Court Opinion

ID: 4678801
Source: CourtListenerOpinion
Date Created: 2021-04-20 14:00:32.256673+00
Date Added: 2024-06-11T08:03:46.803030
License: Public Domain

USCA11 Case: 19-11408      Date Filed: 04/20/2021   Page: 1 of 51

                                                                      [PUBLISH]

               IN THE UNITED STATES COURT OF APPEALS

                       FOR THE ELEVENTH CIRCUIT
                         ________________________

                                No. 19-11408
                          ________________________

                  D.C. Docket No. 8:18-cr-00519-RAL-AEP-1

UNITED STATES OF AMERICA,

                                                              Plaintiff - Appellant,

versus

JUAN CARLOS OSORTO,
a.k.a. Jose Angel Soriano-Osorto,

                                                             Defendant – Appellee.

                          ________________________

                  Appeal from the United States District Court
                      for the Middle District of Florida
                        ________________________

                                (April 20, 2021)
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Before MARTIN, ROSENBAUM, and TALLMAN,* Circuit Judges.

ROSENBAUM, Circuit Judge:

       Title 8, United States Code, Section 1326(b) imposes higher maximum

penalties on those who unlawfully reenter the United States if they do so after they

were deported following certain types of convictions. See 8 U.S.C. § 1326(b). We

have suggested two policies that Congress advanced when it enacted (and amended)

this statute: (1) deterrence of those who have committed qualifying crimes from

illegally reentering the United States, see United States v. Adeleke, 968 F.2d 1159,

1160–61 (11th Cir. 1992); and (2) the judgment that unlawful reentry into the United

States after deportation following a qualifying conviction is a more serious crime

than basic illegal reentry, United States v. Alfaro-Zayas, 196 F.3d 1338, 1341 n.5

(11th Cir. 1999) (per curiam). Besides these interests, the Supreme Court has also

concluded that § 1326(b) addresses recidivism. See Almendarez-Torres v. United

States, 523 U.S. 224, 230 (1998).

       In line with § 1326(b), the United States Sentencing Commission issued

§ 2L1.2(b)(2) of the United States Sentencing Guidelines Manual (“U.S.S.G.”).

Before the Sentencing Commission amended that guideline in 2016, § 2L1.2(b)(2)

imposed an enhancement of as much as 16 levels to the offense level for illegal-

       *
         The Honorable Richard C. Tallman, Circuit Judge for the United States Court of Appeals
for the Ninth Circuit, sitting by designation.

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reentry offenses when the defendant had previously been convicted of a single

qualifying crime (other than illegal reentry) before he was deported at an earlier time.

We have held that this guideline, which echoed § 1326(b)’s enhanced penalties for

illegally reentering the United States after being deported following a qualifying

conviction, did not violate noncitizens’ equal-protection rights. See Adeleke, 968

F.2d at 1161.

      When we did so, the Guidelines included no offense enhancement for the very

same illegal-reentry defendant if he committed the same single other crime after he

was deported for illegal reentry but before his current illegal-reentry prosecution.

So in a 2015 study, the Sentencing Commission determined that two otherwise

similarly situated illegal-reentry defendants who had committed the very same other

crime—one before he was deported and one after—could wind up with very

different offense levels: the sentencing range of the one who was convicted before

his deportation could be as much as 23 times higher than that of the one convicted

after his deportation but before his current prosecution for illegal reentry.

      To more equitably reflect culpability and risk of recidivism embodied in

§ 1326(b), in 2016, the Sentencing Commission amended § 2L1.2(b) to decrease the

maximum enhancement, in illegal reentry cases, for a pre-deportation conviction to

10 levels (§ 2L1.2(b)(2)). At the same time, it added a new enhancement of up to

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10 levels for a post-first-deportation conviction incurred before the immediate

illegal-reentry offense (§ 2L1.2(b)(3)).

      Defendant-Appellant Juan Carlos Osorto was convicted of illegal reentry after

the 2016 Guidelines went into effect. Because he had committed other offenses both

before his original deportation and after it, but before his current illegal-reentry

offense, he received offense-level increases under both subsections 2L1.2(b)(2) and

(3). He now challenges both subsections as violations of, among other things, his

equal-protection rights. Osorto (and the Dissent) argue that these guidelines, which

apply to only illegal-reentry offenses, discriminate against noncitizens by counting

their prior convictions twice—once in the offense level and a second time in the

Guidelines’ criminal-history calculation. Meanwhile, Osorto contends, citizens

cannot illegally reenter the United States, and generally, no guidelines for other

offenses count prior convictions in both the offense-level and criminal-history

calculations. So in Osorto’s view, subsections 2L1.2(b)(2) and (3) unlawfully

discriminate against noncitizens.

      We disagree. First, Osorto’s challenge to § 2L1.2(b)(2) is foreclosed by our

binding precedent in the form of Adeleke. Second, Osorto (and the Dissent) consider

the wrong universe of individuals. Subsections 2L1.2(b)(2) and (3) do not apply to

all noncitizens convicted of any crime in the United States; rather, they apply to only

those noncitizens who both have illegally reentered the United States and have been

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convicted of other crimes. This is important because, third, through § 1326(b),

Congress has determined that illegally reentering the United States after being

deported following conviction on another crime is a more serious offense than

simply illegally reentering the United States, and that conduct should be deterred.

The challenged guidelines reflect the national interests that Congress permissibly

has endorsed through its enactment and amendment of § 1326(b). Fourth, Congress

has entrusted the Sentencing Commission with direct responsibility for fostering and

protecting the interests of, among other things, sentencing policy that promotes

deterrence and appropriately punishes culpability and risk of recidivism—the

interests the Sentencing Commission cited in issuing the challenged guidelines.

Finally, subsections 2L1.2(b)(2) and (3) are rationally related to the Commission’s

stated interests in issuing them. So after careful consideration, and with the benefit

of oral argument, we must uphold the guidelines at issue and affirm Osorto’s

sentence.

                                    I. Background

      Osorto pled guilty to a lone count of illegal reentry following a prior

conviction for an aggravated felony, in violation of 8 U.S.C. § 1326(a) and (b)(2).

      His presentence investigation report (“PSR”) noted that Osorto had been

convicted of two prior felonies: one before he was originally deported from the

United States and one after he reentered, but before he pled guilty to the charge in

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this case. Among other things, and in accordance with U.S.S.G. § 2L1.2(b)(2)(A),

the PSR recommended a ten-level increase to Osorto’s base offense level of 8

because Osorto had been convicted of a felony with a sentence of at least five years

before he was deported. And because of his conviction after he was ordered deported

(which occurred after he illegally reentered the United States), the PSR

recommended     an    additional   four-level   increase,     pursuant   to     U.S.S.G.

§ 2L1.2(b)(3)(D). After crediting Osorto for his acceptance of responsibility, the

PSR determined his total offense level to be 19. Based on the same two prior

convictions, the PSR also determined that Osorto had a criminal-history category of

III. As a net effect of these recommendations, the PSR calculated a Guidelines

sentencing range of 37 to 46 months’ imprisonment.

      Osorto filed a sentencing memorandum objecting. He asserted that the

Guidelines placed unreasonable weight on his prior convictions. To address this

problem, Osorto argued, the district court should vary downward by 7 levels to

account for what Osorto described as the double-counting of his prior convictions

under both the offense-level and criminal-history calculations of the Guidelines.

Osorto also preserved an equal-protection challenge to the Guidelines, on the ground

that they treat noncitizens differently (and more harshly) than other offenders.

Nevertheless, Osorto conceded that Adeleke, 968 F.2d 1159, foreclosed his equal-

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protection challenge. Ultimately, Osorto requested a sentence at the upper end of a

proposed sentencing range of 15 to 21 months’ imprisonment.

      At Osorto’s sentencing hearing, the district court adopted the PSR’s factual

statements and Guidelines calculations, and Osorto did not object. As a result, the

district court determined Osorto’s total offense level to be 19 and his criminal-

history category to be III, corresponding to a Guidelines range of 37 to 46 months’

imprisonment. Consistent with his memorandum, Osorto argued for a downward

variance, while the government sought a Guidelines sentence.

      The court imposed a low-end Guidelines sentence of 37 months’

imprisonment and three years’ supervised release. In response, Osorto renewed his

objections that the sentence was substantively unreasonable and violated Osorto’s

right to equal protection. The court overruled Osorto’s objections, and Osorto filed

a timely notice of appeal.

                      II. The Equal-Protection Challenges

      A. Subsections 2L1.2(b)(2) and (3)

      Osorto asserts equal-protection challenges to U.S.S.G. § 2L1.2(b)’s

enhancements, for prior convictions, to the base offense level for illegal reentry. As

relevant here, § 2L1.2(b) imposes separate enhancements for convictions a

defendant incurred both before he was ordered deported or removed for the first time

(U.S.S.G. § 2L1.2(b)(2)) and after he was ordered deported or removed for the first

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time (U.S.S.G. § 2L1.2(b)(3)). Depending on the nature of the prior conviction and

the length of the sentence for that conviction, subsections 2L1.2(b)(2) and (3)

instruct the court to enhance the base offense level by between 2 and 10 levels.

Osorto’s particular pre-deportation felony conviction required a 10-level

enhancement under this framework, see U.S.S.G. § 2L1.2(b)(2)(A), while his post-

deportation felony conviction called for an additional 4-level enhancement, see

U.S.S.G. § 2L1.2(b)(3)(D).

       Though § 2L1.2(b) instructs that these enhancements for prior convictions be

added to increase the offense level, the Guidelines consider the same prior

convictions again and separately for purposes of the criminal-history-category

determination. Osorto argues that subsections 2L1.2(b)(2) and (3) violate his right

to equal protection because non-U.S. citizens convicted of illegal reentry after order

of deportation or removal have their prior convictions counted against them twice

(once in calculating the offense level and once in determining the criminal-history

category), but U.S. citizens, who cannot be convicted of committing illegal reentry

after deportation, generally have their prior convictions held against them only

once 1—in the criminal-history determination.

       1
         Osorto acknowledges that “[a] few other guidelines in Chapter Two [of the Sentencing
Guidelines Manual] enhance the offense level for prior convictions.” Osorto’s Initial Br. at 10 n.4
(citing U.S.S.G. § 2K2.1 (the guideline applicable to felons in possession of firearms)). But he
distinguishes these guidelines from subsections 2L1.2(b)(2) and (3) for two reasons. First, he notes
that the only thing that makes a convicted felon’s possession of a firearm illegal is his prior

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       B. The framework for evaluating equal-protection challenges to federal
          rules that are not enacted by Congress or the President requires us to
          conduct both a due-process inquiry and an equal-protection analysis.

       We review de novo Osorto’s constitutional challenges to subsections

2L1.2(b)(2) and (3) of the Sentencing Guidelines. See United States v. Pressley, 345

F.3d 1205, 1209 (11th Cir. 2003).

       By its terms, the Fourteenth Amendment promises equal protection of state

law. U.S. Const. amend. XIV, § 1. But when it comes to equal protection of federal

law, the Fifth Amendment does that job. Hampton v. Wong, 426 U.S. 88, 100 (1976).

Unlike the Fourteenth Amendment, the Fifth Amendment contains no express equal-

protection clause. But the Fifth Amendment’s guarantee of due process embodies

within it the concept of equal justice under the law. Id.

       We employ the same type of equal-protection analysis under both the Fifth

and the Fourteenth Amendments. Id. Yet the extent of the protections under each

Amendment is not always the same. Id.

       One area where the scope of protections can differ between the Fifth and

Fourteenth Amendments is law that distinguishes between citizens and noncitizens.

criminal history, id., whereas illegal reentry after deportation is unlawful whether the noncitizen
has previously been convicted of another criminal offense or not. Second, he argues that the
enhancements under § 2L1.2(b) for prior convictions are steeper (and therefore harsher) than the
enhancements for prior convictions under other guidelines. Id. For purposes of our analysis, we
assume without deciding that subsections 2L1.2(b)(2) and (3) discriminate against some
noncitizens in ways that other guidelines do not discriminate against citizens (and other
noncitizens).

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See id. at 100–01. That is so because the federal government enjoys the exclusive

authority to control immigration and to regulate the relationship between the United

States and noncitizen visitors. See id. at 101 n.21; Mathews v. Diaz, 426 U.S. 67, 81

(1976). And because questions relating to these areas “are frequently of a character

more appropriate to either the Legislature or the Executive than to the Judiciary[,]

. . . [t]he reasons that preclude judicial review of political questions[] also dictate a

narrow standard of review of decisions made by the Congress or the President in the

area of immigration and naturalization.” Mathews, 426 U.S. at 81–82. So while

state laws that discriminate against noncitizens are subject to strict scrutiny under

the Fourteenth Amendment, see Graham v. Richardson, 403 U.S. 365, 376 (1971),

federal laws that discriminate against noncitizens must pass only rational-basis

scrutiny under the Fifth Amendment, see Mathews, 426 U.S. at 83–85.

      This dichotomy assumes, however, that the President or Congress enacts the

federal provision challenged. Hampton, 426 U.S. at 103, 105. Where, as is the case

here, a federal agency promulgates the rule in question, the rule must also survive a

procedural-due-process inquiry when it effects a deprivation of life, liberty, or

property. See id. at 102–03. Unlike the President and Congress, a federal agency

may not promulgate a rule regulating noncitizens without what can be deemed as

legitimate authorization to serve a specific “overriding national interest.” See id. at

103. And “due process requires that there be a legitimate basis for presuming that

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the [agency’s] rule was actually intended to serve that [overriding national] interest.”

Id.

      The government can satisfy this due-process inquiry in one of two ways. See

id. First, Congress or the President can “expressly mandate[]” the rule, in which

case we would generally conclude that the agency adopted the rule because of “any

interest which might rationally be served” by it. Id. Second, when neither Congress

nor the President explicitly directs the rule, the agency’s rationale for it must identify

“interests on which that agency may properly rely in making a decision implicating

the constitutional and social values at stake.” Id. at 113–14.

      If the agency-promulgated rule cannot survive this inquiry, we need not

conduct a substantive equal-protection review because the rule must be held

unconstitutional, regardless. Id. at 103. But if the rule passes procedural-due-

process muster, we then engage in rational-basis review to determine whether the

rule satisfies equal protection. See id.; Mathews, 426 U.S. at 83–85. Rational-basis

review considers whether the classification at issue is “rationally related to a

legitimate governmental purpose.” City of Cleburne v. Cleburne Living Ctr., 473

U.S. 432, 446 (1985).

      As we have explained, Osorto argues that the Sentencing Guidelines, which

are issued by the U.S. Sentencing Commission, a federal agency, unlawfully

recommend longer prison sentences for noncitizens convicted of illegal reentry after

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other criminal convictions.    A longer prison sentence obviously constitutes a

deprivation of liberty. So under the Fifth Amendment, it “must be accompanied by

due process.” Hampton, 426 U.S. at 103. As a result, the Constitution mandates

“some judicial scrutiny of the deprivation.” Id.

      C. Subsections 2L1.2(b)(2) and (3) do not violate procedural due process.

      Osorto’s case is not the first one where we’ve considered whether

enhancements for pre-deportation convictions (for which § 2L1.2(b)(2) provides)

transgress equal-protection rights. We addressed this same issue almost thirty years

ago in Adeleke, 968 F.2d 1159. When we did, though, we did not apply the Hampton

analysis.

      Nevertheless, we concluded that enhancements for pre-deportation

convictions do not violate equal protection. Id. at 1160–61. And even though the

guideline we analyzed in Adeleke was an older version of today’s § 2L1.2(b)(2), the

two iterations are similar enough that, as Osorto concedes, under our prior-precedent

rule, we remain bound by that ruling to reach the same conclusion in Osorto’s case.

See United States v. Steele, 147 F.3d 1316, 1318 (11th Cir. 1998) (en banc). Other

courts have also rejected equal-protection challenges to the previous version of

§ 2L1.2(b)(2). See United States v. Ruiz-Chairez, 493 F.3d 1089, 1092 (9th Cir.

2007); see also United States v. Cardenas-Alvarez, 987 F.2d 1129, 1134 (5th Cir.

1993) (plain-error review).

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      But even if we were not bound by Adeleke, we would arrive at the same

conclusion, anyway, because under Hampton, due process and equal-protection law

require it. And since the same analysis that requires us to uphold § 2L1.2(b)(2) as

constitutional dictates that we also sustain § 2L1.2(b)(3), we analyze the challenged

provisions together.

      As Hampton governs our analysis here, we review it in some detail. In

Hampton, lawfully admitted resident noncitizens challenged the Civil Service

Commission’s (“CSC”) regulation precluding noncitizens from employment in the

federal competitive civil service. See 426 U.S. at 90 & n.1. The Supreme Court

held that the regulation violated procedural due process. See id. at 103–17. It

reached this determination after analyzing the rule in six steps.

      First, the Court assumed that had Congress or the President expressly imposed

the same citizenship requirement, that requirement “would be justified by the

national interest in providing an incentive for aliens to become naturalized, or

possibly even as providing the President with an expendable token for treaty

negotiating.” Id. at 105. Put simply, it would pass rational-basis equal-protection

review.

      Second, the Court examined whether Congress or the President had “required

the [CSC] to adopt” the challenged rule. See id. at 105, 110. As the Court explained,

were that the case, the Court would consider the wide set of justifications supplying

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a rational basis for the rule. See id. at 105. But the Court found it “perfectly clear”

that neither Congress nor the President had directed the CSC to adopt the rule. Id.

Nor did the Court see any basis for concluding that Congress or the President ratified

the rule after the CSC promulgated it. See id. at 106–13.

      Third, although neither Congress nor the President “expressly imposed” the

challenged CSC rule, the Court noted that it had existed for nearly a century and that

both branches had acquiesced in it. Id. at 105. To evaluate the significance of that

acquiescence, the Court considered “the extent to which the policy ha[d] been given

consideration by Congress or the President, and the nature of the authority

specifically delegated to the [CSC].” Id.

      The Court acknowledged that the President had previously issued an

executive order that “authorized [the CSC] to establish standards with respect to

citizenship, age, education, training and experience, suitability, and physical and

mental fitness, and for residence or other requirements which applicants must meet

to be admitted to or rated in examinations.” Id. at 111. Nevertheless, the Court

concluded that “[t]his direction ‘to establish standard[s], with respect to citizenship’

is not necessarily a command to require citizenship as a general condition of

eligibility for federal employment.” Id. at 112.

      The Court further observed that this Executive Order delegated to the CSC

the President’s authority, established by Congress, to authorize regulations “as will

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best promote the efficiency of [the] Service.” See id. at 113 (quoting 5 U.S.C.

§ 3301(1)). Together, the Court concluded, the statute and Executive Order allowed

the CSC to “retain or modify the citizenship requirement without further

authorization from Congress or the President.” Id. In other words, the CSC had

general authority to issue rules related to citizenship as relevant to the agency’s

business. See id. But that statute, like other laws the Court reviewed, did not reflect

that Congress had approved or disapproved of the policy embodied in the challenged

regulation. See id. at 106–10, 113.

      So fourth, the Court examined “whether the national interests which the

Government identifie[d] as justifications for the [CSC] rule are interests on which

that agency may properly rely in making a decision implicating the constitutional

and social values at stake.” Id. at 113–14. In so doing, the Court noted that the

CSC’s duties include the creation and enforcement of regulations that enhance the

smooth operation of the federal civil service. Id. at 114. In contrast, the CSC has

“no responsibility for foreign affairs, for treaty negotiations, for establishing

immigration quotas or conditions of entry, or for naturalization policies.” Id. Nor

is it “within the responsibility of the [CSC] to be concerned with the economic

consequences of permitting or prohibiting the participation by aliens in employment

opportunities in different parts of the national market.”        Id.   But, the Court

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acknowledged, establishing regulations to “best promote the efficiency of the federal

civil service” does fall within the CSC’s bailiwick. Id.

      Fifth, the Court explored whether the one valid CSC interest the government

identified as supporting the rule—the administrative convenience of excluding all

noncitizens from the civil service to avoid having noncitizens in sensitive positions

where allegiance to the United States was appropriate—actually motivated the

agency to promulgate the challenged rule. Id. at 115. The Court concluded that it

did not. See id.

      As the Court observed, the CSC was supposed to serve as an expert in federal

civil-service matters. See id. For that reason, it was expected to demonstrate

expertise in handling its duties and to explain the reasons for its decisions. Id. Yet

nothing suggested that the CSC in fact engaged in “any considered evaluation of the

relative desirability of a simple exclusionary rule on the one hand, or the value to the

service of enlarging the pool of eligible employees on the other.” Id. And the Court

also could not presume that classifying positions whose duties necessarily demanded

citizenship would be difficult or burdensome for the CSC. Id. Had the CSC

attempted to classify federal civil-service positions, the Court reasoned, that action

would have shown that the CSC “had at least considered the extent to which the

imposition of the rule is consistent with its assigned mission.” Id. at 116 n.48. But

since it did not and no evidence supported the CSC’s stated administrative interest

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in the challenged rule, the Court deemed that interest “nothing more than [the CSC’s]

hypothetical justification” for the rule. Id. at 115–16.

      Sixth, the Court then weighed that “hypothetical justification” for the rule

against “the public interest in avoiding the wholesale deprivation of employment

opportunities caused by the [CSC’s] indiscriminate policy.” Id. Not surprisingly,

the Court concluded that the administrative rationale the government proffered in

litigation did not sufficiently justify the deprivation of liberty to satisfy due process.

Id. at 116–17.

      With this framework in mind, we examine subsections 2L1.2(b)(2) and (3).

      1. If Congress expressly imposed the increased penalties reflected in
         subsections 2L1.2(b)(2) and (3), those penalties would be a valid exercise
         of its authority to control immigration.

      As in Hampton, we begin our procedural-due-process examination by

considering whether any justification would support the challenged rules, had they

been expressly imposed by one of the political branches. For example, could

Congress pass legislation mandating longer sentences for noncitizens convicted of

illegal reentry after they incurred other criminal convictions?

      The answer is yes: Congress has plenary authority to control immigration,

including by defining criminal immigration offenses. United States v. Henry, 111

F.3d 111, 113–14 (11th Cir. 1997) (citing Pena-Cabanillas v. United States, 394

F.2d 785, 788 (9th Cir. 1968)). For that reason, 8 U.S.C. § 1326, the criminal statute

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to which § 2L1.2 pertains, represents a valid exercise of this regulatory authority.

United States v. Hernandez-Guerrero, 147 F.3d 1075, 1078 (9th Cir. 1998). And

just as Congress could, by statute, define this offense, it could further specify

increased penalties for certain offenders, as the Sentencing Commission has

recommended under U.S.S.G. subsections 2L1.2(b)(2) and (3).

       To that end, Congress enacted and later amended § 1326(b) to increase the

maximum illegal-reentry sentences for noncitizens whose previous removal

occurred after they were convicted of a felony. See Anti-Drug Abuse Act of 1988,

Pub. L. No. 100-690, § 7345(a)(2), 102 Stat. 4181, 4471 (1988); Violent Crime

Control and Law Enforcement Act of 1994, Pub. L. No. 103-322, § 130001(b)(1)(B)

and (b)(2), 108 Stat. 1796, 2023 (1994). As we have noted, the Supreme Court has

recognized that the increased maximum sentences under § 1326(b) express a

congressional policy to address recidivism. See Almendarez-Torres, 523 U.S. at

230.

       Congress may have reasonably concluded that the prospect of such increased

sentences would deter noncitizens who previously sustained criminal convictions

from reentering unlawfully. In these ways, Congress’s enactment and amendment

of § 1326(b) evidence its determination of “overriding national interests,” Hampton,

426 U.S. at 101, in deterring noncitizens from illegally reentering the United States

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after a criminal conviction, see Alvarenga-Villalobos v. Ashcroft, 271 F.3d 1169,

1174 (9th Cir. 2001).

      2. Neither Congress nor the President mandated the Commission to
         promulgate § 2L1.2(b)(2) or (3).

      But despite Congress’s enactment and amendment of § 1326(b), and as in

Hampton, neither Congress nor the President required the rules under review here—

U.S.S.G. subsections 2L1.2(b)(2) and (3). To be sure, subsection 2L1.2(b)(2) echoes

§ 1326(b)’s increases in maximum penalties for noncitizens who illegally reenter the

United States after removal following conviction of another crime. But contrary to

the Dissent’s suggestion, see Dissent at 42–44, Congress never expressly mandated

the Sentencing Commission to promulgate either subsection 2L1.2(b)(2) or (3).

      A rule that is “expressly mandated by the Congress or the President” is easily

identifiable: an agency issues it in response to a statute or executive order that, by

its language, “expressly” directs the agency to promulgate a rule or rules on a given

matter. And as Hampton explains, once an agency promulgates such a required rule,

the agency is not free to scrap the rule in the absence of congressional or executive

direction. See Hampton, 426 U.S. at 112 (that Congress or the President did not

adopt the citizenship rule in Hampton “is demonstrated by the elimination of the

citizenship requirement for employment in the Postal Service which took place after

this litigation commenced”).

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       By its own language, § 1326(b) does not direct any agency to issue any rules

of any type. Nor, as relevant to criminal sentencing, does it impose mandatory

minimum sentences for illegal reentry after deportation when the defendant was

convicted of a qualifying crime before he was deported the first time. Rather, it

simply allows higher maximum penalties for defendants previously removed after

sustaining certain criminal convictions. See 8 U.S.C. § 1326(b). In this way,

§ 1326(b) is broader than both subsections 2L1.2(b)(2) and (3), which refer to the

defendant’s first removal and convictions sustained before and after it, respectively.

See U.S.S.G. § 2L1.2(b)(2)–(3).

       And although the Sentencing Commission submits its amended Guidelines to

Congress, 28 U.S.C. § 994(p), Congress did not enact legislation affirmatively

approving—or disapproving—the 2016 versions of subsections 2L1.2(b)(2) and

(3).2 At best, we can say that Congress acquiesced in them when it allowed them to

take effect. See Hampton, 426 U.S. at 107–08 (“When the [CSC] was created, it

immediately adopted the citizenship requirement, and that fact was duly reported to

Congress.”).     Finally, in the ultimate test, nothing precludes the Sentencing

Commission from eliminating the enhancements in § 2L1.2(b)(2). As Hampton

       2
          Under 28 U.S.C. § 994(p), new and revised guidelines become effective if Congress does
not legislate to the contrary within 180 days of the Sentencing Commission’s submission of them
to Congress. See U.S. Sent’g Comm’n R. Prac. & Proc. 4.1.

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shows, the Commission’s flexibility in this regard is inconsistent with the notion of

an express congressional mandate under § 1326(b). 3 See id. at 112.

       Although § 1326(b) does not “expressly mandate” the Sentencing

Commission to issue any rules (guidelines), that does not end our analysis under

Hampton. Rather, we must consider Hampton’s alternative method for presuming a

rule was issued for the reason the agency asserts: whether the agency’s rationale for

the rule identifies “interests on which that agency may properly rely in making a

decision implicating the constitutional and social values at stake.” See id. at 114.

We therefore continue under the Hampton framework.

       3. Congress’s enactment and amendment of § 1326(b) shows that Congress
          has approved of the national interest that subsections 2L1.2(b)(2) and
          (3) promote.

       Next, we consider whether Congress or the President has given any indication

concerning its view of policies that the challenged rules support. We conclude that

Congress has.

       As we have noted, § 1326(b) represents Congress’s approval of a national

policy to deter noncitizens from illegally reentering the United States after a criminal

       3
         We respectfully disagree with the Dissent’s suggestion that Adeleke “implicitly found that
Guideline § 2L1.2(b)(2) . . . implemented a ‘policy decision made by Congress and the President.’”
Dissent at 43 (quoting Hampton, 426 U.S. at 105). Adeleke did not mention Hampton. And as we
have explained, the text of § 1326(b) establishes that it did not “expressly mandate[]” that the
Sentencing Commission (or any other agency) promulgate any rule. Rather, Adeleke suggested
that § 1326(b) evidences a congressional policy judgment that noncitizens with other convictions
should be “strongly deterred from re-entering the United States.” See Adeleke, 968 F.2d at 1160.

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conviction. We think that’s pretty clear evidence that Congress has considered and

agrees with the principles subsections 2L1.2(b)(2) and (3) promote.                  In

recommending longer prison terms for certain noncitizens convicted of illegal

reentry, subsections 2L1.2(b)(2) and (3) can reasonably be viewed as deterring those

with prior convictions from unlawfully reentering.

      Subsection 2L1.2(b)(2) recommends a higher Guidelines offense level (and

therefore a potentially higher penalty) for anyone who illegally reenters the United

States after a first deportation that followed a qualifying conviction. In line with the

deterrent effect of § 1326(b)’s higher maximum penalties for those who illegally

reenter the United States after deportation following a qualifying conviction, a

higher recommended Guidelines sentence may reasonably be viewed as a deterrent

for some from unlawfully reentering the United States after being deported

following a qualifying conviction.

      Subsection 2L1.2(b)(3) also furthers the interest of deterrence.             That

subsection recommends a higher sentence for a person who illegally reenters the

United States and has incurred a qualifying other conviction after he was deported

for the first time but before his current illegal-reentry offense. According to the

Sentencing Commission’s 2015 study on illegal-reentry offenses, the 1,894 such

offenders in fiscal year 2013 whose exact number of prior deportations was known

averaged 3.2 deportations before the one for which he was being prosecuted in

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2013. 4 U.S. Sent’g Comm’n, Illegal Reentry Offenses 14 (April 2015). Of that same

group of 1,894, 92% had at least one prior non-traffic conviction, and those that did

averaged 4.4 prior convictions. Id. at 16. These numbers establish that many of

those whom the United States chooses to prosecute for illegal reentry after

deportation both repeatedly unlawfully reenter the United States and have several

prior convictions. These facts are important to understanding how § 2L1.2(b)(3)

operates to deter additional illegal reentries.

       As we have noted, § 2L1.2(b)(3) recommends an enhancement for a single

prior conviction incurred after a defendant’s first deportation. So to the extent that

a defendant is convicted of a qualifying offense after his first deportation but before

his second, for example, prior to reentering for a third time, § 2L1.2(b)(3)

recommends a higher sentence not only for the second illegal reentry but also for

any illegal reentries after that one. And while the higher sentence for the second

unlawful reentry cannot deter unlawful reentry that has already occurred, it can deter

future illegal reentries:        a noncitizen who considers the law before illegally

reentering for a third or later time will know that his conviction incurred after his

       4
          The Commission was careful to note—and we likewise emphasize—that its conclusions
applied to only those noncitizens sentenced under § 2L1.2 in 2013 and were not representative of
all noncitizens not lawfully present in the United States. See Illegal Reentry Offenses at 2 (noting
that “the information [in the report] should not be interpreted as representative of the characteristics
of illegal immigrants generally”).

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first deportation but before his second will cause him to receive an enhancement

under § 2L1.2(b)(3).

      The Dissent asserts that we have “read Congressional expressions of policy

preferences too broadly.” Dissent at 46. We respectfully disagree. Rather, we

construe the congressional policy judgment behind § 1326(b)—deterrence of those

who have been deported and who have other convictions, from illegally reentering

the United States again—exactly as we suggested in our binding precedent nearly

30 years ago. See Adeleke, 968 F.2d at 1160–61. For these reasons, the Sentencing

Commission’s issuance of subsections 2L1.2(b)(2) and (3) is unlike the situation in

Hampton, where the Court could discern no clear policy or statement of national

interest that Congress or the President had made that might support the CSC rule at

issue. See Hampton, 426 U.S. at 109–10.

      4. When it promulgated subsections 2L1.2(b)(2) and (3), the Sentencing
         Commission properly relied on interests within its purview.

      We turn fourth to whether the Sentencing Commission’s stated rationales for

promulgating subsections 2L1.2(b)(2) and (3) qualify as valid considerations for the

agency. We conclude that they do.

      With respect to both subsections 2L1.2(b)(2) and (3), the Commission

reasoned that “the new specific offense characteristics more appropriately provide

for incremental punishment to reflect the varying levels of culpability and risk of

recidivism reflected in illegal reentry defendants’ prior convictions.” U.S.S.G. am.

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802, Reason for Amendment. As to § 2L1.2(b)(3) in particular, the Commission

further expounded on this rationale, opining “that a defendant who sustains criminal

convictions occurring before and after the defendant’s first order of deportation

warrants separate sentencing enhancement.” Id.

      These concerns—that sentences reflect culpability and risk of recidivism—

fall properly within the province of the Sentencing Commission. Congress created

the Commission to “establish sentencing policies and practices for the Federal

criminal justice system,” which includes immigration crimes.                 28 U.S.C.

§ 991(b)(1). In fulfilling its mission, the Commission must, among other things,

ensure that sentencing policies and practices “reflect the seriousness of the offense,

. . . provide just punishment for the offense[,] . . . afford adequate deterrence to

criminal conduct[,] . . . [and] protect the public from further crimes of the defendant.”

18 U.S.C. § 3553(a)(2); see 28 U.S.C. § 991(b)(1)(A). These are just different ways

to say “culpability” and “risk of recidivism.” And the Commission was required to

consider “the kinds of sentences available,” 18 U.S.C. § 3553(a)(3), including

Congress’s judgment to increase maximum sentences under § 1326(b).

      To accomplish these tasks, the Commission formulates guidelines “regarding

the appropriate form and severity of punishment for offenders convicted of federal

crimes; . . . advise[s] and assist[s] Congress, the federal judiciary, and the executive

branch in the development of effective and efficient crime policy; and . . . collect[s],

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         USCA11 Case: 19-11408       Date Filed: 04/20/2021    Page: 26 of 51

analyze[s], research[es], and distribute[s] a broad array of information on federal

crime and sentencing issues.” Illegal Reentry Offenses, supra, at 1 n.1 (citing 28

U.S.C. § 995(a)(14), (15), and (20)). So the promulgation of guidelines that

reasonably could be expected to have the effect of deterring illegal reentries of those

who have committed other crimes is entirely consistent with the Sentencing

Commission’s duties and responsibilities.

      Plus, the rationales of culpability and risk of recidivism logically support

Congress’s adopted national interest in deterring noncitizens with criminal

convictions from repeatedly illegally reentering.       A noncitizen with criminal

convictions who knows that more severe punishment may follow repeated unlawful

reentries and the commission of additional crimes while unlawfully here is more

likely to be deterred from illegally reentering than a noncitizen with criminal

convictions who would not face increased penalties.

      Unlike the CSC in Hampton, then, the Sentencing Commission could properly

rely on its stated interests—that punishments reflect culpability and risk of

recidivism—when it issued the challenged rules here. In other words, the rationale

underpinning subsections 2L1.2(b)(2) and (3) is not “far removed from [the

Sentencing Commission’s] normal responsibilities” but rather, falls squarely within

them. See Hampton, 426 U.S. at 105.

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      5. The Sentencing Commission appropriately relied on its expertise and a
         study it undertook on sentencing for illegal-reentry offenses when it
         promulgated subsections 2L1.2(b)(2) and (3).

      Acting under its authority to study and distribute information on federal crime

and sentencing issues, see 28 U.S.C. § 995(a)(14), (15), the Sentencing Commission

conducted its 2015 study to analyze sentencings for illegal-reentry offenses. See

generally Illegal Reentry Offenses, supra. Among other things, the Commission

observed that roughly one in four cases resolved under the Sentencing Guidelines

involves a crime of illegally reentering the United States. Id. at 1.

      Then the Commission analyzed the data from the sentencings of all 18,498

non-citizens with illegal-reentry convictions who were sentenced under § 2L1.2 in

fiscal year 2013. See id. at 1–2. At the time of the study and until the Commission

promulgated § 2L1.2(b)(3), § 2L1.2(b) provided for an offense enhancement of up

to sixteen levels, based solely on prior convictions conferred before the defendant

was previously deported or unlawfully remained in the United States. See U.S.S.G.

§ 2L1.2(b) (2015). In contrast, the guideline contained no enhancement for prior

convictions endured after the defendant was previously deported or ordered

removed. See id.

      To show the impact of the then-existing § 2L1.2(b) enhancement for prior

convictions, the Commission’s report used the example of a defendant with a

criminal-history category of III, meaning that the defendant necessarily had prior

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         USCA11 Case: 19-11408      Date Filed: 04/20/2021   Page: 28 of 51

convictions of some type. See Illegal Reentry Offenses at 6–7. As the Commission

noted, such a defendant whose conviction occurred before his initial deportation and

whose conviction qualified for the 16-level enhancement would have a Guidelines

range of 46 to 57 months’ imprisonment (assuming a deduction for acceptance of

responsibility). Id. But the Guidelines range for a defendant whose otherwise-

identical criminal history occurred after his initial deportation would be 2 to 8

months’ imprisonment. See id. As a result, the Commission pointed out, the

defendant with the pre-deportation conviction would face a Guidelines range 23

times higher than the defendant with no pre-deportation convictions. Id.

      Although 8 U.S.C. § 1326(b) and U.S.S.G. § 2L1.2(b) did not at that time

“provide for enhancements based on convictions for offenses committed after an

offender illegally reentered the country,” the report noted that “48.0 percent of all

offenders in the sample were convicted of at least one post-reentry offense [other

than illegal entry or reentry].” Id. at 18. The Sentencing Commission also remarked

that under the then-existing § 2L1.2(b), defendants who did not receive an

enhancement for prior convictions nonetheless had, on average, “2.0 prior

convictions and 1.8 prior sentencing events.” Id. at 20. Yet the then-existing

enhancement often did not apply because “the convictions occurred after the most

recent illegal reentry.” See id. Ultimately, the Sentencing Commission described

the high rate of defendants with prior convictions who did not receive an

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         USCA11 Case: 19-11408        Date Filed: 04/20/2021    Page: 29 of 51

enhancement under then-existing § 2L1.2(b) as a “key finding,” emphasizing that

“[a] significant proportion of illegal reentry offenders committed serious offenses—

including drug-trafficking and violent offenses—between the time that they were

first deported and their arrest for the instant illegal reentry offense.” Id. at 27–28.

      In the aftermath of the Sentencing Commission’s report on illegal-reentry

offenses, in 2016, the Commission revised its prior-conviction enhancements for

those convicted of illegal reentry. Whereas the pre-2016 § 2L1.2(b) guideline

imposed up to a sixteen-level enhancement for a single prior conviction incurred

before the defendant’s previous deportation, the revised version of the guideline, as

we have noted, lowered the maximum enhancement for a pre-deportation conviction

to ten levels. But through § 2L1.2(b)(3), the revised version also announced for the

first time up to a ten-level enhancement for prior convictions sustained after the

defendant’s first deportation.

      In the explanation accompanying Amendment 802 to the Sentencing

Guidelines, which made these changes, the Commission identified its reasons for the

modifications to § 2L1.2(b). The Commission first noted that the amendment

resulted from “the Commission’s multi-year study of immigration offenses and

related guidelines, and reflect[ed] extensive data collection and analysis relating to

immigration offenses and offenders.” U.S.S.G. am. 802, Reason for Amendment.

Indeed, the Commission explained, “[b]ased on this data, legal analysis, and public

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           USCA11 Case: 19-11408         Date Filed: 04/20/2021       Page: 30 of 51

comment, the Commission identified a number of specific areas where changes were

appropriate.” Id.

       Among these were the changes to § 2L1.2(b)(2) and the addition of

§ 2L1.2(b)(3). As the explanation remarked, Amendment 802 addressed concerns

about, among other things, the perceived inequality between recommended

sentences for those convicted of prior offenses before deportation and those

convicted after. See id. (“The amendment addresses these concerns by accounting

for prior criminal conduct in a broader and more proportionate manner.”).

       The Dissent attempts to minimize the Commission’s study as “just a data

collection project that recites various statistical findings and explains the

Commission’s methodologies.” Dissent at 48. Although we respectfully disagree

with that characterization, 5 even if it were accurate, the Commission noted that it

used this statistical analysis, along with “legal analysis” and “public comment” to

arrive at the 2016 amendments to § 2L1.2(b). That is a textbook example of

employing agency expertise to promulgate rules and regulations.

       Of course, the Sentencing Commission’s reliance on its expertise to carefully

study what it perceived to be a problem in the sentencing of illegal-reentry offenders

and to use the results of its analysis to promulgate the current versions of

       5
        As we have noted, the study identified certain inequities in pre-2016 § 2L1.2(b). It also
made “key findings” based on its statistical analysis.

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         USCA11 Case: 19-11408       Date Filed: 04/20/2021    Page: 31 of 51

subsections 2L1.2(b)(2) and (3) stands in marked contrast to what the CSC did in

Hampton. There, as the Supreme Court noted, the CSC failed to apply any of its

expertise and to undertake any kind of analysis of the need to limit noncitizens’

employment in federal jobs. See Hampton, 426 U.S. at 115–16 & n.48. So once

again, this case differs in an important way from the factual situation at issue in

Hampton.

      6. The Sentencing Commission’s stated rationales that sentencing reflect
         culpability and risk of recidivism, as narrowly addressed to only those
         noncitizens who have previously been deported and who have prior
         convictions, sufficiently justify the deprivation of liberty that
         subsections 2L1.2(b)(2) and (3) recommend.

      Last, we must consider whether the Sentencing Commission’s stated

rationales for subsections 2L1.2(b)(2) and (3) sufficiently justify the deprivation of

liberty that they recommend. We conclude that they do.

      Both Osorto and the Dissent contend that subsections 2L1.2(b)(2) and (3)

discriminate against noncitizens because these guidelines, by definition of the crimes

they cover, apply to only noncitizens and because they double-count prior

convictions, while other guidelines that apply to citizens count prior convictions only

once—in the criminal-history calculation. See Dissent at 40-41.

      We respectfully disagree with Osorto and the Dissent’s characterization of the

guidelines. Subsections 2L1.2(b)(2) and (3) pertain to only those noncitizens who

are unlawfully in the United States and have committed another crime while illegally

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         USCA11 Case: 19-11408       Date Filed: 04/20/2021    Page: 32 of 51

here. As for the other guidelines that only single-count prior convictions, they apply

equally to all citizens and all noncitizens (including those noncitizens who are

unlawfully in the United States). So the group of individuals arguably discriminated

against by subsections 2L1.2(b)(2) and (3)’s double-counting is not all noncitizens;

it is the smaller subset of noncitizens who are unlawfully present in the United States

and have also committed at least one other qualifying violation. Cf. Cardenas-

Alvarez, 987 F.2d at 1134 (noting that “the guidelines were devised to and do treat

all persons with aggravated felonies who commit this crime equally”).

      But significantly, these individuals are being prosecuted under § 1326(b) for

the very reason that they are unlawfully in the United States. That is their crime as

defined by Congress.

      And that fact is important to our due-process analysis because we have

observed that § 1326(b)’s increased maximum sentences for defendants with prior

convictions indicates “a Congressional [judgment] that . . . the prior conviction is a

critical part of what makes the current reentry wrongful.” Alfaro-Zayas, 196 F.3d at

1341 n.5 (citation and quotation marks omitted). That is to say, Congress determined

that illegally being present in the country after already having been convicted of

otherwise violating the law here makes the crime of illegally being in the United

States a different and worse crime than it would be in the absence of the prior

conviction. For that reason, considering the prior convictions in the criminal-history

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calculation does not capture what we have described as the nature of the crime at

issue here.

      And since Congress was concerned that other offenses a noncitizen commits

while unlawfully here are what make this crime more consequential than illegal

reentry by itself, it does not matter to the gravity of the crime whether the noncitizen

was convicted of other offenses before (§ 2L1.2(b)(2)) or after (§ 2L1.2(b)(3)) he

was deported the first time—as long as he was convicted of them. Similarly, because

Congress sought to deter noncitizens with prior convictions from repeatedly

reentering the United States, again, it makes no difference if the noncitizen was

convicted of another crime before (§ 2L1.2(b)(2)) or after (§ 2L1.2(b)(3)) he was

deported the first time; as we have explained, the national interest of deterrence

embodied in § 1326(b) is consistent with deterring both kinds of conduct.

      Subsections 2L1.2(b)(2) and (3) are therefore narrowly targeted to address the

same national interest that Congress embraced when it enacted § 1326(b). The

guidelines in question do not affect noncitizens who are lawfully present in the

United States, and they don’t apply to noncitizens who are illegally here if they have

not committed other crimes while in the country.

      Rather, they are directed solely at those noncitizens who have previously been

deported after a prior conviction here and seek to reenter, and those who have

previously been deported and have committed other crime here after their first

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         USCA11 Case: 19-11408      Date Filed: 04/20/2021   Page: 34 of 51

deportation. Subsections 2L1.2(b)(2) and (3) also are designed to more evenly and

accurately reflect culpability and risk of recidivism: rather than, as happened under

the prior version of § 2L1.2(b)(2), recommending grossly disparate sentences for

two noncitizens who unlawfully reenter after deportation and who have committed

the same other crime—one before his first deportation and one after—the current

version of the guidelines would recommend the same sentence for both defendants.

Put another way, subsections 2L1.2(b)(2) and (3) now apply a more equal and less

lopsided approach to culpability, risk of recidivism, and deterrence.

      For all these reasons, the Sentencing Commission’s promulgation of

subsections 2L1.2(b)(2) and (3) is appreciably different from the CSC’s issuance of

the rule at issue in Hampton. So under the Hampton framework, we must conclude

that subsections 2L1.2(b)(2) and (3) satisfy procedural due process.

      D. The guidelines at subsections 2L1.2(b)(2) and (3) do not violate equal
         protection.

      Because subsections 2L1.2(b)(2) and (3) do not offend procedural due

process, we turn next to the equal-protection analysis. That requires us to consider

whether subsections 2L1.2(b)(2) and (3) bear a rational relationship to the interests

the Commission relied on—ensuring sentences reflect culpability and risk of

recidivism. We conclude that they do.

      Consistent with Congress’s judgment as reflected in § 1326(b), the

Commission could have reasonably determined that the sentence of a noncitizen who
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illegally enters this country more than once and commits crimes when here

illegally—whether he does so before or after he has been ordered deported or

removed for the first time—should reflect that he is more blameworthy than a

noncitizen who simply illegally enters the United States more than once but is

otherwise law-abiding while here. It likewise rationally could have concluded that

a noncitizen who illegally enters the United States more than once and also engages

in other criminal activity while here poses a greater risk of unlawfully returning to

the United States in the future. Because Fifth Amendment equal-protection analysis

demands nothing more, we must conclude that the post-deportation conviction

enhancement does not violate equal protection.

      E. Section 2L1.2 does not violate Congress’s directive that sentences be
         neutral as to national origin.

      Osorto separately argues that by treating noncitizens differently from citizens,

§ 2L1.2 also violates Congress’s directive that sentencing be neutral as to national

origin. See 28 U.S.C. § 994(d). We respectfully disagree.

      As we have explained, § 994(d) means that national origin, among other

factors, is “completely irrelevant for sentencing purposes.” United States v. Burgos,

276 F.3d 1284, 1291 (11th Cir. 2001) (citations and internal quotation marks

omitted). Although we have not addressed this question previously, we join other

circuits in recognizing that alienage—not being a citizen of the United States—

differs from national origin, i.e. the particular country in which one was born. See

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United States v. Restrepo, 999 F.2d 640, 644 (2d Cir. 1993); United States v.

Nnanna, 7 F.3d 420, 422 (5th Cir. 1993) (per curiam); United States v. Smith, 27

F.3d 649, 654 (D.C. Cir. 1994); United States v. DeBeir, 186 F.3d 561, 569 (4th Cir.

1999). For that reason, § 2L1.2 did not unlawfully require the district court to

consider national origin in imposing Osorto’s sentence.

                         III. Substantive Reasonableness

      Finally, Osorto argues that his sentence of 37 months’ imprisonment is

substantively unreasonable. We review for abuse of discretion the substantive

reasonableness of a sentence. United States v. Plate, 839 F.3d 950, 956 (11th Cir.

2016). Because Osorto challenges the sentence, he must shoulder the burden of

demonstrating that the sentence is unreasonable, considering the complete record,

the § 3553(a) factors, and the substantial deference we give sentencing courts.

United States v. Gomez, 955 F.3d 1250, 1255 (11th Cir. 2020) (per curiam). He

cannot make that showing here.

      Osorto bases his argument that his sentence is substantively unreasonable on

his contention that the district court “gave significant weight to an impermissible

consideration”—namely, the subsection 2L1.2(b)(2) and (3) enhancements for his

prior convictions. Osorto asserts that the district court could not permissibly rely on

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these enhancements because they violate equal protection.                    We have already

explained why that is not so. 6

       To the extent that Osorto’s argument can be construed as alleging

impermissible double-counting under the Sentencing Guidelines, that, too, fails. We

conduct de novo review of a double-counting objection to the Guidelines. United

States v. Matos-Rodriguez, 188 F.3d 1300, 1310 (11th Cir. 1999).

        “Impermissible double counting occurs only when one part of the Guidelines

is applied to increase a defendant’s punishment on account of a kind of harm that

has already been fully accounted for by application of another part of the

Guidelines.” United States v. Whyte, 928 F.3d 1317, 1338 (11th Cir. 2019) (citation

and quotation marks omitted).            Nevertheless, we have explained that double-

counting is allowable “if the Sentencing Commission intended the result, and . . .

each section [applied] concerns conceptually separate notions relating to

sentencing.” Adeleke, 968 F.2d at 1161 (citations and internal quotation marks

omitted).

       In Adeleke, we explained that an earlier version of § 2L1.2(b)(2) and the

Chapter Four criminal-history guidelines do not impermissibly double-count prior

       6
          In his reply brief, Osorto also argues that his sentence was substantively unreasonable
because the Sentencing Commission did not rely on empirical data and merely sought to
implement Congress’s scheme for maximum punishment. But Osorto abandoned these arguments
by not raising them in his opening brief. See United States v. Levy, 379 F.3d 1241, 1244 (11th Cir.
2004) (per curiam). So we do not consider them here.

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convictions because the Sentencing Commission “clearly intended” this result and

because different policies—deterrence and recidivism, respectively—motivated

each provision. Id. We remain bound by that holding as to § 2L1.2(b)(2).

      As for § 2L1.2(b)(3), we similarly conclude that the Sentencing Commission

undoubtedly intended for a noncitizen who illegally reentered the United States after

previous deportation or removal to have his post-deportation convictions accounted

for both in his offense conduct and in his criminal history. We know this because

the Sentencing Commission acknowledged this result. See U.S.S.G. § 2L1.2 cmt.

n.3 (“A conviction taken into account under subsection (b)(1), (b)(2), or (b)(3) is not

excluded from consideration of whether that conviction receives criminal history

points pursuant to Chapter Four, Part A (Criminal History).”). Plus, we presume

that the Sentencing Commission anticipated applying separate guideline sections

cumulatively, unless the Guidelines expressly indicate the contrary.            Matos-

Rodriguez, 188 F.3d at 1310.        Nothing in the Guidelines suggests that the

Commission did not intend the alleged double-counting result.

      So we must consider whether § 2L1.2(b)(3) and Chapter Four (pertaining to

determination of the criminal-history category) involve conceptually separate

concerns related to sentencing. The criminal-history section of the Guidelines

embodies concerns related to punishing recidivists more severely. Adeleke, 968 F.2d

at 1161. Even if § 2L1.2(b)(3)’s purpose relating to recidivism echoes that of

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Chapter Four, § 2L1.2(b)(3)’s concern regarding culpability for the particular

offense for which the defendant is being sentenced does not.         Rather, as the

Commission’s Illegal Reentry Offenses report suggests and consistent with our

precedent on § 1326(b), § 2L1.2(b)(3) contemplates a harm—the act of committing

other crimes while illegally in the United States—that is separate from the one

Chapter Four seeks to address generally. Consequently, § 2L1.2(b)(3) does not

engage in unlawful double-counting.

      Osorto offers no other reasons why his sentence is substantively unreasonable,

and we find no basis for concluding that it is. The district court stated that it had

considered all the § 3553(a) factors and the Sentencing Guidelines, and it

emphasized Osorto’s history and characteristics in imposing his sentence.         In

addition, Osorto’s sentence falls at the low end of his Guidelines range. We

generally anticipate that a sentence within the Guidelines range is reasonable.

United States v. Gonzalez, 550 F.3d 1319, 1324 (11th Cir. 2008) (per curiam). And

at 37 months, it falls well below the statutory maximum term of 20 years’

imprisonment. See 8 U.S.C. § 1326(b)(2). A sentence that comes in far below the

statutory maximum penalty is another indicator of reasonableness. Gomez, 955 F.3d

at 1260. In sum, we hold that the district court did not abuse its discretion, and

Osorto’s sentence is substantively reasonable.

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                                  IV. Conclusion

      We     hold   that   the   Sentencing    Guidelines’    enhancements     under

subsections 2L1.2(b)(2) and (3), for criminal convictions received before and after

the defendant’s previous deportation or removal, do not violate the Constitution’s

guarantee of equal protection. Nor do they cause unlawful double-counting in

violation of due process or otherwise. We also conclude that the sentence imposed

in this case is substantively reasonable. For these reasons, we affirm.

      AFFIRMED.

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      MARTIN, Circuit Judge, concurring in part and dissenting in part:

      I agree with the majority that we are bound by United States v. Adeleke, 968

F.2d 1159 (11th Cir. 1992) to reject Mr. Osorto’s equal protection challenge to

United States Sentencing Guideline § 2L1.2(b)(2). I write separately about the

other subsection of that Guideline at issue here (§ 2L1.2(b)(3)), however, because I

do not believe it passes constitutional muster.

      Mr. Osorto challenges Guideline § 2L1.2(b)(3) on equal protection grounds.

This Guideline makes for tougher sentences for defendants who commit a

designated offense after reentering the United States without authorization. See

USSG § 2L1.2(b)(3). This list of designated offenses does not include the offense

of unauthorized reentry itself. See id. Meanwhile, a defendant is already punished

for both the unauthorized reentry and any other offense that leads to the increased

punishment imposed by § 2L1.2(b)(3) on account of the calculation of a

defendant’s criminal history under the Sentencing Guidelines. See USSG §

4A1.1(b). The result is that any offense committed after unauthorized reentry is

double-counted for noncitizens in their Guideline calculation based on little more

than their immigration status. Sentencing Guideline § 2L1.2(b)(3) therefore

subjects noncitizen defendants to more severe punishment than citizens who

commit the same crime. Mr. Osorto argues that this more severe punishment

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imposed upon him because he is a noncitizen violates his Fifth Amendment right

to equal protection of the laws. U.S. Const. Amend. V; see United States v.

Windsor, 570 U.S. 744, 774, 133 S. Ct. 2675, 2695 (2013) (“The liberty protected

by the Fifth Amendment’s Due Process Clause contains within it the prohibition

against denying to any person the equal protection of the laws”). I believe he is

right.

                                             I.

         I start from the premise that discrimination based on “alienage, like [that]

based on nationality or race, [is] inherently suspect and subject to close judicial

scrutiny.” Graham v. Richardson, 403 U.S. 365, 372, 91 S. Ct. 1848, 1852 (1971)

(footnotes omitted). In deciding that, under the Fourteenth Amendment as applied

to the states, classifications based on alienage are subject to heightened scrutiny,

the Supreme Court observed that noncitizens “are a prime example of a discrete

and insular minority for whom such heightened judicial solicitude is appropriate.”

Id. (quotation marks and citation omitted). I recognize that the Supreme Court

made a significant departure from this principle when it afforded rational basis

review to classifications based on “alienage” made by Congress and the President.

Mathews v. Diaz, 426 U.S. 67, 83, 87, 96 S. Ct. 1883, 1893, 1895 (1976). The

Court reasoned Congress and the President are charged with “the responsibility for

regulating the relationship between the United States” and our noncitizen visitors

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and thus needed more “flexibility in policy choices” than would be appropriate for

the states. Id. at 81, 96 S. Ct. at 1892.

      But the Supreme Court also set a vital limiting principle to its Diaz holding.

It clarified that the federal power over noncitizens is not “so plenary that any agent

of the National Government may arbitrarily subject all resident [noncitizens] to

different substantive rules from those applied to citizens.” Hampton v. Wong, 426

U.S. 88, 101, 96 S. Ct. 1895, 1904 (1976). In Hampton, the Supreme Court

applied heightened scrutiny to a rule promulgated by the Civil Service Commission

that excluded noncitizens from federal employment. Id. at 90, 96 S. Ct. at 1899.

Upon application of heightened scrutiny, it held that the rule was unconstitutional.

Id. at 115–17, 96 S. Ct. at 1911–12. In so doing, the Court set up a framework for

deciding when classifications based on alienage made by federal agencies (not

Congress or the President directly) are reviewed under the rational basis test.

Hampton says it is only when an agency “has direct responsibility for fostering or

protecting” an “overriding national interest” or when the rule is “a policy decision

made by Congress and the President” that it will be subject to rational basis review.

Id. at 103, 105, 96 S. Ct. at 1905, 1906.

      As Mr. Osorto noted, when a panel of this Court held that what is now

Guideline § 2L1.2(b)(2) did not violate equal protection, it never cited Hampton.

Adeleke, 968 F.2d at 1160–61. However, in holding that § 2L1.2(b)(2) rationally

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furthered the interest in deterring unauthorized reentry, the panel noted that

Congress expressly adopted this policy by enacting 8 U.S.C. § 1326(b), which

delineated certain punishments for noncitizens “whose deportation was subsequent

to a conviction for commission of a felony.” See id. (quotation marks and

emphasis omitted). Thus I understand the Adeleke panel to have implicitly found

that Guideline § 2L1.2(b)(2) was subject to rational basis review because it

implemented a “policy decision made by Congress and the President.” Hampton,

426 U.S. at 105, 96 S. Ct. at 1906.

      But the Adeleke panel did not give the same treatment to Guideline

§ 2L1.2(b)(3). This Guideline, enacted after Adeleke, mandates a four-level

increase in the offense level for noncitizens convicted of certain offenses after they

have already reentered the United States without authorization. USSG

§ 2L1.2(b)(3). The government argues that this Guideline serves the same purpose

as Guideline § 2L1.2(b)(2): deterring unauthorized reentry. But logically that

cannot be the case. The only noncitizens eligible for the § 2L1.2(b)(3) are those

who have already reentered and committed another designated offense. This does

not include an enhancement (harsher punishment) for the offense of unauthorized

entry itself. USSG § 2L1.2(b)(3). In contrast to the government’s argument, the

Sentencing Commission itself pointed to deterrence as the rationale for

§ 2L1.2(b)(2) but not § 2L1.2(b)(3). See USSG am. 802, Reason for Amendment

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(“The (b)(2) specific offense characteristic reflects the same general rationale as

the illegal reentry statute’s increased statutory maximum penalties for offenders

with certain types of serious pre-deportation predicate offenses[.]” (citing 8 U.S.C.

§ 1326(b)). The Commission cannot, as it could with § 2L1.2(b)(2), rely on

Congress’s express approval to justify the harsher penalty for noncitizens reflected

in § 2L1.2(b)(3). Plainly, with § 2L1.2(b)(3), the Commission did not implement a

rule or policy expressly mandated or approved by Congress or the President. See

id.

      The majority says that § 1326(b) constitutes Congressional endorsement of

§ 2L1.2(b)(3) because it “also furthers the interest of deterrence,” in that it might,

theoretically, “deter future illegal reentries.” Maj. Op. at 22, 23. But this reads

both § 1326(b) and Hampton too broadly. Section 1326(b) applies only to

noncitizens “whose removal was subsequent” to certain convictions. 8 U.S.C. §

1326(b)(1)–(2). Therefore, we cannot say that it explicitly endorses the specific

policy embodied by § 2L1.2(b)(3). And Hampton directs us not to construe

indications of endorsement by Congress or the President too broadly. Hampton

expressly rejected the idea that Congress endorsed the Civil Service Commission’s

rule just because it “repeatedly identified citizenship as one appropriate

classification of persons eligible for compensation for federal service” which

“implies a continuing interest in giving preference, for reasons unrelated to the

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efficiency of the federal service, to citizens over [noncitizens].” 426 U.S. at 109,

96 S. Ct. at 1908. The Court also rejected a number of other indicia of Congress’s

endorsement of the Civil Service Commission’s rule. Among the indicia rejected

by the Court was the idea that Congress assumed that the Commission would adopt

that rule (thus obviating the need to direct the Commission to do so in legislation)

and the fact that the Commission “duly reported” the rule to Congress, which never

repudiated it. Id. at 106, 107–08, 96 S. Ct. at 1907–08.

      Instead of looking to the general policy preferences that Congress and the

President expressed, Hampton looked to the fact that neither had “expressly

prescribe[d]” the rule adopted by the Commission. Id. at 110, 96 S. Ct. at 1908. In

that case, not even an executive order directing the Civil Service Commission to

establish employment eligibility standards “with respect to citizenship” was

sufficient to constitute endorsement of the specific rule the Commission in fact

adopted. Id. at 112, 96 S. Ct. at 1909 (quotation marks omitted).

      The Supreme Court’s preoccupation with upholding only those alienage

classifications expressly endorsed by Congress or the President is explained by the

distinction Hampton made between those federal entities that are charged with the

plenary power over immigration and those that are not. See id. at 100–02, 96 S.

Ct. at 1904–05. And that distinction is essential to safeguarding the right of

noncitizens to equal protection under the law. Hampton limits the extent to which

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federal agencies should receive extremely deferential rational basis review when it

comes to alienage discrimination. See id. at 101, 96 S. Ct. at 1904 (“We do not

agree . . . that the federal power over [noncitizens] is so plenary that any agent of

the National Government may arbitrarily subject [noncitizens] to different

substantive rules from those applied to citizens.”). I fear that if we read

Congressional expressions of policy preferences too broadly, as I believe the

majority does today, we undermine both the constitutional rights of noncitizens

and the exclusive authority of Congress and the President to decide when

differential treatment of noncitizens is truly necessary.

      Similarly here, I would not read into § 1326(b) a general deterrence policy.

First, such a policy is not expressly addressed in § 1326(b). See 8 U.S.C.

§ 1326(b). Indeed, even the Sentencing Commission noted that § 1326(b) supplied

the rationale for § 2L1.2(b)(2) but not § 2L1.2(b)(3). See USSG am. 802, Reason

for Amendment. And the study cited by the majority lays out a forty-year history

of Congress amending § 1326(b). See Maj. Op. at 22–23, 26–30. At no point

during that history did Congress enact additional penalties for offenses committed

after reentry. See U.S. Sentencing Comm’n, Illegal Reentry Offenses 3–5 (April

2015), https://www.ussc.gov/sites/default/files/pdf/research-and-

publications/research-projects-and-surveys/immigration/2015_Illegal-Reentry-

Report.pdf. Just as Hampton held that a history of enacting statutes and issuing

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executive orders that accomplished similar goals was not an endorsement of the

Civil Service Commission’s rule, here too § 1326(b) cannot be extended to justify

differential treatment of noncitizens under § 2L1.2(b)(3).

      Second, absent something more direct, I would not presume that Congress

thought that something so remote from an actual unlawful reentry had a deterrent

effect. The study the majority cites does not tell us that this harsher punishment

actually has any deterrent effect on unlawful entry. Indeed, that lack of evidence

may very well explain why Congress has never, over some four decades, enacted

harsher penalties for offenses committed after reentry.

                                           II.

      Because I do not believe Congress endorsed the policy embodied by

§ 2L1.2(b)(3), I would not analyze it using rational basis review.

      After establishing that the Civil Service Commission was not acting in the

realm of immigration when it adopted the challenged regulation, the Court in

Hampton applied a heightened form of review to the only reason given by the

agency as within its purview. The Court recognized that “administrative

convenience” may supply a “rational basis” for the challenged rule, but

immediately rejected it as the proffered reason. Id. at 115, 96 S. Ct. at 1911. The

Court explained that, “[f]or several reasons that justification is unacceptable in this

case,” a suit brought by noncitizens alleging alienage discrimination. Id. Instead,

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the Court took the Civil Service Commission to task for failing to “perform its

responsibilities with some degree of expertise, and to make known the reasons for

its important decisions.” Id. The Court noted the Commission’s expertise in

“personnel matters,” while also observing the Commission had failed to adequately

explain why the “administrative burden of establishing the job classifications for

which citizenship is an appropriate requirement would be a particularly onerous

task for [such] an expert.” Id.

      Even accepting that this Guideline advances the Sentencing Commission’s

broader interest in reflecting the seriousness of certain offenses or risk of

recidivism, the Commission has not explained why those interests have not been

adequately addressed by other means that apply to citizens and noncitizens alike.

For example, the sentences that already apply to those underlying offenses or the

inclusion of those offenses in a defendant’s criminal history calculation may

already reflect the seriousness of the offense and the risk of recidivism.

      The majority describes the statistical study that the Sentencing Commission

undertook before issuing § 2L1.2(b)(3) which noted the disparity that existed

between those whose offenses pre-dated and post-dated their removal. Maj. Op. at

28–29. But this study is not sufficient for at least two reasons. First, this study is

just a data collection project that recites various statistical findings and explains the

Commission’s methodologies. See generally Illegal Reentry Offenses. There is no

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discussion of the effectiveness of harsher sentences as a deterrent or the values or

goals that varying sentences help to promote. Second, the disparity that the study

describes is accounted for by the fact that § 2L1.2(b)(2) acts to deter unlawful

reentry. There is no similar immigration-related deterrence value, at least none

expressly endorsed by Congress, that animates § 2L1.2(b)(3).1 And the study cited

by the majority never explains why the need to reflect culpability or risk of

recidivism outweighs the right of noncitizens to equal treatment, especially given

the weight of the liberty interest at stake: “freedom from imprisonment.” See

Zadvydas v. Davis, 533 U.S. 678, 690, 121 S. Ct. 2491, 2498 (2001) (“Freedom

from imprisonment—from government custody, detention, or other forms of

physical restraint—lies at the heart of the liberty that [the Fifth Amendment’s Due

Process] Clause protects.”); see generally Illegal Reentry Offenses. In the absence

of a justification that recognizes the discriminatory effect of § 2L1.2(b)(3) and

explains why differential treatment is necessary to advance an “overriding national

interest,” I am not convinced the Sentencing Commission has met its burden under

Hampton’s heightened scrutiny. Hampton, 426 U.S. at 103, 96 S. Ct. at 1905.

                                               III.

1
  And the Sentencing Commission could also have eliminated this disparity by simply
eliminating the enhancements in § 2L1.2(b)(2).
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      I believe the majority erred by finding that Congress endorsed the policy

advanced by § 2L1.2(b)(3). I fear the majority’s approach to Hampton undermines

the very framework its ruling instructed us to follow. For Mr. Osorto’s case, that

error leads to the preservation of a Sentencing Guideline that I believe

unconstitutionally deprives noncitizens of their liberty. For these reasons, I

respectfully dissent.

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