Article III, § 19, of the Texas Constitution provides
that
"[n]o judge of any court, Secretary of State, Attorney General,
clerk of any court of record, or any person holding a lucrative
office under the United States, or this State, or any foreign
government shall during the term for which he is elected or
appointed, be eligible to the Legislature."
As interpreted by the Texas Supreme Court, § 19 requires an
officeholder to complete his current term of office -- if it
overlaps the legislature's term -- before he may be eligible to
serve in the state legislature. Article XVI, § 65, provides
that, if holders of certain state and county offices whose
unexpired term exceeds one year become candidates for any other
state or federal office, this shall constitute an automatic
resignation of the office then held. Appellees -- who challenged
these provisions in Federal District Court as violating the First
Amendment and the Equal Protection Clause of the Fourteenth
Amendment of the Federal Constitution -- included officeholders
subject to § 65, each of whom alleged that he would have
announced his candidacy for higher judicial office except that such
announcement would constitute an automatic resignation from his
current position, and one of whom (Baca), a Justice of the Peace,
also alleged that he could not become a candidate for the state
legislature because of § 19. The other appellees were voters
who alleged that they would vote for the officeholder appellees
were they to become candidates. The District Court held that the
challenged provisions denied appellees equal protection, and the
Court of Appeals affirmed.
Held: The judgment is reversed. 631 F.2d 731,
reversed.
JUSTICE REHNQUIST delivered the opinion of the Court with
respect to Parts I, II, and V, concluding that:
1. The uncontested allegations in the complaint are sufficient
to create an actual case or controversy between the officeholder
appellees and those Texas officials charged with enforcing
§§ 19 and 6. Pp.
457 U. S. 961-962.
2. Sections 19 and 65 do not violate the First Amendment. The
State's interests are sufficient to warrant the
de minimis
interference with appellees' First Amendment interests in
candidacy. In addition,
Page 457 U. S. 958
appellees' First Amendment challenge as elected state
officeholders contesting restrictions on partisan political
activity must fail, since §§ 19 and 65 represent a far
more limited restriction on political activity than has been upheld
with regard to civil servants.
Cf. CSC v. Letter Carriers,
413 U. S. 548;
Broadrick v. Oklahoma, 413 U. S. 601;
United Public Workers v. Mitchell, 330 U. S.
75. Pp.
457 U. S.
971-973.
JUSTICE REHNQUIST, joined by THE CHIEF JUSTICE, JUSTICE POWELL,
and JUSTICE O'CONNOR, concluded in Parts III and IV that neither of
the challenged provisions of the Texas Constitution violates the
Equal Protection Clause. Pp.
457 U. S.
962-971.
(a) Candidacy is not a "fundamental right" that itself requires
departure from traditional equal protection principles under which
state law classifications need only be drawn in such a manner as to
bear some rational relationship to a legitimate state end. Decision
in this area of constitutional adjudication is a matter of degree,
and involves a consideration of the facts and circumstances behind
the law, the interests the State seeks to protect by placing
restrictions on candidacy, and the nature of the interests of those
who may be burdened by the restrictions. In determining whether the
provisions challenged here deserve "scrutiny" more vigorous than
that which the traditional principles would require, the nature of
the interests affected and the extent of the burden the challenged
provisions place on the candidacy of current officeholder must be
examined. Pp.
457 U. S.
962-966.
(b) As applied to Baca, a Justice of the Peace whose term of
office is four years, whereas a state legislator's term is two
years, § 19 simply requires that Baca must wait, at most, two
years -- one election cycle -- before he may run as a candidate for
the legislature. In establishing this maximum "waiting period,"
§ 19 places a
de minimis burden on the political
aspirations of a current officeholder. This sort of insignificant
interference with access to the ballot need only rest on a rational
predicate in order to survive an equal protection challenge.
Section 19 clearly rests on a rational predicate, since it furthers
Texas' interests in maintaining the integrity of its Justices of
the Peace by ensuring that they will neither abuse their position
nor neglect their duties because of aspirations for higher office.
Moreover, Texas has a legitimate interest in discouraging its
Justices of the Peace from vacating their current terms of office,
thereby avoiding the difficulties that accompany interim elections
and appointments. Nor is § 19 invalid in that it burdens only
those officeholders who desire to run for the legislature. It would
be a perversion of the Equal Protection Clause to conclude that
Texas must restrict a Justice of the Peace's candidacy for all
offices before it can restrict his candidacy for any office. Pp.
457 U. S.
966-970.
Page 457 U. S. 959
(c) The burdens imposed on candidacy by the automatic
resignation provision of § 65 are even less substantial than
those imposed by § 19. Both provisions serve essentially the
same state interests. Nor is § 65 invalid on the ground that
it applies only to certain elected officials and not to others. Its
history shows that the resignation provision was a creature of
state electoral reforms, and a regulation is not devoid of a
rational predicate simply because it happens to be incomplete. The
Equal Protection Clause does not prohibit Texas from restricting
one elected officeholder's candidacy for another elected office
unless and until it places similar restrictions on other
officeholders. Pp.
457 U. S.
970-971.
REHNQUIST, J., announced the Court's judgment and delivered the
opinion of the Court with respect to Parts I, II, and V, in which
BURGER, C.J., and POWELL, STEVENS, and O'CONNOR, JJ., joined, and
an opinion with respect to Parts III and IV, in which BURGER, C.J.,
and POWELL and O'CONNOR, JJ., joined. STEVENS, J., filed an opinion
concurring in part and concurring in the judgment,
post,
p.
457 U. S. 973.
BRENNAN, J., filed a dissenting opinion, in which MARSHALL and
BLACKMUN, JJ., joined, and in Part I of which WHITE, J.,
joined,
post, p.
457 U. S.
976.
JUSTICE REHNQUIST delivered the opinion of the Court with
respect to Parts I, II, and V, and delivered an opinion with
respect to Parts III and IV, in which THE CHIEF JUSTICE, JUSTICE
POWELL, and JUSTICE O'CONNOR joined.
Appellees in this case challenge two provisions of the Texas
Constitution that limit a public official's ability to become a
candidate for another public office. The primary question in this
appeal is whether these provisions violate the Equal Protection
Clause of the Fourteenth Amendment.
Page 457 U. S. 960
I
Article III, § 19, of the Texas Constitution provides:
"No judge of any court, Secretary of State, Attorney General,
clerk of any court of record, or any person holding a lucrative
office under the United States, or this State, or any foreign
government shall during the term for which he is elected or
appointed, be eligible to the Legislature."
Section 19 renders an officeholder ineligible for the Texas
Legislature if his current term of office will not expire until
after the legislative term to which he aspires begins.
Lee v.
Daniels, 377 S.W.2d
618, 619 (Tex.1964). Resignation is ineffective to avoid §
19 if the officeholder's current term of office overlaps the term
of the legislature to which he seeks election.
Ibid. In
other words, § 19 requires an officeholder to complete his
current term of office before he may be eligible to serve in the
legislature.
Article XVI, § 65, is commonly referred to as a
"resign-to-run" or "automatic resignation" provision. Section 65
covers a wide range of state and county offices. [
Footnote 1] It provides in relevant part:
"[I]f any of the officers named herein shall announce their
candidacy, or shall in fact become a candidate, in any General,
Special or Primary Election, for any office of profit or trust
under the laws of this State or the United States other than the
office then held, at any time when the unexpired term of the office
then held shall exceed one (1) year, such announcement or such
candidacy shall constitute an automatic resignation of the office
then held. "
Page 457 U. S. 961
Four of the appellees are officeholders subject to the automatic
resignation provision of § 65. Fashing is a County Judge, Baca
and McGhee are Justices of the Peace, and Ybarra is a Constable.
Each officeholder appellee alleged in the complaint that he is
qualified under Texas law to be a candidate for higher judicial
office, and that the reason he has not and will not announce his
candidacy is that such an announcement will constitute an automatic
resignation from his current position. Appellee Baca alleged in
addition that he could not become a candidate for the legislature
because of § 19. The remaining appellees are 20 voters who
allege that they would vote for the officeholder appellees were
they to become candidates.
The District Court for the Western District of Texas held that
§ 19 and § 65 denied appellees equal protection.
Fashing v. Moore, 489 F.
Supp. 471 (1980). The District Court concluded that § 19
created "classifications that are invidiously discriminatory."
Id. at 475. The District Court explained that § 19
draws distinctions between those officials whose terms end
concurrently with the beginning of the legislative term and those
whose terms overlap the legislative term. The court also found
§ 19 deficient because "[n]o reciprocal prohibition . . . is
placed upon a legislator seeking to run for mayor or judge."
Ibid. As to § 65, the District Court determined that
the classifications embodied in § 65 "fail[ed] to serve any
proper governmental interest," because some state and local
officials were covered by § 65 while others were not. The
Court of Appeals for the Fifth Circuit affirmed without opinion.
Fashing v. Moore, 631 F.2d 731 (1980). We noted probable
jurisdiction, 452 U.S. 904 (1981), and now reverse.
II
Before we may reach the merits of the constitutional issues in
this case, we must address appellants' contention that the
allegations in the complaint are insufficient to create a "case or
controversy" between the officeholder appellees and those Texas
officials charged with enforcing § 19 and § 65.
Appellants
Page 457 U. S. 962
contend that the dispute in this case is merely hypothetical,
and therefore not a justiciable controversy within the meaning of
Art. III of the United States Constitution.
United Public
Workers v. Mitchell, 330 U. S. 75,
330 U. S. 90-91
(1947).
We find the uncontested allegations in the complaint sufficient
to create an actual case or controversy. The officeholder appellees
have alleged that they have not and will not announce their
candidacy for higher judicial office, because such action will
constitute an automatic resignation of their current offices
pursuant to § 65. Unlike the situation in
Mitchell,
appellees have alleged in a precise manner that, but for the
sanctions of the constitutional provision they seek to challenge,
they would engage in the very acts that would trigger the
enforcement of the provision. Given that § 65 provides for
automatic resignation upon an announcement of candidacy, it cannot
be said that § 65 presents only a speculative or hypothetical
obstacle to appellees' candidacy for higher judicial office.
See Regional Rail Reorganization Act Cases, 419 U.
S. 102,
419 U. S. 143,
and n. 29 (1974);
Turner v. Fouche, 396 U.
S. 346,
396 U. S.
361-362, n. 23 (1970).
Baca's uncontested allegations are sufficient to create a case
or controversy with regard to § 19. That provision entirely
disables an officeholder from becoming a candidate for the
legislature until he completes his present term of office. The gist
of Baca's challenge to § 19 is that it renders him ineligible
to become a candidate for the legislature because his term as
Justice of the Peace overlaps the legislative term. Baca's dispute
with appellants over the constitutionality of § 19, therefore,
cannot be said to be abstract or hypothetical, since he has
sufficiently alleged that § 19 has prevented him from becoming
a candidate for the legislature.
III
The Equal Protection Clause allows the States considerable
leeway to enact legislation that may appear to affect
Page 457 U. S. 963
similarly situated people differently. Legislatures are
ordinarily assumed to have acted constitutionally. Under
traditional equal protection principles, distinctions need only be
drawn in such a manner as to bear some rational relationship to a
legitimate state end. Classifications are set aside only if they
are based solely on reasons totally unrelated to the pursuit of the
State's goals, and only if no grounds can be conceived to justify
them.
See, e.g., McDonald v. Board of Election Comm'rs,
394 U. S. 802,
394 U. S. 808
809 (1969);
McGowan v. Maryland, 366 U.
S. 420,
366 U. S.
425-426 (1961). We have departed from traditional equal
protection principles only when the challenged statute places
burdens upon "suspect classes" of persons or on a constitutional
right that is deemed to be "fundamental."
San Antonio
Independent School Dist. v. Rodriguez, 411 U. S.
1,
411 U. S. 17
(1973).
Thus, we must first determine whether the provisions challenged
in this case deserve "scrutiny" more vigorous than that which the
traditional principles would require.
Far from recognizing candidacy as a "fundamental right," we have
held that the existence of barriers to a candidate's access to the
ballot "does not, of itself, compel close scrutiny."
Bullock v.
Carter, 405 U. S. 134,
405 U. S. 143
(1972). "In approaching candidate restrictions, it is essential to
examine in a realistic light the extent and nature of their impact
on voters."
Ibid. In assessing challenges to state
election laws that restrict access to the ballot, this Court has
not formulated a "litmus-paper test for separating those
restrictions that are valid from those that are invidious under the
Equal Protection Clause."
Storer v. Brown, 415 U.
S. 724,
415 U. S. 730
(1974). Decision in this area of constitutional adjudication is a
matter of degree, and involves a consideration of the facts and
circumstances behind the law, the interests the State seeks to
protect by placing restrictions on candidacy, and the nature of the
interests of those who may be burdened by the restrictions.
Ibid.; Williams v. Rhodes, 393 U. S.
23,
393 U. S. 30
(1968).
Page 457 U. S. 964
Our ballot access cases, however, do focus on the degree to
which the challenged restrictions operate as a mechanism to exclude
certain classes of candidates from the electoral process. The
inquiry is whether the challenged restriction unfairly or
unnecessarily burdens the "availability of political opportunity."
Lubin v. Panish, 415 U. S. 709,
415 U. S. 716
(1974). This Court has departed from traditional equal protection
analysis in recent years in two essentially separate, although
similar, lines of ballot access cases.
One line of ballot access cases involves classifications based
on wealth. [
Footnote 2] In
invalidating candidate filing-fee provisions, for example, we have
departed from traditional equal protection analysis because such a
"system falls with unequal weight on voters, as well as candidates,
according to their economic status."
Bullock v. Carter,
supra, at
405 U. S.
144.
"Whatever may be the political mood at any given time, our
tradition has been one of hospitality toward all candidates,
without regard to their economic status."
Lubin v. Panish, supra, at
415 U. S.
717-718. Economic status is not a measure of a
prospective candidate's qualifications to hold elective office, and
a filing fee alone is an inadequate test of whether a candidacy is
serious or spurious. Clearly, the challenged provisions in the
instant case involve neither filing fees nor restrictions that
invidiously burden those of lower economic status. This line of
cases, therefore, does not support a departure from the traditional
equal protection principles.
The second line of ballot access cases involves classification
schemes that impose burdens on new or small political parties or
independent candidates.
See, e.g., Illinois State Bd. of
Elections v. Socialist Workers Party, 440 U.
S. 173 (1979);
Storer v. Brown, supra; American
Party of Texas v. White, 415 U. S. 767
(1974);
Jenness v. Fortson, 403 U.
S. 431 (1971);
Williams v. Rhodes, supra. These
cases involve requirements
Page 457 U. S. 965
that an independent candidate or minor party demonstrate a
certain level of support among the electorate before the minor
party or candidate may obtain a place on the ballot. In these
cases, the Court has emphasized that the States have important
interests in protecting the integrity of their political processes
from frivolous or fraudulent candidacies, in ensuring that their
election processes are efficient, in avoiding voter confusion
caused by an overcrowded ballot, and in avoiding the expense and
burden of run-off elections. To this end, the Court has upheld
reasonable level of support requirements and classifications that
turn on the political party's success in prior elections.
See
Storer v. Brown, supra; American Party of Texas v. White, supra;
Jenness v. Fortson, supra. The Court has recognized, however,
that such requirements may burden First Amendment interests in
ensuring freedom of association, as these requirements classify on
the basis of a candidate's association with particular political
parties. Consequently, the State may not act to maintain the
"
status quo" by making it virtually impossible for any but
the two major parties to achieve ballot positions for their
candidates.
See Williams v. Rhodes, supra, at
393 U. S.
25.
The provisions of the Texas Constitution challenged in this case
do not contain any classification that imposes special burdens on
minority political parties or independent candidates. The burdens
placed on those candidates subject to § 19 and § 65 in no
way depend upon political affiliation or political viewpoint.
It does not automatically follow, of course, that we must apply
traditional equal protection principles in examining § 19 and
§ 65 merely because these restrictions on candidacy do not
fall into the two patterns just described. But this fact does
counsel against discarding traditional principles without first
examining the nature of the interests that are affected and the
extent of the burden these provisions place on candidacy.
See
Bullock v. Carter, supra, at
405 U. S. 143;
Storer v. Brown, supra, at
415 U. S. 730.
Not all ballot access restrictions
Page 457 U. S. 966
require "heightened" equal protection scrutiny. The Court, for
example, applied traditional equal protection principles to uphold
a classification scheme that denied absentee ballots to inmates in
jail awaiting trial.
McDonald v. Board of Election
Comm'rs, 394 U.S. at
394 U. S.
807-811. Thus, it is necessary to examine the provisions
in question in terms of the extent of the burdens that they place
on the candidacy of current holders of public office.
IV
A
Section 19 applies only to candidacy for the Texas Legislature.
Of the appellees, only Baca, a Justice of the Peace, alleged that
he would run for the Texas Legislature. Of the plaintiffs in this
case, only appellee Baca's candidacy for another public office has
in any fashion been restricted by § 19. The issue in this
case, therefore, is whether § 19 may be applied to a Justice
of the Peace in a manner consistent with the Equal Protection
Clause. [
Footnote 3]
Section 19 merely prohibits officeholders from cutting short
their current term of office in order to serve in the legislature.
In Texas, the term of office for a Justice of the Peace is four
years, while legislative elections are held every
Page 457 U. S. 967
two years.
See Tex.Const., Art. V, § 18; Art. III,
§§ 3, 4. Therefore, § 19 simply requires Baca to
complete his 4-year term as Justice of the Peace before he may be
eligible for the legislature. At most, therefore, Baca must wait
two years -- one election cycle -- before he may run as a candidate
for the legislature. [
Footnote
4]
In making an equal protection challenge, it is the claimant's
burden to "demonstrate in the first instance a discrimination
against [him] of some substance."
American Party of Texas v.
White, 415 U.S. at
415 U. S. 781.
Classification is the essence of all legislation, and only those
classifications which are invidious, arbitrary, or irrational
offend the Equal Protection Clause of the Constitution.
Williamson v. Lee Optical Co., 348 U.
S. 483,
348 U. S. 489
(1955).
In establishing a maximum "waiting period" of two years for
candidacy by a Justice of the Peace for the legislature, § 19
places a
de minimis burden on the political aspirations of
a current officeholder. Section 19 discriminates neither on the
basis of political affiliation nor on any factor not related to a
candidate's qualifications to hold political office. Unlike filing
fees or the level of support requirements, § 19 in no way
burdens access to the political process by those who are outside
the "mainstream" of political life. In this case, § 19 burdens
only a candidate who has successfully been elected to one office,
but whose political ambitions lead him to pursue a seat in the
Texas Legislature.
A "waiting period" is hardly a significant barrier to candidacy.
In
Storer v. Brown, 415 U.S. at
415 U. S.
733-737, we upheld a statute that imposed a flat
disqualification upon any candidate seeking to run in a party
primary if he had been registered or affiliated with another
political party within the 12 months preceding his declaration of
candidacy. Similarly, we upheld a 7-year durational residency
requirement for candidacy
Page 457 U. S. 968
in
Chimento v. Stark, 414 U.S. 802 (1973),
summarily aff'g 353 F.
Supp. 1211 (NH). We conclude that this sort of insignificant
interference with access to the ballot need only rest on a rational
predicate in order to survive a challenge under the Equal
Protection Clause.
See Illinois State Bd. of Elections v.
Socialist Workers Party, 440 U.S. at
440 U. S. 189
(STEVENS, J., concurring in part and in judgment).
Section 19 clearly rests on a rational predicate. That provision
furthers Texas' interests in maintaining the integrity of the
State's Justices of the Peace. [
Footnote 5] By prohibiting candidacy for the legislature
until completion of one's term of office, § 19 seeks to ensure
that a Justice of the Peace will neither abuse his position nor
neglect his duties because of his aspirations for higher office.
The demands of a political campaign may tempt a Justice of the
Peace to devote less than his full time and energies to the
responsibilities of his office. A campaigning Justice of the Peace
might be tempted to render decisions and take actions that might
serve more to further his political ambitions than the
responsibilities of his office. The State's interests are
especially important with regard to judicial officers. It is a
serious accusation to charge a judicial officer with making a
politically motivated decision. By contrast, it is to be expected
that a legislator will vote with due regard to the views of his
constituents.
Texas has a legitimate interest in discouraging its Justices of
the Peace from vacating their current terms of office. By requiring
Justices of the Peace to complete their current terms of office,
the State has eliminated one incentive to vacate one's office prior
to the expiration of the term. The State may act to avoid the
difficulties that accompany interim elections and appointments.
"[T]he Constitution does not require the State to choose
ineffectual means to achieve its
Page 457 U. S. 969
aims."
Storer v. Brown, supra, at
415 U. S. 736.
Under traditional equal protection principles, a classification is
not deficient simply because the State could have selected another
means of achieving the desired ends.
Massachusetts Bd. of
Retirement v. Murgia, 427 U. S. 307,
427 U. S. 316
(1976);
Mathews v. Diaz, 426 U. S. 67,
426 U. S. 83
(1976);
San Antonio Independent School Dist. v. Rodriguez,
411 U.S. at
411 U. S. 51.
Finally, it is no argument that § 19 is invalid because it
burdens only those officeholders who desire to run for the
legislature. In
Broadrick v. Oklahoma, 413 U.
S. 601,
413 U. S. 607,
n. 5 (1973), we rejected the contention that Oklahoma's
restrictions on political activity by public employees violated the
Equal Protection Clause:
"Appellants also claim that § 818 violates the Equal
Protection Clause of the Fourteenth Amendment by singling out
classified service employees for restrictions on partisan political
expression while leaving unclassified personnel free from such
restrictions. The contention is somewhat odd in the context of
appellants' principal claim, which is that § 818 reaches too
far, rather than not far enough. In any event, the legislature must
have some leeway in determining which of its employment positions
require restrictions on partisan political activities and which may
be left unregulated.
See McGowan v. Maryland, 366 U. S.
420 (1961). And a State can hardly be faulted for
attempting to limit the positions upon which such restrictions are
placed."
It would indeed be a perversion of the Equal Protection Clause
were we to conclude that Texas must restrict a Justice of the
Peace's candidacy for
all offices before it can restrict a
Justice of the Peace's candidacy for any office.
The Equal Protection Clause allows the State to regulate "one
step at a time, addressing itself to the phase of the problem which
seems most acute."
Williamson v. Lee Optical Co., 348 U.S.
at
348 U. S. 489.
The State
"need not run the risk
Page 457 U. S. 970
of losing an entire remedial scheme simply because it failed,
through inadvertence or otherwise, to cover every evil that might
conceivably have been attacked."
McDonald v. Board of Election Comm'rs, 394 U.S. at
394 U. S. 809
(citation omitted).
B
Article XVI, § 65, of the Texas Constitution provides that
the holders of certain offices automatically resign their positions
if they become candidates for any other elected office, unless the
unexpired portion of the current term is one year or less. The
burdens that § 65 imposes on candidacy are even less
substantial than those imposed by § 19. The two provisions, of
course, serve essentially the same state interests. The District
Court found § 65 deficient, however, not because of the nature
or extent of the provision's restriction on candidacy, but because
of the manner in which the offices are classified. According to the
District Court, the classification system cannot survive equal
protection scrutiny, because Texas has failed to explain
sufficiently why some elected public officials are subject to
§ 65 and why others are not. As with the case of § 19, we
conclude that § 65 survives a challenge under the Equal
Protection Clause unless appellees can show that there is no
rational predicate to the classification scheme.
The history behind § 65 shows that it may be upheld
consistent with the "one step at a time" approach that this Court
has undertaken with regard to state regulation not subject to more
vigorous scrutiny than that sanctioned by the traditional
principles. Section 65 was enacted in 1954 as a transitional
provision applying only to the 1954 election. 2 G. Braden, The
Constitution of the State of Texas: An Annotated and Comparative
Analysis 812 (1977). Section 65 extended the terms of those offices
enumerated in the provision from two to four years. The provision
also staggered the terms of other offices so that at least some
county and local offices would be contested at each election.
Ibid. The automatic
Page 457 U. S. 971
resignation proviso to § 65 was not added until 1958. In
that year, a similar automatic resignation provision was added in
Art. XI, § 11, which applies to officeholders in home rule
cities who serve terms longer than two years. Section 11 allows
home rule cities the option of extending the terms of municipal
offices from two to up to four years.
Thus, the automatic resignation provision in Texas is a creature
of the State's electoral reforms of 1958. That the State did not go
further in applying the automatic resignation provision to those
officeholders whose terms were not extended by § 11 or §
65, absent an invidious purpose, is not the sort of malfunctioning
of the State's lawmaking process forbidden by the Equal Protection
Clause.
See McDonald v. Board of Election Comm'rs, supra,
at
394 U. S. 809.
A regulation is not devoid of a rational predicate simply because
it happens to be incomplete.
See Williamson v. Lee Optical Co.,
supra, at
348 U. S. 489.
The Equal Protection Clause does not forbid Texas to restrict one
elected officeholder's candidacy for another elected office unless
and until it places similar restrictions on other officeholders.
Broadrick v. Oklahoma, 413 U.S. at
413 U. S. 607,
n. 5.
Cf. Minnesota v. Clover Leaf Creamery Co.,
449 U. S. 456,
449 U. S. 466
(1981). The provision's language and its history belie any notion
that § 65 serves the invidious purpose of denying access to
the political process to identifiable classes of potential
candidates.
V
As an alternative ground to support the judgments of the courts
below, appellees contend that § 19 and § 65 violate the
First Amendment. Our analysis of appellees' challenge under the
Equal Protection Clause disposes of this argument. We have
concluded that the burden on appellees' First Amendment interests
in candidacy are so insignificant that the classifications of
§ 19 and § 65 may be upheld consistent with traditional
equal protection principles. The State's interests in this regard
are sufficient to warrant the
de
Page 457 U. S. 972
minimis interference with appellees' interests in
candidacy. [
Footnote 6]
There is another reason why appellees' First Amendment challenge
must fail. Appellees are elected state officeholders who contest
restrictions on partisan political activity. Section 19 and §
65 represent a far more limited restriction on political activity
than this Court has upheld with regard to civil servants.
See
CSC v. Letter Carriers, 413 U. S. 548
(1973);
Broadrick v. Oklahoma, supra; United Public Workers v.
Mitchell, 330 U. S. 75
(1947). These provisions in no way restrict appellees' ability to
participate in the political campaigns of third parties. They limit
neither political contributions nor expenditures. They do not
preclude appellees from holding an office in a political party.
Consistent with § 19 and § 65, appellees may distribute
campaign literature and may make speeches on behalf of a
candidate.
In this case, § 19 operates merely to require appellee Baca
to await the conclusion of his 4-year term as Justice of the Peace
before he may run for the Texas Legislature. By virtue of §
65, appellees in this case will automatically resign their current
offices if they announce their candidacy for higher judicial office
so long as the unexpired term of their current office exceeds one
year. In this sense, § 19 and § 65 are, in reality, no
different than the provisions we upheld in
Mitchell, Letter
Carriers, and
Broadrick, which required dismissal of
any civil servant who became a political candidate.
See
413 U.S. at
413 U. S. 556;
413 U.S. at
413 U. S.
617.
Neither the Equal Protection Clause nor the First Amendment
authorizes this Court to review in cases such as this the manner in
which a State has decided to govern itself. Constitutional
limitations arise only if the classification scheme is
Page 457 U. S. 973
invidious or if the challenged provision significantly impairs
interests protected by the First Amendment. Our view of the wisdom
of a state constitutional provision may not color our task of
constitutional adjudication.
The judgment of the Court of Appeals is
Reversed.
[
Footnote 1]
Section 65 covers District Clerks, County Clerks, County Judges,
County Treasurers, Criminal District Attorneys, County Surveyors,
Inspectors of Hides and Animals, County Commissioners, Justices of
the Peace, Sheriffs, Assessors and Collectors of Taxes, District
Attorneys, County Attorneys, Public Weighers, and Constables.
Section 65 altered the terms of these offices.
See infra
at
457 U. S.
970.
[
Footnote 2]
Bullock v. Carter, 405 U. S. 134
(1972);
Lubin v. Panish, 415 U. S. 709
(1974).
[
Footnote 3]
A litigant has standing to challenge the constitutionality of a
statute only insofar as it adversely affects his own rights.
Ulster County Court v. Allen, 442 U.
S. 140,
442 U. S.
154-155 (1979).
"Embedded in the traditional rules governing constitutional
adjudication is the principle that a person to whom a statute may
constitutionally be applied will not be heard to challenge that
statute on the ground that it may conceivably be applied
unconstitutionally to others, in other situations not before the
Court."
Broadrick v. Oklahoma, 413 U.
S. 601,
413 U. S. 610
(1973). Therefore, Baca may not argue that § 19 may not be
applied to restrict a Justice of the Peace's candidacy for the
legislature because the State's interests in restricting candidacy
by a different class of officeholders are insufficient to survive
constitutional scrutiny.
See Storer v. Brown, 415 U.
S. 724,
415 U. S. 737
(1974).
Cf. Cabell v. Chavez-Salido, 454 U.
S. 432,
454 U. S. 442
(1982).
[
Footnote 4]
In the case of local elected officials whose terms of office
typically end in nonelection years, the "waiting period" of §
19 is even shorter.
[
Footnote 5]
The State's particular interest in maintaining the integrity of
the judicial system could support § 19 even if such a
restriction could not survive constitutional scrutiny with regard
to any other officeholder.
See n 3,
supra.
[
Footnote 6]
Baca may not utilize the "overbreadth" doctrine to challenge
§ 19. Baca may not challenge the provision's application to
him on the grounds that the provision might be unconstitutional as
applied to a class of officeholders not before the Court.
Broadrick v. Oklahoma, 413 U.S. at
413 U. S.
612-616. The First Amendment will not suffer if the
constitutionality of § 19 is litigated on a case-by-case
basis.
JUSTICE STEVENS, concurring in part and concurring in the
judgment.
In cases presenting issues under the Equal Protection Clause,
the Court often plunges directly into a discussion of the "level of
scrutiny" that will be used to review state action that affects
different classes of persons differently. Unfortunately, that
analysis may do more to obfuscate than to clarify the inquiry. This
case suggests that a better starting point may be a careful
identification of the character of the federal interest in equality
that is implicated by the State's discriminatory classification. In
my opinion, the disparate treatment in this case is not
inconsistent with any federal interest that is protected by the
Equal Protection Clause. With respect to the state action at issue,
there is no federal requirement that the different classes be
treated as though they were the same.
It is first helpful to put to one side the claim that the
burdens imposed on certain Texas officeholders are inconsistent
with the First Amendment. I am satisfied that the State's interest
in having its officeholders faithfully perform the public
responsibilities they have voluntarily undertaken is adequate to
justify the restrictions placed on their ability to run for other
offices. Nor is the First Amendment violated by the fact that the
restrictions do not apply equally to all offices; while that
Amendment requires a State's treatment of speech to be evenhanded,
there is no suggestion here that the State's classification of
offices operates to promote a certain viewpoint at the expense of
another. The federal constitutional inquiry thus is limited to the
question whether the
Page 457 U. S. 974
State's classification offends any interest in equality that is
protected by the Equal Protection Clause.
In considering that question, certain preliminary observations
are important. The complaining officeholders do not object to the
fact that they are treated differently from members of the general
public. [
Footnote 2/1] The only
complaint is that certain officeholders are treated differently
from other officeholders. Moreover, appellees do not claim that the
classes are treated differently because of any characteristic of
the persons who happen to occupy the various offices at any
particular time or of the persons whom those officeholders serve;
there is no suggestion that the attributes of the offices have been
defined to conceal an intent to discriminate on the basis of
personal characteristics or to provide governmental services of
differing quality to different segments of the community. In this
case, the disparate treatment of different officeholders is
entirely a function of the different offices that they occupy.
The question presented then is whether there is any federal
interest in requiring a State to define the benefits and burdens of
different elective state offices in any particular manner. In my
opinion, there is not. As far as the Equal Protection Clause is
concerned, a State may decide to pay a justice of the peace a
higher salary than a Supreme Court justice. It may require game
wardens to work longer hours than park rangers. It may require meat
inspectors to wear uniforms without requiring building inspectors
to do so. In addition, I see no reason why a State may not provide
that certain offices will be filled on a part-time basis and that
others will be filled by persons who may not seek other office
until they have fulfilled their duties in the first. There may be
no explanation for these classifications that a federal judge
Page 457 U. S. 975
would find to be "rational." But they do not violate the Equal
Protection Clause, because there is no federal requirement that a
State fit the emoluments or the burdens of different elective state
offices into any particular pattern. [
Footnote 2/2] The reason, then, that appellees may be
treated differently from other officeholders is that they occupy
different offices.
Cf. Illinois State Bd. of Elections v.
Socialist Workers Party, 440 U. S. 173,
440 U. S. 189
(STEVENS, J., concurring in part and in judgment). [
Footnote 2/3]
As in so many areas of the law, it is important to consider each
case individually. In the situation presented, however, I believe
that there is no federal interest in equality that requires the
State of Texas to treat the different classes as though they were
the same. [
Footnote 2/4] This
reasoning brings me to the same conclusion that JUSTICE REHNQUIST
has reached. It avoids, however, the danger of confusing two quite
different
Page 457 U. S. 976
questions. [
Footnote 2/5]
JUSTICE REHNQUIST has demonstrated that there is a "rational basis"
for imposing the burdens at issue on the offices covered by
§§ 19 and 65. He has not, however, adequately explained
the reasons, if any, for imposing those burdens on some offices,
but not others. With respect to the latter inquiry, the plurality
is satisfied to note that the State may approach its goals "one
step at a time."
Ante at
457 U. S. 969,
457 U. S. 970.
In my judgment, this response is simply another way of stating that
there need be no justification at all for treating two classes
differently during the interval between the first step and the
second step -- an interval that, of course, may well last forever.
Although such an approach is unobjectionable in a case involving
the differences between different public offices, I surely could
not subscribe to JUSTICE REHNQUIST's formulation of the standard to
be used in evaluating state legislation that treats different
classes of persons differently. [
Footnote 2/6] Accordingly, while I join the Court's
judgment, I join only Parts I, II, and V of JUSTICE REHNQUIST's
opinion.
[
Footnote 2/1]
The fact that appellees hold state office is sufficient to
justify a restriction on their ability to run for other office that
is not imposed on the public generally.
[
Footnote 2/2]
The Federal Constitution does, of course, impose significant
constraints on a state government's employment practices. For
example, the First Amendment limits the State's power to discharge
employees who make controversial speeches.
Pickering v. Board
of Education, 391 U. S. 563. The
Due Process Clause affords procedural safeguards to tenured
employees.
Board of Regents v. Roth, 408 U.
S. 564. The Equal Protection Clause prohibits the State
from classifying applicants for employment in an arbitrary manner.
Sugarman v. Dougall, 413 U. S. 634. I
find no comparable federal interest, however, in this case.
[
Footnote 2/3]
In
Vance v. Bradley, 440 U. S. 93, the
Court held that a statutory classification that treated employees
of the Foreign Service differently from employees of the Civil
Service did not violate the equal protection component of the Due
Process Clause of the Fifth Amendment. In my view, such a
classification -- without more -- could not violate equal
protection requirements.
[
Footnote 2/4]
In defining the interests in equality protected by the Equal
Protection Clause, one cannot ignore the State's legitimate
interest in structuring its own form of government. The Equal
Protection Clause certainly was not intended to require the States
to justify every decision concerning the terms and conditions of
state employment according to some federal standard.
[
Footnote 2/5]
See Westen, The Empty Idea of Equality, 95 Harv.L.Rev.
537 (1982). Professor Westen's article is valuable because it
illustrates the distinction between concern with the substantive
import of a state restriction and concern with any disparate impact
that it may produce. In recognizing that distinction, however, it
is important not to lose sight of the fact that the Equal
Protection Clause has independent significance in protecting the
federal interest in requiring States to govern impartially.
[
Footnote 2/6]
The plurality frames the test that should ordinarily be applied
in this way:
"Classifications are set aside only if they are based solely on
reasons totally unrelated to the pursuit of the State's goals and
only if no grounds can be conceived to justify them."
Ante at
457 U. S.
963.
JUSTICE BRENNAN, with whom JUSTICE MARSHALL and JUSTICE BLACKMUN
join, and with whom JUSTICE WHITE joins as to Part I,
dissenting.
In rejecting appellees' equal protection challenge on the basis
that the State is proceeding "one step at a time," the plurality
today gives new meaning to the term "legal fiction." [
Footnote 3/1]
Page 457 U. S. 977
The Court's summary dismissal of appellees' First Amendment
claim vastly oversimplifies the delicate accommodations that must
be made between the interests of the State as employer and the
constitutionally protected rights of state employees. I
dissent.
I
Putting to one side the question of the proper level of equal
protection scrutiny to be applied to these restrictions on
candidacy for public office, [
Footnote
3/2] I find it clear that no genuine justification
Page 457 U. S. 978
exists that might support the classifications embodied in either
Art. III, § 19, or Art. XVI, § 65.
The State seeks to justify both provisions on the basis of its
interest in discouraging abuse of office and neglect of duties by
current officeholders campaigning for higher office during their
terms. The plurality posits an additional justification not
asserted by the State for § 19: that section also discourages
certain officeholders "from vacating their current terms of
office."
Ante at
457 U. S. 968.
But neither the State nor the plurality offers any justification
for
differential treatment of various classes of
officeholders, and the search for such justification makes clear
that the classifications embodied in these provisions lack any
meaningful relationship to the State's asserted or supposed
interests.
Article III, § 19, provides:
"No judge of any court, Secretary of State, Attorney General,
clerk of any court of record, or any person holding a lucrative
office under the United States, or this state, or any foreign
government shall during the term for which he is elected or
appointed, be eligible to the Legislature."
And the Texas Election Code provides that persons ineligible to
hold an office shall not be permitted to campaign for that office.
Tex.Rev.Civ.Stat.Ann., Arts. 1.05, 1.06 (Vernon Supp.1982). Article
III, § 19, creates, in effect, two classes of officeholders.
Officeholders of state, federal, and even foreign offices seeking
Texas
legislative office whose terms overlap with the
legislative term are barred from campaigning
Page 457 U. S. 979
during their terms, and even after they have resigned,
see 457
U.S. 957fn3/4|>n. 4,
infra; those officeholders
seeking any other office and those officeholders whose terms do not
overlap the legislative term are free to launch campaigns from
their current offices, even while they still hold office.
What relationship does the plurality find between the burden
placed on the class of all state, federal, and foreign
officeholders seeking legislative seats and the asserted state
interests? If it faced the question, the plurality would, of
course, have to acknowledge that Texas has no interest in
protecting, for example, federal officials -- particularly those
serving the electorate of another State -- from the corrupting
influence of a state legislative campaign. The only conceivable
state interest in barring these candidacies would be the purely
impermissible one of protecting Texas legislative seats against
outside competition. But the plurality does not address this
question or purport to find any justification for the broad reach
of § 19. Instead, it defines the equal protection challenge to
§ 19 as "whether § 19 may be applied to a [Texas] Justice
of the Peace,"
ante at
457 U. S. 966,
and acknowledges that § 19 would not necessarily survive
constitutional scrutiny with regard to any other officeholder,
ante at
457 U. S. 968,
n. 5. The plurality defines the question in this manner because
Baca, the appellee challenging this provision, is a Justice of the
Peace. But the state has defined the class of persons restricted by
§ 19 as all persons "holding a lucrative office under the
United States, or [Texas], or any foreign government." And it has
always been my understanding that "
[e]qual protection' . . .
emphasizes disparity in treatment by a State between classes of
individuals," in contrast to "`[d]ue process'," which
"emphasizes fairness between the State and the individual
dealing with the State, regardless of how other individuals in the
same situation may be treated."
Ross v. Moffitt, 417 U. S. 600,
417 U. S. 609
(1974). Accordingly, our equal protection cases have always
assessed the legislative purpose in light of the class as the
legislature has drawn it, rather than on the basis
Page 457 U. S. 980
of some judicially drawn subclass for which it is possible to
posit some legitimate purpose for discriminatory treatment.
See, e.g., Lubin v. Panish, 415 U.
S. 709,
415 U. S.
717-718 (1974). [
Footnote
3/3] When the class of persons burdened by § 19, as the
State has drawn it, is viewed in light of the asserted purposes of
discouraging abuse of office and neglect of duty, it is beyond
dispute that the class is substantially overbroad.
The plurality cannot, in the same manner that it avoids the
overbreadth of the class, avoid the irrationality in the fact that
§ 19 applies
only to candidacy for the Texas
Legislature. Officeholders are free to run for President, the
United States Senate, governor, mayor, city council, and many other
offices. The distracting and corrupting effects of campaigning are
obviously present in all campaigns, not only those for the
legislature. The plurality responds to this characteristic of the
legislative scheme by stating that "[t]he Equal Protection Clause
allows the State to regulate
one step at a time. . . .'"
Ante at 457 U. S. 969,
quoting Williamson v. Lee Optical Co., 348 U.
S. 483, 348 U. S. 489
(1955). But the record in this case belies any assertion by the
State that it is proceeding "one step at a time." Article III,
§ 19, has existed in its present form since 1876. There is no
legislative history to explain its intended purpose or to suggest
that it is part of a larger, more equitable regulatory scheme.
[Footnote 3/4] And in the 106 years
that
Page 457 U. S. 981
have passed since § 19's adoption, the Texas Legislature
has adopted no comparable bar to candidacy for other offices.
A state legislature may implement a program step by step, and an
underinclusive regulation may be upheld where the record
demonstrates that such "one step at a time" regulation is, in fact,
being undertaken.
See, e.g., Minnesota v. Clover Leaf Creamery
Co., 449 U. S. 456,
449 U. S.
465-466 (1981);
McDonald v. Board of Election
Comm'rs, 394 U. S. 802,
394 U. S.
809-811 (1969). I cannot subscribe, however, to the
plurality's wholly fictional one-step-at-a-time justification. As
JUSTICE STEVENS points out in his concurrence, the plurality's
one-step-at-a-time response in this case
"is simply another way of stating that there need be no
justification at all for treating two classes differently during
the interval between the first step and the second step -- an
interval that, of course, may well last forever."
Ante at
457 U. S.
976.
Section 19's haphazard reach and isolated existence strikes me
as the very sort of "arbitrary scheme or plan" that we
distinguished from an as-yet-uncompleted design in
McDonald v.
Board of Election Comm'rs, supra, at
394 U. S. 811,
a case the plurality relies on to support the classification in
this case,
see ante at
457 U. S. 971.
In
McDonald, the record demonstrated that, in providing
absentee ballots to certain classes of persons, the State was, in
fact, proceeding step by step. The State had demonstrated
"a consistent and laudable state policy of adding,
Page 457 U. S. 982
over a 50-year period, groups to the absentee coverage as their
existence comes to the attention of the legislature."
394 U.S. at
394 U. S. 811.
Article III, § 19, stands in stark contrast to the provision
reviewed in
McDonald. In this case, it is pure fiction for
the plurality to declare that § 19 is one step in a broader
and more equitable scheme that, due to legislative delay and
inadvertence, is yet to be completed.
Appellants, unlike the plurality, at least attempt to justify
the distinction between legislative campaigns and other campaigns.
They argue that an officeholder-candidate will not enforce
legislative policy if he or she is campaigning for a
legislative seat. Brief for Appellants 9. But this attempted
justification is unpersuasive. Appellants' argument apparently
rests on the tenuous premise that a candidate is likely to choose
the strategy of undermining the program of an incumbent opponent in
order to advance his own prospects. It is plain that whatever force
there is to this premise cannot be limited to a candidate for the
legislature; it may as logically be argued that a judge will
further his ambition for higher judicial office by failing to
follow judicial decisions of a higher court, or that a state
legislator with gubernatorial aspirations will use his present
position to sabotage the program of the present administration.
Even assuming that the State has a particular interest in
protecting state
legislative policy, and accepting
appellants' somewhat dubious premise, it is still apparent to me
that this asserted purpose is ill-served by the group of
officeholders covered by § 19. Only those officeholders whose
terms happen to
overlap with the legislative term are
prohibited from running for the legislature. [
Footnote 3/5] The
Page 457 U. S. 983
District Court noted that this prohibition is most likely to bar
the candidacy of mayors and city councilmen -- persons who have
little, if anything, to do with carrying out state legislative
policy.
Fashing v. Moore, 489 F.
Supp. 471, 475 (WD Tex.1980). Appointed administrators,
District Attorneys, and District Judges -- to name just a few --
whose terms do not overlap with that of the legislature, but who
are directly charged with carrying out legislative policy, are left
free to campaign for the legislature while remaining in office.
See, e.g., Chapa v. Whittle, 536 S.W.2d 681
(Tex.Civ.App.1976). It is thus clear that the prohibition on
legislative campaigns in § 19 furthers in no substantial way
the State's asserted interest in fidelity to legislative policy. In
short, I can discern neither in the appellants' argument nor in the
plurality's hypothesis any rational basis for the discriminatory
burden placed upon this class of potential candidates.
I turn now to Art. XVI, § 65. That section applies only to
persons holding any of approximately 16 enumerated offices.
[
Footnote 3/6] With respect to
persons holding these offices, Art. XVI, § 65, provides:
"[I]f any of the officers named herein shall announce their
candidacy, or shall in fact become a candidate, in any General,
Special or Primary Election for any office of profit or trust under
the laws of this State or the United States other than the office
then held, at any time when the unexpired term of the office then
held shall exceed
Page 457 U. S. 984
one (1) year, such announcement or such candidacy shall
constitute an automatic resignation of the office then held. . .
."
Other officeholders, performing similar, if not identical,
duties, are not within the reach of this or any similar
restriction, and are thus free to campaign for one office while
holding another. Article XVI, § 65, while lacking § 19's
broad sweep into areas completely beyond the purview of the State's
concerns, restricts the candidacy only of an unexplained and
seemingly inexplicable collection of administrative, executive, and
judicial officials. The only distinguishing features of the
officeholders collected in § 65 is that, in 1954, their terms
of office were increased from two to four years, and they all
happen to be precinct, county, and district officials, as opposed
to members of the legislature or statewide elected officials.
See 2 G. Braden, The Constitution of the State of Texas:
An Annotated and Comparative Analysis 813 (1977). Neither
appellants nor the plurality offer any explanation why the State
has a greater interest in having the undivided attention of a
"Public Weigher" than of a state criminal court judge, or any
reason why the State has a greater interest in preventing the abuse
of office by an "Inspector of Hides and Animals," than by a justice
of the Texas Supreme Court. Yet, in each instance, § 65
applies to the former office, and not to the latter. Again the
plurality opines that the State is legislating "one step at a
time." But while Art. XVI, § 65, is of more recent vintage
than Art. III, § 19, it has been part of the Texas
Constitution for 24 years without prompting any corresponding rule
applicable to holders of statewide office. Thus § 65, like
§ 19, cannot in any realistic sense be upheld as one step in
an evolving scheme.
In short, in my view, neither Art. III, § 19, nor Art. XVI,
§ 65, can survive even minimal equal protection scrutiny.
[
Footnote 3/7]
Page 457 U. S. 985
II
I also believe that Art. III, § 19, violates the First
Amendment. The Court dismisses this contention by stating that this
provision is a more limited restriction on political activities of
public employees than we have upheld in prior cases. But none of
our precedents presented a restriction on campaigning that applied
even
after an official had resigned from public office, or
to officials who did not serve in the regulating government.
Moreover, the Court does not go on to address what is, for me, the
crucial question: what justification does the State have for this
restriction, and how does this provision address the State's
asserted interests?
The Court acknowledges that Art. III, § 19, restrains
government employees' pursuit of political office. Such pursuit is
clearly protected by the First Amendment, and restrictions on it
must be justified by the State's interest in ensuring the continued
proper performance of current public duties. As the Court notes,
similar competing considerations were considered in
CSC v.
Letter Carriers, 413 U. S. 548
(1973),
Broadrick v. Oklahoma, 413 U.
S. 601 (1973), and
United Public Workers v.
Mitchell, 330 U. S. 75
(1947).
In
United Public Workers, the Court upheld § 9(a)
of the Hatch Act, 5 U.S.C. § 7324(a)(2), which prohibits
certain federal civil service employees from taking "an active part
in political management or political campaigns." In
Letter
Carriers,
Page 457 U. S. 986
the Court reaffirmed
United Public Workers, and in
Broadrick, the Court upheld a similar state provision. In
these cases, the Court determined that the restrictions were
necessary to foster and protect efficient and effective government
by keeping partisan politics out of the civil service. The Court
recognized that
"the government has an interest in regulating the conduct and
'the speech of its employees that differ[s] significantly from
those it possesses in connection with regulation of the speech of
the citizenry in general.'"
Letter Carriers, supra, at
413 U. S. 564,
quoting
Pickering v. Board of Education, 391 U.
S. 563,
391 U. S. 568
(1968).
At the same time, this Court has unequivocally rejected the
premise that one surrenders the protection of the First Amendment
by accepting the responsibilities of public employment.
Elrod
v. Burns, 427 U. S. 347
(1976);
Pickering v. Board of Education, supra. And the
Court has clearly recognized that restrictions on candidacy impinge
on First Amendment rights.
See, e.g., Illinois State Bd. of
Elections v. Socialist Workers Party, 440 U.
S. 173 (1979);
Lubin v. Panish, 415 U.
S. 709 (1974);
American Party of Texas v.
White, 415 U. S. 767
(1974);
Bullock v. Carter, 405 U.
S. 134,
405 U. S.
142-143 (1972);
Williams v. Rhodes,
393 U. S. 23,
393 U. S. 34
(1968). [
Footnote 3/8] Our
precedents establish the guiding principle for applying the
strictures of the First Amendment to restrictions of expressional
conduct of state employees: the Court must arrive at an
accommodation "
between the interests of the [employee]
Page 457 U. S.
987
. . . and the interest of the [government], as an
employer.'" CSC v. Letter Carriers, supra, at 413 U. S. 564,
quoting Pickering v. Board of Education, supra, at
391 U. S. 568.
And in striking the required balance, "[t]he gain to the
subordinating interest provided by the means must outweigh the
incurred loss of protected rights." Elrod v. Burns, supra,
at 427 U. S. 362
(plurality opinion). See also United Public Workers v.
Mitchell, supra, at 330 U. S. 96.
[Footnote 3/9]
In undertaking this balance, I acknowledge, of course, that the
State has a vital interest in ensuring that public officeholders
perform their duties properly, and that a State requires
substantial flexibility to develop both direct and indirect methods
of serving that interest. But if the State's interest is not
substantially furthered by the challenged restrictions, then the
restrictions are an unnecessary intrusion into employee rights. If
the restriction is effective, but interferes with protected
activity more than is reasonably necessary to further the asserted
state interest, then the over-intrusive aspects of the restriction
lack constitutional justification. In short, to survive scrutiny
under the First Amendment, a restriction on political campaigning
by government employees must be narrowly tailored and substantially
related to furthering the State's asserted interests.
It is clear to me that Art. III, § 19, is not narrowly
tailored to conform to the State's asserted interests. Nor does it
further those interests in a meaningful way. I have discussed
briefly the broad sweep, and thus the absence of narrow tailoring,
of § 19 in Part I,
supra. Section 19 bars the
candidacy of a wide class of state, federal, and foreign
officeholders. The offices enumerated in § 19 include the
judges of all courts, the Secretary of State, the Attorney General,
the
Page 457 U. S. 988
clerks of any court of record, and all persons holding any
"lucrative" office under the United States, Texas, or any foreign
government. Section 19, by its terms, would bar, for example, a
retired United States District Court Judge, appointed for life,
whose District was outside of Texas, from running for the Texas
State Legislature. The Texas courts have interpreted "lucrative"
broadly enough to include any office that yields profit, gain,
revenue, or salary, regardless of the adequacy of the compensation.
See Willis v. Potts, 377 S.W.2d
622, 625-627 (Tex.1964). The state courts have also held that
offices created by political bodies subordinate to the State, such
as cities, are covered by § 19.
See id. at
624-625.
Section 19 is not merely a resign-to-run law, or a prohibition
on dual officeholding. Rather, the Texas Supreme Court has
construed the phrase "during the term for which he was elected or
appointed" to bar candidacy for the legislature even
after
an official has resigned from his current office.
See
457
U.S. 957fn3/4|>n. 4,
supra. As one commentator has
noted, § 19
"has trapped the unwary who believed (not unreasonably) that, by
resigning their present office, they would be eligible to run for
the legislature."
1 G. Braden, The Constitution of the State of Texas: An
Annotated and Comparative Analysis 135 (1977).
In many of its applications, § 19 has absolutely
no connection to Texas' interest in how Texas public
officials perform their current duties. This provision applies to
persons holding office under the United States or any foreign
government, and would thus bar a person holding
federal
office from resigning from that office and running for the Texas
Legislature. [
Footnote 3/10] Even
with respect to persons who, like Baca, are
Page 457 U. S. 989
currently Texas public officials, § 19 continues to operate
after their resignations from current positions have taken effect
and their responsibility to the Texas electorate has ceased. A
provision, directed only at Texas officeholders, that gave those
officeholders a choice between resigning and serving out their
current terms would serve all of the asserted state interests; yet
Texas has inexplicably chosen this far more restrictive
alternative. [
Footnote 3/11]
The same irrationality evident to me when I analyzed § 19
under the Equal Protection Clause convinces me that it is not
substantially related to furthering the asserted state interests.
Appellants contend that § 19 promotes attention to
Page 457 U. S. 990
current duties by officeholders and prevents abuse of their
current office in the attempt to further political aspirations. But
§ 19 prohibits the enumerated officeholders from engaging only
in Texas legislative campaigns. It has absolutely no effect on an
officeholder who misuses his current office in order to undertake a
campaign for any other office. Even if no improper motive underlies
the restriction, it is obvious that § 19 is far more likely to
discourage officeholders from running for the state legislature
than it is to encourage them to serve properly in their current
positions.
See supra at
457 U. S.
980-983.
In sum, the prohibition of § 19 furthers in no substantial
way any of the asserted state interests said to support it, and is
not narrowly tailored to avoid unnecessary interference with the
First Amendment interests of government employees. Accordingly, in
my view, this provision is invalid as an unjustified infringement
on appellees' First Amendment rights. [
Footnote 3/12]
Because the Court finds neither an equal protection nor a First
Amendment violation in either of these restrictions on candidacy, I
respectfully dissent.
[
Footnote 3/1]
I note that a majority of the Court today rejects the
plurality's mode of equal protection analysis.
See ante at
457 U. S. 976
(STEVENS, J., concurring in part and in judgment).
[
Footnote 3/2]
It is worth noting, however, that the plurality's analysis of
the level of scrutiny to be applied to these restrictions gives too
little consideration to the impact of our prior cases. Although we
have never defined candidacy as a fundamental right, we have
clearly recognized that restrictions on candidacy impinge on First
Amendment rights of candidates and voters.
See, e.g., Illinois
State Bd. of Elections v. Socialist Workers Party,
440 U. S. 173,
440 U. S. 184
(1979);
Lubin v. Panish, 415 U. S. 709,
415 U. S. 716
(1974);
American Party of Texas v. White, 415 U.
S. 767 (1974);
Bullock v. Carter, 405 U.
S. 134,
405 U. S.
142-143 (1972);
Williams v. Rhodes,
393 U. S. 23,
393 U. S. 31
(1968). With this consideration in mind, we have applied strict
scrutiny in reviewing most restrictions on ballot access; thus we
have required the State to justify any discrimination with respect
to candidacy with a showing that the differential treatment is
"necessary to further compelling state interests."
American
Party of Texas v. White, supra, at
415 U. S. 780.
See also Bullock v. Carter, supra, at
405 U. S. 144.
The plurality dismisses our prior cases as dealing with only two
kinds of ballot access restrictions -- classifications based on
wealth and classifications imposing burdens on new or small
political parties or independent candidates.
Ante at
457 U. S.
964-965. But strict scrutiny was required in those cases
because of their impact on the First Amendment rights of candidates
and voters,
see Storer v. Brown, 415 U.
S. 724,
415 U. S. 729
(1974), not because the class of candidates or voters that was
burdened was somehow suspect.
Compare Lubin v. Panish, 415
U.S. at
415 U. S.
717-718,
with id. at
415 U. S. 719
(Douglas, J., concurring) (strict scrutiny demanded because
classification based on wealth). The plurality offers no
explanation as to why the restrictions at issue here, which
completely bar some candidates from running and require other
candidates to give up their present employment, are less
"substantial" in their impact on candidates and their supporters
than, for example, the $700 filing fee at issue in
Lubin.
In my view, some greater deference may be due the State because
these restrictions affect only public employees,
see
457 U. S.
infra, but this does not suggest that, in subjecting these
classifications to equal protection scrutiny, we should completely
disregard the vital interests of the candidates and the citizens
who they represent in a political campaign.
[
Footnote 3/3]
The plurality's sudden focus on the fairness of the restriction
to the individual, as opposed to the class, is as episodic as it is
novel. For in writing for the Court in
Weinberger v.
Salfi, 422 U. S. 749,
422 U. S. 781
(1975), JUSTICE REHNQUIST refused to hold that an otherwise valid
legislative classification should be
invalidated on the
basis of the characteristics of the individual plaintiff.
[
Footnote 3/4]
Indeed, it may be that Art. III, § 19, was intended to do
no more than prohibit dual officeholding. If it had been so
construed, there would be no equal protection problem, for there
are blanket prohibitions in Texas against holding two elected
offices at the same time.
See Art. II, § 1; Art. XVI,
§ 40. In
Lee v. Daniel, 377 S.W.2d
618 (1964), the Texas Supreme Court construed the language in
§ 19, "during the term for which he was elected or appointed,"
to mean that even after an otherwise qualified candidate for the
legislature had resigned his current position, he could not hold
legislative office. The dissent in
Lee argued that §
19 was simply a prohibition on dual officeholding, and the phrase,
"during the term for which he is elected or appointed," simply
"negates any basis for the contention that a person" who once held
one of the offices covered by the section was still ineligible for
the legislature after the completion of his term.
Id. at
621 (Steakley, J., dissenting). The Texas Supreme Court was unaided
by any legislative history on this provision. We are, of course,
bound by the state court's construction of this state provision,
but I point out its ambiguity to highlight the dubious nature of
the plurality's hypothesis that Art. III, § 19, marks one step
in what will become more complete regulation of a perceived
evil.
[
Footnote 3/5]
For example, in
Lee v. Daniels, supra, a County
Commissioner resigned on February 1, 1964, and he sought thereafter
to run for the legislature. However, his term did not expire until
December 31, 1964; the legislative term commenced in November,
1964, and the court therefore held that his name could not be
placed on the legislative ballot. In contrast, in
Chapa v.
Whittle, 536 S.W.2d 681 (Tex.Civ.App.1976), the Director of a
Social Culture Intervention Program began campaigning in February,
1966. He resigned from his current office in May of that year.
Because the Director had no set term, the complainant could not
show that the Director's term overlapped the legislative term,
beginning in November, 1966, and the court therefore allowed the
Director to run for the legislature.
[
Footnote 3/6]
The assortment of offices restricted by Art. XVI, § 65,
are: District Clerks; County Clerks; various County Judges; County
Treasurers; Criminal District Attorneys; County Surveyors;
Inspectors of Hides and Animals; County Commissioners; Justices of
the Peace; Sheriffs; Assessors and Collectors of Taxes; District
Attorneys; County Attorneys; Public Weighers; and Constables.
[
Footnote 3/7]
JUSTICE STEVENS argues in his concurrence that there is no
federal interest in requiring the State to treat different elective
state offices in a fair and equitable manner.
Ante at
457 U. S. 974.
I agree with JUSTICE STEVENS that the State may define many of the
"benefits and burdens of different elective state offices" in a
dissimilar manner without offering an explanation for the
classifications that a federal judge will find to be rational, so
long as such classifications do not mask any racial or otherwise
impermissible discrimination.
Ibid. But where the
differential treatment concerns a restriction on the right to seek
public office -- a right protected by the First Amendment -- that
Amendment supplies the federal interest in equality that may be
lacking where the State is simply determining salary, hours, or
working conditions of its own employees.
[
Footnote 3/8]
Such restrictions affect not only the expressional and
associational rights of candidates, but those of voters, as well.
Voters generally assert their views on public issues by casting
their ballots for the candidate of their choice. "By limiting the
choices available to voters, the State impairs the voters' ability
to express their political preferences."
Illinois Elections Bd.
v. Socialist Workers Party, 440 U.S. at
440 U. S. 184.
The effect on voters from restrictions on candidacy is illustrated
in this case by the fact that 20 of the appellees are voters who
allege that they would vote for the officeholder appellees were
they to become candidates.
See ante at
457 U. S.
961.
[
Footnote 3/9]
"[T]his Court must balance the extent of the guarantees of
freedom against a congressional enactment to protect a democratic
society against the supposed evil of political partisanship by
classified employees of government."
330 U.S. at
330 U. S.
96.
[
Footnote 3/10]
The Court, citing
Broadrick v. Oklahoma, 413 U.
S. 601,
413 U. S.
612-616 (1973), states that Baca may not utilize the
"overbreadth" doctrine to "challenge the provision's application to
him on the grounds that the provision might be unconstitutional as
applied to a class of officeholders not before the Court."
Ante at
457 U. S. 972,
n. 6. But all that
Broadrick holds is "that the
overbreadth of a statute must not only be real, but substantial as
well, judged in relation to the statute's plainly legitimate
sweep." 413 U.S. at
413 U. S. 615.
In my view, the overbreadth of Art. III, § 19, is clearly
substantial, particularly when its breadth is viewed in
relationship to its relatively tenuous "legitimate sweep."
[
Footnote 3/11]
The less intrusive means for accomplishing the State's goals are
obvious. A statute requiring persons to take a leave of absence
would also preclude an officeholder from misusing his current
office during a campaign.
See Bolin v.
Minnesota, 313 N.W.2d
381, 384 (Minn.1981). Appellants assert an interest in ensuring
that defeated candidates do not return to office and administer
their old position vindictively or halfheartedly. Brief for
Appellants 9. But this would be satisfied by a resign-to-run
statute -- giving candidates a choice between running for a new
office or holding their present position. Appellants suggest that,
even before an actual announcement of candidacy, a potential
candidate may begin to abuse his current office.
Id. at
13. They thus appear to suggest that a resign-to-run provision is
not necessarily adequate, because it allows the candidate to stay
in his current position until his formal announcement of candidacy.
Even if this is a sufficient state concern to justify further
intrusion on the interests of potential candidates, it would be
fully served by a statute that simply required all potential
candidates to resign some period of time before they formally
announced their candidacy for a new office. Unlike the plurality, I
refuse to assume that the State has an interest in having
officeholders who no longer desire to hold their office serve out
their terms.
See ante at
457 U. S.
968-969. Indeed, appellants have not asserted this
interest in this Court or in the courts below.
[
Footnote 3/12]
Article XI, § 65, also affects appellees' right to run for
political office; it has a lesser impact on that right, for it
merely requires that candidates resign before embarking on
political campaigns. Moreover, it bears a more substantial
relationship to the State's asserted purposes, because it bans
political campaigns for all offices. That provision does not, in my
view, violate the First Amendment. Because it applies only to an
inexplicable group of elected officials, it does, however, violate
the Equal Protection Clause.