UNITED STATES DISTRICT COURT FOR THE DISTRICT OF COLUMBIA
COALITION FOR HUMANE IMMIGRANT RIGHTS, et al.,
Plaintiffs, Case No. 1:25-cv-00943 (TNM) v.
U.S. DEPARTMENT OF HOMELAND SECURITY, et al.,
Defendants.
MEMORANDUM ORDER
Advocacy organizations serving immigrant communities bring a motion to stay the
effective date of an interim final rule issued by the Department of Homeland Security. They
alternatively move for a preliminary injunction. Plaintiffs allege that the challenged Rule creates
a form that previously unregistered aliens must complete to comply with statutory registration
requirements. Plaintiffs also allege that the Rule directs these previously unregistered aliens to
provide biographic and biometric information and always carry proof of registration.
The Court cannot reach the merits of these claims. Plaintiffs have failed to show that
they have a substantial likelihood of standing. As organizations, many of their harms are too
speculative, and they have failed to show that the Rule will erode their core missions. Nor may
Plaintiffs derive standing from their members. Plaintiffs have not shown that any individual
member possesses a concrete harm cognizable by an Article III court. I.
A.
The story behind this case begins in 1940, when Congress enacted the Smith Act, also
known as the Alien Registration Act. Pub. L. No. 76-670, 54 Stat. 670 (codified at 8 U.S.C.
§ 451) (repealed 1952). This Act instructed aliens (excluding foreign government officials and
their families) who were present in the United States, 14 years or older, and who remained in the
country for at least 30 days to register and be fingerprinted at a local post office. See id.
§§ 31(b), 32(b), 33(a), 54 Stat. at 673–674. Upon registration, the alien was issued form AR-3, a
registration receipt that itself conferred no immigration status or benefit. See Policy Manual,
U.S. Citizen and Immigration Services, https://perma.cc/Q87R-AX7Z.
Over the decades, the administrative state would dilute these statutory requirements by
regulation. In 1944, the Immigration and Naturalization Service (INS) eliminated the division
responsible for universal registration and shifted registration from post offices to ports of entry
and INS offices. See Flexoline Index (Flex), U.S. National Archives, https://perma.cc/5PKF-
LPZD. And in 1950, the INS suspended the use of the AR-3. 15 Fed. Reg. 579 (Feb. 2, 1950).
Instead, the INS subbed in preexisting immigration forms that were only available to aliens with
legal immigration status, like the Form I-151 for lawful permanent residents or the Form I-94 for
aliens with a record of lawful entry. Id. at 579–580. So through regulation, aliens who had
entered the country illegally were effectively exempt from the statutory registration
requirements, since there existed no process by which they could register.
This statutory and regulatory dissonance continued with the passage of the Immigration
and Nationality Act of 1952 (INA). This statute supplanted the Smith Act. But it incorporated
its registration mandates. See Immigration and Nationality Act, Pub. L. No. 82-414, §§ 261–64,
66 Stat. 163, 223–25 (codified at 8 U.S.C. §§ 1201(b), 1301–1306) (1952). The statute requires
2 that visa applicants be registered through the visa process. 8 U.S.C. §§ 1301, 1201(b). And for
those not registered this way, the INA includes provisions for registration and fingerprinting of
all aliens over the age of 14 who remain at least 30 days, and similarly to require parents to
register their children. See id. § 1302(a), (b). It also adds onto the Smith Act by adding a
requirement that aliens ages 18 and older carry proof of this registration “at all times.” Id.
§ 1304(e). More, the INA makes it a crime to “willfully fail[]” to register or be fingerprinted,
punishable by a fine or up to six months of imprisonment. Id. § 1306(a).
The implementing regulations are a bit different. They first provided that the only
available registration form for aliens who were not lawful permanent residents was a record of
lawful admission and departure (Form I-94). See 17 Fed. Reg. 11532, 11533 (Dec. 19, 1952).
Over the years, as Congress created additional forms of immigration status, the INS added some
of these forms as proxies for the registration document demanded by the statute. But still, this
means that the only aliens who are registered are those with legal immigration status; the
regulations do not include a nondiscretionary registration form for an alien who entered
illegally. 1 More, in 1960, the INS removed the carry requirement from the Code of Federal
Regulations. Compare 22 Fed. Reg. 9805, 9806 (Dec. 6, 1957) (requiring “Carrying and
possession of proof of alien registration.”), with 25 Fed. Reg. 7180, 7181 (July 29, 1960) (no
carry requirement).
This scheme persisted for decades. But in January 2025, President Trump switched
course. He instructed the Secretary of Homeland Security, in coordination with the Attorney
1 At a motions hearing, the Government at first suggested that aliens who illegally entered the United States could obtain a Notice to Appear (“NTA”) from a port of entry to satisfy the statutory registration requirement. Hr’g Tr. 24:3–18. It then walked back that assertion, conceding that an NTA was a discretionary prosecutorial document that would not be available to every alien upon request. Hr’g Tr. 42:13–21.
3 General and the Secretary of State, to “[i]mmediately announce and publicize information about
the legal obligation of all previously unregistered aliens in the United States to comply with the
requirements of the [registration statutes]”; to “[e]nsure that all previously unregistered aliens in
the United States comply with the requirements of the [registration statutes]”; and to “[e]nsure
that the failure to comply with the legal obligations of [the registration statutes] is treated as a
civil and criminal enforcement priority.” Exec. Order No. 141509, Protecting the American
People Against Invasion, 90 Fed. Reg. 8443, 8444 (Jan. 20, 2025).
Last month, the Department of Homeland Security obeyed. DHS published an Interim
Final Rule creating a new online general registration form, Form G-325R. See 90 Fed. Reg.
11793, 11795–96, 11800. The Interim Final Rule allows for submitting a Form G-325R to
register under the statute and regulations and the proof of filing a G-325R as evidence of
registration under the statute and regulations. Plaintiffs argue that this broadens the requirement
of registration to aliens who do not have immigration forms obtained through preexisting
immigration programs. By its terms, the Interim Final Rule is set to go into effect on April 11,
2025.
B.
Before that could happen, Plaintiffs filed this suit, seeking a stay of the effective date of
the Interim Final Rule or, in the alternative, a preliminary injunction. See Mot. Stay, ECF No. 4,
at 1. Plaintiffs are a handful of nonprofit organizations serving immigrant communities: the
Coalition for Humane Immigrant Rights Los Angeles (CHIRLA), United Farmworkers of
America, Make the Road New York, and CASA. See Compl., ECF No. 1, at ¶¶ 6–13. These
organizations are member-based and comprise many aliens and citizens who belong to mixed-
status families. See id.
4 Plaintiffs allege that the Interim Final Rule was issued in violation of the Administrative
Procedure Act because it is a legislative rule but was published without notice or an opportunity
for public comment. Compl. ¶¶ 103–107; see 5 U.S.C. §§ 553(b) and (c), 706(2)(D). More, they
insist that the Interim Final Rule is arbitrary and capricious. Compl. ¶¶ 108–109; see 5 U.S.
§ 706(2)(A). They seek relief before the rule goes into effect.
The Government opposes relief. Opp’n Br., ECF No. 15, at 1. It contends that Plaintiffs
are unlikely to succeed on the merits of their claim because they lack standing to bring it. Id.
And even if this Court had jurisdiction to issue relief, the Government insists that the Interim
Final Rule is a procedural rule immune from notice and comment requirements. Id. More, the
Government asserts that the rule is not arbitrary and capricious. Id.
The Court held a motions hearing earlier this week. See Minute Order April 8, 2025.
The motion is now ripe for disposition.
II.
A preliminary injunction is “an extraordinary and drastic remedy” that is “never awarded
as of right.” Munaf v. Geren, 553 U.S. 674, 689–90 (2008) (cleaned up). The movant faces a
high bar for success, as it must establish four elements by “a clear showing”: First, that it is
likely to succeed on the merits. Winter v. Nat. Res. Def. Council, Inc., 555 U.S. 7, 20, 22 (2008).
“Merits” here encapsulates “not only substantive theories but also establishment of jurisdiction.”
Food & Water Watch, Inc. v. Vilsack, 808 F.3d 905, 913 (D.C. Cir. 2015). Second, the plaintiff
must show that it will likely suffer irreparable harm in the absence of injunctive relief. Winter,
555 U.S. at 20. Third, that the balance of equities favors granting the relief. Id. And fourth, that
the public interest favors the injunction. Id. Where, as here, the Government is the party
5 opposing injunctive relief, the latter two factors “merge.” Nken v. Holder, 556 U.S. 418, 435
(2009).
Under 5 U.S.C. § 705, courts may “issue all necessary and appropriate process to
postpone the effective date of an agency action or to preserve status or rights pending conclusion
of the review proceedings.” The same factors for issuance of a preliminary injunction apply to
issuance of a stay under § 705. District of Columbia v. U.S. Dep’t of Agric., 444 F. Supp. 3d 1,
15 (D.D.C. 2020).
III.
Plaintiffs have not shown that they are likely to succeed on the merits. They have failed
to demonstrate that they have standing to bring this suit. See Env’t Working Group v. Food &
Drug Admin., 301 F. Supp. 3d 165, 170 (D.D.C. 2018) (noting the party invoking federal
jurisdiction bears the burden of establishing it).
Standing is a “bedrock constitutional requirement.” United States v. Texas, 599 U.S. 670,
675 (2023). It requires that a plaintiff “possess a personal stake” in the outcome, which “helps
ensure that courts decide litigants’ legal rights in specific cases, as Article III requires.” Food &
Drug Admin. v. All. for Hippocratic Med., 602 U.S. 367, 379 (2024). Standing doctrine thus
“serves to protect the ‘autonomy’ of those who are most directly affected so that they can decide
whether and how to challenge the defendant’s action.” Id. at 379–80. And it ensures that “the
Framers’ concept of the proper—and properly limited—role of the courts in a democratic
society” is vindicated, by ensuring decisions meant for the political process are left to the
political process. John Roberts, Article III Limits on Statutory Standing, 42 Duke L. J. 1219,
1220 (1993).
6 To establish standing, a plaintiff must show that it “has suffered or likely will suffer an
injury in fact”; “that the injury likely was caused or will be caused by the defendant”; and “that
the injury likely would be redressed by the requested judicial relief.” All. for Hippocratic Med.,
602 U.S. at 380. Where, as here, the plaintiffs are organizations, there are two ways to satisfy
this test. See Abigal All. for Better Access to Developmental Drugs v. Eschenbach, 469 F.3d
129, 132 (D.C. Cir. 2006). First, an organizational plaintiff can bring action “on its own behalf,”
which is known as “organizational standing.” Id. Second, a plaintiff organization can
demonstrate standing by bringing a claim “on behalf of its members,” also known as
“associational standing.” Id. Plaintiffs fail both options here.
Start with organizational standing. For an organizational plaintiff to demonstrate that it
has suffered an injury in fact, it must show “more than a frustration of its purpose,” since mere
hindrance to a nonprofit’s mission “is the type of abstract concern that does not impart standing.”
Food & Water Watch, Inc., 808 F.3d at 919 (cleaned up). Instead, for an organization to have
standing, it must have “suffered a concrete and demonstrable injury to [its] activities.” PETA v.
USDA, 797 F.3d 1087, 1093 (D.C. Cir. 2015). That is, the defendant’s conduct must have
“perceptibly impaired the organization’s ability to provide services” and the organization must
have then “used its resources to counteract that harm.” Turlock Irrigation Dist. v. FERC, 786
F.3d 18, 24 (D.C. Cir. 2015) (cleaned up); PETA, 797 F.3d at 1094.
But it is not enough if the organization merely “diverts its resources in response to a
defendant’s actions” such that it has not been “subjected . . . to operational costs beyond those
normally expended” to fulfill its core aims. All. for Hippocratic Med., 602 U.S. at 395; Nat’l
Taxpayers Union, Inc. v. United States, 68 F.3d 1428, 1434 (D.C. Cir. 1995). Instead, the
organization must show that the defendant’s conduct has forced it to “expend resources in a
7 manner that keeps [it] from pursuing its true purpose[s]” or has “directly affected and interfered
with” the organization’s “core . . . activities.” Nat’l Taxpayers Union, Inc., 68 F.3d at 1434; All.
for Hippocratic Med., 602 U.S. at 395.
For an illustration of this distinction, compare Food & Water Watch with PETA. In Food
& Water Watch, one of plaintiff’s primary purposes as an organization was “to educate the
public about food systems that guarantee safe, wholesome food produced in a sustainable
manner.” Food & Water Watch, Inc., 808 F.3d at 920. The organization brought a challenge to
a new system promulgated by the government that decentralized poultry inspection processes.
See id. at 910–11. The organizational plaintiff asserted it would suffer harm if the proposed
system went into effect, as it “would have to increase the resources that it spends on educating
the general public and its members” about poultry inspection protocols and poultry safety. Id. at
920. It also claimed that it would be forced to “increase the amount of resources that it spends
encouraging its members who wish to continue to eat chicken to avoid poultry” from companies
utilizing the new system and “to purchase poultry at farmers’ markets or direct from producers.”
Id. But this was not enough. The D.C. Circuit held that the organization lacked standing to
challenge the new system, stressing that it had “alleged no more than an abstract injury to its
interests.” Id. Although the organization “allege[d] that [it] w[ould] spend resources educating
its members and the public about” the new provisions, nothing in its declarations “indicate[d]
that [plaintiff’s] organizational activities [were] perceptibly impaired in any way.” Id. at 921.
Now consider PETA. There, PETA challenged the government’s refusal to apply the
Animal Welfare Act’s general animal welfare regulations to birds. 797 F.3d at 1089. The court
found PETA had standing to do so. It stressed that one of the “primary” ways PETA
accomplished its mission of “prevent[ing] cruelty and inhumane treatment of animals” was by
8 “educating the public” through “providing information about the conditions of animals held by
particular exhibitors.” Id. at 1094 (cleaned up). But the USDA’s refusal to protect birds meant
“that the USDA was not creating bird-related inspection reports that PETA could use to raise
public awareness.” Id. at 1091. More, the agency’s failure to apply the AWA’s animal welfare
regulations to birds stripped PETA of the ability to file a formal complaint with the agency to
seek redress for mistreatment. Id. Thus PETA “had to expend resources to seek relief through
other, less efficient and effective means.” Id. Given these harms, the court concluded that the
government’s conduct “perceptibly impaired PETA’s ability to both bring AWA violations to the
attention of the agency charged with preventing avian cruelty and continue to educate the
public.” 2 Id. at 1095. In short, organizations whose activities have been impeded by the
government suffer a cognizable injury, while organizations whose missions have only been
compromised do not. Abigail All. for Better Access to Developmental Drugs, 469 F.3d at 133.
This case looks less like the organizational impediment in PETA and more like the
organizational expansion in Food & Water Watch. Out of the Plaintiffs, only CHIRLA claims
organizational standing. Pls.’ Reply Br., ECF No. 20, at 5. But there are a few issues with this
claim. First, CHIRLA’s injuries are highly speculative, sounding in prospective fears about what
might happen when the rule takes effect. CHIRLA projects that “it expects thousands of
individuals are likely to reach out for assistance and advice with the new registration process.”
Decl. A. Salas, ECF No. 4-2, ¶ 17. And it expects that “[a]ddressing this volume of community
2 PETA sits near the outer edge of organizational standing, as its analysis arguably granted standing in a situation the Supreme Court has said an individual would lack it. See PETA, 797 F.3d at 1099–1106 (Millett, J., dubitante). The Supreme Court has also noted that the precedential origin of organizational standing doctrine—Havens Realty Corp. v. Coleman, 455 U.S. 363 (1982)—“was an unusual case” that the Court “has been careful not to extend . . . beyond its context.” All. for Hippocratic Med., 602 U.S. at 396. This Court heeds these words of caution in applying binding precedent here.
9 needs will impact multiple programs and will strain its staff and budget.” Id. It also expresses
anxiety that the anticipated demand for “legal advice and assistance with the registration” may
cause it to fail to meet certain grant conditions and thus face withheld disbursements. Id. ¶ 19.
But “[a]s [the Supreme Court] ha[s] said many times, conjectural or hypothetical injuries
do not suffice for Article III standing.” Clinton v. City of New York, 524 U.S. 417, 459 (1998)
(Scalia, J., concurring in part). CHIRLA’s feared harms have yet to come to fruition, and they
very well may never manifest. They rely on the choices of an unspecified volume of intervening
third parties— the aliens who may or may not demand an indefinite amount of CHIRLA’s
resources. “When the existence of one or more of the essential elements of standing . . . depends
on the unfettered choices made by independent actors not before the courts and whose exercise
of broad and legitimate discretion the courts cannot presume either to control or to predict, it
becomes substantially more difficult to establish standing.” Scenic Am., Inc. v. U.S. Dep’t of
Transp., 836 F.3d 42, 50 (D.C. Cir. 2016) (cleaned up). CHIRLA might not be so taxed by a
swell of inquiries regarding the registration requirements that they lose funding. There are no
numbers before the Court to even suggest as much, nor is there any evidence from the grant
providers that termination looms. Without facts, the Court has uncorroborated fear. But Article
III requires more than maybes—it demands that harms be “actual or imminent.” Whitmore v.
Arkansas, 495 U.S. 149, 155 (1990). CHIRLA has not shown as much here.
More, CHIRLA cannot demonstrate that the Interim Final Rule has “perceptibly
impaired” its mission. Nat’l Ass’n of Home Builders v. E.P.A., 667 F.3d 6, 12 (D.C. Cir. 2011).
There is certainly no claim that the Government is blocking CHIRLA from carrying out its
mission, unlike the agency’s inaction in PETA, 797 F.3d at 1094-95, or an agency’s restriction of
information in Action Alliance of Senior Citizens v. Heckler, 789 F.2d 931, 935–38 (D.C. Cir.
10 1986). Rather, CHIRLA insists that the “community members [it] serves have already begun
reaching out to its hotline and at community events with questions about the registration
requirement, leading staff to reallocate their time to addressing concerns and revising materials
and presentations to address these growing concerns.” Decl. A Salas ¶ 15.
But mere “self-serving observation[s]” that an organization will “have to increase the
resources that it spends on educating the general public and its members” about the
consequences of government regulation are “insufficient to support standing.” Nat’l Taxpayers
Union, Inc., 68 F.3d at 1434. So are broad claims that an organization has “divert[ed] its
resources in response to a defendant’s actions.” All. for Hippocratic Med., 602 U.S. at 395.
When a nonprofit merely expands its operations to address increased demands in the
communities it serves, its activities have not been tampered with. Cf. League of Women Voters
of United States v. Newby, 838 F.3d 1, 8 (D.C. Cir. 2016) (holding mission of voting rights
organizations was perceptibly impaired where proof-of-citizenship laws “presented formidable
obstacles to [the organizations’] registration efforts.”). Arguably, these enhanced advocacy
efforts are a fulfillment of an organization’s mission. In other words, “the Final Rule has not
impeded [CHIRLA’s] programmatic concerns and activities, but fueled them.” Elec. Priv. Info.
Ctr. v. U.S. Dep’t of Educ., 48 F. Supp. 3d 1, 23 (D.D.C. 2014). Indeed, “the expenditures that
[CHIRLA] has made in response to the Final Rule have not kept it from pursuing its true purpose
as an organization but have contributed to its pursuit of its purpose.” Id.
CHIRLA’s own descriptions of its pursuits only undergird this conclusion. CHIRLA
describes its mission as “ensur[ing] that immigrant communities are fully integrated into our
society with full rights and access to resources.” Decl. A. Salas, ¶ 3. “In furtherance of its
mission, CHIRLA handles the full spectrum of needs of those primarily residing within low-
11 income immigrant communities” near Los Angeles. Id. ¶ 4. One of CHIRLA’s primary
programs is “a hotline where individuals—including members, clients, and community members
can call with questions.” Id. ¶ 8. “Given CHIRLA’s deep community ties and longstanding
legal services programs, CHIRLA is often a first point of contact for individuals seeking
information about recent policy changes impacting immigrants.” Id. ¶ 8.
It would be odd if CHIRLA could assert that its core services have been impaired by
using these very services to educate its members about the Interim Final Rule. Sure, the Rule
may have caused CHIRLA to rearrange some labor and resources to meet the increased demand
from this unexpected policy. But organizations have not suffered a concrete injury just because
shifts in government policy demand shifts in internal operations. Accord Env’t Working Group,
301 F. Supp. 3d at 172. If that were the case, an organization could claim injury-in-fact nearly
any time there was a change in the law relevant to its mission. That cannot be the law. And
indeed it is not—organizations only suffer concrete injury if a challenged government action has
made their advocacy efforts “more difficult to achieve, thereby requiring ‘operational costs
beyond those normally expended to . . . educate’ about matters that might relate to the
organization[’s] mission.” Ranchers-Cattlemen Action Legal Fund, United Stockgrowers of Am.
v. U.S. Dep’t of Agric., 573 F. Supp. 3d 324, 343 (D.D.C. 2021) (quoting Nat’l Taxpayers Union,
68 F.3d at 1434). CHIRLA simply has not shown that here.
That leaves the possibility of associational standing. 3 An organization has standing to
bring suit on behalf of its members when three requirements are met. First, “its members would
3 Many legal scholars have doubted the constitutionality of associational standing. See All. for Hippocratic Med., 602 U.S. at 400 (Thomas, J., concurring) (“I thus have serious doubts that an association can have standing to vicariously assert a member’s injury) (citing amici). The Court, of course, is bound by existing precedent.
12 otherwise have standing to sue in their own right.” Hunt v. Wash. State Apple Advert. Comm’n,
432 U.S. 333, 343 (1977). Second, “the interests it seeks to protect are germane to the
organization’s purpose.” Id. And third, “neither the claim asserted nor the relief requested
requires the participation of individual members in the lawsuit.” Id. Plaintiffs here stumble at
the first step. They have failed to show that any of their individual members would
independently have standing to challenge the Interim Final Rule.
Associational standing fails for two independent reasons. The first problem is that
Plaintiffs have failed to adduce sufficient evidence to support their allegations. The only
allegations of concrete harm to individual members that Plaintiffs present are in the form of
pseudonymous hearsay. That is, the organizations are describing the harms their members have
suffered while using false names for those members. See, e.g., Decl. G. Escobar ¶ 14 (“ME is a
CASA member” who “is afraid to register, because it could expose himself and his family,
including his wife who is also undocumented, to the risk of detention and deportation.”). The
Court has no sworn testimony from the members themselves. More, these pseudonymous
reports are contained in affidavits submitted by the organizations, which are themselves hearsay
evidence. See Karem v. Trump, 404 F. Supp. 3d 203, 215 & n.3 (D.D.C. 2019), aff’d as
modified, 960 F.3d 656 (D.C. Cir. 2020); see also Humane Soc. v. Animal & Plant Health
Inspec. Serv., 386 F. Supp. 3d 34, 44 (D.D.C. 2019) (refusing to rely on “second-hand,
unsubstantiated accounts” in defendant’s declarations). This means all the Court has to go on is
hearsay-within-hearsay.
While “a preliminary injunction is customarily granted on the basis of procedures that are
less formal and evidence that is less complete than in a trial on the merits,” and courts often rely
on affidavits “for the limited purpose of determining whether to award a preliminary injunction,”
13 stretching these exceptions to hearsay-within-hearsay strikes the Court as a step too far. Univ. of
Texas v. Camenisch, 451 U.S. 390, 395 (1981); Mullins v. City of New York, 626 F.3d 47, 52 (2d
Cir. 2010). Layered hearsay innately lacks credibility, as it only exacerbates the preexisting
veracity issues inherent to typical hearsay. This problem becomes even more pronounced when
the underlying testimony is presented under pseudonym, leaving the Court and defense
completely unable to verify the testimony. The Court is therefore very wary of this evidence. 4
Most importantly, this nameless double hearsay is going towards the Court’s jurisdiction. And
the Court must abide by its unflagging obligation to police its own constitutional bounds. See
Mansfield, C. & L.M. Ry. Co. v. Swan, 111 U.S. 379, 384 (1884) (“[T]he judicial power of the
United States must not be exerted in a case to which it does not extend, even if both parties
desire to have it exerted”). Asserting the formidable authority of Article III based only on
nameless double hearsay strikes the Court as an exercise in judicial arrogation. The Court
declines to engage in such acts of personal aggrandizement.
But even if the Court were to credit the double hearsay, the Plaintiffs have failed to
articulate a viable theory of associational standing. Plaintiffs’ primary conception of their
members’ injury is that the members are “directly regulated parties.” Pl’s Reply at 2. That is,
Plaintiffs insist that their members have suffered an injury-in-fact by having “to submit Form G-
325R, provide biometrics, and carry proof of this registration as proscribed by the IFR at all
times or face arrest and federal prosecution.” Id.
4 Plaintiffs point to a handful of cases to argue that this evidence can properly be considered. See Pls.’ Notice Suppl. Authority, ECF No. 26, at 1–2. But only one of the cases that Plaintiffs cite permitted double hearsay. S. Poverty L. Ctr. v. U.S. Dep’t of Homeland Sec., 2020 WL 3265533, at *3 n.2 (D.D.C. June 17, 2020). That case is different. There, one of the challenged affidavits was not under pseudonym, came directly from one of the organization’s clients, and tended to verify the accuracy of testimony contained in the other affidavits. Id. at *3; Decl. A. Sanchez Martinez, ECF No. 105-2, No. 1:18-cv-00760.
14 But Plaintiffs have failed to show that the mere requirement to abide by the law—even
if true that the accompanying regulation flouted procedural requirements when enacted—
constitutes a concrete injury for standing purposes. Plaintiffs’ briefing and oral argument had no
claim that such a harm “has a close relationship to a harm traditionally recognized as providing a
basis for a lawsuit in American courts.” TransUnion LLC v. Ramirez, 594 U.S. 413, 440 (2021).
That inquiry is “[c]entral to assessing concreteness.” Id. at 417.
As made clear by the Supreme Court in TransUnion, plaintiffs must “identif[y] a close
historical or common-law analogue for their asserted injury” to demonstrate their asserted injury
is concrete. Id. at 424. Certain harms readily fit this bill, such as “traditional tangible harms”
like “physical harms and monetary harms.” Id. at 425. “Various intangible harms can also be
concrete,” such as those traditionally remediable by the common law of contract, tort, and
property. See id. (listing reputational harm and intrusion upon seclusion as examples). More,
“harms specified by the Constitution itself” are thought to be traditionally cognizable. Id.
Plaintiffs have not shown how merely being subject to a regulation—without incurring
some other injury—fits within this framework. They have not attempted to analogize their
members’ predicament to harms traditionally cognizable in American courts. Nor does a
historical analogue so readily come to mind such that explanation could be thought superfluous.
But “[a]s the party invoking federal jurisdiction, the plaintiffs bear the burden of demonstrating
that they have standing.” Id. at 430–31.
Plaintiffs point to City of Clarksville v. FERC, 888 F.3d 477, 482 (D.C. Cir. 2018), to
argue that subjection to new regulatory requirements can confer an injury in fact. Pls.’ Reply at
3. This reliance is misplaced. First, this case was decided before the sea change TransUnion
imparted upon standing doctrine. See Dinerstein v. Google, LLC, 73 F.4th 502, 522 (7th Cir.
15 2023) (calling TransUnion “a watershed decision on the standing doctrine.”). Thus the Circuit
had no occasion to ponder whether the plaintiff’s asserted harm was sufficiently analogous to a
historically recognized harm, as TransUnion demands.
And second, the case is readily distinguishable. In City of Clarksville, the court found
that a regulated party had standing to appeal an adverse agency adjudication that subjected the
plaintiff to ongoing data retention obligations. Id. at 482. Potential common law analogues
abound in the data retention context that Plaintiffs have not shown here. For instance, forced
data retention imposes real costs on companies, the prototypical type of concrete harm. City of
Clarksdale cannot excuse the Plaintiffs from meeting their obligation under TransUnion to show
their “injury bears a ‘close relationship’ to a harm traditionally recognized as providing a basis
for a lawsuit in American courts.” TransUnion, 594 U.S. at 432.
It is true that courts have occasionally found standing when a plaintiff brings a
preenforcement challenge to a law he fears will subject him to criminal penalties if enforced.
See Babbitt v. United Farm Workers Nat’l Union, 442 U.S. 289, 298 (1979). But in those cases,
the plaintiffs also had to show that the challenged law proscribed constitutionally protected
conduct in which they imminently intended to engage, Seegars v. Gonzales, 396 F.3d 1248,
1251–52 (D.C. Cir. 2005), or that they would “have to take significant and costly compliance
measures” to avoid prosecution. Virginia v. Am. Booksellers Ass’n, 484 U.S. 383, 392 (1988).
In other words, standing in these risk-of-prosecution cases requires that a plaintiff to
show he has been put to an intolerable choice—on the one hand, he can refrain from engaging in
protected conduct and incur substantial costs to avoid being penalized under an unlawful
measure. On the other hand, he can violate the measure and risk unjustified prosecution.
Standing doctrine in preenforcement challenges recognizes that courts can intervene before this
16 archetypal catch-22. Susan B. Anthony List v. Driehaus, 573 U.S. 149, 159 (2014) (“[A] plaintiff
satisfies the injury-in-fact requirement where he alleges an intention to engage in a course of
conduct arguably affected with a constitutional interest, but proscribed by a statute, and there
exists a credible threat of prosecution thereunder.”) (emphasis added) (cleaned up); see also
Backpage.com, LLC v. Lynch, 216 F. Supp. 3d 96, 108 n.5 (D.D.C. 2016) (rejecting plaintiff’s
argument that “the injury-in-fact requirement is automatically met, if the law is aimed directly at
the plaintiff, who, if its interpretation of the statute is correct, is placed at risk of criminal
prosecution.”).
But the Plaintiffs here have not shown that their members have been trapped in such a
paradox. If there are costly compliance measures, Plaintiffs are mum as to their amount. See
also 90 Fed. Reg. 11797 (“DHS will incur additional costs due to the added activities from the
collection of biometrics given the impacted population of aliens do not pay fees for registration
or biometrics.”).
Nor have Plaintiffs shown that the Interim Final Rule penalizes constitutionally protected
conduct. Plaintiffs insist that the Rule will force their members “to reveal that they entered the
United States without inspection, in violation of 8 U.S.C. § 1325, a federal criminal
misdemeanor.” Mot. Stay at 32. According to Plaintiffs, “[t]his compelled admission violates
these members’ Fifth Amendment right against self-incrimination.” Id. Indeed, a major thrust in
Plaintiffs’ motion relates to the potential Fifth Amendment implications their members face by
completith Form G-325R.
This line of attack fails factually and legally. Factually, because Plaintiffs have failed to
demonstrate that any of their members would actually be subject to criminal prosecution based
on their answers to Form G-325R. A charge for entry without inspection usually carries a statute
17 of limitations of five years, which begins to run once a defendant enters the United States. 18
U.S.C. § 3282; Robert J. McWhirter & Jon M. Sands, A Primer for Defending a Criminal
Immigration Case, 8 Geo. Immigr. L. J. 23, 38 (1994). Nearly all of Plaintiffs’ members have
been residing in the United States for far longer than five years. See Decl. A Salas ¶¶ 25–27;
Decl. E. Strater, ECF No. 4-3, ¶¶ 19–22; Decl. G. Escobar ¶¶ 13–19; Decl. S. Fontaine, ECF No.
4-5, ¶¶ 24–28. And Plaintiffs conceded that their members do not have other crimes to report on
the G-325R. Hr’g Tr. at 10:10–13. Thus for nearly all of Plaintiffs’ members, the Fifth
Amendment right against self-incrimination is not implicated.
There is a possible exception: “Ursula,” a CHIRLA member. Decl. A Salas ¶ 23. Ursula
“entered the U.S. without inspection in 2023 as an unaccompanied minor when she was 17.” Id.
Perhaps she could be subject to prosecution for an illegal entry misdemeanor. Yet Plaintiffs
waffled on whether Ursula would be subject to criminal prosecution as an adult for illegal entry
as a juvenile. Hr’g Tr. 10:1–3. But does the Government even prosecute juveniles for
misdemeanor illegal entry?
Because the burden is on the Plaintiffs to establish their standing, the Court will not go
digging into the intricacies of immigration law to deduce whether one member out of dozens
could assert a potential infringement of her Fifth Amendment right. See Lujan v. Defs. of
Wildlife, 504 U.S. 555, 561 (1992).
But even if Ursula could be prosecuted, her Fifth Amendment claim would fail as a
matter of law. A plaintiff can rest her standing on a violation of her right against self-
incrimination in two circumstances. First, “where a plaintiff remains silent, asserts the Fifth
Amendment privilege against self-incrimination, and is then subjected to some sanction or
penalty for refusing to testify, [s]he clearly can assert a Fifth Amendment claim.” Nat’l Treasury
18 Emps. Union v. U.S. Dep’t of Treasury, 25 F.3d 237, 241–42 (5th Cir. 1994). And “[s]econd,
where a plaintiff has refrained from invoking the privilege, given an incriminating statement,
and then seeks to bar the use of the statement in a later criminal proceeding . . . a justiciable
claim will surely exist.” Id. at 242. Outside of these two circumstances, a plaintiff has not
suffered a violation of her right against self-incrimination. See also Chavez v. Martinez, 538
U.S. 760, 770 (2003) (“[A] violation of the constitutional right against self-incrimination occurs
only if one has been compelled to be a witness against himself in a criminal case.”) (plurality
opinion of Thomas, J.). In other words, “a Fifth Amendment self-incrimination claim is not ripe
until a claim of the privilege is actually made.” Carman v. Yellen, 112 F.4th 386, 404 (6th Cir.
2024).
Plaintiffs do not allege that any of their members have actually invoked their Fifth
Amendment right, only to be rebuffed. Nor do Plaintiffs even allege that an invocation of the
right against self-incrimination on Form G-325R would lead to sanctions. At this point, then,
any claims that the members risk a violation of their right against self-incrimination are
speculative and premature. Nat’l Fed’n of Fed. Emps. v. Greenberg, 983 F.2d 286, 291 (D.C.
Cir. 1993) (“Ordinarily, a person must invoke the privilege in order to gain its advantage . . . .
The reason is apparent: The Fifth Amendment does not forbid the government from asking
questions and it does not forbid the government from taking the answers.”).
That leaves the Plaintiffs’ assertions that Form G-325R chills their members’ protected
speech. They assert that “CASA and MRNY members fear that the new registration process,
which requires them to report their organizing and advocacy work, will cause immigration
authorities to target them based on their First Amendment protected activities.” Mot. Stay at 32;
19 see, e.g., Decl. G. Escobar ¶ 13 (“The IFR has caused [YL] to become more afraid to speak out
because she fears that it could expose her and her son to targeting by the federal government.”).
But “allegations of a subjective chill are not . . . adequate” to confer standing. United
Presbyterian Church in the U.S.A. v. Reagan, 738 F.2d 1375, 1378 (D.C. Cir. 1984) (cleaned up)
(quoting Laird v. Tatum, 408 U.S. 1, 13–14 (1972)). Instead, a plaintiff must allege an
“imminence of concrete, harmful action such as threatened arrest for specifically contemplated
First Amendment activity.” Id. at 1380. Here, all Plaintiffs contend is that their members have
engaged in self-censorship because they have a conjectural fear that they may be targeted by the
Government for their speech. In other words, they have not “point[ed] to anything beyond
[their] own subjective apprehension and a personal (self-imposed) unwillingness to
communicate.” Morrison v. Bd. of Educ. of Boyd Cnty., 521 F.3d 602, 610 (6th Cir. 2008).
What they have not done is offered any evidence that they face a “credible threat of prosecution”
for their speech “under a statute that appears to render [their] arguably protected speech illegal.”
Am. Library Ass’n v. Barr, 956 F.2d 1178, 1194 (D.C. Cir. 1992). But under controlling law,
that is what they had to do. Laird, 408 U.S. at 13–14 (holding plaintiffs lacked standing on
chilling theory where they could not show “claim of specific present objective harm or a threat of
specific future harm” apart from self-imposed chilling).
20 IV.
In sum, Plaintiffs are not likely to succeed on the merits of their claim because they have
failed to demonstrate that they have a “substantial likelihood” of standing. Food & Water
Watch, Inc., 808 F.3d at 913. Their Motion for a Stay and Preliminary Injunction is accordingly
DENIED.
SO ORDERED.
2025.04.10 16:15:30 -04'00' Dated: April 10, 2025 TREVOR N. McFADDEN, U.S.D.J.