Cong. 1â5 (1995)
(opening statement of Rep. James A. Leach, Chairman)
(purpose of Whitewater hearings was to âshed light on the
character of modern political leadership rather than simply
spotlight flaws in a particular leader; . . . [and] to draw lessons
for oversight of our banking laws rather than simply critique
what went wrong with one institutionâ). While the President
received subpoenas from the independent counsel, other
federal investigators, and a federal grand jury, the majority
points to no examples of either house of Congress issuing a
subpoena to the President prior to impeachment.
36
Once President Clintonâs alleged misconduct became the
target, the House, citing much of the history discussed above,
formally invoked the impeachment power. See H.R. Rep. No.
105-795, at 24 (1998) (âBecause impeachment is delegated
solely to the House of Representatives by the Constitution, the
full House of Representatives should be involved in critical
decision making regarding various stages of impeachment.â).
The House proceeded to a full floor vote to authorize an
impeachment inquiry. See H.R. Res. 581, 105th Cong. (1998)
(authorizing the Judiciary Committee to subpoena persons and
things).
The House also declined to issue a censure resolution
because it would circumvent the Impeachment and Bill of
Attainder Clauses. See H.R. Rep. No. 105-830, at 137 (1998)
(â[F]or the President or any other civil officer, censure as a
shaming punishment by the legislature is precluded by the
Constitution, since the impeachment provisions permit
Congress only to remove an officer . . . and disqualify him from
office. Not only would [censure] undermine the separation of
powers by punishing the President . . . in a manner other than
expressly provided for in the Constitution, but it would violate
the Constitutionâs prohibition on Bills of Attainder.â).
***
The text, structure, and original meaning of the
Constitution are best understood to provide for impeachment
as the exclusive mechanism for Congress to investigate the
illegal conduct of the President and other impeachable
officials. The majority presents no evidence from the
Constitution, our cases, or the consistent interpretation of the
political branches to refute these conclusions. From the
Founding to the present, interactions between the political
branches demonstrate a consistent practice that confirms the
original meaning regarding the separation of the legislative and
judicial powers of the House. The Constitution and our history
37
reinforce several principles. First, the House cannot investigate
the illegal conduct of an impeachable officer pursuant to the
legislative power. Second, the investigation of the illegal
conduct of an impeachable officer can be pursued only under
the impeachment power, which transforms the House from a
legislative body into the grand inquest of the nation and affords
procedural and constitutional protections to the accused. Third,
the House may not circumvent the weighty accountability of
the impeachment process simply by proceeding through a
legislative investigation.
III.
With these constitutional and historical principles as
guideposts, I reach the question at hand: whether the
Committeeâs subpoena is a valid exercise of the legislative
power. I examine the subpoena and conclude that it seeks to
investigate illegal conduct of the President by reconstructing
past actions in connection with alleged violations of ethics laws
and the Emoluments Clauses. Such an inquiry exceeds
Congressâs legislative power. The remedial legislative
purposes offered by the Committee might authorize any
number of other investigations, but cannot authorize this
subpoena, which seeks to determine whether the President
violated the law. Moreover, this subpoena represents an
unprecedented assertion of legislative power and is readily
distinguished from our previous cases. Neither the
Constitution, nor longstanding interpretation by all three
branches, supports the majorityâs conclusion, which upholdsâ
for the first timeâa targeted investigation of the Presidentâs
alleged unlawful conduct under the legislative power.
A.
As the above history makes clear, the Houseâs legislative
and judicial powers are wholly distinct and the House cannot
target conduct that could constitute a high crime or
38
misdemeanor through the legislative power. Discerning the line
between the legislative and impeachment powers does not
require a search for the Committeeâs motives because the
Committee has emphasized repeatedly and candidly its interest
in investigating allegations of illegal conduct by the President.
In general, courts properly refrain from questioning legislative
motive when assessing the legitimacy of congressional
investigations, accord Maj. Op. 22, but this does not excuse us
from the judicial duty to assure Congress is acting âin
pursuance of its constitutional power.â Barenblatt v. United
States,
360 U.S. 109, 132
(1959); see also Eastland, 421 U.S.
at 508â09 (upholding subpoenas âabout a subject on which
legislation may be hadâ); Watkins,
354 U.S. at 200
(â[M]otives
alone would not vitiate an investigation . . . if that assemblyâs
legislative purpose is being served.â). An inquiry into motive
involves looking behind the stated reasons for a Committeeâs
actions. In the Committeeâs investigation, however, the
âsuspicions of criminalityâ are quite clearly articulated in the
subpoena, the Cummings Memorandum, and other documents:
the Committee seeks evidence of alleged unlawful actions by
the President. See Shelton,
404 F.2d at 1297
(noting that
sources for determining â[t]he object of the particular inquiryâ
include âthe resolution of the Congress authorizing the
inquiry,â âthe opening statement of the Chairman,â and
âstatements of the members of the committeeâ (citing Watkins,
354 U.S. at 209
)); see also Barenblatt,
360 U.S. at 117
(â[T]he
nature of the proceedings themselves, might sometimes make
the topic (under inquiry) clear.â (quoting Watkins,
354 U.S. at
209
)).
First, and most overtly, the subpoena seeks to uncover
âwhether the President may have engaged in illegal conduct
before and during his tenure in office.â Cummings
Memorandum at 4. This inquiry relates in part to unofficial
wrongdoingâi.e., events that occurred before President
Trumpâs tenure in officeâbut also to actions during his tenure
39
in office. The investigation specifically targets the President. It
is not about administration of the laws generally or the
Presidentâs incidental involvement in or knowledge of any
alleged unlawful activity within the executive branch. Instead
the topics of investigation exclusively focus on the Presidentâs
possible engagement in âillegal conduct.â
Second, the subpoena seeks to help the Committee
understand âwhether [the President] has undisclosed conflicts
of interest that may impair his ability to make impartial policy
decisions.â Id.; see also Appellee Br. 32 (âThese documents
may illuminate whether and to what extent [President] Trump
misrepresented his liabilities on federal disclosure forms and
has undisclosed conflicts of interest.â). Again, this inquiry
seeks to uncover alleged wrongdoingâundisclosed conflicts
of interest may violate the statutory reporting requirements
applicable to the President. See Appellee Br. 33 (â[E]xposing
conflicts of interest is one of the core objectives of the Ethics
in Government Act.â (quoting Trump v. Comm. on Oversight
& Reform,
380 F. Supp. 3d 76, 95
(D.D.C. 2019))).
Third, the subpoena seeks to investigate âwhether [the
President] is complying with the Emoluments Clauses of the
Constitution.â Cummings Memorandum at 4; see also
Appellee Br. 34â35 (discussing â[t]he Oversight Committeeâs
related investigations into [President] Trumpâs potential
violations of the Emoluments Clausesâ). On the Committeeâs
own terms, it is investigating whether the President is in
violation of the constitutional bar on public officials
âaccept[ing] . . . any present, Emolument, Office, or Title.â
U.S. CONST. art. I, § 9, cl. 8 (Foreign Emoluments Clause); see
also U.S. CONST. art. II, § 1, cl. 7 (Domestic Emoluments
Clause). Quite simply the Committee seeks information about
whether the President is violating the Constitution.
Fourth, the Committee seeks to inquire about âwhether
[the President] has accurately reported his finances to the
40
Office of Government Ethics and other federal entities.â
Cummings Memorandum at 4; see also Appellee Br. 31 (â[The
Committeeâs] investigations include . . . whether [President]
Trump . . . submitted inaccurate financial disclosure forms to
the Ethics Office.â). Again, the Committee seeks to uncover
whether the President has violated the law in his official
capacityânamely, the Ethics in Government Act of 1978, 5
U.S.C. app. 4 § 101 et seq., which imposes financial disclosure
requirements on the President. The Committeeâs jurisdiction
includes the authority to conduct oversight of the Office of
Government Ethics and how it implements various ethics
requirements for federal officials. See Letter from Appellee
Regarding Oral Argument Matter at 3â4 (July 16, 2019)
(asserting that the Oversight Committee has jurisdiction over
the Ethics in Government Act under House Rule X, cl. 1(n)(1)).
Yet this particular inquiry is not about the administration of the
Office of Government Ethics or of the laws it administers, but
rather about reconstructing suspected violations of ethics laws
by the Chief Executive. The Committee seeks information
about past transactions related to the Presidentâs financial
reportingâwhich, if found inaccurate or incomplete, may
carry civil and criminal penalties. See 5 U.S.C. app. 4 § 104(a).
The four inquiries stated in the Cummings Memorandum
are more than political flourishâthey unambiguously set out
the nature of this investigation. These inquiries are repeated
throughout statements and letters of the Chairman on behalf of
the Committee. See, e.g., Letter from Rep. Elijah E.
Cummings, Chairman, H. Comm. on Oversight and Reform, to
Pat Cipollone, Counsel to the President (Jan. 8, 2019) (request
for âdocuments related to President Trumpâs reporting of debts
and payments to his personal attorney, Michael Cohenâ); Letter
from Rep. Elijah E. Cummings, Chairman, H. Comm. on
Oversight and Reform, to Emory A. Rounds III, Director of
Office of Govât Ethics (Jan. 22, 2019) (request for âdocuments
relating to President Donald Trumpâs reporting of debts and
41
payments to his personal attorney, Michael Cohen, to silence
women alleging extramarital affairsâ); Letter from Rep. Elijah
E. Cummings, Chairman, H. Comm. on Oversight and Reform,
to Pat Cipollone, Counsel to the President (Feb. 15, 2019)
(demanding answers to âsignificant questions about why some
of the Presidentâs closest advisors made [] false claims [about
alleged payments] and the extent to which they too were acting
at the direction of, or in coordination with, the Presidentâ);
Letter from Rep. Elijah E. Cummings, Chairman, H. Comm.
on Oversight and Reform, to Victor Wahba, Chairman and
Chief Executive Officer, Mazars USA, LLP (Mar. 20, 2019)
(request for documents citing accusation by Cohen that
âPresident Trump changed the estimated value of his assets and
liabilities on financial statements . . . including inflating or
deflating the value of assets depending on the purpose for
which he intended to use the statementsâ). The Cummings
Memorandum also relies on the February 27, 2019, hearing
testimony of Michael Cohen, Cummings Memorandum at 1â2,
during which the Chairman and Oversight Committee
members repeatedly invoked allegations of criminality by the
President. See Appellant Br. 7â8 (collecting statements from
Cohen hearing). In this subpoena, the Committee has made
clear that it seeks to investigate illegal conduct of the President.
Indeed, the majority acknowledges that the Committee has an
âinterest in determining whether and how illegal conduct has
occurred.â Maj. Op. 30.
The subpoena itself focuses on information that closely
tracks the Committeeâs stated object of investigating illegal
conduct. It seeks, âwith respect to Donald J. Trumpâ and his
organizations, â[a]ll memoranda, notes, and communicationsâ
and â[a]ll underlying, supporting, or source documents and
recordsâ relating to multiple categories of financial statements
going back to 2011, as well as âall engagement agreements or
contractsâ âwithout regard to time.â In addition, the subpoena
specifically demands âall communicationsâ between President
42
Trump and his accountants and âall communications related toâ
any âpotential concernsâ that President Trumpâs records âwere
incomplete, inaccurate, or otherwise unsatisfactory.â
The subpoena thus seeks to recreate, in exhaustive detail,
the exact processes, discussions, and agreements that went into
preparing the Presidentâs financial records over a multi-year
period in order to determine whether there is anything
misleading or problematic in those records. Such requests are
akin to a criminal grand jury subpoena, designed to âinquire
into all information that might possibly bear on [the]
investigation until it has identified an offense or has satisfied
itself that none has occurred.â United States v. R. Enters., Inc.,
498 U.S. 292, 297
(1991). By contrast, âlegislative judgments
normally depend more on the predicted consequences of
proposed legislative actions . . . than on precise reconstruction
of past events.â Senate Select, 498 F.2d at 732.
Moreover, the Committeeâs litigating position in this case
continues to emphasize the importance of the four inquiries,
each of which target the Presidentâs alleged wrongdoing and
potential violations of statutes and the Constitution: âThe
Oversight Committee is investigating whether [President]
Trump inaccurately represented liabilities on his statutorily
mandated financial disclosures, impermissibly benefited from
a lease with a government agency, and violated the
Constitution.â Appellee Br. 44; see also id. at 8â17, 21, 22â23,
31â35, 42, 44â45. Thus, we need not peer behind the curtain to
find the Committeeâs suspicions of wrongdoingâthe
Committee has explicitly and consistently avowed the purpose
of investigating alleged illegal activities of the President.
The Committee also offers a legislative purpose. The
Cummings Memorandum concludes with the statement that
â[t]he Committeeâs interest in these matters informs [the
Committeeâs] review of multiple laws and legislative proposals
under [its] jurisdiction.â Cummings Memorandum at 4; see
43
also Letter from Rep. Elijah E. Cummings, Chairman, H.
Comm. on Oversight and Reform, to Pat Cipollone, Counsel to
the President (Feb. 15, 2019) (âCongress has investigated how
existing laws are being implemented and whether changes to
the laws are necessary.â). Thus, even though the legislative
purpose appears in a single sentence, the Committee states a
double purposeâto investigate âcriminal conduct by
[President] Trumpâ and also to pursue remedial legislation
relating to government ethics. Appellee Br. 44.
Given the broad power to investigate in aid of legislation,
remedial legislative purposes will often be sufficient to uphold
an investigation and accompanying subpoena. See Quinn, 349
U.S. at 160â61 (investigative power co-extensive with
legislative power). The majority finds the Committeeâs
assertion of a legislative purpose sufficient because â[s]uch an
âexpress avowal of the [Committeeâs] objectâ offers strong
evidence of the Committeeâs legislative purpose.â Maj. Op. 26
(quoting McGrain,
273 U.S. at 178
). âThe Committeeâs interest
in alleged misconduct, therefore, is in direct furtherance of its
legislative purpose.â Id. at 31. In other words, the majority
acknowledges that the Committee seeks to investigate illegal
conduct of the President, but then states it is âeven more
importantâ that the Committee is seeking to âreview multiple
laws and legislative proposals under [its] jurisdiction.â Id. at 26
(quoting Cummings Memorandum at 4). Because the
Constitution provides only one way for Congress to investigate
illegal conduct by the President, the mere statement of a
legislative purpose is not âmore importantâ when a committee
also plainly states its intent to investigate such conduct. The
legislative power cannot support this subpoena.
The majority ignores the essential constitutional
distinction between the different investigative powers of
Congress and turns longstanding practice on its head by
concluding dismissively that âwe can easily reject the
44
suggestion that this rationale [of investigating whether the
âPresident may have engaged in illegal conductâ] spoils the
Committeeâs otherwise valid legislative inquiry.â Id. at 29. The
valid legislative inquiry is not entirely spoiledâthe
Committeeâs inquiry into legislative proposals may continue in
any number of legitimate directions. Yet the Committeeâs
specific investigation targeting the President, if it is to
continue, may be pursued only through impeachment. Since the
Republicâs beginning, the President, Congress, and the courts
have recognized that when Congress seeks to investigate
individual suspicions of criminality against the President (or
other impeachable officials), it cannot rely on its legislative
powers. The legislative power being more general and
expansive, it cannot trump, so to speak, the more specific
impeachment power, which is necessary for an investigation of
the illegal conduct of the President.
B.
This is the first time a court has recognized that a
congressional investigation pertains to âwhether and how
illegal conduct has occurred,â Maj. Op. 30, but then upholds
that investigation under the legislative power. The majority
attempts to rely on our precedents to justify this subpoena by
focusing on whether it is an impermissible exercise of âlaw
enforcementâ power. Id. at 21â22 (responding to appellants).
The majority relies on cases that deal with private citizens and
problems of administrationâbut a subpoena against the
President that investigates allegations of illegal conduct cannot
be shoehorned into this framework. A review of the cases
demonstrates the novelty of the majorityâs holding.
The majority maintains that âan interest in past illegality
can be wholly consistent with an intent to enact remedial
legislation.â Id. at 29. To the extent the precedents support this
general principle, however, it has been applied only in the
context of private individuals. It is well established that
45
Congress cannot exercise the executive or judicial powers,
which are vested in the other departments of the government.
â[T]he power to investigate must not be confused with any of
the powers of law enforcement; those powers are assigned
under our Constitution to the Executive and the Judiciary.â
Quinn,
349 U.S. at 161
. The Court made this general
observation with respect to private individuals, not
impeachable public officials. As far as private individuals are
concerned, Congress emphatically has no law enforcement
powersâno power to indict, to try, or to convictâand cannot
enact a bill of attainder that would single out a person for
punishment through legislation. U.S. CONST. art. I, § 9, cl. 3;
art. I, § 10, cl. 1; see also Brown, 381 U.S. at 445â46 (â[T]he
Legislative Branch is not so well suited as politically
independent judges and juries to the task of ruling upon the
blameworthiness of, and levying appropriate punishment upon,
specific persons. . . . By banning bills of attainder, the Framers
of the Constitution sought to guard against such dangers by
limiting legislatures to the task of rule-making.â).
The cases cited by the majority demonstrate that during an
investigation of private activity, the incidental revelation of
criminal activity is tolerated when Congress has a legitimate
legislative purpose, 15 precisely because Congress cannot take
15
Even when a valid legislative purpose exists, the Court has been
vigilant in guarding the constitutional rights of private citizens. See
Watkins, 354 U.S. at 198â99 (courts cannot âabdicate the
responsibility placed by the Constitution upon the judiciary to insure
that the Congress does not unjustifiably encroach upon an
individualâs right to privacy nor abridge his liberty of speech, press,
religion or assemblyâ); Quinn,
349 U.S. at 161
; United States v.
Rumely,
345 U.S. 41, 44
(1953) (â[W]e would have to be that âblindâ
Court . . . not to know that there is wide concern, both in and out of
Congress, over some aspects of the exercise of the congressional
46
any action against a private person for lawbreaking. In
Hutcheson v. United States, the Supreme Court permitted a
Senate committee to investigate the unlawful activity of a
union president despite the fact that, if any wrongdoing was
uncovered, the evidence might have âwarranted a separate state
prosecution.â
369 U.S. 599, 617
(1962) (emphasis added). The
union president was, of course, not amenable to prosecution by
Congress. Similarly, in Sinclair v. United States, the Court
allowed a committee to question an oil executive, including on
matters pertaining to pending criminal proceedings involving
that executive.
279 U.S. 263
, 290â91, 294â95 (1929). The
proceedings determining the oil executiveâs liability or
innocence, however, were being conducted by an entirely
separate branch: the Article III judiciary.
The Court has upheld some congressional investigations
that incidentally uncover unlawful action by private citizens in
part because private individuals cannot be punished by
Congress, but may be prosecuted by the executive branch and
then face trial before an independent judiciary. Cf. Kilbourn,
103 U.S. at 182
(the Constitution requires that prosecutions of
private individuals proceed by âa trial in which the rights of the
party shall be decided by a tribunal appointed by law, which
tribunal is to be governed by rules of law previously
establishedâ). The majority does not explain why precedents
about union presidents and oil executives would apply to the
President when the Constitution provides a wholly separate
mechanism for Congress to impeach, to try, and, if convicted,
to remove the President from office.
Importantly, the majority does not cite a single case in
which the Court has upheld a congressional committeeâs
investigation into the past illegality of an impeachable official
power of investigation.â (quoting Bailey v. Drexel Furniture Co.,
259 U.S. 20, 37
(1922))).
47
for a legislative purpose. In sharp contrast to private
individuals, Congress possesses not only legislative but also
judicial powers over officials amenable to impeachment. This
is a notable and important exception to the separation of
powersâvesting non-legislative powers in the House and
Senate for the limited purpose of checking the actions of certain
high officials. When a legislative investigation turns toward the
wrongdoing of the President or any impeachable official, it has
never been treated as merely incidental to a legislative purpose.
Such investigations require the House to exercise the solemn
powers of the âNATIONAL INQUEST,â The Federalist No.
65, at 338, with all of the procedural protections and
accountability that accompany the decision to target a high
official.
Indeed, in the one case dealing with a subpoena to the
President for legislative purposes, our court did not ask whether
the Senate Select Committee had a valid legislative purpose in
investigating the events surrounding the Watergate break-in.
See Senate Select, 498 F.2d at 732 (â[T]he need for the tapes
premised solely on [Congressâs] asserted power to investigate
and inform cannot justify enforcement of the [Select]
Committeeâs subpoena.â). We concluded instead that a
legislative purpose could not justify demanding the Presidentâs
materials âin the peculiar circumstances of this case, including
the subsequent and on-going investigation of the House
Judiciary Committee.â Id. at 733. As our court explained:
[T]he House Committee on the Judiciary has
begun an inquiry into presidential
impeachment . . . .
The sufficiency of the [Select] Committeeâs
showing of need has come to depend,
therefore, entirely on whether the
subpoenaed materials are critical to the
48
performance of its legislative functions.
There is a clear difference between
Congressâs legislative tasks and the
responsibility of a grand jury, or any
institution engaged in like functions. While
fact-finding by a legislative committee is
undeniably a part of its task, legislative
judgments normally depend more on the
predicted consequences of proposed
legislative actions and their political
acceptability, than on precise reconstruction
of past events.
Id. at 732. Thus, we carefully distinguished legislative tasks
from grand jury or similar functions. When the House had
already authorized and was pursuing impeachment
proceedings, we found that the Senate Select Committeeâs
legislative need was âtoo attenuated and too tangential to its
functions to permit a judicial judgment that the President is
required to comply with the Committeeâs subpoena.â Id. at 733.
Similarly here, the questions of illegal conduct and interest
in reconstructing specific financial transactions of the President
are âtoo attenuated and too tangentialâ to the Oversight
Committeeâs legislative purposes. Id. The parallels between
our case and Senate Select continue to unfold, as some type of
âimpeachment inquiryâ against the President has been invoked
in the House. See, e.g., Letter from Rep. Adam B. Schiff,
Chairman, H. Perm. Select Comm. on Intelligence et al., to
Rudolph Giuliani (Sept. 30, 2019) (transmitting subpoena for
the Presidentâs papers â[p]ursuant to the House of
Representativesâ impeachment inquiryâ).
Other cases involving congressional investigations of
public officials confirm the distinction between impeachment
and legislative purposes and demonstrate the caution with
which the Court has ensured Congress is not pursuing
49
impeachable offenses in a legislative inquiry. For example, in
McGrain, the Supreme Court upheld an investigation of the
Department of Justice only after determining that there was no
targeted inquiry into unlawful action or allegations of
impeachable offenses. The Senate resolution sought
information about âthe administration of the Department of
Justiceâwhether its functions were being properly discharged
or were being neglected or misdirected, and particularly
whether the Attorney General and his assistants were
performing or neglecting their duties.â McGrain,
273 U.S. at
177
. While the resolution mentioned Attorney General
Daugherty, the Court emphasized that the Senate was not
âattempting or intending to try the Attorney General at its bar
or before its committee for any crime or wrongdoing.â
Id.
at
179â80. It was essential to the Courtâs decision that the
investigation did not target the unlawful behavior of the
Attorney General. See
id.
at 178â80.
The majority draws a different âlessonâ from McGrain:
âthat an investigation may properly focus on one individual if
that individualâs conduct offers a valid point of departure for
remedial legislation.â Maj. Op. 31. The majority places
emphasis on the Courtâs statement, â[n]or do we think it a valid
objection to the investigation that it might possibly disclose
crime or wrongdoing on [the Attorney Generalâs] part.â
McGrain, 273 U.S. at 179â80. Yet the Court also stressed that
Congress was not targeting the unlawful behavior of an
impeachable official and that â[i]t is not as if an inadmissible
or unlawful object were affirmatively and definitely avowed.â
Id. at 180
. In McGrain, the Court determined that the inquiry
at issue was a legislative one, and specifically did not target
âcrime or wrongdoing.â 16
Id.
Thus, the majority cannot rely on
16
The Supreme Court in McGrain did not question the legal principle
articulated by the district court that to investigate the illegal conduct
50
McGrain for its novel holding that Congress can investigate
illegal conduct of an impeachable official pursuant to the
legislative power.
Similarly, in Kilbourn, the Court invalidated a subpoena
against the Secretary of the Navy because it lacked a legitimate
legislative purpose, while noting that âthe whole aspect of the
case would have been changedâ if the investigation related to
impeachment.
103 U.S. at 193
. No purpose of impeachment
could be found, however, from the preamble characterizing the
Secretary of the Navyâs conduct as âimprovident.â
Id.
The
Court concluded that âthe absence of any words implying
suspicion of criminality repel the idea of such [impeachment]
purpose, for the secretary could only be impeached for âhigh
crimes and misdemeanors.ââ
Id.
In McGrain and Kilbourn, the
Court allows Congress some leeway in its legislative
investigations so long as it is not seeking to use the legislative
power to circumvent the impeachment process.
By contrast, the gravamen of the Oversight Committeeâs
investigation in this case is the Presidentâs wrongdoing. The
Committee has âaffirmatively and definitely avowed,â
McGrain,
273 U.S. at 180
, its suspicions of criminality against
the President. As we recognized in Senate Select, such inquiries
are outside the legislative power in part because they pertain to
subjects proper to an impeachment proceeding in the House,
which like a grand jury must assess whether âcertain named
of the Attorney General would be an exercise of the judicial power.
But see Maj. Op. 48 (contending the Supreme Court rejected the
district courtâs reasoning in McGrain). Instead, the Supreme Court
simply disagreed with the district courtâs characterization of the
proceedings, which were not about the wrongdoing of the Attorney
General but the administration of the Department of Justice as a
whole. â[W]hen the proceedings are rightly interpreted, [ ] the object
of the investigation . . . was to obtain information for legislative
purposes.â McGrain,
273 U.S. at 177
.
51
individuals did or did not commit specific crimes.â 498 F.2d at
732. The majorityâs conclusion is inconsistent with our
precedents, which confirm that investigations of the illegal
conduct of an impeachable official cannot be pursued through
the legislative power.
***
This subpoena goes beyond the legislative power precisely
because it seeks to reconstruct whether the President broke the
law. The Constitution creates a wholly separate impeachment
power for such inquiries. The majority implicitly collapses
these distinct powers when it concludes that the Committeeâs
âinterest in determining whether and how illegal conduct has
occurred . . . is in direct furtherance of its legislative purpose.â
Maj. Op. 31. Yet the legislative and impeachment powers are
not interchangeable. Congress, the President, and the courts
have consistently maintained a careful line between these
distinct powers. Thus, I would find that this subpoena exceeds
the legislative power of Congress because it seeks to uncover
wrongdoing by the President.
IV.
By collapsing the distinction between Congressâs
legislative and impeachment powers, the majorityâs decision
has serious consequences for the separation of powers. The
decision today expands the legislative power beyond
constitutional boundaries, calling into question our precedents
for reviewing the scope of congressional investigations;
interpreting the legislative power of Congress to subsume the
impeachment power; and permitting serious encroachments on
the executive branch. For the majority, the fact that Congress
seeks the Presidentâs papers is just a âtwistâ on the history of
congressional investigations. Maj. Op. 65. In our government
of three separate and co-equal departments, the targeting of the
52
President in a congressional subpoena seeking evidence of
illegal conduct is no mere âtwist,â but the whole plot.
A.
At bottom, the majority and I disagree about the meaning
of the legislative power and whether Congress can use this
power to conduct investigations of illegal conduct by the
President. Yet the framework employed by the majority both
decides too little and too much. To begin with, even though the
majority determines that the House has the power to issue this
subpoena, our precedents require making a separate inquiry
regarding the scope of the Committeeâs delegated authority. 17
The majority begins by recognizing as much: âit matters not
whether the Constitution would give Congress authority to
issue a subpoena if Congress has given the issuing committee
no such authority.â Maj. Op. 18. The majority, however,
collapses this two-part inquiry by concluding that â[b]ecause
Congress already possessesâin fact, has previously exercised,
see supra at 16â17âthe authority to subpoena Presidents and
their information, nothing in the House Rules could in any way
âalter the balance betweenâ the two political branches of
government.â Id. at 59â60 (quoting Armstrong v. Bush,
924
F.2d 282, 289
(D.C. Cir. 1991)). The only evidence presented
to support the conclusion that Congress possesses this authority
is a citation to the majorityâs analysisâwhich, as discussed
above, fails to provide a single historical example of a
17
Because I conclude that Congress lacks the authority to issue this
subpoena pursuant to the legislative power, it follows that the House
could not delegate such authority to the Oversight Committee. See,
e.g., Rumely, 345 U.S. at 42â43 (in assessing validity of
congressional investigation, court must determine âwhether
Congress had the power to confer upon the committee the authority
which it claimedâ); Kilbourn,
103 U.S. at 196
(committee has âno
lawful authorityâ to investigate if authorizing resolution is âin excess
of the power conferred on [the House] by the Constitutionâ).
53
successful subpoena to investigate a president for legislative
purposes. Instead, the majority stitches together a few
examples of subpoenas that issued to other officials,
investigations of agency administration, presidents voluntarily
sharing information with Congress, and one case from our
court invalidating the only similar subpoena, which was issued
to President Nixon during the Watergate investigations.
Id.
at
16â17; see also Senate Select, 498 F.2d at 733. On this flimsy
foundation, the majority concludes that it cannot scrutinize the
House Rules âabsent a substantial constitutional question
pertaining to the Houseâs legislative power.â Maj. Op. 63.
This conclusion is unsupported by the Supreme Courtâs
decisions in this area, which have required courts not only to
consider the scope of legislative power possessed by the House
or Senate as a whole, but to inquire specifically whether that
power has been delegated to a particular Committee. See
United States v. Rumely,
345 U.S. 41
, 42â43 (1953) (âThis
issueâwhether the committee was authorized to exact the
information which the witness withheldâmust first be settled
before we may consider whether Congress had the power to
confer upon the committee the authority which it claimed.â);
Watkins,
354 U.S. at 201
(âAn essential premise . . . is that the
House or Senate shall have instructed the committee members
on what they are to do with the power delegated to them.â).
This delegation of authority has separate importance because,
as the Court has admonished, Congress should not separate
power from responsibility. Watkins,
354 U.S. at 215
.
The scope of delegation particularly matters when
Congress seeks to investigate a co-equal branch of government.
Requiring a clear statement creates an important form of
accountability by giving notice to the executive branch.
Accordingly, â[w]henever constitutional limits upon the
investigative power of Congress have to be drawn by this
Court, it ought only to be done after Congress has demonstrated
54
its full awareness of what is at stake by unequivocally
authorizing an inquiry of dubious limits.â Rumely,
345 U.S. at
46
. We have applied this rule with special force in oversight
investigations: â[T]he courts have adopted the policy of
construing such resolutions of authority narrowly, in order to
obviate the necessity of passing on serious constitutional
questions.â Tobin v. United States,
306 F.2d 270
, 274â75 (D.C.
Cir. 1962).
Moreover, â[o]ut of respect for the separation of powers
and the unique constitutional position of the President,â the
Court requires âan express statement by Congressâ before
subjecting the President to legislative restrictions and
oversight. Franklin v. Massachusetts,
505 U.S. 788
, 800â01
(1992); see also Armstrong,
924 F.2d at 289
. These
longstanding interpretive principles recognize that
congressional encroachments upon the President raise serious
constitutional questions, and courts should not reach out to
decide such questions unless Congress squarely raises the
issue. 18 One might say Congress does not hide presidents in
18
The ordinary analysis of congressional authorization is somewhat
complicated in this case because, after oral argument, the House
enacted a resolution ratifying âall current and future investigations,
as well as all subpoenas previously issued or to be issued . . . to [inter
alia] the President in his personal or official capacity.â H.R. Res.
507, 116th Cong. (July 24, 2019). The majority, however, does not
rely on this Resolution to provide a clear statement, but merely to
âconfirmâ the plain meaning of the House Rules, because all the
parties agree that the Resolution does not expand the Committeeâs
jurisdiction. Importantly, the majority properly expresses skepticism
and leaves open the question of whether such a resolution can indeed
provide a post hoc expansion of a committeeâs subpoena authority.
Maj. Op. 63â64. I similarly decline to speculate about the validity of
a resolution that reaches both forwards and backwards in time to
authorize investigations of the President. See Dombrowski v.
55
mouseholes. Cf. Whitman v. Am. Trucking Assâns, Inc.,
531
U.S. 457, 468
(2001).
Thus, even on the majorityâs assertion that the House
possesses the legislative power to issue this subpoena, the
Committee might not. The House Rules may upset the balance
of power by failing to provide notice to the President. 19 While
courts should properly refrain from micromanaging the House
Rules, our precedents require reviewing whether Congress has
taken responsibility for pushing up against constitutional
limitations. See Watkins, 354 U.S. at 205â06. In the novel
circumstances of this case, the majority has eviscerated this
longstanding principle and essentially collapsed the broader
question of constitutional power and the question of a
committeeâs delegated authority.
Burbank,
358 F.2d 821, 825
(D.C. Cir. 1966) (âWhether this
apparently approving action by the full Subcommittee would serve
as a nunc pro tunc ratification and consequent validation of the
subpoena for all purposes, we need not decide.â), revâd in part on
other grounds sub nom. Dombrowski v. Eastland,
387 U.S. 82
(1967).
19
Even without applying the clear statement rule, the majorityâs
ânatural readingâ of the House Rules to include this subpoena is
hardly natural, given that for over 200 years the House has declined
to investigate the wrongdoing of the President without clearly
designating a special committee or resolution for that purpose. That
historical backdrop casts significant doubt on the majorityâs
interpretation that a rule making no reference to the President should
be read to encompass the President. See Tobin,
306 F.2d at 275
(â[I]f
Congress had intended the Judiciary Committee to conduct such a
novel investigation it would have spelled out this intention in words
more explicit than the general terms found in the authorizing
resolutions under consideration.â); Barenblatt, 360 U.S. at 117â18
(noting that a vague House rule may acquire content through its
âlong historyâ and the âcourse of congressional actionsâ).
56
Another difficulty with the majorityâs approach is that it
focuses on the legislative power in isolation, and therefore
proceeds to determine the contours of what legislation could be
had in an area rife with constitutional concerns. See, e.g., Letter
From Laurence H. Silberman, Acting Attây Gen., to Rep.
Howard W. Cannon, Chairman, H. Comm. on Rules and
Administration 4â5 (Sept. 20, 1974) (construing conflicts of
interest legislation governing the âexecutive branchâ to apply
to the President raises âserious questions of constitutionalityâ
as such legislation could âdisable him from performing some
of the functions required by the Constitution or [] establish a
qualification for his serving as President (to wit, elimination of
financial conflicts) beyond those contained in the
Constitutionâ). Responding in part to arguments from the
appellants, the majority marches through a very detailed and,
in my view, unnecessary analysis of what specific forms of
legislation might be possible in this area. Maj. Op. 36â45.
The majority concludes that amendments to âthe Ethics in
Government Act . . . to require Presidents and presidential
candidates to file reports more frequently, to include
information covering a longer period of time, or to provide new
kinds of information such as past financial dealings with
foreign businesses or current liabilities of closely held
companiesâ would pass constitutional muster.
Id.
at 38â39. The
majority also affirms that some category of theoretical laws
requiring presidents to disclose evidence of potential conflicts
of interest and other financial matters constitute a âless
burdensome species of lawsâ than similarly hypothetical laws
requiring presidents to divest assets or recuse from conflicted
matters. Id. at 38. Based on this analysis of the relative
constitutionality of as-yet-unenacted laws, the majority
informs us that we can comfortably conclude such financial
disclosure laws of the future would not âprevent[] the
[President] from accomplishing [his] constitutionally assigned
functions.â Id. at 39â40 (alterations in original) (quoting Nixon
57
v. Admâr of Gen. Servs.,
433 U.S. 425, 443
(1977)). More
troubling still, the majority declares that a statute âfacilitating
the disclosure ofâ any payment of âforeign emolumentsâ to the
President would âsurely . . . lie[] within constitutional limits,â
id. at 40, notwithstanding the fact that the scope of the Foreign
Emoluments Clause is an unresolved question that is currently
pending before this court. See Blumenthal v. Trump, No. 19-
5237, filed Sept. 4. 2019 (D.C. Cir.). The majority passes on
the constitutionality of a range of different legislative
possibilities without a single enacted statute before us.
In the absence of any statute that has run the Article I,
section 7, gauntlet, such determinations are advisory at best.
The Article III judicial power extends to deciding cases, not
applying âstatutory litmus test[s],â Maj. Op. 37. From the
Founding Era to the present, our courts have refrained from
opining on the constitutionality of legal issues outside of a live
case or controversy. See Chamber of Commerce v. EPA,
642
F.3d 192, 208
(D.C. Cir. 2011) (âTo seek judicial review of . . .
a contemplated-but-not-yet-enacted [statute] is to ask the court
for an advisory opinion in connection with an event that may
never come to pass.â); Letter from Chief Justice John Jay and
the Associate Justices of the Supreme Court to President
George Washington (Aug. 8, 1793) (declining the Presidentâs
request to issue an advisory opinion). I would avoid passing on
such questions and simply recognize that an investigation into
the illegal conduct of the President is outside the legislative
power altogether because it belongs to the Houseâs power of
impeachment for high crimes and misdemeanors.
B.
By allowing the Oversight Committee to use the
legislative power to circumvent the impeachment power, the
majority substantially disrupts the careful balance between
Congress and the other departments. The text and structure of
the Constitution, along with unbroken historical practice, make
58
plain the importance of maintaining a line between these
distinct investigative powersâone ancillary to the legislative
power, and the other an exercise of the Houseâs judicial power
of impeachment. The concerns underlying the distinction are
fundamental and no mere anachronism.
To begin with, permitting this subpoena allows Congress
to use its substantial legislative power to gather information
that may be used for impeachment without the protections
inherent in an impeachment investigation or proceeding.
Impeachable officials are protected from ill-considered
exercises of this power through careful constitutional design.
The Constitution divides the impeachment and removal powers
between the House and Senate, U.S. CONST. art. I, § 2, cl. 5;
art. I, § 3, cl. 6; limits the scope of impeachable offenses, U.S.
CONST. art. II, § 4; and provides for limited punishments upon
conviction by the Senate, U.S. CONST. art. I, § 3, cl. 7. Senate
trials of impeachment are an exercise of judicial power and
have always been understood to include constitutional and
common law protections similar to what might be available in
the judicial context. Marshall, 243 U.S. at 546â48; Kilbourn,
103 U.S. at 191
; Jeffersonâs Manual §§ 592, 619 (âThe trial . . .
differs not in essentials from criminal prosecutions before
inferior courts.â); 3 Hinds § 2486 (â[S]uch rules must be
observed as are essential to justice.â (quoting Op. Attây Gen.
of May 9, 1796)); 2 Story § 796 (â[T]he same rules of evidence,
the same legal notions of crimes and punishments prevail.â).
Allowing the use of legislative power to reach illegal
conduct undermines the protections afforded to officials being
investigated for impeachable offenses. These protections are
essential given the obvious harms to the reputation and honor
of officials targeted through the very public process of
impeachment. See The Federalist No. 65, at 338 (âThe delicacy
and magnitude of a trust which so deeply concerns the political
59
reputation and existence of every man engaged in the
administration of public affairs, speak for themselves.â).
Moreover, expanding the legislative power to include
investigations of illegal conduct eviscerates Congressâs
accountability for impeachment. Such accountability is an
essential protection for the People, who elect the President as
well as Members of Congress, and thus have an undeniable
stake in any congressional targeting of the Chief Executive and
his chosen officers. The majority allows Congress to evade
public accountability by permitting investigations of the
President for illegal conduct outside the âgrave and weightyâ
impeachment process. See Maj. Op. 47. With impeachment, the
Constitution unites power with responsibility. Impeachment
and removal are Congressâs âsword of Damocles,â but the
House and Senate must pay a political price for using these
powers. William H. Rehnquist, Grand Inquests 270 (1992); see
also Gerhardt, The Federal Impeachment Process 57 (â[T]he
framers deliberately made the impeachment process
cumbersome in order to make impeachment difficult to
achieve.â); OâSullivan, Impeachment and the Independent
Counsel Statute, 86 GEO. L.J. at 2229â30 (âThe Framers
intentionally designed the impeachment device to make its
successful invocation difficult in order to ensure that civil
officers would not be unduly dependent upon the legislative
branch.â).
The House and Senate have consistently maintained the
importance of this responsibility and explicitly invoked the
impeachment power when pursuing official wrongdoing. See,
e.g., 3 Hinds § 2400 (opening Johnson impeachment inquiry);
H.R. Res. 803, 93d Cong. (opening Nixon impeachment
inquiry); H.R. Res. 581, 105th Cong. (opening Clinton
impeachment inquiry). Presidents since George Washington
have declined demands to produce documents for legislative
purposes, while acknowledging that the same request pursuant
60
to the impeachment power might be treated differently. See
supra Part II; see also Position of the Executive Department
Regarding Investigative Reports, 40 Op. Attây Gen. 45, 51
(1941) (Attorney General Robert Jackson declining to provide
information to Congress about pending FBI investigations, but
noting that âpertinent information would be supplied in
impeachment proceedingsâ). 20
Overlooking the special procedures and accountability
attendant to an impeachment proceeding, the district court
conflated the legislative and judicial powers of the House. With
no support in the text, structure, or history of the Constitution,
the district court cited the impeachment power to bootstrap a
more expansive legislative power to investigate individual
wrongdoing: âIt is simply not fathomable that a Constitution
that grants Congress the power to remove a President for
reasons including criminal behavior would deny Congress the
power to investigate him for unlawful conductâpast or
presentâeven without formally opening an impeachment
inquiry.â Trump,
380 F. Supp. 3d at 95
.
The district court suggests that the greater power of
impeachment and removal must include the lesser legislative
power to investigate illegal actions by the President. Yet the
Constitution is not designed this way. The greater power does
not include the lesser in a Constitution that explicitly vests
Congress with limited and enumerated legislative powers and
20
As the Committee has not relied on the impeachment power for
this subpoena, I do not consider whether or how this court would
assess such a demand for documents under the impeachment power.
I simply note that Congress, the Executive, and the courts have
maintained that requests under the legislative and impeachment
powers may be treated differently. See, e.g., Kilbourn,
103 U.S. at
193
(were the investigation related to impeachment, âthe whole
aspect of the case would have been changedâ).
61
then provides for a wholly separate impeachment power with
different objects, processes, and limits. It is not only
fathomable, but essential, that the impeachment and legislative
powers remain distinct. The power of impeachment does not
somehow expand the power to investigate for legislative
purposes.
The majority similarly recognizes no separation between
the Houseâs judicial and legislative powers. But once the
boundary between the legislative and judicial powers is
breached, it is hard to discern any limit to the reach of the
legislative power of investigation. Perhaps the functionalist
approach to reading the Constitution has obscured the essential
core of the constitutional powers vested in each of the three
branches. The legislative power focuses on prospective,
general rules for governing society. One thing it has never been
is the power to reconstruct and punish individual actions,
whether of private individuals or public officials. Private and
public individuals are protected by the Bill of Attainder
Clauses, U.S. CONST. art. I, § 9, cl. 3; art. I, § 10, cl. 1, and
Congress may pursue the high crimes and misdemeanors of
impeachable officials exclusively through the impeachment
power, U.S. CONST. art. I, § 2, cl. 5; art. I, § 3, cl. 6.
Thus, it should be startling when the majority asserts it is
a âquintessentially legislative judgment that some concerns
about potential misconduct are better addressed through . . .
legislation than impeachment.â Maj. Op. 49. The majority
argues in effect that Congress must be able to choose to target
the wrongdoing of the President through its legislative powers,
instead of impeachment. If this does not quite sanction a bill of
attainder, it comes awfully close. The majorityâs assertions that
Congress can simply choose between legislation and
impeachment when the Presidentâs wrongdoing is at issue are
unsupported by any constitutional provision and provide no
rebuttal to the remarkably consistent historical understanding,
62
which demonstrates that both the executive branch and
Congress, despite their conflicting interests, have steadfastly
maintained the necessity of pursuing wrongdoing of public
officials through impeachment.
The majority attempts to bolster its argument by
referencing a functional separation of powers and citing to
interpretations of Madisonâs statement in Federalist 47 that the
separation of powers âdo[es] not mean that these departments
ought to have no partial agency in, or no control over, the acts
of each other.â Id. at 43 (citing Clinton v. Jones,
520 U.S. 681
,
702â03 (1997), and Nixon v. Admâr of Gen. Servs., 433 U.S. at
442â43). Yet Madisonâs words are being taken out of context.
In Federalist 47, Madison makes this statement when
interpreting Montesquieuâs theory of separation of powers. See
The Federalist No. 47, at 251 (James Madison). Madisonâs
primary point is that â[n]o political truth is certainly of greater
intrinsic value, or is stamped with the authority of more
enlightened patrons of liberty,â than the maxim that âthe
legislative, executive, and judiciary departments, ought to be
separate and distinct.â Id. at 249. The general rule of the
Constitution is separation of powersâbut the Constitution
includes certain specific exceptions to the general rule, such as
requiring the advice and consent of the Senate in the
appointment of executive officers, or placing the judicial power
of impeachment in the House and Senate. These exceptions
reinforce the system of checks and balances and âprovide some
practical security for each, against the invasion of the others.â
The Federalist No. 48, at 256â58 (James Madison). Madison
explains at length the deliberate structure of the Constitution,
which permits overlap or sharing of powers for limited
purposes without collapsing any one branch into dependence
on another.
The exceptions to the separation of powers, however, have
never been mistaken as a rule of flexible blending of powers
63
for the sake of convenience or expediency. To the contrary, the
Court has read the exceptions narrowly and interpreted them to
reinforce the constitutional limits that separate the three powers
of the federal government. See Myers,
272 U.S. at 116
(â[T]he
reasonable construction of the Constitution must be that the
branches should be kept separate in all cases in which they were
not expressly blended, and the Constitution should be
expounded to blend them no more than it affirmatively
requires.â). The majority alleges that this dissent âwould
reorder the very structure of the Constitution,â Maj. Op. 49, but
provides no analysis of the Constitution to support its assertion.
Similarly, the majority offers no evidence from the original
meaning, historical practice, or our judicial precedents for its
contrived claim that Congress can simply choose to use either
the legislative or impeachment powers when investigating the
President for violations of the law.
Instead, the majority chooses to march out a parade of
horribles about what might happen if Congress were unable to
investigate illegal conduct under its legislative power.
Id.
at
46â47, 48â49. Contrary to the majorityâs ahistorical alarm,
maintaining the separation of the legislative and impeachment
powers will in no way prevent the House from continuing to
pursue remedial legislation. I do not question the longstanding
recognition that Congress possesses the ability to investigate as
necessary and proper to effectuate the legislative power. Such
investigations can provide important and salutary oversight of
administration of the laws and study the basis for new
legislation. Yet targeting officials for impeachable offenses
must proceed, and always has proceeded, through the
impeachment power.
Thus, there is no âHobsonâs Choiceâ here between
impeachment or nothing, id. at 49, because whether the House
moves forward with impeachment or not, Congress retains all
of the legislative powers it has under the Constitution to
64
introduce and enact legislation. The fact that Congress cannot
reconstruct âwhether and howâ the President violated the law
as part of the legislative power does not âstrip[] Congress of its
power to legislate.â Id. Indeed, frustration with lack of access
to documents might prompt Congress to attempt legislation that
requires such disclosure in the future, and similar legislation
has already been proposed. See, e.g., H.R. 1, 116th Cong.,
§§ 8012, 8013 (2019) (increasing stringency of presidential
corporate financial disclosure requirements). To treat an
inquisitorial power as essential to legislation is to
misunderstand the legislative power in the context of our
constitutional system of separated powers. The Committee
cannot use a legislative purpose to circumvent the Houseâs
power to serve as the grand inquest of the nation when
investigating the illegal conduct of the President.
C.
Allowing the legislative power to reach investigation of
impeachable offenses provides Congress with a new bludgeon
against the Executive, making it all too easy for Congress to
encroach on the executive branch by targeting the President
and his subordinates through legislative inquiries. See Nixon v.
Fitzgerald,
457 U.S. 731, 743
(1982) (a âspecial solicitude [is]
due to claims alleging a threatened breach of essential
Presidential prerogatives under the separation of powersâ). The
majority incorrectly asserts âno party argues that compliance
with the subpoena would impair the Presidentâs execution of
the Article II power.â Maj. Op. 46; see also
id.
at 64â65. To the
contrary, both the Trump plaintiffs and the Department of
Justice argue that this subpoena may âdistract a President from
his public duties, to the detriment of not only the President and
his office but also the Nation that the Presidency was designed
to serve.â Appellants Reply Br. 3 (quoting Fitzgerald,
457 U.S.
at 753
); see also DOJ Br. 6 (â[C]ongressional committees may
issue successive subpoenas in waves, making far-reaching
65
demands that harry the President and distract his attention.â
(citing Rumely,
345 U.S. at 46
)). The majority repeatedly states
that the precedents allow Congress to choose between the
legislative and impeachment powers, but only where âno
intrusion on the Presidentâs execution of his official duties is
alleged.â Maj. Op. 46; see also
id. at 45
. Yet contrary to the
majorityâs assertions, both the Department of Justice and the
President have alleged that the subpoena encroaches on the
executive power, which substantially undermines the
majorityâs premise.
By allowing any claim of a remedial legislative purpose to
justify an investigation into the âillegal conductâ of the
President, the majority effectively expands the already
expansive legislative power. Cf. Brewster v. United States,
255
F.2d 899, 901
(D.C. Cir. 1958) (rejecting an interpretation that
âfor all practical purposes, would give the Committee on
Government Operations jurisdiction to investigate virtually
every activity engaged in by every person in the landâ).
Pursuant to its legislative powers, Congress already has
substantial leeway to investigate how executive officers are
administering their duties. Yet allowing Congress to use the
legislative power to investigate individual officials for
unlawful conduct takes âoversightâ to a whole new level. The
Constitution provides in effect that Congress cannot reach such
allegations by âside-blows,â Cong. Globe, 29th Cong., 1st
Sess. 641 (1846) (statement of Rep. Adams), but must instead
proceed through impeachment. Cf. Morrison v. Olson,
487 U.S.
654, 713
(1988) (Scalia, J., dissenting) (âHow much easier it is
for Congress, instead of accepting the political damage
attendant to the commencement of impeachment proceedings
against the President on trivial grounds . . . simply to trigger a
debilitating criminal investigation of the Chief Executive.â).
Unhindered by the constitutional mechanisms of
accountability, Congress can expand its incursions against the
66
Executive. As Madison cautioned, Congressâs âconstitutional
powers being at once more extensive, and less susceptible of
precise limits, it can, with the greater facility, mask under
complicated and indirect measures, the encroachments which
it makes on the co-ordinate departments.â The Federalist No.
48, at 257; see also Zivotofsky,
135 S. Ct. at 2096
(âIt was an
improper act for Congress to âaggrandize its power at the
expense of another branch.ââ (quoting Freytag v. Commâr,
501
U.S. 868, 878
(1991))).
The majority takes a narrow view of potential harms to the
executive branchâsuggesting that such harms result largely
from the inconvenience of the President having to produce
documents or make copies himself. Maj. Op. 34â35, 65. Yet
using the legislative power to target and uncover illegal
conduct by executive officials provides Congress with an
additional form of control over executive officials who
otherwise must be within the direction and control of the
President. See U.S. CONST. art. II, § 1, cls. 1, 8; art. II, § 3; Free
Enter. Fund v. Pub. Co. Accounting Oversight Bd.,
561 U.S.
477
, 493 (2010) (invalidating restrictions on the removal power
that would âimpair[]â the Presidentâs âability to execute the
laws [] by holding his subordinates accountable for their
conductâ); Myers, 272 U.S. at 163â64 (â[A]rticle 2 grants to
the President the executive power of the government, i. e., the
general administrative control of those executing the laws.â).
The President cannot âtake Care that the Laws be faithfully
executed,â U.S. CONST. art. II, § 3, if his subordinates are
exposed to inquisitorial jeopardy through the ordinary
legislative power.
Under the majorityâs decision, Congress may choose to
launch investigations of illegal conduct under the legislative
powerâa choice that under the current rules may be
implemented by a single committee chairman without the
accountability and deliberation that precede impeachment. And
67
while this case deals only with a single subpoena, the
recognition of a wholly unprecedented power to investigate
shifts the balance between the branches and may unleash
additional subpoenas against the President or his subordinates,
which âmay, like a flicking left jab, confound the Executive
Branch in dealing with Congress.â In re Sealed Case,
838 F.2d
476, 508
(D.C. Cir. 1988) (Silberman, J.), revâd sub nom.
Morrison v. Olson,
487 U.S. 654
(1988).
While congressional oversight investigations may probe a
wide range of matters and often are no picnic for executive
officials, such investigations may proceed ancillary to the
legislative power. Allegations and reconstructions of illegal
conduct, however, are an entirely different matter. If a
congressional committee can invoke a legislative purpose to
subpoena information targeting unlawful actions by the
President, imagine the peril for other officers who lack the
ability to fend off such requests and cannot depend on the
visibility and public mandate that follow the President. Cf.
Morrison,
487 U.S. at 713
(Scalia, J., dissenting) (â[A]s for the
Presidentâs high-level assistants, who typically have no
political base of support, it is [] utterly unrealistic to think that
they will not be intimidated by this prospect [of an independent
counsel], and that their advice to him and their advocacy of his
interests before a hostile Congress will not be affected . . . . It
deeply wounds the President, by substantially reducing the
Presidentâs ability to protect himself and his staff.â). The
prospect of a Congress that can use the legislative power, rather
than impeachment, to reach illegal conduct of executive
officers could very well âweaken the Presidency by reducing
the zeal of his staff.â
Id.
***
Allowing Congress to investigate impeachable officials
for suspicions of criminality pursuant to the legislative power
has serious consequences for the separation of powers because
68
it allows Congress to escape the responsibility and
accountability inherent in impeachment proceedings.
Congressional aggrandizement in this case comes at the
expense of the Executive, which no longer can rely on
procedural protections when Congress, or a single committee
chairman, determines to investigate unlawful activity of the
President. The Houseâs overreaching also comes at the expense
of the People, who established a Constitution with specific
processes for electing both Members of Congress and the
President and which provides only one way for Congress to
punish and remove the President.
V.
The familiar tale recounted by the majority describes a
general arc of expanding legislative powers and the
accompanying recognition of Congressâs power to investigate
ancillary to those powers. Yet the more specific story here
pertains to the fundamental separation between the legislative
and judicial powers of Congress. When the House chooses to
investigate the President for alleged violations of the laws and
the Constitution, it must proceed through impeachment, an
exceptional and solemn exercise of judicial power established
as a separate check on public officials. This constitutional
principle was articulated by George Washington in 1796 and
by the House in 1998: âThe Constitution contains a single
procedure for Congress to address the fitness for office of the
President of the United Statesâimpeachment by the House,
and subsequent trial by the Senate.â H.R. Rep. No. 105-830, at
137 (report of the House Judiciary Committee recommending
articles of impeachment).
The Constitution and our historical practice draw a
consistent line between the legislative and judicial powers of
Congress. The majority crosses this boundary for the first time
by upholding this subpoena investigating the illegal conduct of
the President under the legislative power. I respectfully dissent.Additional Information
- source
- courtlistener_api
- subject
- constitutional-law
- import date
- 2025-12-16T14:59:00.585138
- precedential status
- Published