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No. 10598451
United States Court of Appeals for the Fourth Circuit
Natl Assn of Immigration Judges v. Sirce Owen
No. 10598451 · Decided June 3, 2025
No. 10598451·Fourth Circuit · 2025·
FlawFinder last updated this page Apr. 2, 2026
Case Details
Court
United States Court of Appeals for the Fourth Circuit
Decided
June 3, 2025
Citation
No. 10598451
Disposition
See opinion text.
Full Opinion
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PUBLISHED
UNITED STATES COURT OF APPEALS
FOR THE FOURTH CIRCUIT
No. 23-2235
NATIONAL ASSOCIATION OF IMMIGRATION JUDGES, affiliated with the
International Federation of Professional and Technical Engineers,
Plaintiff - Appellant,
v.
SIRCE E. OWEN, in her official capacity as Acting Director of the Executive Office
for Immigration Review,
Defendant - Appellee.
Appeal from the United States District Court for the Eastern District of Virginia at
Alexandria. Leonie M. Brinkema, District Judge. (1:20-cv-00731-LMB-JFA)
Argued: December 11, 2024 Decided: June 3, 2025
Before HARRIS, HEYTENS and BERNER, Circuit Judges.
Vacated and remanded by published opinion. Judge Berner wrote the opinion, in which
Judge Harris and Judge Heytens joined.
ARGUED: Ramya Krishnan, COLUMBIA UNIVERSITY, New York, New York, for
Appellant. Jennifer L. Utrecht, UNITED STATES DEPARTMENT OF JUSTICE,
Washington, D.C., for Appellee. ON BRIEF: Alexia Ramirez, Xiangnong Wang, Alex
Abdo, Knight First Amendment Institute, COLUMBIA UNIVERSITY, New York, New
York; Victor M. Glasberg, Nickera Simone Rodriguez, VICTOR M. GLASBERG &
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ASSOCIATES, Alexandria, Virginia, for Appellant. Brian M. Boynton, Principal Deputy
Assistant Attorney General, Michael S. Raab, Civil Division, UNITED STATES
DEPARTMENT OF JUSTICE, Washington, D.C.; Jessica D. Aber, United States
Attorney, OFFICE OF THE UNITED STATES ATTORNEY, Richmond, Virginia, for
Appellee.
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BERNER, Circuit Judge:
The National Association of Immigration Judges brought this challenge to an
employee policy that requires immigration judges to obtain permission before speaking
publicly on issues relating to immigration. The National Association of Immigration
Judges argues that the policy violates the First and Fifth Amendment rights of its members.
The district court dismissed the case for lack of subject matter jurisdiction, concluding that
the policy could only be challenged through the administrative procedures established by
the Civil Service Reform Act.
Congress enacted the Civil Service Reform Act to create a uniform scheme for
administrative and judicial review of covered federal employee personnel actions. That
scheme sets forth the protections and remedies available to such employees as well as the
procedural process they must follow. When a federal employee seeks relief from an action
covered by the Civil Service Reform Act, she is required to comply with the prescribed
scheme of administrative and judicial review and may not generally bring an initial claim
in federal court. Constitutional challenges and pre-enforcement challenges are no
exception.
When the Civil Service Reform Act functions as designed, we agree with the district
court that the National Association of Immigration Judges would be required to bring its
case through its administrative scheme. It is not clear, however, that the Civil Service
Reform Act is currently so functioning. The Civil Service Reform Act requires a strong
and independent Merit Systems Protections Board and Special Counsel. That foundational
principle, that functioning and independent bodies would receive, review, and decide in the
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first instance challenges to adverse personnel actions affecting covered federal employees,
has recently been called into question. Because Congress intended for the Civil Service
Reform Act to strip district courts of jurisdiction only if federal employees were otherwise
able to receive adequate and independent review of their claims, we vacate and remand to
the district court to consider whether the text, structure, and purpose of the Civil Service
Reform Act has been so undermined that the jurisdiction stripping scheme no longer
controls.
I. Background
The Executive Office for Immigration Review (EOIR) oversees the operation of the
United States immigration courts. EOIR employs about 750 immigration judges (IJs).
These IJs exercise the authority of the United States Attorney General to adjudicate
immigration proceedings. Until 2022, when IJs were stripped of the right to union
representation, the National Association of Immigration Judges (NAIJ) served as the
certified bargaining representative for all non-supervisory IJs. Today, NAIJ is a non-profit
voluntary association of IJs with hundreds of dues paying members, including members
who are required to comply with the challenged speech policy.
A. The EOIR Speech Policy
On October 12, 2021, EOIR issued a personnel policy that requires immigration
judges to obtain prior approval before any official speech (the Speech Policy). The Speech
Policy defines an official speech as one in which an IJ “is invited to participate in an event
because of their official position, is expected to discuss agency policies, programs, or a
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subject matter that directly relates to their official duties or otherwise appear on behalf of
the agency.” J.A. 57.
To determine whether speech is “official,” “[s]upervisors must consider the nature
and purpose of the engagement, the host(s) and sponsor(s) of the event, and whether the
event provides an appropriate forum for the dissemination of the information to be
presented.” J.A. 57. The Speech Policy includes an attachment, Attachment A, which lists
examples of official capacity engagements. These include “[i]mmigration conferences or
similar events where the subject is immigration (including litigation),” “[m]eetings with
[s]takeholders,” “[p]ro bono training related to immigration,” and the “EOIR Model
Hearing Program.” J.A. 62. Attachment A also provides examples of personal capacity
speech, such as “[m]oot court judge - not immigration related,” “[c]ommencement speaker
when topic is unrelated to immigration or official duties,” “[i]nterview based on book
written in appropriate personal capacity,” and “[s]peaking at community, religious, youth,
or small social groups (e.g., book club) and meetings, not directly related to immigration
law or advocacy.” J.A. 62.
When an IJ seeks approval to speak or write in an official capacity, that request is
subject to a multi-step review process. First, the IJ submits the speech request to her
supervisor. If the supervisor determines that the request relates to an IJ’s official duties, the
request is forwarded to EOIR’s Speaking Engagement Team (SET)—comprised of
personnel from the Office of Policy, the Office of the General Counsel, and the Office of
the Director. The EOIR’s Ethics Program, also conducts a review to “offer[ ] guidance” on
the request. J.A. 58. The Speech Policy ultimately permits supervisors, relying on the SET
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and Ethics Program’s guidance, to make the final decision about whether a judge may
speak or write in her official or personal capacity and whether to approve official capacity
requests. Although the Speech Policy contains no specific timeframe for review,
supervisors are encouraged to submit requests relating to an IJ’s official duties at least ten
days before the event at which the IJ wishes to speak or the date by which a written piece
is due. While the Speech Policy does not require IJs to obtain supervisory approval to speak
in a personal capacity on topics unrelated to their official duties, it does encourage them to
consult with EOIR’s Ethics Program regarding such speaking engagements.
B. NAIJ’s First and Fifth Amendment Challenge 1
NAIJ’s members seek to contribute to public and scholarly discourse concerning
developments in immigration law and policy. They contend, however, that the Speech
Policy restricts their ability to speak about their professional experiences, prevents them
from expressing their personal views at legal conferences, and deters them from publishing
scholarship on immigration law. Some IJs have ceased seeking approval altogether because
they understand the Speech Policy to forbid them from speaking about immigration issues
in a private capacity, and speaking in their official capacity “would require [them] to recite
the agency’s talking points.” J.A. 29.
1
Because this is an appeal from an order granting the Government’s motion to
dismiss, we accept as true the factual allegations in NAIJ’s amended complaint. De’lonta
v. Johnson, 708 F.3d 520, 522 (4th Cir. 2013). Accordingly, we state the facts as alleged
by NAIJ.
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EOIR has required IJs who attempt to publish written work on topics of immigration
law to revise their writing to accord with EOIR’s official positions. In one instance, an IJ
attempted to publish an article about immigration court bond hearings. EOIR determined
the article was an official capacity speech and a member of the EOIR Office of Policy
“made several edits to the tone and substance of the piece.” J.A. 31. The reviewing official
conveyed that “certain observations made in the piece were not appropriate because they
were not the official view of the agency.” J.A. 31. In a section of the article described as
the “author’s opinion,” the reviewing official asked whether the view conformed with
EOIR’s official position. If it did, the IJ was told that it “should not be expressed as [the]
author’s opinion.” J.A. 31. If it did not, the reviewing official suggested that an “evaluation
must be done as to whether [the opinion was] appropriate.” J.A. 31.
Beyond outright restrictions on speech, IJs are sometimes constructively denied
permission to speak because SET’s decisions on speaking requests come too late. On one
occasion, an NAIJ member requested approval to teach a law school course on immigration
law. Although the Speech Policy provides that an immigration judge need only to receive
supervisory approval to teach courses on immigration law, requests to teach are routinely
routed to SET, “and judges who have sought approval often receive no decision.” The
judge submitted a request to teach a course during the Spring 2023 semester on November
3, 2022. She received no response before the end of the year, making it impossible for her
to accept the teaching position or prepare a course. On other occasions, IJs submitted
speaking requests or requests for approval to publish written work and heard no response
for months.
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NAIJ challenges the Speech Policy as a prior restraint on speech that is not tailored
to a legitimate government interest, and as void for vagueness under both the First and
Fifth Amendments.
C. The Civil Service Reform Act of 1978
At issue in this case is whether the district court had jurisdiction over NAIJ’s claims
or whether the Civil Service Reform Act of 1978 (CSRA) stripped the district court of
jurisdiction. The CSRA “comprehensively overhauled the civil service system.” Lindahl v.
Off. of Pers. Mgmt., 470 U.S. 768, 773 (1985). It created an entirely “new framework for
evaluating adverse personnel actions against ‘employees’ and ‘applicants for
employment’” within the federal government. Id. at 774. A critical purpose of the CSRA
was to fix the “haphazard arrangements for administrative and judicial review of personnel
action,” part of the “outdated patchwork of statutes and rules built up over almost a
century” that had been the civil service system. United States v. Fausto, 484 U.S. 439, 444
(1988). The CSRA sets out “in great detail the protections and remedies applicable to such
[adverse actions], including the availability of administrative and judicial review.” Id. at
443.
The CSRA created two agencies: (1) the Office of Personnel Management (OPM),
which has central responsibility for administering the civil service rules and regulations
established under the CSRA; and (2) the Merit System Protection Board (MSPB), which
serves as the adjudicatory arm with jurisdiction over the personnel system. See 5 U.S.C.
§§ 1101, 1204. The MSPB was established as an independent agency consisting of three
members, each appointed by the President with the advice and consent of the Senate to
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serve seven-year terms. 5 U.S.C. §§ 1201, 1202(a)–(c). The MSPB is a quasi-judicial body,
adjudicating conflicts between civil servants and their employing agencies. The MSPB
resolves disputes including federal employees’ allegations that their government employer
discriminated against them, retaliated against them for whistleblowing, violated
protections for veterans, or otherwise subjected them to an unlawful adverse employment
action or prohibited personnel practice. 5 U.S.C. §§ 1204(a)(1), 1221, 2302(b)(1), (8)–(9),
3330a(d), 7512.
The CSRA also created the position of “Special Counsel.” 5 U.S.C. § 1211. The
Special Counsel receives and investigates allegations of prohibited personnel practices in
violation of the merit system, reviews OPM rules and regulations, conducts investigations,
and prevents reprisals against government “whistle blowers.” Id. § 1212. The statute
protects federal employees who disclose “mismanagement,” “gross waste of funds,”
“abuse of authority,” “danger[s] to public health or safety,” and “violation[s] of law” to the
Special Counsel. 5 U.S.C. § 1213. If the Special Counsel determines that there are
“reasonable grounds” to believe a prohibited practice occurred, he or she is required to
report that determination to the MSPB and the Special Counsel may “request” that the
MSPB take corrective action. Id. § 1214(b)(1)(A)(i), (b)(2)(B).
Given the critical purpose of their roles, the MSPB and the Special Counsel were
established to “be independent of any control or direction by the President.” S. Rep. No.
95-969, at 24 (1978). The CSRA expressly provides that the MSPB’s members and the
Special Counsel can be removed only by the President for “inefficiency, neglect of duty,
or malfeasance in office.” 5 U.S.C. §§ 1202(d), 1211(b). The Whistleblower Protection
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Act of 1989, 5 U.S.C. §§ 1211 et seq., strengthened the Special Counsel’s role in protecting
and assisting government whistleblowers, by further separating the Special Counsel from
the MSPB and creating the Office of Special Counsel (OSC) as an independent agency.
The CSRA has three primary sections regulating adverse personnel action, two of
which are relevant here: Chapter 75 and Chapter 23. See 5 U.S.C. §§ 2301 et seq., 7501 et
seq.; Fausto, 484 U.S. at 445–47. Chapter 75 addresses major adverse actions against
employees. The first subchapter governs suspensions of fourteen days or less, 5 U.S.C. §§
7501–04, and the second subchapter governs more serious actions—involving removal,
suspension over fourteen days, grade reduction, pay reduction, and furlough up to thirty
days, see id. §§ 7511–15. The second subchapter provides that a covered employee
“against whom an action is proposed is [generally] entitled to[:]” a minimum of “30 days’
advance written notice[;]” the opportunity to respond orally and in writing; representation;
and “a written decision and the specific reasons therefor at the earliest practicable
date.” Id. § 7513(b). Decisions under the second subchapter are appealable, first to the
MSPB and then to the United States Court of Appeals for the Federal
Circuit. Id. §§ 7513(d), 7703(b).
Chapter 23 outlines the “merit system principles” agencies must uphold. 5 U.S.C.
§ 2301(b). Violations of these principles constitute “prohibited personnel practice[s].” Id.
§ 2302(a). An employee alleging a prohibited personnel practice must first file a charge
with the OSC. See id. § 1214(b)(2)(A)(i). The OSC must then determine within 240 days
whether “there are reasonable grounds to believe” that a prohibited personnel practice has
occurred, exists, or will occur. See id. If the OSC determines that there are reasonable
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grounds, the Special Counsel reports that determination to the head of the employing
agency, as well as the MSPB and OPM, to provide the agency with an opportunity to
remedy the prohibited personnel practice. Id. § 1214(b)(2)(B). If the agency fails to take
corrective action, the OSC “may petition the [MSPB] for corrective action.” Id.
§ 1214(b)(2)(C). Just as in Chapter 75, the CSRA grants the Federal Circuit jurisdiction to
review final orders of the MSPB. See id. §§ 1214(c), 7703(b)(1)(A).
II. Procedural History
NAIJ filed this case in the United States District Court for the Eastern District of
Virginia. In September 2023, the district court dismissed for lack of jurisdiction, 2
concluding that the CSRA impliedly stripped the district court of jurisdiction to hear
NAIJ’s claims. NAIJ v. Neal, 693 F. Supp. 3d 549, 567–81 (E.D. Va. 2023). The district
court concluded that the CSRA provides the sole remedial review scheme for adjudicating
NAIJ’s claims. Id. at 568–70. From this the district court concluded that the IJs must pursue
their challenge to the Speech Policy before the MSPB, subject to judicial review in the
Federal Circuit. Id. at 571–80.
2
The district court first considered NAIJ’s standing to bring the constitutional
claims at issue. NAIJ v. Neal, 693 F. Supp. 3d 549, 563–67 (E.D. Va. 2023). While the
Government does not raise standing on appeal, we are required to assure ourselves that
standing exists. Summers v. Earth Island Inst., 555 U.S. 488, 499 (2009). We agree with
the district court that NAIJ possesses standing because of the chilling effect the Speech
Policy allegedly has on NAIJ’s members and the self-censorship it allegedly causes.
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III. Analysis
We must answer a single question: Does the CSRA strip the district court of
jurisdiction over NAIJ’s pre-enforcement challenge to the Speech Policy? 3 If so, NAIJ’s
members must pursue their claims through the scheme outlined in the CSRA. That broad
question requires us to undertake “a two-step inquiry” established by the Supreme Court
in Thunder Basin Coal Co. v. Reich, 510 U.S. 200, 207 (1994), to determine whether
Congress intended to strip district-court jurisdiction over these claims. See Bennett v. SEC,
844 F.3d 174, 181 (4th Cir. 2016).
In the first step of the Thunder Basin inquiry, we ask whether Congress’s intent to
preclude district-court jurisdiction is “fairly discernible in the statutory scheme.” 510 U.S.
at 207. At this step, we look to the statute’s language, structure, and purpose to assess
whether Congress intended to funnel covered federal employees’ claims through the
CSRA’s administrative scheme, stripping district courts of jurisdiction. See id. We
conclude that this step requires further examination by the district court. The CSRA’s
adjudicatory scheme was predicated on the existence of a functioning and independent
MSPB and Special Counsel. We take notice that the function of the MSPB and Special
Counsel, contrary to the CSRA’s text and purpose, has recently been called into question.
The district court must address this issue in the first instance.
3
We review de novo the district court’s dismissal of a complaint for lack of subject-
matter jurisdiction. Berkley v. Mountain Valley Pipeline, LLC, 896 F.3d 624, 629 (4th Cir.
2018).
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In the second step of the Thunder Basin test, we determine whether NAIJ’s “claims
are of the type Congress intended to be reviewed within this statutory structure.” Id. at 212.
At this second step, we consider three factors. We focus on (1) whether the statutory
scheme “foreclose[s] all meaningful judicial review.” Id. at 212–13. We also consider (2)
the extent to which the NAIJ’s claims are “wholly collateral” to the statute’s review
provisions, and (3) whether “agency expertise could be brought to bear on the . . . questions
presented.” Id. at 212, 215. On the basis of these three factors, we affirm the district court’s
conclusion that the claims NAIJ brings would fall within the ambit of the CSRA. We vacate
and remand, however, for the district court to evaluate whether the CSRA continues to
function as Congress intended.
A. Congressional Intent
At step one of the Thunder Basin test we consider “whether Congress’s intent to
preclude district court jurisdiction is ‘fairly discernible in the statutory scheme.’” Bennett,
844 F.3d at 181 (quoting Thunder Basin, 510 U.S. at 207). “[W]hether a statute is intended
to preclude initial judicial review is determined from the statute’s language, structure, and
purpose, its legislative history, and whether the claims can be afforded meaningful review.”
Thunder Basin, 510 U.S. at 207 (internal citation omitted).
The Supreme Court has recognized that the CSRA, when functioning as Congress
intended, was designed to strip district courts of jurisdiction. The Court first reached this
conclusion in United States v. Fausto, which involved a federal employee’s claims for back
pay. 484 U.S. at 441–42. In Fausto, the Court recognized that the CSRA established a
comprehensive system for reviewing personnel action taken against federal employees. Id.
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at 443. The CSRA “prescribes in great detail the protections and remedies applicable to
such action, including the availability of administrative and judicial review.” Id. Looking
at the text, structure, and the legislative history of the CSRA, the Supreme Court
determined that Congress’s intent to foreclose review was “fairly discernible.” Id. at 443–
450. Notably, the Supreme Court held that the structure of the CSRA evinces Congress’s
intent because of “the primacy of the MSPB for administrative resolution of disputes over
adverse personnel action.” Id. at 449 (emphasis added).
Likewise in Elgin v. Department of Treasury, the Supreme Court explained why the
CSRA’s “elaborate” framework and purpose demonstrate that Congress also intended
covered employees appealing covered agency actions to proceed exclusively through the
statutory review scheme, “even in cases in which the employees raise constitutional
challenges to federal statutes.” 567 U.S. 1, 10–11 (2012). The Court ultimately concluded
that, “[g]iven the painstaking detail with which the CSRA sets out the method for covered
employees to obtain review of adverse employment actions, it is fairly discernible that
Congress intended to deny such employees an additional avenue of review in district
court.” Id. at 11–12. In creating an administrative review process specifically for civil
servants, Congress established administrative pathways to be adjudicated by the OSC and
MSPB as the “exclusive forum” for review of agency personnel action. Id. at 14.
Those cases would have, until recently, made our analysis at step one of the Thunder
Basin test simple. It has been well-established that Congress’s intent for the CSRA to
preclude district court jurisdiction is “fairly discernible in the statutory scheme.” Id. at 17.
That conclusion can only be true, however, when the statute functions as Congress
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intended. During the pendency of this case, whether the CSRA functions as Congress
intended has been called into question.
To maintain Congress’ intent, the MSPB and Special Counsel must function such
that they fulfill their roles prescribed by the CSRA. If, for example, the Senate-confirmed
roles in the MSPB and Special Counsel go unfilled, or if the agencies fail to perform their
duties such that covered employees’ claims are not adequately processed, then the
framework of the CSRA would be thwarted. Either situation would defeat congressional
intent, as Congress enacted the CSRA for the express purpose that the merit system
function and that claims be addressed adequately and efficiently. If claims are not so
processed, of course, then turning to the MSPB or Special Counsel through the CSRA
would be futile.
In reviewing a motion to dismiss, we may properly take judicial notice of matters
of public record. Philips v. Pitt Cnty. Mem’l Hosp., 572 F.3d 176, 180 (4th Cir. 2009);
Papasan v. Allain, 478 U.S. 265, 268 n. 1 (1986) (“Although this case comes to us on a
motion to dismiss [. . .], we are not precluded in our review of the complaint from taking
notice of items in the public record.”). Here, we take notice that during the pendency of
this case, the President removed the Special Counsel, Dellinger v. Bessent, No. CV-25-
0385, 2025 WL 665041 (D.D.C. Mar. 1, 2025), vacated and remanded, No. 25-5052, 2025
WL 935211 (D.C. Cir. Mar. 27, 2025), and two members of the MSPB such that it currently
lacks a quorum, Harris v. Bessent, No. CV-25-412, 2025 WL 679303 (D.D.C. Mar. 4,
2025), rehearing en banc granted, No. 25-5037, 2025 WL 1021435 (D.C. Cir. Apr. 7,
2025). These removals and the lack of quorum in the MSPB raise serious questions as to
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whether the CSRA’s adjudicatory scheme continues to function as intended. Such a
question, which turns on a factual record, is best addressed by the district court in the first
instance. We therefore remand to the district court to assess the functionality of the CSRA’s
adjudicatory scheme.
In addition to providing a functioning adjudicatory process, the CSRA was designed
to protect the independence of the agencies reviewing federal employees’ claims. The
CSRA devised an adjudication system that was to serve as “a vigorous protector of the
merit system”—the crux of this was the “establishment of a strong and independent
[MSPB] and Special Counsel.” S. Rep. 95-969, at 6–7 (emphasis added). Congress was
deeply concerned with preventing regression back to the “spoils” system of the 19th
century, in which employees advanced on the basis of “political or personal favoritism.”
Id. at 2–3. “The lack of adequate protection [against political will] was painfully obvious
during the civil service abuses” of the past. Id. at 6–7. Instead, Congress sought to ensure
that employees were “hired and removed on the basis of merit” and “competence.” Id. at
2–3.
The MSPB was hailed as “the Cornerstone of Civil Service Reform.” Id. at 24. In
order to carry out its role of preserving the merit system for all federal employees, Congress
recognized that the MSPB must be “insulated from the kind of political pressures that [had]
led to violations of merit principles in the past.” Id. at 7. Congress explained that “absent
such a mandate for independence for the merit board, it is unlikely that [it] would have
granted the Office of Personnel Management the power it has or the latitude to delegate
personnel authority to the agencies.” Id. (emphasis added).
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The CSRA established the same independence for the Special Counsel, who it
tasked to “investigate and prosecute political abuses and merit system violations,” and
“safeguard the rights” of employees who “‘blow the whistle’ on violations of laws.”
President Jimmy Carter, Federal Civil Service Message to Congress (Mar. 2, 1978). 4 In his
letter calling for the creation of the Special Counsel, President Carter emphasized the need
for “independent and impartial protection” for federal employees. Id. The CSRA
incorporated President Carter’s recommendation by “provid[ing] for an independent merit
systems protection board and special counsel to adjudicate employee appeals and protect
the merit system.” S. Rep. No. 95-969, at 2.
Congress left little doubt about the importance of an independent MSPB and Special
Counsel free from “any control or direction by the President.” Id. at 24 (emphasis added).
The MSPB and the Special Counsel “exercise statutory responsibilities independent of any
Presidential directives.” Id. at 7. For this reason, the CSRA mandates that the members of
the MSPB and the Special Counsel can be removed by the President “only for inefficiency,
neglect of duty, or malfeasance in office.” 5 U.S.C. §§ 1202(d), 1211(b).
The text and structure of the CSRA likewise demonstrate Congress’s intent to foster
a strong and independent MSPB and Special Counsel. As noted above, Congress
established a bipartite structure to the merit system when it enacted the CSRA. The first
agency created was OPM, which serves as “the arm of the President in matters of personnel
administration.” S. Rep. 95-969, at 24. That agency contrasts starkly with the MSPB, which
4
Available at https://www.presidency.ucsb.edu/documents/federal-civil-service-
reform-message-the-congress [https://perma.cc/L266-UJ2L].
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provides a quasi-judicial role intended to be fully independent from the president. Id.; 5
U.S.C §§ 1204(a), 1202(d). By statute, no more than two members of the MSPB are
permitted to be from the same political party, to ensure that federal employees are
“protected against arbitrary action, personal favoritism, or coercion for partisan political
purposes.” 5 U.S.C. §§ 2301, 1201. MSPB members serve seven-year terms—a term limit
longer than that guaranteed to the appointing President. Id. § 1202(a). The Senate must
consent to any MSPB member. Id. § 1201. Similar protections exist for the Special
Counsel, though the Special Counsel’s term is limited to five years. Id. § 1201(b).
The CSRA also gives the MSPB substantial independent authority to allow it to act
outside of the influence of the President. Unlike the MSPB’s predecessor agency, the Civil
Service Commission, the CSRA gave the MSPB subpoena authority to require “the
attendance and presentation of testimony of any such individual, and the production of
documentary or other evidence,” 5 U.S.C. § 1204(b)(2)(A), that the MSPB determines
“essential in conducting investigations and adjudicating appeals by federal workers,” S.
Rep. 95-969, at 7. The MSPB can wield that authority to “hear, adjudicate, or provide for
the hearing or adjudication, of all matters” that fall within its broad jurisdiction over
covered federal employees’ claims. 5 U.S.C. § 1204(a)(1). The MSPB can then “order any
Federal agency or employee to comply” with its resulting decision and can act to “enforce
compliance with any such order.” Id. § 1204(a)(2).
The CSRA gives the Special Counsel similar independent authority. The Special
Counsel has the authority to conduct investigations, id. § 1214(a)(5), and can “issue
subpoenas” and “order the taking of depositions” and “responses to written
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interrogatories,” id. § 1212(b)(2). The Special Counsel is also authorized access to all
records or materials “available to the applicable agency that relate to an investigation.” Id.
§ 1212(b)(5)(A)(i). If the Special Counsel finds reasonable grounds for a violation of the
CSRA, and the employing agency does not take corrective action, the Special Counsel may
petition the MSPB for corrective action. Id. § 1214(b)(2)(C). The Special Counsel may
also initiate disciplinary action against those who violate the merit principles by engaging
in prohibited personnel practices. Id. § 1212(a)(2).
Put simply, Congress enacted the CSRA on the bedrock principle that the members
of the MSPB and the Special Counsel would be protected from removal on political
grounds, providing them independence from the President. See 5 U.S.C. §§ 1202(d),
1211(b). Additionally, in lawsuits challenging the removals of the Special Counsel and
members of the MSPB, the Government has argued that the removal protections enshrined
in the CSRA are violations of separation of powers, Gov’t Br. at 7–9, Harris, 2025 WL
679303; Gov’t Br. at 5–8, Dellinger, 2025 WL 665041, thereby calling into question the
constitutionality of a critical aspect of the CSRA, and the continued vitality of the statute’s
adjudicatory scheme. This issue has yet to be resolved, however. At present, reinstatement
of the MSPB Board members has been stayed by the Supreme Court. Trump v. Wilcox, No.
24A966, 605 U.S. ____, 2025 WL 1464804 (May 22, 2025).
The resolution of this issue could also call into question whether the CSRA
continues to function as Congress intended for purposes of the Thunder Basin analysis. As
described above, Congress may well have intended the CSRA to strip district courts of
jurisdiction only because it understood that the President could not exercise unfettered
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control over the Special Counsel and MSPB. If that understanding proves to be incorrect,
then a reevaluation of Congress’s intent under Thunder Basin may be required. We leave
that issue, should it arise, to the district court to address in the first instance.
At the time the district court considered its jurisdiction over this matter, the
functionality and independence of the MSPB and Special Counsel had not been called into
question. This is no longer necessarily true. The Special Counsel and several members of
the MSPB have been terminated by the President and the Government has questioned the
constitutionality of the removal protections enshrined in the CSRA. Accordingly, we
remand to the district court to conduct a factual inquiry whether the CSRA continues to
provide a functional adjudicatory scheme. If warranted, a new examination of
Congressional intent may be required in light of changing circumstances around the MSPB
and Special Counsel’s removal protections.
B. Whether NAIJ’s Claims Fall Within the CSRA
Having concluded that questions remain as to the first step of the Thunder Basin
test, we now turn to the second step, namely “whether plaintiffs’ ‘claims are of the type
Congress intended to be reviewed within this statutory structure.’” Bennett, 844 F.3d at
178 (quoting Thunder Basin, 510 U.S. at 212). The district court determined that they were,
and we agree.
The Supreme Court has identified three factors to determine whether a claim falls
within the statutory structure: First, could precluding district court jurisdiction “foreclose
all meaningful judicial review” of the claim? Thunder Basin, 510 U.S. at 212. Second, is
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the claim “wholly collateral” to the statute’s review provisions? Id. Third, does the claim
fall “outside the agency’s expertise”? Id. We take each of these questions in turn.
Whether meaningful judicial review of a claim is available is the “most important”
factor in the second step of the Thunder Basin test. Bennett, 844 F.3d at 183 n.7. This factor
stems from the Supreme Court’s recognition “that Congress rarely allows claims about
agency action to escape effective judicial review.” Axon Enter., Inc. v. Fed. Trade Comm’n,
598 U.S. 175, 186 (2023). We begin our analysis by first determining which chapter of the
CSRA, if any, applies to NAIJ’s claims. For the reasons explained below, we agree with
the district court that Chapter 23 applies. We begin with Chapter 75, however, because we
find that Chapter 75 does not apply to NAIJ’s claims.
1. Chapter 75
Chapter 75 of the CSRA governs the most severe adverse employment actions taken
or proposed against covered federal employees. See 5 U.S.C. § 7501 et seq. NAIJ argues
that Chapter 75 cannot provide an avenue to MSPB review for its members, because no
adverse action has been taken or proposed against them. We agree.
The D.C. Circuit has considered when a Chapter 75 action is “proposed.” Payne v.
Biden, 62 F.4th 598 (D.C. Cir. 2023), judgment vacated as moot, 144 S. Ct. 480 (2023).
That case involved pre-enforcement constitutional challenges to an Executive Order and
its implementing policies, which set forth the adverse actions that would be taken against
employees who failed to become current on COVID-19 vaccinations. Id. at 600–01; see
Exec. Order No. 14043, 86 Fed. Reg. 50968 (Sept. 9, 2021).
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In Payne, a federal employee refused to comply with the Executive Order and was
told that he would be terminated because of his breach of the policy. 62 F.4th at 605; id. at
602 (explaining that enforcement of the COVID-19 policy “may include ‘[a] 5-day period
of counseling and education;’ a short suspension of up to 14 days without pay; and removal
‘for failing to follow a direct order.’”). The D.C. Circuit determined that adverse action
had been proposed in response to the employee’s failure to comply with the vaccination
requirement and Chapter 75 provided meaningful review of the employee’s claim. Id. at
605; see also Rydie v. Biden, No. 21-2359, 2022 WL 1153249, at *6 (4th Cir. Apr. 19,
2022) (explaining that the term “proposed” in Chapter 75 signals congressional “intent to
preclude pre-enforcement judicial challenges”).
Unlike the employees in Payne, NAIJ’s members have no route to judicial review
through Chapter 75. NAIJ’s amended complaint states explicitly that its members have
neither violated nor intend to violate the Speech Policy. Employees challenging an
employment policy on First Amendment grounds need not first violate the policy before
seeking meaningful judicial review under Chapter 75. See Free Enter. Fund v. Pub. Co.
Acct. Oversight Bd., 561 U.S. 477, 490 (2010). Government employees are not required to
“bet the farm by taking a violative action” in order to bring a constitutional challenge to an
agency policy. Id. Moreover, NAIJ does not allege that its members have been threatened
with any form of adverse action in connection with the Speech Policy. Indeed, the Speech
Policy makes no mention of any disciplinary action covered by Chapter 75 that might result
from non-compliance, plainly distinguishing this case from Payne. Where no action is
“taken or proposed,” Chapter 75 plainly does not apply.
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2. Chapter 23
The other potential avenue for administrative review of NAIJ’s claims is Chapter
23 of the CSRA. Chapter 23 contains a list of “prohibited personnel practices” that
supervisors are forbidden from taking against covered federal employees. See 5 U.S.C. §
2302(b). The Government argues that NAIJ’s challenges are encompassed within this list,
which includes a prohibition against employing agencies taking any “personnel action . . .
[that] violates . . . the merit system principles contained in section 2301.” Id. § 2302(b)(12)
(emphasis added).
The CSRA lists twelve “personnel actions” actionable under Chapter 23. The
Speech Policy, as described by NAIJ, fits within the final action listed, namely a
“significant change in duties, responsibilities, or working conditions.” Id.
§ 2302(a)(2)(A)(xii). Chapter 23 also establishes “merit system principles” the violation of
which could constitute a prohibited personnel practice. Relevant here is the merit system
principle that covered employees must receive “fair and equitable treatment [. . .] with
proper regard for their privacy and constitutional rights.” Id. § 2301(b)(2).
Incorporating these statutory definitions into the Section 2302(b)(12) “prohibited
personnel practice,” Chapter 23 prohibits covered federal employers from “tak[ing]” “any
other personnel action,” here, any “significant change in duties, responsibilities, or working
conditions,” “if the taking of or failure to take such action violates any law,” including
“proper regard for [the employee’s] constitutional rights.” Id. §§ 2301(b)(2);
2302(a)(2)(A)(xii), (b)(12). We hold that the Speech Policy fits that definition and would
constitute a prohibited personnel practice under Chapter 23 based on NAIJ’s allegations.
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The Speech Policy could constitute a significant change in working conditions that NAIJ
alleges was adopted without “proper regard for [its members’] constitutional rights.” Id. §
2301(b)(2).
NAIJ makes two arguments in rejecting this reading of Chapter 23. The first is a
matter of statutory interpretation. NAIJ contends that the ejusdem generis canon limits the
meaning of “any other significant change in duties, responsibilities, or working
conditions.” This canon counsels that where “general words follow specific words in a
statutory enumeration, the general words are construed to embrace only objects similar in
nature to those objects enumerated by the preceding specific words.” Yates v. United States,
574 U.S. 528, 545 (2015) (internal quotations omitted). NAIJ contends that the eleven
personnel actions enumerated before the final action are discrete employment decisions
that target individual employees, not policies that cover an entire group in a workforce. We
disagree.
Rather than limiting the scope of what constitutes “working conditions,” the
enumerated personnel actions in Section 2302(a)(2)(A) confirm that “working conditions”
encompasses policies like the Speech Policy. For example, Section 2302(a)(2)(A) lists as
actionable personnel actions a “disciplinary or corrective action,” and any “decision
concerning pay, benefits, or awards, or concerning education or training.” Neither of these
actions requires that the action be taken against a single employee. Both could be levied
against a group of employees, and over a prolonged or indefinite period. The list also
includes “the implementation or enforcement of any nondisclosure policy.” Id.
§ 2302(a)(2)(A)(xi). Nondisclosure policies can altogether prohibit speech on certain
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topics. Hence this action is similar to the challenged Speech Policy that limits certain
speech, and its inclusion demonstrates that policies like the challenged Speech Policy are
covered by the CSRA.
We agree with the district court’s apt observation that the Speech Policy broadly
affects how immigration judges “interact with their supervisors and the EOIR” and
“governs what types of speaking or writing they may do within their official capacities.”
NAIJ v. Neal, 693 F. Supp. 3d at 572. An exchange with a supervisor about what an
employee may say or write in an official capacity speech represents a typical exchange
between supervisor and employee as to how an employee should represent her employer.
As such, the Speech Policy encompasses circumstances that relate directly to an IJ’s
working conditions.
NAIJ also contends that Congress did not intend for the CSRA to preclude district
court jurisdiction over pre-enforcement challenges to vindicate free speech rights. The
Supreme Court rejected a similar argument in Elgin. 567 U.S. at 5. There, the Supreme
Court held that covered federal employees must bring their constitutional challenges
through the CSRA’s post-enforcement procedures. Id. at 15. As this court explained in
Bennett, “Congress can require persons subject to administrative adjudication to pursue
their claims exclusively there first before reaching an Article III court.” 844 F.3d at 185
n.12 (citing Thunder Basin, 510 U.S. at 216). NAIJ cannot “bypass” this requirement
“simply by alleging a constitutional challenge and framing it as ‘structural,’ ‘prophylactic,’
or ‘preventative.’” Id. at 188.
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i. Meaningful Judicial Review
Having determined that Chapter 23 provides a potential avenue to challenge the
Speech Policy, we next consider whether Chapter 23 allows for meaningful judicial review.
Judicial review need not be immediately available. A statutory scheme can provide for
meaningful judicial review even if it requires litigants to first seek relief in an
administrative forum, so long as an appeal to an Article III court is available “in due
course.” Bennett, 844 F.3d at 186. Meaningful judicial review similarly does not require
the involvement of a district court. Axon Enter., Inc., 598 U.S. at 190. Review of an
agency’s action in a court of appeals can meaningfully address a party’s claim. Id.
(quoting Thunder Basin, 510 U.S. at 215). The Supreme Court has held that the CSRA
provides meaningful judicial review where its administrative processes authorize the
Federal Circuit to consider and decide constitutional claims. Elgin, 567 U.S. at 21.
As a first step under Chapter 23, a covered federal employee alleging a “prohibited
personnel practice” files a charge with the OSC. 5 U.S.C. § 1214(a). If the Special Counsel
finds “reasonable grounds” suggesting a “prohibited personnel practice” occurred, the
Special Counsel is required then to report the practice to the MSPB, the employing agency,
and OPM. Id. § 1214(b)(2)(B). If the agency fails to resolve the problem, “the Special
Counsel may petition the MSPB,” and the MSPB can order corrective action. Id. §
1214(b)(2)(C), (b)(4)(A). Corrective action can include back pay, other compensatory
damages, and attorneys’ fees. Id. § 1214(g). Final orders of the MSPB may be appealed to
the Federal Circuit. Id. §§ 1214(c), 7703(b)(1)(A).
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Although the CRSA provides for meaningful judicial review of MSPB orders, NAIJ
correctly points out that the Special Counsel is afforded leeway regarding which claims to
bring to the MSPB. The Special Counsel may decline to bring to the MSPB claims it deems
truly frivolous. See id. § 1214(b)(2)(B). NAIJ argues that this discretion effectively
eliminates meaningful judicial review because the Special Counsel could prevent a claim
from ever reaching the MSPB, thereby preventing the plaintiff from appealing an adverse
determination to the Federal Circuit. That is not, however, the posture of the case before
us.
NAIJ declined to bring its claim to the OSC altogether, thereby failing to follow the
statutorily prescribed administrative and judicial procedures. That should generally be
determinative. The CSRA precludes extra-statutory judicial review of constitutional claims
asserted before an employee has utilized remedies that are available under the statute. As
the Supreme Court emphasized in Elgin, “[t]he CSRA’s objective of creating an integrated
scheme of review would be seriously undermined if . . . a covered employee could
challenge a covered employment action first in a district court, and then again in one of the
courts of appeals.” 567 U.S. at 13. The requirement that covered federal employees first
bring their claims to the OSC is central to Chapter 23’s statutory scheme.
NAIJ also argues that no meaningful judicial review is available because its
members will suffer irreparable injury because their speech will be chilled in the interim
period that it seeks administrative review. NAIJ claims that this is the type of “here-and-
now injury” like the Supreme Court considered in Axon Enterprise, Inc., 598 U.S. 175.
NAIJ misconstrues the injury at issue in Axon. The challenge in Axon was not to any
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“specific substantive decision” made by an agency or to any “commonplace procedures
agencies use to make” such decisions. Id. at 189. Rather, the challenge in Axon—as in Free
Enterprise Fund—was to “the structure or very existence of an agency.” Id.; Free Enter.
Fund, 561 U.S. at 508. The plaintiffs asserted that the agency “wield[ed] authority
unconstitutionally in all or a broad swath of its work.” Axon Enter., Inc., 598 U.S. at 189.
Thus, the core of the plaintiffs’ claim in Axon was that they would face “an
illegitimate proceeding, led by an illegitimate decisionmaker.” Id. at 191. Such a harm
qualified as a “here-and-now injury” that could not be remedied after the fact by a court of
appeals, because “[a] proceeding that has already happened cannot be undone.” Id. The
Supreme Court concluded that such “structural constitutional” challenges need not be
channeled through an enforcement proceeding the agency allegedly lacked constitutional
authority to conduct, and that they could instead be brought directly in district court. Id. at
190–93; see also Free Enter. Fund, 561 U.S. at 489–90.
NAIJ’s challenge is not a structural constitutional challenge to the authority of the
EOIR or the OSC and MSPB. NAIJ likewise does not challenge the structure of or
procedures outlined in the CSRA. Plaintiffs cannot avoid jurisdiction stripping statutes like
the CSRA by merely alleging an irreparable injury. The Supreme Court explained that
covered federal employees must go through the CSRA’s administrative process even when
doing so would “subject[ ] them to significant burdens” such as “the expense and disruption
of protracted adjudicatory proceedings[.]” Axon Enter., Inc., 598 U.S. at 192 (quotation
marks omitted). Those routine burdens differ in kind from those suffered by the plaintiffs
in Axon. NAIJ’s claimed injuries fall outside the narrow class of structural constitutional
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claims that Axon carved out from the Thunder Basin framework. Thus, meaningful judicial
review is available to NAIJ under Chapter 23.
ii. Wholly Collateral
The second Thunder Basin factor asks us to consider whether NAIJ’s claims are
“wholly collateral to a statute’s review provisions.” 510 U.S. at 212 (internal quotation
marks and citation omitted). Jurisdiction stripping is less likely for a claim that is wholly
collateral to a statute’s review provisions. Id. “Under this standard, claims are not wholly
collateral when they are the vehicle by which petitioners seek to reverse agency
action.” Bennett, 844 F.3d at 186 (cleaned up). Because this factor also focuses on whether
a plaintiff challenges a covered action under the CSRA, our analysis follows closely that
for the meaningful judicial review factor. See id. at 187.
In Elgin, federal employees brought a constitutional challenge in federal court to
their terminations after they failed to comply with the Military Selective Service Act. 567
U.S. at 6–7. The plaintiffs argued that their constitutional challenge had “nothing to do
with the types of day-to-day personnel actions adjudicated by the MSPB,” and that they
were “not seeking the CSRA’s protections and remedies.” Id. at 22. The Supreme Court
looked to the underlying conduct challenged by the plaintiffs and determined that the
constitutional claims were merely a vehicle for challenging the terminations. Id. Such a
dispute was, therefore, “precisely the type of personnel action” covered by the CSRA and
regularly heard by the MSPB. Id. Because the CSRA was intended to foreclose covered
federal employees from contesting covered employment actions outside the CSRA
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adjudicatory scheme, the Court held that the plaintiffs’ constitutional challenge to their
terminations must proceed through procedures prescribed by the CSRA. Id.
Like the plaintiffs in Elgin, NAIJ argues that its constitutional challenge is wholly
collateral to the scope of the CSRA. As we have noted, however, that a case presents a
constitutional challenge does not mean it necessarily falls beyond the CSRA’s scope. The
relevant question is whether the claim falls under the CSRA’s scheme for personnel
actions, and thus whether it is a vehicle to reverse agency personnel action. See Bennett,
844 F.3d at 186; Elgin, 567 U.S. at 22 (finding a claim not wholly collateral when it was
“precisely the type of personnel action regularly adjudicated by the MSPB and the Federal
Circuit within the CSRA scheme”). Because NAIJ challenges a significant change to its
members’ working conditions, its claims are not wholly collateral to the CSRA scheme.
iii. Agency Expertise
The final Thunder Basin factor requires that we consider whether the agency
possesses expertise that may help resolve the claim. NAIJ argues that its claims fall outside
the agency’s expertise because its constitutional challenge is unrelated to the CSRA’s
procedures. Agency expertise is interpreted broadly, however. Bennett, 844 U.S. at 187.
Claims do not fall beyond the expertise of the MSPB simply because they raise a
constitutional challenge. An agency “can apply its expertise” to “the many threshold
questions that may accompany a constitutional claim.” Elgin, 567 U.S. at 22–23.
We conclude that NAIJ’s constitutional claims are sufficiently “intertwined with or
embedded in matters on which the MSPB are expert.” Axon Enter., Inc., 598 U.S. at 195.
The MSPB’s expertise lies in “ensur[ing] that Federal employees are protected against
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abuses by agency management, that Executive branch agencies make employment
decisions in accordance with the merit system principles, and that Federal merit systems
are kept free of prohibited personnel practices.” Merit Systems Protection Board, An
Introduction to the Merit Systems Protection Board 5 (1999). One merit system principle
involves the failure to accord “proper regard for [the covered federal employee’s]
constitutional rights.” 5 U.S.C. § 2301(b)(2). Should this case come before the Special
Counsel and the MSPB, both would be sufficiently equipped to resolve the underlying
challenge because they are familiar with agency speech policies, why they are
implemented, and how such policies should best be designed in accordance with the
Constitution.
Because all three factors of step two weigh in favor of the Government, we conclude
that if the first step of the Thunder Basin test is met, then Congress would have intended
to strip district court jurisdiction over NAIJ’s Chapter 23 claims.
IV. Conclusion
Congress designed the CSRA to divest district courts of jurisdiction to review legal
challenges like those raised by NAIJ. The structure of the CSRA relies fundamentally,
however, on a strong and independent MSPB and Special Counsel. Serious questions have
recently arisen regarding the functioning of both the MSPB and the Special Counsel. We
cannot allow our black robes to insulate us from taking notice of items in the public record,
including, relevant here, circumstances that may have undermined the functioning of the
CSRA’s adjudicatory scheme. We therefore vacate and remand to the district court to
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engage in factfinding to determine whether—given current circumstances—it may
properly exercise subject matter jurisdiction over NAIJ’s claims.
VACATED AND REMANDED
32
Plain English Summary
USCA4 Appeal: 23-2235 Doc: 41 Filed: 06/03/2025 Pg: 1 of 32 PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No.
Key Points
01USCA4 Appeal: 23-2235 Doc: 41 Filed: 06/03/2025 Pg: 1 of 32 PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No.
0223-2235 NATIONAL ASSOCIATION OF IMMIGRATION JUDGES, affiliated with the International Federation of Professional and Technical Engineers, Plaintiff - Appellant, v.
03OWEN, in her official capacity as Acting Director of the Executive Office for Immigration Review, Defendant - Appellee.
04(1:20-cv-00731-LMB-JFA) Argued: December 11, 2024 Decided: June 3, 2025 Before HARRIS, HEYTENS and BERNER, Circuit Judges.
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USCA4 Appeal: 23-2235 Doc: 41 Filed: 06/03/2025 Pg: 1 of 32 PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No.
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