Court Opinion

ID: 2941550
Source: CourtListenerOpinion
Date Created: 2015-09-15 23:17:14.507719+00
Date Added: 2024-06-11T15:00:25.374886
License: Public Domain

IN THE COURT OF CRIMINAL APPEALS
                           OF TEXAS
                                          NO. PD-0912-08

                                      THE STATE OF TEXAS

                                                v.

                              MICHAEL JOSEPH RHINE, Appellee

            ON APPELLEE’S PETITION FOR DISCRETIONARY REVIEW
                   FROM THE SECOND COURT OF APPEALS
                             DENTON COUNTY

           K ELLER, P.J., filed a concurring opinion in which M EYERS, H ERVEY,
and H OLCOMB, JJ., joined.

       We granted review to determine whether the penal offense with which appellee was

charged—violation of outdoor burning regulations1 for which a criminal penalty is attached under

the Water Code2—violates the separation-of-powers provision of the Texas Constitution.3 In support

       1
           See TEX . ADMIN . CODE, Title 30, Chapter 111.
       2
           T EX . WATER CODE §§7.177(a)(5), (b) and 7.187(1)(B), (2)(C).
       3
           T EX . CONST ., Art. II, §1.
                                                                    RHINE CONCURRENCE – 2

of his ground for review, appellee argues that the court of appeals engaged in an improper “lockstep”

analysis with federal decisional law that was based on a Texas Supreme Court case that made the

same mistake. In a wide-ranging discussion, he quotes from James Madison and Thomas Jefferson,

traces the development of the doctrine of separation of powers from John Locke to the Continental

Congress, examines the historical developments surrounding the framing of the constitutions of the

United States, Virginia, Kentucky, and Texas, and evaluates the jurisprudence of Texas and other

states. From this discussion, appellee argues that Madison and Jefferson had rival conceptions of

the doctrine of separation of powers. He contends that Madison’s more liberal, “balance of power”

approach ultimately prevailed with respect to the United States Constitution, which has no express

separation-of-powers provision, but that Jefferson’s formalist, strict separation approach has

prevailed in many states, including Texas, that adopted an express separation-of-powers provision

modeled after the one Jefferson formulated. Appellee argues that the strict separation approach

prohibits the Legislature from delegating to an executive agency the ability to enact rules that fix

elements of criminal offenses. He argues alternatively that, under either a restrictive or liberal

approach, the legislative delegation fails to provide sufficient guidance to the administrative agency

on what types of outdoor burning may be prohibited.

       Though the Court spends a great deal of time setting forth various statutory provisions and

administrative regulations,4 it addresses in only the most cursory fashion appellee’s argument for a

more restrictive approach to the doctrine of separation of powers, citing a few cases and saying that

his claim of strict interpretation ignores precedent from this Court and the Texas Supreme Court.5

       4
           See Court’s op., passim.
       5
           Id. at 3.
                                                                      RHINE CONCURRENCE – 3

        We have stated that “[a]s a general proposition, reviewing courts ought to mention a party’s

number one argument and explain why it does not have the persuasive force that the party thinks it

does.”6 Especially considering the quality of the briefing in this case, and the potentially far-reaching

consequences of our decision, it is essential to address appellee’s principal contentions. Since the

Court does not do so, I shall.

                                      A. Preservation of Error

        But first I address a preservation-of-error argument advanced by the Texas Commission on

Environmental Quality (“TCEQ”) in its amicus brief. Though the argument is raised for the first

time on discretionary review, “preservation of error is a systemic requirement that must be reviewed

by the courts of appeals regardless of whether the issue is raised by the parties,” and so inquiry even

at this late stage may be appropriate.7 Moreover, we have “recognized the desirability of avoiding

the adjudication of constitutional issues when at all possible,” and great care should be taken

especially when resolution of the constitutional issue “threatens to overturn the acts of another

branch of government.”8

        TCEQ contends that appellee has forfeited his right to urge his restrictive interpretation of

the doctrine of separation of powers because he did not raise it before the trial court9 and because

        6
            Sims v. State, 99 S.W.3d 600, 603 (Tex. Crim. App. 2003).
        7
            Haley v. State, 173 S.W.3d 510, 515 (Tex. Crim. App. 2005).
        8
            Pena v. State, 191 S.W.3d 133, 136, 136-37 (Tex. Crim. App. 2006).
        9
         Appellee claims that the issue was raised because he objected at trial to the State’s reliance
on federal decisional authority and the trial court suggested that federal authority was “persuasive”
and “not mandatory on us.” I do not address this contention because, below, I accept his legal
argument that he had no obligation to preserve error.
                                                                        RHINE CONCURRENCE – 4

the court of appeals did not address it.10 It is true that, by relying solely upon federal constitutional

authority at trial, an appealing party can forfeit a claim that the Texas Constitution provides more

expansive protections.11 But appellee won at trial, so the appellate court could affirm on a legal

theory not presented to the trial court.12 And because appellee did not even have to file a brief in the

court of appeals, the failure of the court of appeals to address his legal contentions does not preclude

us from doing so.13

                                         B. Separation of Powers

                      1. Is the Texas Constitutional Provision More Restrictive?

        The United States Constitution contains no express separation-of-powers provision.

Separation of powers is implied through the federal constitution’s structure, dividing government

into three branches, and through vesting into each branch its particular power, legislative, executive,

or judicial, as the case may be.14 With respect to legislative power, the United States Constitution

provides that “[a]ll legislative Powers herein granted shall be vested in a Congress of the United

        10
           TCEQ does not dispute that appellee raised the issue before the court of appeals but claims
that the court of appeals correctly refused to address the issue because he had failed to raise it at trial.
        11
           See Pena v. State, 285 S.W.3d 459 (Tex. Crim. App. 2009)(by failing to raise it at trial,
defendant forfeited claim that the Texas Constitution’s Due Course of Law clause provided more
protection than Due Process under the federal constitution with respect to the destruction of
potentially exculpatory evidence).
        12
             Hailey v. State, 87 S.W.3d 118, 121 (Tex. Crim. App. 2002).
        13
         Rhodes v. State, 240 S.W.3d 882, 886 n.9 (Tex. Crim. App. 2007); Volosen v. State, 227
S.W.3d 77, 80 (Tex. Crim. App. 2007).
        14
             U.S. Const., Arts. I, §1, II, §1, III, §1.
                                                                    RHINE CONCURRENCE – 5

States.”15

        By contrast, the Texas Constitution contains the following express separation-of-powers

provision:

        The powers of the Government of the State of Texas shall be divided into three
        distinct departments, each of which shall be confided to a separate body of
        magistracy, to wit: Those which are Legislative to one; those which are Executive
        to another, and those which are Judicial to another; and no person, or collection of
        persons, being of one of these departments, shall exercise any power properly
        attached to either of the others, except in the instances herein expressly permitted.16

This has been identified as a “strict” separation-of-powers provision, and thirty-five states have such

a provision.17 All other things being equal, this textual difference between the United States and

Texas constitutions suggests that Texas would more aggressively enforce separation of powers

between its governmental branches than would the federal government.

        That conclusion is buttressed by historical developments surrounding the framing of the

United States and Texas constitutions. Madison is generally credited as the principal author of the

United States Constitution, and he did indicate that the principle of separation of powers was of the

utmost importance: “If there is a principle in our Constitution, indeed in any free Constitution more

sacred than another, it is that which separates the legislative, executive and judicial powers.”18

        15
             Id., Art. I, §1.
        16
         T    EX . CONST .,     Art. II, §1.
        17
          Jim Rossi, Institutional Design and the Lingering Legacy of Antifederalist Separation of
Powers Ideals in the States, 52 VAND . L. REV . 1167, 1190-91 (1999). Five states have a “general”
separation-of-powers provision, and the remaining ten states have no express separation-of-powers
provision. Id. at 1191.
        18
          Fletcher v. Office of the Attorney General ex rel. Stumbo, 163 S.W.3d 852, 861 (Ky.
2005)(quoting Madison, Speech on the Floor of the House of Representatives, June 22, 1789, in 1
Annals of Congress 581).
                                                                    RHINE CONCURRENCE – 6

Nevertheless, his arguments in defense of the Constitution in the Federalist Papers indicate that he

was more concerned with checks and balances between the various branches than with maintaining

strict separation. It was Madison’s view that the principle behind the doctrine of separation of

powers was violated only when “the whole power of one department is exercised by the same hands

which possess the whole power of another department.”19 He further contended that “a mere

demarcation on parchment of the constitutional limits of the several departments is not a sufficient

guard against” the tyrannical concentration of power.20 Rather, the three branches must be “so far

connected and blended as to give to each a constitutional control over the others.”21

       Jefferson, too, was concerned with checks and balances, but he also wanted a strong

statement concerning the separation of powers. In his Notes on the State of Virginia he said that “the

powers of government should be so divided and balanced among several bodies of magistracy, as

that no one could transcend their legal limits, without being effectually checked and restrained by

the others.”22 Jefferson believed that the “legislative, executive and judiciary department should be

separate and distinct, so that no person should exercise the powers of more than one of them at the

same time” and a “barrier” should be “provided between these several powers.”23 Most importantly,

Jefferson’s proposed constitution for Virginia, contained in an appendix to his Notes, included an

       19
         The Federalist Papers (Signet Classic edition 2003, ed. by Clinton Rossiter), No. 47, p.
299 (emphasis in original).
       20
            Id., No. 48 at p. 310.
       21
            Id. at p. 305.
       22
          Notes on the State of Virginia (Selected Writings Jefferson 1979, ed. by Harvey C.
Mansfield, Jr.), Query XIII: Constitution, p. 30.
       23
            Id.
                                                                      RHINE CONCURRENCE – 7

express separation-of-powers clause that is almost identical to the one found in the Texas

Constitution.24 The high courts in Kentucky and Louisiana have recognized Jefferson as the author

of their similarly-worded separation-of-powers provisions.25 According to an account given by the

Supreme Court of Kentucky, Jefferson told John Breckinridge and George Nicholas “that there was

a danger in the federal constitution because the clause defining the powers of the departments of

government was not sufficiently guarded, and that the first thing to be provided for by the Kentucky

constitution should be to confine the judiciary to its powers, and the legislative and executive to

theirs.”26

        In some contexts, the Supreme Court has recognized a vigorous role for the doctrine of

separation of powers: “[T]he doctrine of separation of powers is a structural safeguard . . . a

prophylactic device, establishing high walls and clear distinctions because low walls and vague

distinctions will not be judicially defensible in the heat of interbranch conflict.”27 As recently as last

        24
        Notes on the State of Virginia (Penguin Classics 1999, ed. by Frank Shuffelton), paragraph
immediately preceding heading entitled “I. Legislature,” p. 218, providing:

        The powers of government shall be divided into three distinct departments, each of
        them to be confided to a separate body of magistracy; to wit: those which are
        legislative to one, those which are judiciary to another, and those which are executive
        to another. No person, or collection of persons, being of one of these departments,
        shall exercise any power properly belonging to either of the others, except in the
        instances hereinafter expressly permitted.
        25
         Fletcher, 163 S.W.3d at 861; State v. All Pro Paint & Body Shop, 639 So. 2d 707, 712 n.7
(La. 1994).
        26
            Fletcher, 163 S.W.3d at 861. The Kentucky court acknowledged that this account was
first related in an 1898 Kentucky opinion by Judge Du Relle with no citation to authority. Id. at 861
n.3.
        27
             Plaut v. Spendthrift Farm, 514 U.S. 211, 239 (1995)(emphasis in original).
                                                                   RHINE CONCURRENCE – 8

year, the Supreme Court invalidated a President’s action as intruding upon Congress’s exclusive

authority to make law.28 The Supreme Court of Kentucky has remarked, “The United States

Supreme Court has consistently allayed Jefferson’s purported fears.”29

       But with respect to the legislative delegation of power to executive agencies, the same

Kentucky court characterized the Supreme Court’s enforcement of separation of powers as

“toothless” and “feeble.”30 Though the Supreme Court has developed a nondelegation doctrine,31

it has found a delegation of authority to an administrative agency to violate separation of powers on

only three occasions, all of which were during the New Deal era.32 That was when the “court-

packing” controversy occurred, after which the Supreme Court declined to overturn any more

administrative legislation.33 “[T]he notion that the Constitution narrowly confines the power of

Congress to delegate authority to administrative agencies, which was briefly in vogue in the 1930s,

has been virtually abandoned by the Court for all practical purposes.”34 The Supreme Court of

Florida has called the federal approach to the nondelegation doctrine a “nondoctrine,” saying that

       28
            Medellin v. Texas, 128 S. Ct. 1346, 1367-72 (2008).
       29
            Fletcher, 163 S.W.3d at 861 (citing cases).
       30
            Board of Trustees v. Attorney General, 132 S.W.3d 770, 782, 784 (Ky. 2003)
       31
            Panama Refining Co. v. Ryan, 293 U.S. 388 (1935).
       32
          See Texas Boll Weevil Eradication Found. v. Lewellen, 952 S.W.2d 454, 467 (Tex. 1997);
see also Barco Beverage Corp. v. Indiana Alcoholic Beverage Comm’n, 595 N.E.2d 250, 254 (Ind.
1992).
       33
            B.H. v. State, 645 So. 2d 987, 990 (Fla. 1994).
       34
            Barco Beverage Corp., 595 N.E.2d at 254.
                                                                    RHINE CONCURRENCE – 9

the Supreme Court has essentially abdicated any responsibility to act in the matter.35 Due to

differences in the text of state and federal constitutions and the history of federal jurisprudence, at

least some state courts have expressly declared that federal authority is not persuasive in this area

of the law.36

        In a context other than legislative delegation, this Court has enforced the doctrine of

separation of powers more aggressively than the United States Supreme Court has. In Meshell v.

State, we held the Texas Speedy Trial Act unconstitutional because the time limits imposed on

criminal prosecutions were an unlawful encroachment on the exclusive discretion of the

prosecutor–a member of the judicial branch.37 By contrast, the federal Speedy Trial Act remains

vital.38 There are several aspects to the doctrine of separation of powers. If Texas and federal

jurisprudence differ in one aspect, the chances are good that they differ in other aspects as well. If

Texas defends more vigorously the dividing line between the legislative and judicial branches,39 then

        35
             B.H., 645 So. 2d at 992 n.3.
        36
          Id. at 990-92; Bloemer v. Turner, 281 Ky. 832, 838, 137 S.W.2d 387, 390 (1939); Board
of Trustees, 132 S.W.3d at 781-82; Alexander v. State, 441 So. 2d 1329, 1335 (Miss. 1983). See also
State ex rel. King v. Morton, 955 So. 2d 1012, 1020 n.10 (Ala. 2006)(observing that some
commentators have suggested that textual divergence renders federal authority “not pertinent to a
discussion of the requirements of a state constitution”). But see David v. Vesta Co., 45 N.J. 301,
323-24, 212 A.2d 345, 357 (1965)(“But a strict interpretation of the principle, rigidly classifying all
governmental action as legislative, executive, or judicial was never intended by Montesquieu . . . by
the founding fathers of our federal system, or by the drafters of our State Constitutions”); Boreali
v. Axelrod, 71 N.Y.2d 1, 10 n.1, 517 N.E.2d 1350, 1354 n.1 (Ct .App.1987)(line of cases based upon
Panama Refining has rightfully fallen into disrepute).
        37
             739 S.W.2d 246, 253, 257 (Tex. Crim. App. 1987).
        38
             See Zedner v. United States, 547 U.S. 489 (2006).
        39
          See also Armadillo Bail Bonds v. State, 802 S.W.2d 237, 239-241 (Tex. Crim. App.
1990)(separation-of-powers violation for legislature to require a delay of entry of judgment in bail
                                                                  RHINE CONCURRENCE – 10

it would likely also defend more vigorously the line between the legislative and executive branches.

Because defense of the nondelegation line between the legislative and executive branches in the

federal system is almost nonexistent, it stands to reason that defense of that line in the Texas state

system would be more robust.40

                      2. Are Criminal Sanctions Categorically Prohibited?

       I begin with appellee’s contention that the Legislature can never delegate the power to fix

elements of a criminal offense. Appellee cites two Texas cases, Ex parte Humphrey41 and Ex parte

Leslie,42 for the proposition that “the authority to define crimes, and to fix punishments for those

crimes, is vested exclusively in the Legislature.” But both decisions recognized the ability of the

Legislature to attach criminal penalties to the violation of a regulation under the proper conditions:

       Judicial sanction has often been given to the exercise of the power to, by law,
       prescribe the punishment for the violation of the regulations of a board or
       commission, upon the theory that, observing proper limitations, such an act is not
       obnoxious to the principle denying to the Legislature the power to delegate its
       authority.

                                                ***

       The power to make laws is placed by the people through the Constitution upon the

bond forfeiture proceedings).
       I recognize that the prosecutor is part of the executive branch in the federal system.
       40
          Appellee also cites the Texas constitutional convention debates of 1845 to show that the
Texas framers were concerned about the principle of separation of powers in discussing whether the
Secretary of State should be an elected or appointed office and whether to give the Governor the
right to veto legislation. Having already accepted the proposition that the Texas Constitution
enforces a stricter doctrine of separation of powers than the United States Constitution, I need not
consider whether these debates indirectly lend further support to that proposition.
       41
            92 Tex. Crim. 501, 244 S.W. 822 (1922).
       42
            87 Tex. Crim. 476, 223 S.W. 227 (1920).
                                                                  RHINE CONCURRENCE – 11

       Legislature. The rights of individuals are guarded by restrictions touching the
       enactment and publication of laws, and the privilege is afforded of presenting by
       petition or appearance before the legislative committees opposition to proposed
       enactments affecting the property or the liberty of the citizen. A completed law, if
       penal in its effect, must define the act or omission denounced as criminal to some
       degree of certainty.

                                               ***

       In conferring upon an instrument of government, such as the live stock sanitary
       commission, the power to make rules, the nonobservance of which constitutes a
       criminal offense, it is deemed necessary that the Legislature define the power and
       place limitations upon the authority to promulgate rules, to the end that they may not
       be lacking in the essential elements of a law denouncing an offense.43

       Moreover, early Texas caselaw contains examples of this Court upholding laws that

criminally punish the violation of an administrative regulation. In Smith v. State, the defendant was

prosecuted for driving cattle across a quarantine line.44 We held that the Legislature did not

unconstitutionally delegate lawmaking authority to the Live Stock Sanitary Commission; rather, the

Commission was acting “under specific command of the Legislature in establishing those lines

whenever they deemed it was necessary to do so to protect the live stock of this state from splenetic

fever, or infectious or contagious diseases.”45 In Williams v. State, the defendant was convicted of

growing cotton in an area designated by the Pink Bollworm Commission as a regulated zone and in

violation of regulations promulgated by the Commissioner on Agriculture.46 We held that the

Legislature did not improperly delegate its authority:

       43
          Leslie, 87 Tex. Crim. at 478-79, 223 S.W. at 226-28; see also Humphrey, 92 Tex.
Crim. at 505, 244 S.W. at 824 (quoting first two paragraphs from Leslie above).
       44
            74 Tex. Crim. 232, 168 S.W. 522 (1914).
       45
            Id. at 234, 168 S.W. at 523.
       46
            146 Tex. Crim. 430, 176 S.W.2d 177 (1943).
                                                                    RHINE CONCURRENCE – 12

       The generally accepted rule governing such matters now appears to be that a
       legislative body may, after declaring policy and fixing a primary standard, confer
       upon executive or administrative officers the power to fill up the details, by
       prescribing rules and regulations to promote the purpose and spirit of the legislation
       and to carry it into effect. In such cases the action of the Legislature in giving such
       rules and regulations the force of laws does not violate the constitutional inhibition
       against delegating the legislative function.47

       In reviewing the jurisprudence of other states, appellee comments that he “has discovered no

decisional law, in either these States [with a strict separation-of-powers provision] or in those others

that have less specific provisions, in which a State legislature has been constitutionally permitted to

delegate to a state agency the legislative authority to define the elements of a criminal offense.”48

He contends, however, that decisional law from other states is instructive, and he discusses a case

from Kentucky,49 a case from Florida,50 and a Texas case that relies upon authority from Indiana,

Missouri, and Alabama.51 His discussion of these cases reveals that they are relevant only to the

extent that they advocate, in general, a restrictive approach to separation of powers—a proposition

that I have already accepted.

       But, in fact, many states have addressed the delegation question with respect to criminal

offenses, and the weight of authority is against appellee’s contention that the fixing of elements of

criminal offenses can never be delegated. Cases from courts of last resort in eight states have

holdings and contain language that might suggest that criminal offenses are simply off limits when

       47
             Id. at 438, 176 S.W.2d at 183.
        48
             Emphasis in appellee’s brief.
       49
             Fletcher v. Commonwealth.
       50
             Askew v. Cross Key Waterways, 372 So. 2d 913 (Fla. 1979).
       51
             Snodgrass v. State, 150 S.W. 162 (Tex. Crim. App. 1912).
                                                                   RHINE CONCURRENCE – 13

it comes to delegating authority to an administrative agency.52 But later cases in four of those states

have held that such a reading is too broad and that delegation is permissible if certain conditions are

met.53 A reading of the opinions in the remaining four states suggests that there may also be bases

for distinguishing or limiting their holdings.54 And a number of other states have upheld legislative

delegations that involve elements of criminal offenses.55 Some of these delegations occurred in

       52
           B.H., 645 So. 2d at 992-93 (escape from detention facility level 6 or above); Sundberg v.
State, 234 Ga. 482, 484, 216 S.E.2d 332, 333 (1975)(controlled substances act); Howell v. State, 238
Ga. 95, 95-96, 230 S.E.2d 853, 853-54 (1976)(Dept. of Nat. Res firearm regulation); Bloemer v.
Turner, 281 Ky. 832, 840, 137 S.W.2d 387, 392 (1939)(dog food regulation); State v. Broom, 439
So. 2d 357, 369 (La. 1983)(op. on rehearing)(explosives regulation); State v. Raccagno, 530 S.W.2d
699, 702-03 (Mo. 1975)(tax stamp regulation); State v. Gallion, 572 P.2d 683, 688-90 (Utah
1977)(controlled substances act); State v. Grinstead, 157 W. Va. 1001, 1012-13, 206 S.E.2d 912,
920 (1974)(same); State v. Grimshaw, 49 Wyo. 192, 210, 53 P.2d 13, 19 (1935)(transporting goods
without a permit).
       53
           Avatar Dev. Corp. v. State, 723 So. 2d 199, 203-04 (Fla. 1998)(failure to comply with
environmental permit condition)(distinguishing B.H.); All Pro Paint & Body Shop,639 So.2d at 713-
14 (hazardous waste)(distinguishing Broom); State v. Thompson, 627 S.W.2d 298, 302-03 (Mo.
1982)(controlled substances act)(distinguishing Raccagno); Found. for Indep. Living v. Cabell-
Huntington Board of Health, 214 W. Va. 818, 829-31, 591 S.E.2d 744, 755-57 (2003)(clean indoor
air regulations)(distinguishing Grinstead).
       54
           Howell, 238 Ga. at 95, 230 S.E.2d at 853 (regulations could be made basis of criminal
prosecution if the enabling statute “limited the power to promulgate rules . . . in harmony with what
the Assembly has already declared to be a crime”); Bloemer, 281 Ky. at 840, 137 S.W.2d at 391-92
(discussing adequacy of statutory standards); Gallion, 572 P.2d at 687 (delegation was to attorney
general, a specific person within the executive department, separation-of-powers provision was
directed at a “person” and did not apply to administrative agencies); Grimshaw, 49 Wyo. at 210-11,
53 P.2d at 19 (no fixed standard where order or decision of agency could be overturned on review);
but see Wyoming Coalition v. Wyoming Game & Fish Comm’n, 875 P.2d 729, 732 (Wyo.
1994)(construing Grimshaw in dicta to mean that “an agency may not define a standard of conduct
pursuant to which an individual might be adjudged a criminal”).
       55
           Ex parte McCurley, 390 So. 2d 25, 26-29 (1980)(controlled substances act); State v.
Williams, 119 Ariz. 595, 598-99, 583 P.2d 251, 254-55 (1978)(food stamps); Curry v. State, 279
Ark. 153, 158-60, 649 S.W.2d 833, 836-37 (1983)(controlled substances act); People v. Lowrie, 761
P.2d 778, 780-84 (Colo. 1988)(sex acts in liquor establishment); State v. Kellogg, 98 Idaho 541, 542-
45, 568 P.2d 514, 515-18 (1977)(controlled substances act); State v. Turmon, 417 Mich. 638, 643-53,
                                                                   RHINE CONCURRENCE – 14

connection with a state’s controlled substances act, which carried felony penalties,56 and courts have

observed that permitting delegation in that context is the “majority view” of those jurisdictions

addressing the issue.57

       Appellee’s argument also runs up against a practical consideration. The regulation at issue

has both civil and criminal penalties. The penalties themselves are statutory.58 Is an administrative

rule any less “legislative” if it carries only a civil penalty rather than a criminal one? The criminal

nature of the penalty makes a difference for many constitutional provisions that directly protect the

citizen from the government: due process and the right to a jury trial, for example. But separation

of powers is concerned with the government’s relationship with itself rather than with citizens who

may be potential rule-breakers.

                    3. What is the scope of the Texas Constitutional provision?

340 N.W.2d 620, 623-27 (1983)(same, but also discussing prior case involving criminal penalties
attached to violation of open season declarations regarding birds, fish, and fur-bearing animals);
State v. Cutright, 193 Neb. 303, 304-07, 226 N.W.2d 771, 773-74 (1975)(swimming in a restricted
area)(but distinguishing between a legislative definition of the crime that incorporates a regulation
and a statute that simply criminalizes the violation of a regulation); State v. Switzer, 22 Ohio St. 2d
47, 51-53, 257 N.E.2d 908, 911-12 (1970)(possession of undersized fish); State v. Peloquin, 427
A.2d 1327, 1329-31 (R.I. 1981)(controlled substances act); State v. Moschell, 2004 SD 35, P13-25,
677 N.W.2d 551, 558-60 (2004)(hunting, taking, and transportation of wild animals)(criticizing
Broom).
       56
           See McCurley v. State, 390 So. 2d 15, 16 (Ala. Crim. App. 1980)(punishment imposed
was four years in penitentiary probated to twelve months in jail); Kellogg, 98 Idaho at 542, 568 P.2d
at 515 (offense punishable by up to three years of imprisonment); Turmon, 471 Mich. at 653, 340
N.W.2d at 627 (controlled substances act creates felonies, no meaningful difference from delegation
perspective between felonies and misdemeanors).
       57
          Curry, 279 Ark. at 159, 649 S.W.2d at 837; Turmon, 417 Mich. at 648 n.4, 340 N.W.2d
at 625 n.4.
       58
            See this opinion footnote 2 (criminal penalties); TEX . WATER CODE §7.102 (civil penalty).
                                                                  RHINE CONCURRENCE – 15

       In Field v. Clark, a late nineteenth-century case, the United States Supreme Court quoted a

Pennsylvania decision for the distinction between a law that properly confers administrative authority

and one that improperly delegates legislative authority:

       The legislature cannot delegate its power to make a law; but it can make a law to
       delegate a power to determine some fact or state of things upon which the law makes
       or intends to make, its own action depend. To deny this would be to stop the wheels
       of government. There are many things upon which wise and useful legislation must
       depend which cannot be known to the law-making power, and, must, therefore, be
       a subject of inquiry and determination outside of the halls of legislation.59

This Court and the vast majority of other state courts of last resort have quoted from this passage

with approval (including the high courts in Florida and Kentucky, upon which appellee relies

most).60

       59
            143 U.S. 649, 694 (1892)(quoting Locke’s Appeal, 72 Pa. 491, 498 (1873)).
       60
           Williams, 146 Tex. Crim. at 438, 176 S.W.2d at 183; Monroe v. Harco, Inc., 762 So. 2d
828, 831 (Ala. 2000); State v. Arizona Mines Supply Co., 107 Ariz. 199, 205, 484 P.2d 619, 625
(1971); Swanberg v. Tart, 300 Ark. 304, 311, 778 S.W.2d 931, 934 (1989); Kugler v. Yocum, 69 Cal.
2d 371, 376, 445 P.2d 303, 306 (1968); People v. Gallegos, 644 P.2d 920, 929 (Colo. 1982); Kellems
v. Brown, 163 Conn. 478, 500, 313 A.2d 53, 64-65 (1972); Avatar Dev. Corp., 723 So. 2d at 204;
Telford v. Gainesville, 208 Ga. 56, 63, 65 S.E.2d 246, 251 (1951); Kellogg, 98 Idaho at 543, 568
P.2d at 516; People ex rel. Adamowski v. Chicago Land Clearance Com., 14 Ill. 2d 74, 80, 150
N.E.2d 792, 796 (1958); Stanton v. Smith, 429 N.E.2d 224, 228 (Ind. 1981); AFSCME/Iowa Council
61 v. State, 484 N.W.2d 390, 394 (Iowa 1992); State ex rel. Hawks v. Topeka, 176 Kan. 240, 246
270 P.2d 270, 276 (1954); Fletcher, 163 S.W.3d at 862; All Pro Paint & Body Shop, 639 So. 2d at
711; Kovack v. Licensing Board, Waterville, 157 Me. 411, 418, 173 A.2d 554, 558 (1961);
Nottingham Village, Inc. v. Baltimore County, 266 Md. 339, 351, 292 A.2d 680, 686 (1972); Taylor
v. Smithkline Beecham Corp., 468 Mich. 1, 9 n.7, 658 N.W.2d 127, 132 n.7 (2003); Hassler v.
Engberg, 233 Minn. 487, 515, 48 N.W.2d 343, 360 (1951); Clark v. State, 381 So. 2d 1046, 1050
(Miss. 1980); Thompson, 627 S.W.2d at 303; State v. Stark, 100 Mont. 365, 371, 52 P.2d 890, 893
(1935); Searle v. Yensen, 118 Neb. 835, 842-43, 226 N.W. 464, 467 (1929); Villanueva v. State, 117
Nev. 664, 668, 27 P.3d 443, 446 (2001); Little Ferry v. Bergen County Sewer Authority, 9 N.J. 536,
543, 89 A.2d 18, 23 (1952); State ex rel. State Park & Recreation Comm’n v. New Mexico State
Auth., 76 N.M. 1, 10, 411 P.2d 984, 991 (1966); Peacock v. County of Scotland, 262 N.C. 199, 203-
04, 136 S.E.2d 612, 615 (1964); North Dakota Council of Sch. Adm’rs v. Sinner, 458 N.W.2d 280,
286 (1990); Switzer, 22 Ohio St. 2d at 52-53, 257 N.E.2d at 912; Burger v. Gorden, 380 P.2d 687,
690 (Okla. 1963); Savage v. Martin, 161 Ore. 660, 697, 91 P.2d 273, 288 (1939); Terry v. Pratt, 258
                                                                  RHINE CONCURRENCE – 16

       Beyond agreement on this passage, there are various approaches and nuances in the states

with respect to the issue of nondelegation. One scholar has grouped the states into three broad

nondelegation categories: weak, moderate, and strong.61 Notably, in the “strong” nondelegation

category, he has included Texas, Florida, Arizona, Illinois, Kentucky, Massachusetts, Montana,

Nebraska, Nevada, New Hampshire, New Mexico, New York, Ohio, Oklahoma, Pennsylvania, South

Dakota, South Carolina, Virginia, and West Virginia.62 Louisiana, the state other than Kentucky to

recognize the Jeffersonian origin of its “strict” separation-of-powers provision, is categorized as a

“moderate” nondelegation state.63 New York, Ohio, and Pennsylvania have no express separation-

of-powers clause, New Hampshire and South Dakota have a “general” provision, and the remaining

states in the “strong” category, like Texas, have a “strict” provision expressly requiring separation

of the branches of government.64 Whether the characterization of how strongly various states enforce

the nondelegation doctrine was correct when made or remains correct today is a difficult matter to

ascertain without close familiarity with the jurisprudence of every state in the country. But an

examination of the cases can reveal some common threads that are relevant to our inquiry.

S.C. 177, 184, 187 S.E.2d 884, 887 (1972); John Morrell & Co. v. American Ry. Express Co., 45
S.D. 399, 404, 187 N.W. 724, 725 (1922); Gamble v. State, 206 Tenn. 376, 387, 333 S.W.2d 816,
821 (1960); State Highway Bd. v. Gates, 110 Vt. 67, 77, 1 A.2d 825, 829 (1938); Stuart’s Ex’rs v.
Board of Sinking Fund Comm’rs, 123 Va. 224, 229, 96 S.E. 239, 241 (1918); Diversified Inv.
Partnership v. Dep’t of Soc. & Health Servs., 113 Wash. 2d 19, 25, 775 P.2d 947, 950 (1989); Cowan
v. County Comm’n, 161 W. Va. 106, 110-11, 240 S.E.2d 675, 678 (1977); State v. Wakeen, 263 Wis.
401, 409, 57 N.W.2d 364, 368 (1953); Grimshaw, 49 Wyo. at 205, 53 P.2d at 17.
       61
            Rossi at 1191-1201.
       62
            Id. at 1196-97.
       63
            Id. at 1198-1200.
       64
            Id. at 1196-97.
                                                                  RHINE CONCURRENCE – 17

       This Court and courts in other states have widely upheld the delegation of authority to an

administrative agency so long as the Legislature enacts proper standards to guide administrative

discretion.65 When the subject matter to be regulated is complex, courts have allowed the standards

to be more general in order to afford sufficient flexibility to the agency and to take advantage of

expertise.66 Environmental regulation in particular has been characterized as a complex field in

which a large amount of administrative discretion is necessary. The Supreme Court of Florida

explained:

       Clearly, environmental protection requires highly technical, scientific, regulatory
       schemes to ensure proper compliance with legislative policy. It would be difficult,
       if not impossible, to require the Legislature to enact such rules, regulations and
       procedures capable of addressing the myriad of problems and situations that may
       arise implicating pollution control and prevention.67

Nevertheless, courts have also recognized that standards should not be so vague as to confer

       65
          See Williams, 146 Tex. Crim. at 438, 176 S.W.2d at 183; Walden v. Hart, 243 Ark. 650,
652, 420 S.W.2d 868, 870 (1967); Barco Beverage Corp., 595 N.E.2d at 253-54; State ex rel.
Tomasic v. Wyandotte County, 264 Kan. 293, 303-04, 955 P.2d 1136, 1148 (1998); Board of
Trustees, 132 S.W.3d at 782; Lewis v. State Dept. of Human Serv., 433 A.2d 743, 747-48 (Me.
1981); Turmon, 417 Mich. at 644-45, 340 N.W.2d at 623-24; State v. Mathis, 315 Mont. 378, 382,
68 P.3d 756, 760 (2003); Cobb v. State Canvassing Board, 140 N.M. 77, 89, 140 P.3d 498, 510
(2006); Moschell, 2004 SD at P15-16, 677 N.W.2d at 558-59; Found. for Indep. Living, 214 W. Va
at 830, 591 S.E.2d at 756.
       66
          Arizona Mines Supply Co., 107 Ariz. at 205, 484 P.2d at 625 (pollution standards); Curry,
279 Ark. at 159-60, 649 S.W.2d at 837 (controlled substances act); People v. Holmes, 959 P.2d 406,
412 (Colo. 1998)(contraband at a detention facility); Avatar Dev. Corp., 723 So. 2d at 207 (pollution
control and prevention); Kellogg, 98 Idaho at 543-44, 568 P.2d at 516-17 (controlled substances act);
Tomasic, 264 Kan. at 305, 955 P.2d at 1148-49 (consolidation of city and county operations);
Ashland Transfer Co. v. State Tax Comm’n., 247 Ky. 144, 160-61, 56 S.W.2d 691, 698
(1932)(commercial traffic on public highways); All Pro Paint & Body Shop, 639 So. 2d at 716-17
(hazardous waste); Lewis, 433 A.2d at 748-49 (subsurface sewage disposal systems); Peloquin, 427
A.2d at 1330-31 (controlled substances act).
       67
            Avatar Dev. Corp., 723 So. 2d at 207.
                                                                    RHINE CONCURRENCE – 18

discretion that is absolute,68 unbridled,69 open-ended,70 arbitrary,71 or uncontrolled.72

       In addition, a number of courts have held that procedural safeguards must accompany broad

standards to ensure that the agency action conforms to those standards.73 The required procedural

safeguards typically include a pre-adoption public hearing and post-adoption judicial review.74

Procedural safeguards ensure that the administrative agency really is doing the will of the

Legislature: The pre-adoption public hearing ensures that the administrative agency takes the

legislative standards into account, engaging in factual determinations that relate to the legislative

standards rather than simply dictating policy, and judicial review ensures that the administrative

       68
            Walden, 243 Ark. at 654, 420 S.E.2d at 870; Moschell, 2004 SD at P.17, 677 N.W.2d at
559.
       69
            Lowrie, 761 P.2d at 782; Cobb, 140 N.M. at 89, 140 P.3d at 510.
       70
            Lowrie, 761 P.2d at 782; B.H., 645 So. 2d at 994.
       71
         B.H., 645 So. 2d at 994; Mathis, 315 Mont. at 383, 68 P.3d at 760; Cobb, 140 N.M. at 89,
140 P.3d at 510.
       72
          Mathis, 315 Mont. at 383, 68 P.3d at 760; see also Walden, 243 Ark. at 654, 420 S.E.2d
at 870 (“unregulated” or “undefined”); Moschell, 2004 SD at P.17, 677 N.W.2d at 559 (same).
       73
           Cottrell v. City and County of Denver, 636 P.2d 703, 709 (Colo. 1981); All Pro Paint &
Body Shop, 639 So. 2d at 713; Turmon, 417 Mich. at 648, 650, 340 N.W.2d at 625, 626; Opinion
of Justices, 368 Mass. 831, 837, 333 N.E.2d 388, 393 (1975); Boreali, 71 N.Y.2d at 10, 517 N.E.2d
at 1354; Peloquin, 427 A.2d at 1331; Wyoming Coalition v. Wyoming Game & Fish Comm’n., 875
P.2d 729, 733-34 (Wyo. 1994). Colorado allows for the possibility that a delegation may be proper
even if standards and safeguards can be found only at the administrative level, Cottrell, 636 P.2d at
709-10, but such a thing has not been suggested in any other jurisdiction (as far as I am aware), and
New Mexico has specifically stated that an agency’s “self-imposed restraints can in no way serve
to supply what has been omitted.” Cobb, 140 N.M. at 89, 140 P.3d at 510.
       74
            See above footnote.
                                                                    RHINE CONCURRENCE – 19

agency’s rules and other actions actually conform to the legislative standards.75 Of course, for

safeguards to have meaning, the legislative standards must be sufficiently specific to allow the

agency and the courts to determine whether the agency is carrying out the intent of the legislature.76

       Though the line of demarcation between a proper and an improper delegation may not be

easy to discern,77 the branches should be kept as separate as possible while taking into account the

practical necessities of life.78 The fact that the Legislature could have been more specific does not

necessarily invalidate a delegation,79 however, and legislative standards can be implied from an

express statutory purpose,80 consistent with the principle that we will employ a narrowing

construction to save the constitutionality of a statute if it is amenable to such a construction.81 The

        75
         See Cottrell, 636 P.2d at 709 (safeguards ensure “that administrative action will be rational
and consistent in the first instance and that subsequent judicial review of that action is available and
will be effective”); All Pro Paint & Body Shop, 639 So. 2d at 713 (procedural safeguards
requirement “ensures the agency exercises that discretion in accordance with the policy and
standards prescribed in the enabling statute”).
       76
           See Avatar Dev. Corp., 723 So. 2d at 202 (quoting Askew, 372 So. 2d at 918-19)
(delegation invalid when “neither the agency nor the courts can determine whether the agency is
carrying out the intent of the legislature”); All Pro Paint & Body Shop, 639 So. 2d at 712 (adequacy
of standards “prevents judicial review from becoming merely an exercise at large by providing the
courts with some measure against which to judge the official action that has been challenged”).
        77
          Bloemer, 281 Ky. at 840, 137 S.W.2d at 391; Mathis, 315 Mont. at 385, 68 P.3d at 761;
Boreali, 71 N.Y.2d at 11, 517 N.E.2d at 1355.
        78
          Mississippi Pub. Serv. Comm’n v. Mississippi Power & Light Co., 593 So. 2d 997, 999
(Miss. 1991); see also David, 45 N.J. at 324, 212 A.2d at 357 (warning against use of separation-of-
powers doctrine with “pedantic rigor” that would make “the modern administrative agency . . . an
impossibility in our law”).
       79
             Kellogg, 98 Idaho at 544, 568 P.2d at 517.
       80
         Tomasic, 264 Kan. at 305, 955 P.2d at 1148; All Pro Paint & Body Shop, 639 So. 2d at
716; Opinion of Justices, 368 Mass. at 834-35, 333 N.E.2d at 392.
       81
             Long v. State, 931 S.W.2d 285, 295 (Tex. Crim. App. 1996).
                                                                   RHINE CONCURRENCE – 20

Supreme Court of Kentucky has explained that one important purpose of the nondelegation branch

of the separation-of-powers doctrine is to ensure that the Legislature takes the political heat for its

enactments rather than shifting blame to an unelected bureaucrat.82

       Application of these principles may be found in a number of cases, and I discuss a few of the

significant decisions here. I begin with cases that have found a delegation to be unconstitutional.

In Askew v. Cross Key Waterways, the Supreme Court of Florida addressed the constitutionality of

the Florida Environmental Land and Water Management Act.83 That statute empowered “the

Division of State Planning to recommend areas of critical state concern to the Governor and cabinet

acting as the Administration Commission” and empower this Administration Commission to act on

those recommendations.84 An area could be designated as “of critical state concern” if it had

significant impact upon “environmental, historical, natural, or archaeological resources of regional

or statewide importance,” was significantly affected by or had a significant effect upon “an existing

or proposed major public facility or other area of major public investment,” or was a “proposed area

of major development potential,” including “a proposed site of a new community.”85 This scheme

violated separation of powers because it conferred upon the Administrative Commission “the

fundamental legislative task of determining which geographic areas and resources are in the greatest

need of protection.”86 The statute treated “alike, as fungible goods, disparate categories of

       82
            Board of Trustees, 132 S.W.3d at 784.
       83
372 So. 2d at 914.
       84
            Id. at 914-15.
       85
            Id.
       86
            Id. at 919.
                                                                    RHINE CONCURRENCE – 21

environmental, historical, natural, and archaeological resources of regional or statewide importance

and all of Florida’s manifold resources within those vast categories,” so that a reviewing court could

not possibly “ascertain whether the priorities recognized by the Administration Commission comport

with the intent of the legislature.”87

        In Boreali v. Axelrod, the New York Court of Appeals addressed the constitutionality of

regulations on the indoor smoking of tobacco.88             The Public Health Council promulgated

“regulations prohibiting smoking in a wide variety of indoor areas that are open to the public,

including schools, hospitals, auditoriums, food markets, stores, banks, taxicabs and limousines.”89

The rules required restaurants with seating capacities of greater than fifty people to provide

nonsmoking areas, and employers were required to provide smoke-free work areas for nonsmoking

employees.90 Some areas were exempt from the regulations, including restaurants with seating

capacities of less than fifty, conventions, trade shows, and bars.91 A waiver of the regulations could

be obtained from the Commissioner “upon a showing of financial hardship.”92 The claimed authority

for these regulations was a statute that authorized the Public Health Council to “deal with any matter

affecting the . . . public health.”93 The New York court declined to say that the broad enabling statute

        87
             Id.
        88
             71 N.Y.2d at 7, 517 N.E.2d at 1352.
        89
             Id.
        90
             Id.
        91
             Id.
        92
             Id.
        93
             Id. at 9, 517 N.E.2d at 1353 (ellipsis in original).
                                                                  RHINE CONCURRENCE – 22

was itself an unconstitutional delegation of legislative authority, but the court concluded that the

agency “stretched that statute beyond its constitutionally valid reach when it used the statute as a

basis for drafting a code embodying its own assessment of what public policy ought to be.”94

       The court gave four reasons for its conclusion: First, the court observed that, while “acting

to further the laudable goal of protecting nonsmokers from the harmful effects of ‘passive smoking,’

the agency in reality “constructed a regulatory scheme laden with exceptions based solely upon

economic and social concerns.”95 Second, the agency wrote on a “clean slate,” creating “a

comprehensive set of rules without the benefit of legislative guidance.”96 Third, the agency “acted

in an area in which the Legislature had repeatedly tried – and failed – to reach agreement in the face

of substantial public debate and vigorous lobbying by a variety of interested factions.”97 Finally, no

special expertise or technical competence in the field of health was involved in the development of

the anti-smoking regulations.98

       In Ex parte Leslie, we addressed the constitutionality of a statute authorizing administrative

action with respect to livestock.99 The defendant was prosecuted for failing to dip cattle that were

in a quarantine zone.100 The relevant statute made it a criminal offense to fail to dip livestock “at

       94
             Id.
       95
             Id. at 11-12, 517 N.E.2d at 1355.
       96
             Id. at 13, 517 N.E.2d at 1356.
       97
             Id..
       98
             Id. at 14, 517 N.E.2d at 1356.
       99
87 Tex. Crim. at 477-78, 223 S.W. at 227.
       100
             Id.
                                                                    RHINE CONCURRENCE – 23

such time and in such manner as directed in writing by the live stock sanitary commission.”101 On

March 27th, the commission ordered the defendant to dip his cattle on March 29th between 7:00 a.m.

and 1:00 p.m.102 Though the Legislature’s clear purpose was to protect livestock from diseases,103

the statute in question imposed an affirmative duty on livestock owners to comply with an

inspector’s order without providing any guidance concerning the “dates or intervals when cattle shall

be dipped” or the amount of notice that an owner should have to bring his cattle into compliance.104

       Another example of a case in which the legislative policy was perhaps clear but the statutory

standards were not is the Florida decision in B.H. v. State. In that case, a statute created the crime

of “escape from any secure detention facility or any residential commitment facility of restrictiveness

level VI or above.”105 The Department of Health and Rehabilitative Services was given the authority

to define restrictiveness levels “in terms of broad categories based on ‘the risk and needs of the

individual child,’ of which there can be no more than eight,” with no other meaningful limitations.106

The Department created four risk levels, numbered 2, 4, 6, and 8.107 The Florida Supreme Court

observed that the Department could have just as easily created risk levels numbered 1 through 4—in

which case no facility would fall within the definition of the offense—or risk levels numbered 10,

       101
             Id. at 479, 223 S.W. at 228.
       102
             Id.
       103
             See Smith, 74 Tex. Crim. at 234, 168 S.W. at 523.
       104
             Leslie, 87 Tex. Crim. at 479-82, 223 S.W. at 228-29.
       105
645 So. 2d at 994.
       106
             Id.
       107
             Id.
                                                                    RHINE CONCURRENCE – 24

20, 30, and 40—in which case all facilities would fall within the definition of the offense.108 Thus,

the enabling statute failed to articulate reasonably definite standards, instead conferring unlimited

and arbitrary discretion.109

        I turn now to some cases that have upheld a delegation as constitutional. I refer again to our

decisions in Smith and Williams, respectively involving transportation of cattle across a quarantine

line and the growing of cotton in a quarantine zone. The legislative policy of preventing the spread

of disease to livestock or cotton was clear, the need for expertise and the ability to address conditions

on the ground was evident, and the authority to designate zones based on the threat of disease

infestation was reasonably specific.110

        A number of jurisdictions have upheld the delegation of authority to an administrator to

designate a particular drug as a controlled substance, and prosecute possession of that substance as

a crime.111 In most of these cases the statute contained a list of the following eight standards:

        (1) The actual or relative potential for abuse;

        (2) The scientific evidence of its pharmacological effect, if known;

        (3) The state of current scientific knowledge regarding the substance;

        (4) The history and current pattern of abuse;

        108
              Id.
        109
              Id.
        110
          See Smith, 74 Tex. Crim. at 233-34, 168 S.W. at 522-23; Williams, 146 Tex. Crim. at
433-39, 176 S.W.2d at 179-83.
        111
           See McCurley, 390 So. 2d at 26-29; Curry, 279 Ark. at 155-60, 649 S.W.2d at 835-37;
Kellogg, 98 Idaho at 542-44, 568 P.2d at 515-17; Turmon, 417 Mich. at 643-53, 340 N.W.2d at 623-
27; Thompson, 627 S.W.2d at 300-03; Peloquin, 427 A.2d at 1328-31.
                                                                   RHINE CONCURRENCE – 25

       (5) The scope, duration and significance of abuse;

       (6) The risk to the public health;

       (7) The potential of the substance to produce psychic or physiological dependence
       liability; and

       (8) Whether the substance is an immediate precursor of a substance already
       controlled under this chapter.112

The Michigan court referred to mandatory rulemaking procedures as further insuring against possible

abuse of delegated power113 while the Rhode Island court pointed to the availability of judicial

review.114

       The Supreme Court of Florida addressed the constitutionality of a pollution control statute

that made it a criminal offense for a person “[t]o fail to obtain any permit required by this chapter

or by rule or regulation, or to violate or fail to comply with any rule, regulation, order, permit, or

certification adopted or issued by the [Department of Environmental Protection] pursuant to its

lawful authority.”115 In a purpose section, the legislation articulated that “pollution of the air and

waters of this state constitutes a menace to public health and welfare,” noted various harmful effects,

and declared a public policy to protect and improve the quality of air and water and to protect against

       112
          See McCurley, 390 So. 2d at 26; Curry, 279 Ark. at 158-59, 649 S.W.2d at 836; Turmon,
417 Mich. at 646, 340 N.W.2d at 624; Thompson, 627 S.W.2d at 301 n.5; Peloquin, 427 A.2d at
1331 n.7.
       113
             Turmon, 417 Mich. at 648, 340 N.W.2d at 625.
       114
             Peloquin, 427 A.2d at 1331.
       115
           Avatar Dev. Corp., 723 So. 2d at 201 (full name of agency provided in brackets in
place of “department”).
                                                                   RHINE CONCURRENCE – 26

the harmful effects of pollution.116 The statute also contained criteria requiring the department to

consider a number of factors, including the effects of an activity on people, wildlife, navigation,

erosion, fishing, recreation, and historical and archaeological resources, whether the activity was

temporary or permanent, and the relative value of the functions being performed by areas affected

by the activity.117 Though the prosecution at issue involved the violation of a permit condition, the

court more broadly indicated that the Legislature lacked ability and expertise to enact “rules,

regulations, and procedures” capable of addressing the “the myriad problems and situations”

implicating pollution control, and that the provision of “criminal sanctions for the willful violation

of administrative rules and regulations is of little consequence where it is the Legislature, and not

the administrative body, that has declared such acts unlawful based upon express legislative

policy.”118

        The final case I address is in contrast to the New York decision regarding the regulation of

smoking. In West Virginia, the Legislature articulated in a purpose provision that it wished to have

“a citizenry free from the use of tobacco.”119 In light of this articulated purpose, a sufficient basis

for adopting anti-smoking regulations carrying criminal penalties existed under a statute permitting

an agency to “adopt and promulgate and from time to time amend rules consistent with state public

health laws and the rules of the West Virginia state department of health and human resources, that

are necessary and proper for the protection of the general health of the service area and the

        116
              Id. at 206.
        117
              Id. at 206 n.8
        118
              Id. at 207.
        119
              Found. for Indep. Living, 214 W. Va. at 825-26, 830, 591 S.E.2d at 751-52, 756.
                                                                   RHINE CONCURRENCE – 27

prevention of the introduction, propagation and spread of disease.”120

       From this discussion, I conclude that a delegation of authority to an administrative agency

is constitutionally permissible under the separation-of-powers provision of the Texas Constitution

if the following four conditions are met: (1) the delegation can, at least by implication, be

characterized as the delegation of authority to make a factual determination relevant to the purpose

of the statute, rather than simply a policy decision, (2) the statute contains standards, expressly

provided or implied from an express statutory purpose, that are sufficiently specific to give guidance

to the agency and to the courts as to what types of rules or other actions are and are not permissible,

(3) pre-adoption procedural safeguards exist to ensure that the agency has the opportunity to consider

whether the rule or other action conforms to the legislative standards, and (4) post-adoption judicial

review is available to ensure that the agency rule or other action does in fact comply with the

legislative standards. An agency’s action under this four-pronged approach is essentially an implied

fact determination. As is usual with fact determinations, deference should be accorded on judicial

review to the agency’s action.121 I now turn to the application of those conditions to the case at bar.

                           4. Does the outdoor burning delegation comply
                           with the Texas Separation-of-powers provision?

       The Legislature has provided that a criminal offense occurs if a person “intentionally or

knowingly with respect to the person’s conduct, violates . . . a rule adopted under Chapter 382,

Health and Safety Code.”122 Appellee was prosecuted for a rule adopted under §382.018, authorizing

       120
             Id.
       121
            See Guzman v. State, Guzman v. State, 955 S.W.2d 85, 89 (Tex. Crim. App. 1997); Manzi
v. State, 88 S.W.3d 240, 242-44 (Tex. Crim. App. 2002).
       122
         T    EX . WATER   CODE, §7.177(a)(5).
                                                                   RHINE CONCURRENCE – 28

administrative rules that “control or prohibit the outdoor burning of waste and combustible

material.”123 The statute requires TCEQ to permit outdoor burning of waste that “consists of trees,

brush, grass, leaves, branch trimmings, or other plant growth” when it is burned under certain

conditions.124 Section 382.018 does not specifically mention other types of material, but some

provisions within Chapter 382 are instructive.

       First, the Legislature expressly articulated the purpose of Chapter 382:

       The policy of this state and the purpose of this chapter are to safeguard the state’s air
       resources from pollution by controlling or abating air pollution and emissions of air
       contaminants, consistent with the protection of public health, general welfare, and
       physical property, including the esthetic enjoyment of air resources by the public and
       the maintenance of adequate visibility.125

In its rulemaking section, Chapter 382 refers to adopting a rule “consistent with the policy and

purposes of this chapter.”126 Second, the Legislature provided that TCEQ shall have the power and

duty to “control the quality of the state’s air.”127 Third, the Legislature provided the following

explicit standards for determining whether to adopt a rule under Chapter 382:

       The terms and provisions of a rule adopted by the commission may differentiate
       among particular conditions, particular sources, and particular areas of the state. In
       adopting a rule, the commission shall recognize that the quantity or characteristic of
       air contaminants or the duration of their presence in the atmosphere may cause a need
       for air control in one area of the state but not in other areas. In this connection, the
       commission shall consider:

       123
        T    EX . HEALTH   & SAFETY CODE, §382.018(a).
       124
             Id., §382.018(b)-(d).
       125
             Id., §382.002(a).
       126
             Id., §382.017(a).
       127
             Id., §382.011(a)(3).
                                                                   RHINE CONCURRENCE – 29

              (1) the factors found by it to be proper and just, including existing physical
       conditions, topography, population, and prevailing wind direction and velocity; and

              (2) the fact that a rule and the degrees of conformance with the rule that may
       be proper for an essentially residential area of the state may not be proper for a highly
       developed industrial area or a relatively unpopulated area.128

       The delegation of authority here can, at least by implication, be characterized as the

delegation of authority to make a factual determination relevant to the purpose of the statute, rather

than simply a policy decision. The Legislature has tasked TCEQ with determining how to safeguard

the quality of our air. What practices threaten air quality is a factual determination. In determining

that a practice should be prohibited, TCEQ impliedly determines that the practice threatens the

quality of our air. In determining that a practice should be regulated, TCEQ impliedly determines

that the regulation of that practice is needed to safeguard air quality.

       The statutory scheme also provides standards. TCEQ must take into account the quantity,

characteristic, and duration of air contaminants in determining whether there is a need for air control

in one area of the state but not other areas. If appropriate, the agency must consider physical

conditions, topography, population, and prevailing wind direction and velocity, and the agency must

consider the difference between residential areas, highly developed industrial areas, and relatively

unpopulated areas. In addition, the purpose statement tasks TCEQ with protecting public health,

general welfare, physical property, the esthetic enjoyment of air resources by the public, and the

maintenance of adequate visibility.

       Therefore, a rule under the statutory scheme must promote air quality and be tailored to the

facts of a particular geography, or if it is a statewide rule, then the activity that is prohibited or

       128
             Id., §382.017(e).
                                                                  RHINE CONCURRENCE – 30

regulated must be the kind that damages the quality of the air everywhere in the State of Texas, from

the largest city to the remotest rural location.

        The statutory scheme also contains pre-adoption safeguards that give the agency the

opportunity to consider information provided through public comment, either through Chapter 382

or through the Administrative Procedure Act (APA).129 If the Chapter 382 procedure is followed,

a public hearing must be held before a rule is adopted; notice of the date, time, place, and purpose

of the hearing for a statewide rule must be published twenty days before the hearing in at least three

newspapers whose combined circulation, in TCEQ’s judgment, will give reasonable circulation

throughout the State; and any person may appear at the hearing and be heard.130 If the APA

procedure is followed, the agency must give thirty days notice of the hearing by publication in the

Texas Register,131 the notice must satisfy certain requirements which include matters relating to the

content of the proposed rule,132 and the agency must afford interested persons the opportunity to

comment on the proposed rule.133

        Judicial review is also available. It is possible that a TCEQ rule relating to outdoor burning

could be challenged in a declaratory judgment action under the APA.134 But regardless of whether

that is the case, when a violation of the rule has resulted in a criminal conviction, the propriety of

        129
              See id., §382.017(d).
        130
              Id., §382.017(a)-(c).
        131
         T     EX . GOVT . CODE   §2001.023.
        132
              Id., §2001.024.
        133
              Id., §2001.029.
        134
              Id., §2001.038.
                                                                    RHINE CONCURRENCE – 31

the rule can be reviewed on appeal.         Though deferential, such review can nevertheless be

meaningful. For example, appellee argues that TCEQ could enact a rule banning cigarette smoking.

But a statewide anti-smoking rule would clearly violate the legislative standards because such

conduct does not, even under the most deferential review, pose a threat to the quality of the air in all

portions of the state.135 I conclude that the Legislature did not unconstitutionally delegate its power

in enacting the outdoor burning statute.

       The remaining question is whether TCEQ acted within the Legislature’s grant of authority

in passing a rule that prohibited burning of the items in question. The rule in question136 seems to

be a reasonable one designed to protect the quality of the air in any portion of the state.

Consequently, I would deny appellee’s challenge and affirm the judgment of the court of appeals.

       I concur in the court’s judgment.

Filed: September 23, 2009
Publish

       135
          TCEQ has specifically authorized burning used “solely for recreational or ceremonial,
purposes or in the noncommercial preparation of food, or used exclusively for the purpose of
supplying warmth during cold weather.” TEX . ADMIN . CODE §111.207.
       136
             See id., §111.219(7).