Campbell v. Commonwealth

17 S.W.2d 227, 229 Ky. 264, 63 A.L.R. 932, 1929 Ky. LEXIS 756
CourtCourt of Appeals of Kentucky (pre-1976)
DecidedFebruary 12, 1929
StatusPublished
Cited by18 cases

This text of 17 S.W.2d 227 (Campbell v. Commonwealth) is published on Counsel Stack Legal Research, covering Court of Appeals of Kentucky (pre-1976) primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Campbell v. Commonwealth, 17 S.W.2d 227, 229 Ky. 264, 63 A.L.R. 932, 1929 Ky. LEXIS 756 (Ky. 1929).

Opinion

*265 Opinion of the Court by

Commissioner Stanley

Reversing.

The Q-eneral Assembly, at its 1916 session, enacted what is commonly called the “the Lobbyist Act” (chapter 16), which is now incorporated in the statutes as sections 1999al et seq. The court has not hitherto been •called upon to consider the constitutionality or construction of the law.

The appellant, Peter Campbell, appeals from a judgment fining him $750 for a violation of section 6 of the act, it being charged that, as legislative counsel or agent, •employed for a pecuniary consideration by the Kentucky State Federation of Labor, he went upon the floor ■of the House of Representatives while it was in session and engaged in its regular duties without invitation of that body.

Section 1 of the act provides that every employer of a person to act as agent or counsel to promote or oppose in any manner the passage by the Legislature of any legislation affecting the pecuniary interests of any individual, association, or corporation, as distinct from those of the whole people of the state, or to act in any manner as a legislative counsel or agent in connection with any such legislation, shall cause the name of such representative to be entered upon a legislative docket provided by the act, and further requires that the person so employed shall register. Sections 2, 3, 4, and 5 relate to details, of the registration and other matters not especially material in this case.

Section 6 is as follows: “It shall be unlawful for any person employed for a pecuniary consideration to act as legislative counsel or agent to go upon the floor of either house of the Legislature reserved for the members thereof while in session, except upon the invitation of such house.”

Section 7 defines corrupt lobbying. Section 8 fixes the penalties, among them being that any legislative agent or counsel, violating any provision of the act, shall be deemed guilty of a felony, and, upon conviction, shall be fined not exceeding $5,000, or confined in the penitentiary not to exceed five years, or both so fined and imprisoned, in the discretion of the jury.

The act is assailed as opposed to three sections of the Constitution. In considering the constitutionality of a statute, there are two fundamental rules control *266 ling the court, namely: (1) To sustain the act, unless clearly contrary or repugnant to a constitutional provision, and (2) to resolve every presumption in favor of its constitutionality, and to make every effort to harmonize the Constitution and the statute. Wood v. Commonwealth, 225 Ky. 295, 8 S. W. (2d) 428.

(a) First, it is contended that the act does not conform to the requirements of section 51 of the Constitution, which is in part: “No law enacted by the General Assembly shall relate to more than one subject, and that shall be expressed in the title.” The title to the act under consideration is as follows: “An act to require the registration of legislative counsel and legislative agents; and provide for their registration before legislative committees ; and to define and prohibit corrupt lobbying. ’ ’

It is earnestly and ably argued that the act embraces two subjects, that the title is restrictive, and that section 6 is not germane either to that part of the title respecting the registration of legislative counsel or the prohibition of corrupt lobbying. But it is apparent that the whole subject-matter of this enactment is lobbying.

While the right of every citizen having a special interest concerning which there may be legislation enacted to present his cause is recognized as legitimate, and he may be represented before the committees of the Legislature or that body itself by paid representatives, it was deemed wise to regulate their activities and require a disclosure of the interests being represented. While such activities and representation may not be considered as corrupt, or even improper, it was an eminently proper subject for legislation in connection with those portions of the act defining corrupt lobbying and providing penalties therefor. It cannot be said, therefore, that the act embraces two distinct subjects.

We need not determine whether the constitutionality of section 6, standing alone, can be justified, for, reading- the act as a whole, it is obviously drawn to control the operations of registered lobbyists, and to prevent corruption and attempts at corruption. It is clear that the special provision of section 6 is consistent with this purpose and harmonizes with the title. It is regulatory of lobbyists and also calculated to hinder corrupt lobbying. One who, outside of the legislative halls, may have improperly influenced or secured the promise of a weak legislator to do or refrain from doing something* *267 on the floor of the house, would by his very presence exert a subtle influence and have a certain. subjective effect on the one so dominated or controlled.

This section of the Constitution has been prolific of much litigation. In its interpretation a liberal construction has always been given, and, unless provisions were foreign or related to the subject expressed in the title, the validity of the act was sustained as being sufficient compliance with the constitutional requirement. Bowman v. Hamlett, 159 Ky. 184, 166 S. W. 1008; Burnside v. Lincoln County Court, 86 Ky. 423, 6 S. W. 276, 9 Ky. Law Rep. 635; Weimer v. Commissioners of Sinking Fund, 124 Ky. 377, 99 S. W, 242, 30 Ky. Law Rep. 523; Smith v. Commonwealth, 175 Ky. 286, 194 S. W. 367.

Considering that the purpose of the section is to prevent surprise or fraud, by the inclusion of provisions in bills of which the titles give no intimation, and which therefore might be overlooked and unintentionally adopted, in Stone v. City of Lexington, 192 Ky. 60, 232 S. W. 50, the court said:

“Hence before any act of the G-eneral Assembly is declared contrary to the Constitution on the ground that, the subject of the act is not expressed in the title, by reason of a variance between the title and the body of the act, it should be made to appear to the satisfaction of the court that the alleged variance is such as to bring it within the range of the evils sought to be guarded against, and such as to justify its condemnation upon that ground alone.”

In applying the test to the state prohibition law, where it was claimed the clause declaring it to be unlawful to drink intoxicating liquor or to drink in a public place was not germane to the title of the act prohibiting the manufacture, sale, transportation, or other disposition of intoxicating liquor (Commonwealth v. Robinson, 392 Ky. 374, 233 S. W. 791), it was written:

“It is clear that the general legislative subject of the act, and the purpose and object of the Legislature in enacting it, was the prohibition of the use of intoxicating liquors for beverage purposes. The statute enacted following the title may include every matter germane to and in furtherance of the general subject expressed in the title. If the provision of the act attempted to be impeached for constitutional *268 invalidity relates to the general

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Bluebook (online)
17 S.W.2d 227, 229 Ky. 264, 63 A.L.R. 932, 1929 Ky. LEXIS 756, Counsel Stack Legal Research, https://law.counselstack.com/opinion/campbell-v-commonwealth-kyctapphigh-1929.