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Roark & Hardee LP v. City of Austin, 06-51670 (2008)

Court: Court of Appeals for the Fifth Circuit Number: 06-51670 Visitors: 18
Filed: Apr. 24, 2008
Latest Update: Feb. 21, 2020
Summary: REVISED APRIL 24, 2008 IN THE UNITED STATES COURT OF APPEALS FOR THE FIFTH CIRCUIT United States Court of Appeals Fifth Circuit FILED March 27, 2008 No. 06-51670 Charles R. Fulbruge III Clerk ROARK & HARDEE LP, doing business as Warehouse Saloon & Billiards; PUB DRAUGHT INC., doing business as Lovejoys Tap Room & Brewery; JOSEPH CHIP TAIT; GMC INVESTMENT INC, doing business as Ego’s; CANARY ROOST INC; CANARAY HUT INC; GAIL E JOHNSON; KEEP AUSTIN FREE PAC; TONY SIRGO; EDWARD CHECK; BILL HARDEE Pl
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                 REVISED APRIL 24, 2008
       IN THE UNITED STATES COURT OF APPEALS
                FOR THE FIFTH CIRCUIT   United States Court of Appeals
                                                 Fifth Circuit

                                                                FILED
                                                           March 27, 2008

                             No. 06-51670               Charles R. Fulbruge III
                                                                Clerk

ROARK & HARDEE LP, doing business as Warehouse Saloon & Billiards;
PUB DRAUGHT INC., doing business as Lovejoys Tap Room & Brewery;
JOSEPH CHIP TAIT; GMC INVESTMENT INC, doing business as Ego’s;
CANARY ROOST INC; CANARAY HUT INC; GAIL E JOHNSON; KEEP
AUSTIN FREE PAC; TONY SIRGO; EDWARD CHECK; BILL HARDEE

                                      Plaintiffs - Appellees
v.

CITY OF AUSTIN

                                      Defendant - Appellant
 _____________________________________________________________________

                           Consolidated with


                             No. 07-50441


ROARK & HARDEE LP, doing business as Warehouse Saloon & Billiards;
PUB DRAUGHT INC., doing business as Lovejoys Tap Room & Brewery;
JOSEPH CHIP TAIT; KEEP AUSTIN FREE PAC; TONY SIRGO; EDWARD
CHECK; BILL HARDEE

                                      Plaintiffs - Appellants
v.

CITY OF AUSTIN

                                      Defendant - Appellee
                                     No. 06-51670



                  Appeals from the United States District Court
                    for the Western District of Texas, Austin
                             USDC No. 1:05-CV-837


Before KING, DeMOSS, and SOUTHWICK, Circuit Judges.
KING, Circuit Judge:
        Plaintiffs are owners of stand-alone bars in Austin, Texas. They filed this
action against the City of Austin seeking a declaratory judgment and injunctive
relief relating to the enforcement of Austin’s ordinance prohibiting smoking in
enclosed public places, including bars, restaurants, and workplaces. The district
court     declared   the   “necessary    steps”     provision   of   the   ordinance
unconstitutionally vague on its face and permanently enjoined the City of Austin
from enforcing it. The City of Austin appeals the district court’s judgment and
injunction, arguing that: (1) the case is nonjusticiable because plaintiffs lack
standing and their claims are not ripe; (2) the “necessary steps” provision is not
unconstitutionally vague; and (3) the district court abused its discretion in
permanently enjoining the enforcement of the “necessary steps” provision. Some
plaintiffs have also appealed the district court’s denial of their motion for
attorneys’ fees. Plaintiffs’ appeal has been consolidated with the City of Austin’s
appeal.
        We REVERSE that portion of the district court’s judgment declaring the
“necessary steps” provision of the ordinance unconstitutionally vague, VACATE
the provision of the permanent injunction enjoining enforcement of said
provision, and otherwise AFFIRM the judgment. We also AFFIRM the district
court’s denial of attorneys’ fees.




                                          2
                                            No. 06-51670

                 I. FACTUAL AND PROCEDURAL BACKGROUND
        On May 7, 2005, the citizens of Austin, Texas adopted the “Smoking in
Public Places” ordinance (the “ordinance”) by way of a ballot initiative.1 The
purpose of the ordinance is to protect persons in public places and employees in
their occupational environments from second-hand smoke. The ordinance took
effect on September 1, 2005, and its principal goal is to prohibit smoking in all
“public place[s]” within the City of Austin (the “City”). AUSTIN, TEX., CODE
ch. 10-6.
        The ordinance defines “public place” broadly to include any “enclosed area
to which the public is invited or in which the public is permitted.”2 
Id. § 10-6-
1(6).       This definition includes bars and restaurants and is subject to few
exceptions. See § 10-6-3. The ordinance expands the City’s prior smoking
ordinance, which gave those bars and restaurants with substantial revenue
from the sale of alcoholic beverages the option of obtaining a permit to allow
smoking. The new ordinance abolishes this permit option.



        1
         As the district court pointed out, the fact that the ordinance was enacted via the voter
initiative process placed the City in an unusual posture. The City Charter provides that an
ordinance adopted via initiative cannot be amended or repealed until it has been in effect for
two years. AUSTIN CITY CHARTER, art. IV, § 6. Therefore, the City is in the position of
defending the ordinance “as is” even though the City did not draft or enact it.


        2
            The full definition states:

                  PUBLIC PLACE means an enclosed area to which the public is
                  invited or in which the public is permitted, including but not
                  limited to, banks, bars, educational facilities, health care
                  facilities, laundromats, public transportation facilities, reception
                  areas, restaurants, retail food production and marketing
                  establishments, retail service establishments, retail stores,
                  shopping malls, sports arenas, theaters, and waiting rooms. A
                  private residence is not a “public place” unless it is used as a child
                  care, adult day care, or health care facility.

§ 10-6-1(6).

                                                    3
                                        No. 06-51670

       A violation of the ordinance is a Class C misdemeanor punishable by a
fine, not to exceed $2,000, or by revocation or suspension of the license or permit
of a violating establishment by the city manager.3                  § 10-6-11(A)–(B).       An
individual violates the ordinance by smoking in a public place, § 10-6-2(A),
smoking in a building owned or operated by the City, § 10-6-2(B), or smoking
within fifteen feet of an entrance or openable window of a building in which
smoking is prohibited, § 10-6-2(D). In addition to the restrictions placed on
individuals, the ordinance provides that an owner or operator of a public place
violates the ordinance if he or she “fails to take necessary steps to prevent or stop
another person from smoking in an enclosed area in a public place.” § 10-6-2(E)
(emphasis added). Certain steps—including posting “no smoking” signs and
removing ashtrays—are explicitly set out in the ordinance. § 10-6-8.
       Shortly after the ordinance took effect, the following plaintiffs (collectively,
“Plaintiffs”) filed suit in state court challenging the constitutionality of the
ordinance and seeking a temporary restraining order and a declaratory
judgment: (1) three owners of stand-alone bars in the City—Bill Hardee; Joseph
Chip Tait; and Gail E. Johnson; (2) Hardee’s stand-alone bar—Roark and
Hardee L.P., doing business as Warehouse Saloon and Billiards; (3) Tait’s stand-


       3
           The penalty provision provides:

                VIOLATION AND PENALTY

                (A)    A person who violates the provisions of this chapter commits a
                       Class C misdemeanor, punishable . . . by a fine not to exceed
                       $2,000. A culpable mental state is not required for a violation of
                       this chapter, and need not be proved.

                (B)    The city manager may suspend or revoke a permit or license
                       issued to the operator of a public place or workplace where a
                       violation of this chapter occurs.

                (C)    Each day an offense occurs is a separate violation.

§ 10-6-11.

                                               4
                                       No. 06-51670

alone bar—Pub Draught Inc., doing business as Lovejoys Tap Room and
Brewery; (4) Johnson’s stand-alone bars— GMC Investment Inc., doing business
as Ego’s; Canary Roost Inc.; and Canary Hut Inc.; (5) an organization of bars
fighting the citizen initiative, KEEP AUSTIN FREE PAC; and (6) a couple of
concerned citizens, Tony Sirgo and Edward Check.4 Plaintiffs alleged that the
ordinance violated the First, Fourth, and Fourteenth Amendments, the
Supremacy Clause, a number of federal statutes, as well as the Texas State
Constitution, Texas statutes, and the Austin City Charter.                        The City
subsequently removed the case to federal district court.
       On October 11, 2005, the district court held an evidentiary hearing on
Plaintiffs’ motion for a preliminary injunction.             Plaintiffs’ primary attack
challenged the ordinance as “unconstitutionally vague on its face because it is
so indefinite that it does not give fair notice as to what conduct is prohibited and
lacks explicit standards for enforcement.” Roark & Hardee L.P. v. City of Austin,
394 F. Supp. 2d 911
, 916 (W.D. Tex. 2005). The district court ruled that
Plaintiffs did not have a likelihood of success on the merits with regard to their
vagueness, First Amendment, or overbreadth challenges.                     
Id. at 916–19.
However, the district court did enjoin two aspects of the penalty section of the
ordinance. First, the district court concluded that the provision of the ordinance
allowing the city manager to suspend or revoke the licenses or permits of “public
places” violated the Due Process Clause of the Fourteenth Amendment and
enjoined that provision to the extent that the City did not provide “expeditious
judicial review.”5 
Id. at 921.
Second, the district court enjoined the City from




       4
        When the suit was initiated, more plaintiffs were joined, but by the time of the trial
and judgment, Plaintiffs, listed above, were the only ones remaining.
       5
         The only type of permits or licenses the City Manager has authority to suspend are
those issued by the City. Roark & Hardee 
L.P., 394 F. Supp. 2d at 921
n.11.

                                              5
                                         No. 06-51670

seeking fines of more than $500 under § 10-6-11, so that the ordinance was in
compliance with Texas Penal Code § 6.02(f).6 
Id. at 919–20
& n.9.
       This preliminary injunction hearing was followed by a trial on the merits
almost a year later on August 17, 2006. By that time, the posture of the
litigation had undergone a significant change. The City had sent notices of
violation and filed charges, which were still pending in municipal court, against
two Plaintiff bar owners, Bill Hardee and Gail E. Johnson, for failing to take the
“necessary steps” to prevent or stop another person from smoking in their bars,
Roark and Hardee L.P., doing business as Warehouse Saloon and Billiards,
Canary Hut, and Canary Roost. The remaining Plaintiff owners and bars,
Joseph Chip Tait; Pub Draught, Inc., doing business as Lovejoys Tap Room and
Brewery; and GMC Investment Inc., doing business as Ego’s, had not been cited.
       At trial, Plaintiffs focused their attack on the words “necessary steps” in
§ 10-6-2(E) of the ordinance.            The City presented evidence that since the
ordinance’s passage, the City’s Health and Human Services Department, the
department charged under the statute with enforcement, see § 10-6-10(D), had
enacted two sets of guidelines to provide clarification of the “necessary steps”
provision. The first set of guidelines provided: “Necessary steps include no
smoking signs, absence of ash trays, asking the patron to stop smoking, asking
the patron to leave the establishment if they refuse to stop smoking and
following your standard business practices for enforcing house rules.” After
receiving requests for more clarification, the second set of guidelines was
released, which added the step of refusing service to a person who is smoking.7


       6
         Section 6.02(f) was enacted at the same time as the ordinance and provides that a
municipal ordinance “may not dispense with the requirement of a culpable mental state if the
offense is punishable by a fine exceeding [$500].” TEX. PEN. CODE § 6.02(f).
       7
           The second set of guidelines issued to Plaintiff bar owners on March 9, 2006, state:

       SMOKING IN PUBLIC PLACES ORDINANCE No. 050303-05. Frequently

                                                6
                                        No. 06-51670

       The district court found that the issuance of these two additional sets of
guidelines weighed in favor of finding the ordinance vague. Roark & Hardee
L.P. v. City of Austin, No. A-05-CA-837-SS, 
2006 WL 2854399
, at *4 (W.D. Tex.
Oct. 4, 2006) (“The fact that the guidelines regarding ‘necessary steps’ are
subject to change over time indicates that the term ‘necessary steps’ is vague and
is not controlled by any discernible, explicit standard.”). What the district court
found “[e]ven more troubling” than the guidelines issued by the City was that
“the five steps under the guidelines are not exclusive and that following all of the
guidelines does not create a safe harbor from liability for business owners and
operators.” 
Id. The district
court held that the City could not provide “definitive
guidance to business owners and operators about how they might avoid liability
under the ordinance” or the precise actions required of business owners to satisfy
the “necessary steps” standard and avoid prosecution. 
Id. at *5.
Because the
City had not provided business owners with clear guidance beyond the two
actions specifically mentioned in the ordinance—posting no smoking signs and
removing all ashtrays—the district court found the “necessary steps” provision
of the ordinance facially vague and consequently unconstitutional.8 
Id. at *5–6.

       Asked Questions.

       After receiving requests for clarification, the City issued “further guidance” to
       business owner/operators which provided a “progressive enforcement process”
       for businesses to comply with the ordinance:

              1. Post no-smoking signs and remove all ashtrays.
              2. Verbally ask a patron who is smoking to extinguish the
              cigarette, cigar, smoking apparatus, etc. (Sign interpretation or
              in written form for the hearing impaired)
              3. Refuse service to a person who is smoking.
              4. Verbally ask anyone smoking to leave the premises. (Sign
              interpretation or in written form for the hearing impaired)
              5. Apply standard business procedures in the same manner for
              violations of house rules or local ordinances or state laws.
       8
        In addition, the district court addressed and denied Plaintiffs’ other claims, which have
not been raised on appeal. Specifically, the district court rejected Plaintiffs’: (1) allegations

                                               7
                                         No. 06-51670

       After the trial, the district court entered a judgment granting Plaintiffs a
permanent injunction in three respects: (1) enjoining the City from enforcing the
“necessary steps” provision against owners and operators of public places beyond
the two steps of posting no smoking signs and removing ashtrays; (2) enjoining
the City from suspending or revoking any city permits or licenses without
providing “expeditious judicial review”; and (3) enjoining the City from imposing
fines under the ordinance that violate Texas Penal Code § 6.02(f) by exceeding
$500. 
Id. at *10.
Following entry of the judgment, Plaintiffs sought an award
of attorneys’ fees pursuant to 28 U.S.C. § 1988, as a “prevailing party” in the
litigation. The district court denied the motion. The City filed a timely notice
of appeal challenging the district court’s grant of permanent injunctive relief.
Subsequently, a few Plaintiffs—Roark and Hardee L.P., doing business as
Warehouse Saloon & Billiards; Pub Draught Inc., doing business as Lovejoys
Tap Room and Brewery; Joseph Chip Tait; KEEP AUSTIN FREE PAC; Tony
Sirgo; Edward Check; and Bill Hardee—filed a cross-appeal arguing that the
district court abused its discretion in denying the motion for attorneys’ fees.
                                     II. DISCUSSION
                                 A. Standing and Ripeness
       The City first argues that this case is nonjusticiable because Plaintiffs lack
standing and their claims are not ripe for adjudication. Thus, before considering
the merits of this appeal, we must answer the threshold question whether
Plaintiffs “present[] an ‘actual controversy,’ a requirement imposed by Art. III
of the Constitution and the express terms of the Federal Declaratory Judgment



that the terms “smoking” and “smoking accessory” in the ordinance were vague, 
id. at *6;
(2)
argument that their equal protection rights had been violated because the City admittedly
enforced the ordinance against businesses but not against individuals, 
id. at *7;
and (3) First
Amendment and overbreadth claims, 
id. at *8.
Finally, the district court found “that any of
Plaintiffs’ remaining claims for relief not specifically addressed herein fail as a matter of law.”
Id. at *9.
                                                8
                                   No. 06-51670

Act, 28 U.S.C. § 2201.” Steffel v. Thompson, 
415 U.S. 452
, 458 (1974). The many
doctrines that have fleshed out that “actual controversy” requirement—standing,
mootness, ripeness, political question, and the like—are “founded in concern
about the proper—and properly limited—role of the courts in a democratic
society.” Allen v. Wright, 
468 U.S. 737
, 750 (1984) (quoting Warth v. Seldin, 
422 U.S. 490
, 498 (1975)). These “doctrines state fundamental limits on federal
judicial power in our system of government.” 
Id. As such,
we review all
justiciability issues, including standing and ripeness, de novo.            Ctr. for
Individual Freedom v. Carmouche, 
449 F.3d 655
, 659 (5th Cir. 2006) (citing
Bissonet Invs., L.L.C. v. Quinlan, 
320 F.3d 520
, 522 (5th Cir. 2003); Sample v.
Morrison, 
406 F.3d 310
, 312 (5th Cir. 2005)).
      The “essence” of standing is “whether the litigant is entitled to have the
court decide the merits of the dispute or of particular issues.” 
Warth, 422 U.S. at 498
. In order to have standing, a plaintiff must “allege personal injury fairly
traceable to the defendant’s allegedly unlawful conduct and likely to be
redressed by the requested relief.” 
Allen, 468 U.S. at 751
(citing Valley Forge
Christian College v. Ams. United for Separation of Church & State, Inc., 
454 U.S. 464
, 472 (1982)). Although the question of standing is one of degree and is “not
discernible by any precise test,” Babbitt v. United Farm Workers Nat’l Union,
442 U.S. 289
, 297 (1979), federal courts have established the following elements
that “a plaintiff must show: (1) it has suffered, or imminently will suffer, a
concrete and particularized injury-in-fact; (2) the injury is fairly traceable to the
defendant’s conduct; and (3) a favorable judgment is likely to redress the injury.”
Houston Chronicle Publ’g Co. v. City of League City, Tex., 
488 F.3d 613
, 617 (5th
Cir. 2007) (citation omitted). Moreover, a “plaintiff can meet the standing
requirements when suit is brought under the Declaratory Judgment Act, 28
U.S.C. §§ 2201–02, by establishing ‘actual present harm or a significant
possibility of future harm.’” Bauer v. Texas, 
341 F.3d 352
, 357–58 (5th Cir. 2003)

                                         9
                                   No. 06-51670

(quoting Peoples Rights Org. v. City of Columbus, 
152 F.3d 522
, 527 (6th Cir.
1998)).
      The City argues that Plaintiffs do not have standing because they have not
suffered a particularized injury-in-fact. With regard to the penalty provisions
of the ordinance, the City claims that Plaintiffs “cannot show . . . that a fine in
excess of $500 has been sought against them or that the City has threatened to
suspend or revoke any license or permit.” The City further maintains that
although some Plaintiffs were prosecuted under the ordinance, those
prosecutions were for clear violations explicitly provided in either the ordinance
itself or its concomitant guidelines, and thus Plaintiffs have not been injured by
an application of the challenged “necessary steps” provision. According to the
City, the issues raised by Plaintiffs would be more properly addressed in the
normal course of their individual prosecutions under the ordinance.
      The injury-in-fact element requires that a plaintiff show that he or she
“‘has sustained or is immediately in danger of sustaining some direct injury’ as
the result of the challenged official conduct and the injury or threat of injury
must be both ‘real and immediate,’ not ‘conjectural or hypothetical.’” City of Los
Angeles v. Lyons, 
461 U.S. 95
, 102 (1983) (emphasis added and citations
omitted); see 
Allen, 468 U.S. at 751
(“The injury alleged must be . . . distinct and
palpable . . . and not abstract or conjectural or hypothetical.”) (internal citations
and quotations omitted).
      When Plaintiffs brought suit for declaratory and injunctive relief, the
ordinance had been in effect for approximately two weeks, and the City had not
noticed or charged any Plaintiffs for violations. However, the City’s admitted
enforcement strategy is to use a complaint-driven scheme, whereby inspectors
investigate violations after reports are made to the City’s Health and Human
Services Department, and the City follows-up with notices of violation and
charges in municipal court. According to the City, the bars, restaurants, and

                                         10
                                       No. 06-51670

other enclosed public places to which the ordinance applies have control over
their respective environments, and thus noticing and prosecuting them, rather
than individual smokers, for violations is the most efficient and best use of the
City’s resources. Therefore, from the ordinance’s effective date, City inspectors
were targeting Plaintiff bar owners. Further, the injuries resulting from a
criminal prosecution for violating the “necessary steps” provision, which
Plaintiffs contend is unconstitutionally vague, and from being liable for its
penalties, which Plaintiffs allege violate procedural due process and state law,
were real and immediate threats.
       Moreover, as this case progressed, the threat of enforcement became real
as some Plaintiffs actually were noticed for violations and charged under the
ordinance. Although the City claims that these prosecutions were not for
violations of the “necessary steps” provision of the ordinance, an assertion
contested by Plaintiffs,9 nowhere in the record does the City suggest that it will
refrain from enforcing the “necessary steps” provision against Plaintiffs. Rather,
the City continues to publish guidelines explaining the “necessary steps,” a clear
indication that the City is intent on enforcing this section. Additionally, even if
the City has resisted enforcing the $2,000 fine against Plaintiffs and revoking
Plaintiff bar owners’ licenses or permits at this stage, the City may seek to
enforce these penalties later.10 This circuit has recognized that a party has

       9
         All the complaints produced at trial specifically allege that the owner or operator
“knowingly fail[ed] to take necessary steps to prevent or stop another person from smoking in
an enclosed area in a public place.” (Emphasis added).
       10
          The City’s restraint likely stemmed from the district court’s preliminary injunction,
which temporarily enjoined said enforcement provisions starting before any Plaintiffs were
cited, and lasting until the permanent injunction replaced it. If we look to the first set of
guidelines, issued before Plaintiffs initiated this case, the City stated in response to a
frequently asked question regarding the consequences of a violation that “[c]ontinued
violations will be cause for enforcement action through the City of Austin Municipal Court” and
that “[t]he Violations and Penalties are set forth in the new code.” Notably, lacking any
limiting instruction, the guidelines imply that the City intended from the beginning to enforce
all the penalties under the ordinance.

                                              11
                                         No. 06-51670

standing when it has faced prosecution under a criminal ordinance in the past
and faces the real possibility of prosecution in the future. Reed v. Giarusso, 
462 F.2d 706
, 710–11 (5th Cir. 1972). We conclude that because some Plaintiff bar
owners have been charged under the ordinance and all Plaintiff bar owners face
the real potential of immediate criminal prosecution, they have standing to bring
their claims. See Diamond v. Charles, 
476 U.S. 54
, 64 (1986) (noting that a
“conflict between state officials empowered to enforce a law and private parties
subject to prosecution under that law is a classic ‘case’ or ‘controversy’ within the
meaning of Art. III”); see also Hejira Corp. v. MacFarlane, 
660 F.2d 1356
, 1360
(10th Cir. 1981) (finding the existence of a case or controversy under Article III
because the plaintiffs faced “real and genuine threats of prosecution” under the
Colorado Drug Paraphernalia statute, although no criminal prosecution had
commenced as a result of its enforcement).
       The causation and redressability requirements for standing are satisfied
as well. The significant threat of prosecution that Plaintiff bar owners face is
directly traceable to the City’s intention to enforce the ordinance against them,
and a judicial invalidation of the ordinance would give Plaintiffs direct relief
from being prosecuted.11
       Even though Plaintiff bar owners have standing, their claims also must
be ripe for adjudication. The Supreme Court has stated that the “ripeness
doctrine is drawn both from Article III limitations on judicial power and from
prudential reasons for refusing to exercise jurisdiction.” Reno v. Catholic Social
Servs., Inc., 
509 U.S. 43
, 57 n.18 (1993) (citing Buckley v. Valeo, 
424 U.S. 1
, 114


       11
           Inasmuch as Plaintiff bar owners have standing, the question whether the other
Plaintiffs have standing is, under the circumstances here, of no consequence. See Rumsfeld
v. Forum for Academic & Institutional Rights, Inc., 
547 U.S. 47
, 52 n.2 (2006) (“[T]he presence
of one party with standing is sufficient to satisfy Article III’s case-or-controversy requirement.”)
(citing Bowsher v. Synar, 
478 U.S. 714
, 721 (1986)). The claims asserted by the non-bar-owner
Plaintiffs were not addressed by the district court, and the failure to address those claims is
not appealed.

                                                12
                                       No. 06-51670

(1976) (per curiam)). But, “[e]ven when a ripeness question in a particular case
is prudential, we may raise it on our own motion, and ‘cannot be bound by the
wishes of the parties.’” 
Id. (citing Reg’l
Rail Reorganization Act Cases, 
419 U.S. 102
, 138 (1974)). The “basic rationale [behind the ripeness doctrine] is to
prevent the courts, through avoidance of premature adjudication, from
entangling themselves in abstract disagreements.” Abbott Labs. v. Gardner, 
387 U.S. 136
, 148 (1967).12 For these reasons, a ripeness inquiry is often required
when a party is seeking pre-enforcement review of a law or regulation. See, e.g.,
Poe v. Ullman, 
367 U.S. 497
(1961); Lake Carriers’ Ass’n v. MacMullan, 
406 U.S. 498
(1972).
       When this case was initiated, all Plaintiffs were seeking pre-enforcement
review. By the time of trial, Plaintiffs Hardee and Johnson had received
criminal citations under the ordinance for failing to take the “necessary steps to
prevent or stop smoking” in their establishments. Although the municipal court
had not fully adjudicated the complaints against Plaintiffs Hardee and Johnson
when trial commenced in this case, a concrete dispute had formed, thus avoiding
the risk of premature review. Therefore, the issue whether Plaintiffs Hardee’s
and Johnson’s void-for-vagueness claims were initially ripe for review has been
mooted by the change in posture of the litigation at the time of trial and appeal.
See Reg’l Rail Reorganization Act 
Cases, 419 U.S. at 102
(“[S]ince ripeness is
peculiarly a question of timing, it is the situation now rather than the situation
at the time of the District Court’s decision that must govern.”). However, the
remaining Plaintiff bar owners have not been cited, and the City has not



       12
          “While standing is concerned with who is a proper party to litigate a particular
matter, ripeness . . . determine[s] when that litigation may occur. Specifically, the ripeness
doctrine seeks to separate matters that are premature for review because the injury is
speculative and may never occur, from those cases that are appropriate for federal court
action.” ERWIN CHEMERINSKEY, FEDERAL JURISDICTION § 2.4.1 (5th ed. 2007) (emphasis
added).

                                             13
                                   No. 06-51670

enforced the challenged fine or license revocation penalties against any Plaintiff.
Thus, a ripeness inquiry is still necessary.
      “A court should dismiss a case for lack of ‘ripeness’ when the case is
abstract or hypothetical.” Monk v. Huston, 
340 F.3d 279
, 282 (5th Cir. 2003)
(quoting New Orleans Pub. Serv., Inc. v. Council of New Orleans, 
833 F.2d 583
,
586 (5th Cir.1987)).     The Supreme Court has expounded that “[t]he key
considerations [for ripeness] are the fitness of the issues for judicial decision and
the hardship to the parties of withholding court consideration.” 
Id. (citing Abbott
Labs., 387 U.S. at 149
) (internal quotation omitted). “A case is generally
ripe if any remaining questions are purely legal ones; conversely, a case is not
ripe if further factual development is required.” 
Id. Yet, “even
where an issue
presents purely legal questions, the plaintiff must show some hardship in order
to establish ripeness.” Cent. & Sw. Servs. v. E.P.A., 
220 F.3d 683
, 690 (5th Cir.
2000).
      The City argues the case is not ripe because Plaintiffs have not shown
hardship or that the case is fit for adjudication. Specifically, the City contends
pre-enforcement review is unnecessary because complying with the ordinance
would not affect the exercise of Plaintiffs’ First Amendment or fundamental
constitutional rights or cause economic injury or other significant harm.
Further, the City asserts that Plaintiffs’ case for injunctive relief required
additional factual development, rather than relying on the hypothetical facts
upon which the district court based its decision.
      Looking first at the element of hardship, we find that all Plaintiff bars and
owners would suffer hardship were we to deny review. “[W]here a regulation
requires an immediate and significant change in the plaintiffs’ conduct of their
affairs with serious penalties attached to noncompliance, hardship has been
demonstrated.” Suitum v. Tahoe Reg’l Planning Agency, 
520 U.S. 725
, 743–44
(1997) (citing Abbott 
Labs., 387 U.S. at 153
). Plaintiffs have alleged that the

                                         14
                                         No. 06-51670

“necessary steps” provision of the ordinance is unconstitutionally vague on its
face because it does not provide fair notice of what conduct is proscribed and
thus allows for arbitrary enforcement. Plaintiffs assert that, at their own risk,
they must guess the requirements of the “necessary steps” provision and then
implement those mandates daily to avoid a violation. Their failure correctly to
ascertain and implement that which is demanded under the ordinance will
subject them to heavy fines of up to $2,000 per day and possible revocation of
their licenses and permits issued by the City without judicial review.13 In
addition, testimony of a City official at trial revealed that a single municipal
conviction may precipitate the revocation of an establishment’s liquor license.
See TEX ADMIN. CODE § 35.31(c)(16); TEX. ALCO. BEV. CODE §§ 11.61(b)(7),
104.01(8). Because Plaintiffs have shown the real possibility of irremediable
adverse consequences were we to deny review, Plaintiffs have shown hardship.14

       13
         At the time of trial, Plaintiff Johnson already had five complaints filed against him
in municipal court. Depending on the outcome and fine applied in each case, these stand-alone
bars could face heavy financial burdens, along with multiple criminal convictions.
       14
           Plaintiffs point to the peculiarities of state court review of convictions under the
ordinance. Prosecutions under the ordinance are brought in the City of Austin Municipal
Court, a court of limited jurisdiction over criminal cases. See TEX. GOV’T CODE ANN. §§ 29.003,
30.00005 (West 2007). Although a municipal judge could dismiss a criminal case on
constitutional grounds, she could not issue declaratory or injunctive relief that would prevent
the refiling of the case or of similar cases. See State v. Morales, 
869 S.W.2d 941
, 942 (Tex.
1994) (explaining the state’s bifurcated system of civil and criminal jurisdiction and that a civil
court has equity jurisdiction to declare constitutionally invalid and enjoin the enforcement of
a criminal statute). If a person convicted for violating the ordinance is fined $100 or less, his
right of appeal of a constitutional issue ends with the county court. See Alexander v. State,
240 S.W.3d 72
, 75–76 (Tex. App.—Austin 2007, no pet. h.) (holding that the defendant who
was convicted in a municipal court of record and fined $100 or less, and whose conviction was
affirmed by the county court at law, could not appeal to the Court of Appeals to challenge the
constitutionality of the city’s smoking ordinance on which his conviction was based). We note
that the defendant bar owner who was appealing his conviction under the smoking ordinance
in Alexander v. State had tried to intervene in this case, but was denied intervention on the
basis of Younger abstention because the charges against him were already pending when he
tried to enter the suit. Because the evidence of hardship 
described supra
is more than
adequate to support our conclusion that the case is ripe for adjudication, we do not address the
alleged hardship component of the state court review procedures.


                                               15
                                   No. 06-51670

See Toilet Goods Ass’n v. Gardner, 
387 U.S. 158
, 164–65 (1967) (finding minimal
present harm to denying review where the challenged regulation required no
advance action on the part of petitioners and no irremediable adverse
consequences, such as “heavy fines,” “adverse publicity,” or “possible criminal
liability”).
       Turning our attention to the second ripeness element, we consider whether
the facts of Plaintiffs’ claims are fit for review. Plaintiffs challenged the penalty
provision, permitting a fine of up to $2,000, for being in violation of the Texas
Penal Code, and the enforcement provision, giving the city manager discretion
to revoke permits and licenses, for failing to provide procedural due process. To
determine the merits of both of those claims, no further factual development is
necessary, as they are both purely legal inquiries in the context of this case.
Consequently, they are ripe.
       Now, the only remaining issue is whether Plaintiffs’ primary claim, that
the ordinance is unconstitutionally vague on its face, is fit for review. Many
times void-for-vagueness challenges are successfully made when laws have the
capacity “to chill constitutionally protected conduct, especially conduct protected
by the First Amendment.” United States v. Gaudreau, 
860 F.2d 357
, 360 (10th
Cir. 1988); see, e.g., Coates v. City of Cincinnati, 
402 U.S. 611
, 615–16 (1971);
Colautti v. Franklin, 
439 U.S. 379
, 390–91 (1979). Nevertheless, laws that do
not threaten to infringe constitutionally protected conduct also may be
challenged facially as unduly vague, in violation of due process. Village of
Hoffman Estates v. Flipside, Hoffman Estates, Inc., 
455 U.S. 489
, 497 (1982). In
the latter scenario,“the complainant must demonstrate that the law is
impermissibly vague in all of its applications.” 
Id. In undertaking
that analysis,
however, a reviewing court should “examine the complainant’s conduct before
analyzing other hypothetical applications of the law” because “[a] plaintiff who
engages in some conduct that is clearly proscribed cannot complain of the

                                         16
                                        No. 06-51670

vagueness of the law as applied to the conduct of others.” 
Id. (emphasis added);
see also United States v. Mazurie, 
419 U.S. 544
, 550 (1975) (“[V]agueness
challenges to statutes which do not involve First Amendment freedoms must be
examined in the light of the facts of the case at hand.”).
       Here, we are wrestling with the second scenario as the ordinance does not
threaten to inhibit any constitutionally protected conduct.15 In the context of
pre-enforcement review, which is still the case for the uncharged Plaintiff bar
owners, examining facial vagueness is often difficult, perhaps impossible,
because facts are generally scarce. However, in this case, both Plaintiffs Hardee
and Johnson had been issued multiple notices of violation and charged for
violating the ordinance prior to the evidentiary hearing.                        Due to this
development, the evidence adduced at trial provided an adequate record of the
ordinance’s operation and particularized harmful effect on all Plaintiff bars and
owners to permit a determination of whether the “necessary steps” provision is
impermissibly vague in all its applications. Compare Socialist Labor Party v.
Gilligan, 
406 U.S. 583
, 587–88 (1972) (determining constitutional and void-for-
vagueness claims were unfit for review because of the skimpy factual record:
very little was known about the operation of the challenged affidavit
requirement and its potential effect on claimants). Accordingly, we may review
the vagueness challenge in light of the conduct of the charged Plaintiffs, Hardee
and Johnson, to determine first if at least some of their conduct is clearly
proscribed by the “necessary steps” provision. If that inquiry is answered
affirmatively, it must be the case that neither the charged nor the uncharged
Plaintiffs can prove that the statute is impermissibly vague in all of its
applications because it has been validly applied to Johnson and Hardee.

       15
          Plaintiffs have failed to provide sufficient evidence that the ordinance threatens to
inhibit constitutionally protected conduct. Although ripeness is a justiciability issue, typically
a pre-merits inquiry, in ascertaining whether there is an adequate factual record, we must
consider, to some extent, the merits.

                                               17
                                   No. 06-51670

However, if that inquiry is answered negatively, we must further examine other
hypothetical applications of the “necessary steps” provision to determine
whether it is impermissibly vague in all its applications.
                         B. Facial Vagueness Challenge
      Tasked with the difficult challenge of considering facial vagueness, the
district court evaluated: (1) whether the ordinance’s “necessary steps” provision
provided fair notice that would enable ordinary people to understand the conduct
prohibited; and (2) whether it authorized and encouraged arbitrary enforcement.
See United States v. Escalante, 
239 F.3d 678
, 680 (5th Cir. 2001) (citing City of
Chicago v. Morales, 
527 U.S. 41
, 56 (1999) (plurality)). In holding that the City’s
“necessary steps” provision failed to satisfy this test, the court noted that neither
the ordinance nor the guidelines contained an exclusive list or safe harbor
provision, and that the guidelines were subject to amendment and differing
interpretations. The district court’s decision was greatly influenced by City
officials who could not detail the steps that a business would have to implement
to satisfy the “necessary steps” requirement under certain hypothetical fact
scenarios.
      The City asserts that the district court erred in its overall analysis of facial
vagueness. The City argues that even though the district court applied the
aforementioned test, albeit erroneously, it failed to consider the complete legal
test for facial vagueness. Specifically, the City notes that this court and others
have previously provided, in cases involving no constitutionally-protected
conduct, that “[a] facial challenge to a legislative Act is, of course, the most
difficult challenge to mount successfully, since the challenger must establish that
no set of circumstances exists under which the Act would be valid.” United States
v. Robinson, 
367 F.3d 278
, 290 (5th Cir. 2004) (emphasis added) (quoting United
States v. Salerno, 
481 U.S. 739
, 745 (1987)). The City maintains that the
ordinance is valid in many of its applications, and thus Plaintiffs cannot carry

                                         18
                                 No. 06-51670

their burden. The City further contends that the “necessary steps” provision
should be given its common, ordinary meaning and argues that owners and
operators of bars are sufficiently capable of employing their experience and
common sense to interpret their duties under the law to prohibit smoking in
their establishments. See Steffes v. City of Lawrence, 
160 P.3d 843
, 852 (Kan.
2007) (holding that business owners must take enforcement efforts to prevent
smoking in their establishments and that “common understanding and practice
play a large role” in determining whether a business has complied with the
ordinance).
      Plaintiffs argue that the “necessary steps” provision establishes no
standard at all. In fact, they contend, that it is a “tautology.” According to
Plaintiffs, the “ever-changing” guidelines are non-binding and thus fail to cure
the vagueness of the “necessary steps” standard.
      At a threshold level, Plaintiffs confront a heavy burden in advancing a
facial constitutional challenge to an ordinance. See Nat’l Endowment for the Arts
v. Finley, 
524 U.S. 569
, 580 (1998) (“Facial invalidation is, manifestly, strong
medicine that has been employed by the Court sparingly and only as a last
resort.”) (internal quotation omitted); Sabri v. United States, 
541 U.S. 600
, 609
(2004) (“Facial adjudication carries too much promise of ‘premature
interpretatio[n] of statutes’ on the basis of factually barebones records.”)
(quoting United States v. Raines, 
362 U.S. 17
, 22 (1960)). For the reasons stated
below, we agree with the City and conclude that Plaintiffs have fallen short of
meeting this heavy burden.
      As previously noted, in Village of Hoffman Estates the Supreme Court
announced the proper procedure for analyzing a facial vagueness 
challenge. 455 U.S. at 494
–95. To begin, the court must consider whether the ordinance
reaches a substantial amount of constitutionally protected conduct. 
Id. at 494.
“[A]ssuming the enactment implicates no constitutionally protected conduct, [a

                                       19
                                     No. 06-51670

court] should uphold the challenge only if the enactment is impermissibly vague
in all of its applications.” 
Id. at 494–95.
However, “[a] plaintiff who engages in
some conduct that is clearly proscribed cannot complain of the vagueness of the
law as applied to the conduct of others.” 
Id. (emphasis added).
Thus, the
complainant’s conduct should be analyzed before the court considers other
hypothetical applications of the law. 
Id. at 495.
      In Plaintiffs’ Amended Complaint, which was the live pleading at trial,
they alleged, as the district court styled it, “everything-but-the-kitchen-sink.”
With respect to many of the allegations, Plaintiffs failed to provide useful
evidence at either the preliminary injunction or trial stages. Thus, the district
court summarily dismissed most of Plaintiffs’ claims and, in the end, only
granted Plaintiffs relief on their facial vagueness challenge to the “necessary
steps” provision of the ordinance, as well as their two penalty provision issues.
The City appealed the district court’s judgment on the vagueness claim.
Plaintiffs cross-appealed, arguing only that the district court abused its
discretion in denying them attorneys’ fees. Significantly, Plaintiffs did not
appeal any of their constitutional claims; however, they attempt to resurrect
them in their appellee briefs in urging this court to apply a stricter void-for-
vagueness test because constitutionally protected conduct is at issue. Although
a timely notice of appeal is a prerequisite for the exercise of our jurisdiction, U.S.
v. Carr, 
979 F.2d 51
, 55 (5th Cir. 1992), to the extent that the Village of Hoffman
Estates test requires consideration of whether the ordinance reaches
constitutionally protected conduct, we will consider Plaintiffs’ arguments that
were properly raised before and decided by the district court, namely, the
allegations regarding their First Amendment interest to be free of compelled
speech and their liberty interest in the pursuit of the profession of one’s choice.16

      16
         Plaintiffs’ argument that the ordinance violates their Fifth Amendment interest in
avoiding self-incrimination was excluded from Plaintiffs’ Amended Complaint. Thus, even the

                                            20
                                       No. 06-51670

       Plaintiffs assert that the ordinance violates their First Amendment right
to be free from compelled speech. In particular, Plaintiffs allege that the
guidelines compel them to speak against their will by mandating verbal
confrontation with their patrons—verbally requesting them to stop smoking and
to leave the premises. The district court rejected this argument in both the
preliminary injunction order and its final judgment due to Plaintiffs’ failure to
provide useful evidence on the issue. We agree.
       Recently in Rumsfeld v. Forum for Academic and Institutional Rights, Inc.
(“FAIR”), 
547 U.S. 47
, 60 (2006), the Supreme Court upheld the Solomon
Amendment, a congressional regulation that denies federal funding to
institutions of higher education that prohibit military access to and assistance
for recruiting services, against a challenge brought by an association of law
schools that it unconstitutionally compelled their speech.                  The Court first
explained that “[a]s a general matter, the [statute] regulates conduct, not
speech” and that the “[l]aw schools remain free . . . to express whatever views
they have on” the mandated policy. 
Id. The Court
further noted that “[t]he
compelled speech to which the law schools point[—sending emails and posting
notices on behalf of the military—] is plainly incidental to [that] regulation of
conduct.” 
Id. at 62
(emphasis added). And finally, in rejecting the claim, the
Court stated that the law schools’ suggestion that the “compelled” emails and
notices were similar to “forcing a student to pledge allegiance,” see W. Virginia
Bd. of Ed. v. Barnette, 
319 U.S. 624
, 642 (1943), “or forcing a Jehovah’s Witness




district court’s determination that all remaining claims fail as a matter of law did not dispose
of this argument, and it is waived on appeal. See Harris County, Tex. v. CarMax Auto
Superstores, Inc., 
177 F.3d 306
, 326 (5th Cir. 1999) (“Typically we will not consider on appeal
matters not presented to the trial court.”) (citation omitted). Even if we were to review this
claim, it would fail, as a matter of law, because Plaintiffs provide no useful evidence on the
issue.

                                              21
                                       No. 06-51670

to display the motto ‘Live Free or Die,’” see Wooley v. Maynard, 
430 U.S. 705
, 717
(1977), “trivializes the freedom protected” in those cases. 
FAIR, 547 U.S. at 62
.
       Similarly, we find that Plaintiffs’ contention here, that the ordinance
unconstitutionally compels their speech, trivializes the freedom protected in
Barnette and Wooley. The ordinance’s goal is to prohibit smoking in enclosed
public places in order to protect the City’s population from the harmful effects
of second-hand smoke. To achieve that goal, the ordinance requires Plaintiffs to
take the “necessary steps” to stop another person from smoking. Thus, as a
general matter, the ordinance regulates Plaintiffs’ conduct, not speech. Plaintiff
bar owners and their employees remain free to express whatever views they
have on the ordinance. And, although the amended guidelines call for Plaintiffs
to “verbally” request smokers to extinguish cigarettes or leave the premises, this
speech is plainly incidental to the ordinance’s regulation of conduct. After all,
the guidelines were amended to include these verbal requirements only after
Plaintiffs “allegedly” experienced difficulty in implementing the ordinance.17 Cf.
Giboney v. Empire Storage & Ice Co., 
336 U.S. 490
, 502 (1949) (“[I]t has never
been deemed an abridgment of freedom of speech or press to make a course of
conduct illegal merely because the conduct was in part initiated, evidenced, or
carried out by means of language, either spoken, written or printed.”). In short,
we conclude the ordinance does not threaten to affect Plaintiffs’ First
Amendment right to be free from compelled speech. See Dutchess/Putnam Rest.
& Tavern Ass’n, Inc. v. Putnam County Dep’t of Health, 
178 F. Supp. 2d 396
,
405–06 (S.D.N.Y. 2001) (rejecting a First Amendment challenge to a smoking
regulation’s requirement of posting no smoking signs or symbols); cf. Players,



       17
         Testimony at trial revealed that some Plaintiffs were trying to skirt the ordinance’s
obligation to enforce the smoking ban in their establishments by allowing smokers to continue
smoking as long as they signed forms acknowledging that the bar owners asked them to quit
smoking and to leave the premises, when that was not, in fact, the case.

                                             22
                                     No. 06-51670

Inc. v. City of New York, 
371 F. Supp. 2d 522
, 543 (S.D.N.Y. 2005) (finding
smoking bans not to be overbroad because they are “entirely targeted at
conduct—the act of smoking in certain places—rather than at speech,
association, or assembly”).18
      Plaintiffs further contend that the vagueness of the “necessary steps”
provision permits unreasonable government interference in the operation of
their businesses, a protected liberty interest. As support for this proposition,
Plaintiffs invoke Stidham v. Texas Commission on Private Security, 
418 F.3d 486
(5th Cir. 2005). In that case, the plaintiff claimed that the unauthorized and
threatening letters that were sent to his customers by the investigators for the
Texas Commission on Private Security, who were seeking qualified immunity in
the suit, amounted to a declaration that the plaintiff was guilty before he was
tried. 
Id. at 490.
Those letters indicated that the plaintiff, whose business
provided motorcycle escorts for funeral services, was operating without a
required license, and, as such, those who knowingly contracted with him would
be committing a misdemeanor offense. 
Id. at 488–89.
The plaintiff averred that
the letters effectively destroyed his business. 
Id. at 490.
Applying the test for
qualified immunity, we “confirmed the principle that one has a constitutionally
protected liberty interest in pursuing a chosen occupation” and found the
investigators’ behavior in sending the unauthorized letters unreasonably
interfered with that interest.       
Id. at 491
(citation omitted).       This case is
distinguishable. Although Plaintiff bar owners may have a constitutionally
protected interest in pursuing their chosen profession, that being the operation
of a bar that provides alcohol and other entertainment, the City’s ordinance does
not threaten to interfere with that interest. Unlike in Stidham, the ordinance
at issue here is not only authorized, but a valid exercise of the City’s police

      18
        We note that in asserting their First Amendment argument, Plaintiffs refrain from
making overbreadth claims with respect to the First Amendment rights of smokers.

                                           23
                                        No. 06-51670

power; it merely regulates smoking to minimize the adverse effects of second-
hand smoke and does not threaten to infringe Plaintiffs’ liberty interest in
pursuing their chosen occupations.             See Lexington Fayette County Food &
Beverage Ass’n v. Lexington-Fayette Urban County Gov’t, 
131 S.W.3d 745
, 752
(Ky. 2004) (holding that an ordinance that prohibited smoking in public
buildings to protect the public from the effects of second-hand smoke did not
improperly infringe on the right of business owners to conduct their business
without impermissible interference from government).
       Because the ordinance does not threaten to inhibit constitutionally
protected conduct, we continue under the rubric in Village of Hoffman Estates
and consider whether the ordinance is impermissibly vague in all its
applications, see also United States v. Clinical Leasing Serv., Inc., 
925 F.2d 120
,
122 (5th Cir. 1991), keeping in mind that we must first apply the statute to
Plaintiffs’ conduct before considering hypothetical scenarios.19 A legislative
enactment is vague in all of its applications if it is so “indefinite that no one
could know what” is prohibited, creating an ordinance that is “substantially
incomprehensible.” Exxon Corp. v. Busbee, 
644 F.2d 1030
, 1033 (5th Cir. 1981);
see also 
Coates, 402 U.S. at 614
(noting that an ordinance is not
unconstitutionally vague if “it requires a person to conform his conduct to an


       19
          Before proceeding, we consider Plaintiffs’ contention that they do not face the burden
of demonstrating the ordinance is vague in all its applications. Specifically, Plaintiffs rely on
City of Chicago v. Morales, to argue that they are required only to prove that “vagueness
permeates the 
ordinance.” 527 U.S. at 55
n.22 (plurality). Plaintiffs’ reliance on Morales is in
error. In Morales, the Court struck down an anti-loitering ordinance despite possible situations
in which it could constitutionally be applied. 
Id. at 64.
In that case, the Court was applying
a very stringent vagueness test because it was dealing with a criminal ordinance that reached
a substantial amount of constitutionally protected conduct. 
Id. at 55.
In particular, “the
freedom to loiter for innocent purposes is part of the ‘liberty’ protected by the Due Process
Clause of the Fourteenth Amendment.” 
Id. at 53.
However, in this case, no constitutionally
protected conduct is threatened by the City’s ordinance. Therefore, we apply the appropriate
test from Village of Hoffman 
Estates. 455 U.S. at 494
–95; see also 
Robinson, 367 F.3d at 290
(requiring a demonstration that there are “no set of circumstances . . . under which the Act
would be valid” to sustain a facial vagueness attack).

                                              24
                                  No. 06-51670

imprecise but comprehensible normative standard”). Furthermore, a statute
that “vests virtually complete discretion in the hands of the police” fails to
provide the “minimal guidelines” required for due process. Kolender v. Lawson,
461 U.S. 352
, 358 (1983).
      In evaluating vagueness, a reviewing court should consider: (1) whether
the law “give[s] the person of ordinary intelligence a reasonable opportunity to
know what is prohibited, so that he may act accordingly;” and (2) whether the
law provides explicit standards for those applying them to avoid arbitrary and
discriminatory applications. Grayned v. City of Rockford, 
408 U.S. 104
, 108–09
(1972). However, these standards should not be “mechanically applied.” Village
of Hoffman 
Estates, 455 U.S. at 498
.
            The degree of vagueness that the Constitution
            tolerates—as well as the relative importance of fair
            notice and fair enforcement—depends in part on the
            nature of the enactment. Thus, economic regulation is
            subject to a less strict vagueness test because its subject
            matter is often more narrow, and because businesses,
            which face economic demands to plan behavior
            carefully, can be expected to consult relevant legislation
            in advance of action. . . . The Court has also expressed
            greater tolerance of enactments with civil rather than
            criminal penalties because the consequences of
            imprecision are qualitatively less severe. And the
            Court has recognized that a scienter requirement may
            mitigate a law’s vagueness, especially with respect to
            the adequacy of notice to the complainant that his
            conduct is proscribed.

Id. at 498–99
(citations omitted and emphasis added). Finally, as previously
stated, a more stringent vagueness test should apply where a law “threatens to
inhibit the exercise of constitutionally protected rights.” 
Id. at 499;
see also
Smith v. Goguen, 
415 U.S. 566
, 573 (1974) (“Where a statute’s literal scope,
unaided by a narrowing state court interpretation, is capable of reaching


                                        25
                                      No. 06-51670

expression sheltered by the First Amendment, the [vagueness] doctrine demands
a greater degree of specificity than in other contexts.”).
       In this case, although the ordinance’s penalties are criminal in nature and
they explicitly allow for conviction without a scienter requirement,20 the
ordinance does not threaten to inhibit the exercise of constitutionally protected
rights and is akin to the quasi-criminal ordinance in Village of Hoffman Estates
that regulated business activity. The evidence reveals that the owners and
operators regulated by the ordinance may clarify the meaning of its provisions
by their own inquiry. In particular, the City’s proffered guidelines were drafted
after town meetings with the business owners themselves, and the updated
guidelines were issued as a response to requests for clarification of the
“necessary steps” provision by business operators. See Village of Hoffman
Estates, 455 U.S. at 498
–99 (stating that regulated business activity is subject
to a less strict vague standard due in part to the enterprise’s “ability to clarify
the meaning of the regulation by its own inquiry, or by resort to an
administrative process”).       To be safe, we apply the “relatively strict test”
required for criminal laws. See 
id. at 499–500.
       In order to sustain a vagueness challenge, “a penal statute [must] define
the criminal offense with sufficient definiteness that ordinary people can
understand what conduct is prohibited.” 
Kolender, 461 U.S. at 357
(emphasis
added). And, although the district court in this case implied that in order for the
ordinance to pass constitutional muster, it must delineate the exact actions a bar
owner would have to take to avoid liability, this high degree of language
precision exceeds the constitutional requirements for upholding a statute. See
Boyce Motor Lines v. United States, 
342 U.S. 337
, 340 (1951) (“[F]ew words
possess the precision of mathematical symbols, most statutes must deal with

       20
         However, the City points out that it only charges owners and operators for “knowing”
violations.

                                             26
                                      No. 06-51670

untold and unforeseen variations in factual situations, and the practical
necessities of discharging the business of government inevitably limit the
specificity with which legislators can spell out prohibitions.”). In fact, this circuit
has held that “[o]nly a reasonable degree of certainty is required.” United States
v. Tansley, 
986 F.2d 880
, 885 (5th Cir. 1993) (emphasis added) (citing United
States v. Barnett, 
587 F.2d 252
, 256 (5th Cir. 1979)).
       To begin, we note that the ordinance’s goal, as a whole, is to prevent
smoking in enclosed public places, so as to minimize the health hazards
associated with second-hand smoke. See 
Grayned, 408 U.S. at 110
(considering
“what the ordinance as a whole prohibits” in analyzing whether the law was
unconstitutionally vague). The title of the ordinance reveals that it is designed
to prohibit “Smoking in Public Places,” and the title of the section at issue, § 10-
6-2, is even more explicit: “Smoking Prohibited.” Furthermore, the language of
the disputed subsection is sufficiently clear to put Plaintiffs on notice of what the
statute governs and at whom it is directed. First, it is limited to “[t]he owner or
operator of a public place,” as defined in the ordinance, and second, it requires
that said owner or operator “take necessary steps to prevent or stop another
person from smoking in an enclosed area in a public place.” § 10-6-2(E).
       Next we examine the disputed words “necessary steps,” to determine
whether Plaintiff bar owners had fair notice of what conduct was prohibited, or
mandated, on their part, and whether inspectors were provided definite
standards to avoid arbitrary enforcement.21 In conducting this examination, we
“must, of course, consider any limiting construction that a state court or
enforcement agency has proffered.” Village of Hoffman 
Estates, 455 U.S. at 494
n.5. This criterion is especially important in a case such as this where the


       21
        “The same facets of a statute usually raise concerns of both fair notice and adequate
enforcement standards. Hence the analysis of these two concerns tends to overlap.” 
Gaudreau, 860 F.2d at 359
.

                                             27
                                   No. 06-51670

ordinance was not drafted by the City but instead enacted via voter initiative,
thereby prohibiting, pursuant to the City Charter, amendment or repeal until
the ordinance has been in effect for two years. AUSTIN CITY CHARTER, art. IV,
§ 6.   Accordingly, we look to the City’s two sets of detailed guidelines,
promulgated in an attempt to resolve any uncertainty regarding the scope of the
“necessary steps” provision.
       The first set of guidelines explicitly provides that “necessary steps” include
posting no smoking signs, removing ashtrays, asking the patron to stop smoking,
asking the patron to leave the establishment if he continues to smoke, and
following standard business practices for enforcing house rules. On March 9,
2006, an amended set of guidelines was issued, in response to requests for
clarification, adding: (1) that the owners or operators refuse service to a patron
if he continues to smoke; (2) that the requests to stop smoking and to leave the
establishment be verbal; and (3) that the standard business procedures be
applied in the same manner as violations of house rules, local ordinances, or
state laws. These guidelines not only provide standards to those inspectors
enforcing the ordinance but essentially provide Plaintiff bar owners and
operators a clear “how to” guide for avoiding a violation under the “necessary
steps” provision. Nevertheless, evidence at trial revealed that Plaintiff bar
owners often failed to implement any steps to prevent smoking in their
establishments.
       For example, Gail Johnson was charged for a clear pattern and practice of
refusing to comply with the ordinance at both his establishments, Canary Hut
and Canary Roost. Specifically, on more than one occasion, inspectors observed
several patrons smoking, and the operators on duty made no attempts to ask
them to stop or leave the premises, or to refuse them service. At one point, an
inspector even gave a bartender the opportunity to implement the steps and
prevent a customer from smoking, to which the bartender responded with a


                                         28
                                      No. 06-51670

shoulder shrug, rather than compliance. Bartenders themselves were seen
smoking when inspectors entered the bar, a clear indication that Johnson’s
establishments were intentionally flouting the ordinance. Additionally, although
refusing service was included as a step in the amended guidelines, testimony
revealed that Johnson failed to instruct his employees to refuse service to his
smoking customers.22
       Similar attempts to circumvent the obligations of the ordinance were
observed at the bar managed by Bill Hardee—the Warehouse, Saloon and
Billiards. Although no smoking signs were posted there, the operators either
failed to remove ashtrays or instead provided candle holders to be used as
substitutes.     In addition, the establishment had customers sign forms
acknowledging that they had been instructed to go outside to smoke, but once
the form was signed, the operators permitted the customers to continue to smoke
inside the establishment. Inspectors observed operators who neither requested
smokers to extinguish their cigarettes nor refused service to those smoking.23
From this evidence, we find it apparent that, most of the time, the only “steps”
taken were in trying to find a loop-hole to avoid enforcing the ordinance. Such
behavior is a clear violation of the “necessary steps” provision. See 
Tansley, 986 F.2d at 885
(“The requirement that statutes give fair notice cannot be used as
a shield by someone who is already intent on wrongdoing.”) (citing United States
v. Brewer, 
835 F.2d 550
, 553 (5th Cir. 1987)).
       In addition, the danger of arbitrary and discriminatory enforcement is
unfounded. The City’s officials testified that three notices of violation were
issued to Plaintiffs Hardee and Johnson before charges were filed in municipal

       22
         A Canary Roost employee, who was issued notices of violation, testified that she had
never refused service to a customer who was smoking, but that she believed that refusing
service would stop patrons from smoking at the Canary Roost.
       23
          A bartender from the Warehouse Saloon and Billiards testified that he never refused
service to a smoking customer.

                                             29
                                       No. 06-51670

court, and that the City’s procedure in filing charges only after the third notice
is issued and a management official has had a chance to review the notices is
standard. In addition, the pre-printed forms provided to the inspectors to notice
owners and operators for violations explicitly provide the five steps listed in the
guidelines. Evidence revealed that the inspectors normally circle the steps that
owners and operators failed to implement before issuing a violation. This direct
reference to the guidelines’ progressive steps while actually issuing the notices
to owners and operators helps to standardize enforcement. Furthermore, any
concern the district court had about arbitrary enforcement was based on lengthy
hypothetical questions posed to enforcement officials, whose complete testimony
revealed that they look for a pattern of noncompliance, and that in certain
scenarios, if it is apparent that good faith attempts are not being made to take
“necessary steps” to prevent smoking, then a notice of violation would be issued.
       Thus, in light of the evidence at trial, Plaintiffs fail to demonstrate that
the “necessary steps” provision is so indefinite as to provide them with no
standard of conduct at all.24 The ordinance and its concomitant guidelines

       24
           Although the Texas courts have not had an opportunity to interpret the meaning of
“necessary steps” in the City’s ordinance, the Texas Court of Criminal Appeals has examined
a statute that made it unlawful for a business to “allow patrons” to form a line, or queue, on
the public right-of-way on the River Walk in San Antonio. State v. Guevara, 
137 S.W.3d 55
,
55–56 (Tex. Crim. App. 2004). A business owner was charged under the ordinance for allowing
patrons to queue outside her business. 
Id. She challenged
the statute as overly vague because
it “failed to describe with reasonable certainty what actions constitute allowing patrons to
queue on the public right-of-way.” 
Id. at 56.
Similar to the ordinance in this case, the Guevara
ordinance established a crime of omission, or failure to act—there, the failure to prevent a
queue from forming and here, failing to take the “necessary steps” to prevent smoking. The
business owner in Guevara argued that the statute’s failure to set out what precise steps the
business had to take to prevent queuing doomed the ordinance, but the Texas Court of
Criminal Appeals disagreed: “[T]he fact that the ordinance did not suggest a method of
preventing queuing is of no significance. . . . There are common-sense methods for preventing
queuing, and it is not necessary or desirable to require the City to codify these methods.” 
Id. at 57–58.
         The Texas court’s reliance on a business owner’s “common-sense” in Guevara is
supported by federal constitutional law. See Village of Hoffman 
Estates, 455 U.S. at 501
(asking whether a “business person of ordinary intelligence would understand” what the
ordinance requires); Boyce Motor 
Lines, 342 U.S. at 340
–41 (“The requirement of reasonable

                                              30
                                         No. 06-51670

provide adequate notice of the actions required, as well as an ascertainable
standard of guilt for inspectors. Plaintiffs’ void-for-vagueness challenge to the
“necessary steps” provision of the ordinance fails on the record evidence of actual
charged violations; we need not address hypothetical scenarios.
                                 C. Permanent Injunction
       The City also challenges the district court’s grant of a permanent
injunction with respect to the “necessary steps” provision.25 We review the
award of a permanent injunction for “abuse of discretion” which occurs if the
district court: “(1) relies on clearly erroneous factual findings; (2) relies on
erroneous conclusions of law; or (3) misapplies the law to the facts.” McClure v.
Ashcroft, 
335 F.3d 404
, 408 (5th Cir. 2003). In holding that Plaintiffs were
entitled to a permanent injunction, the district court found that they had
established: (1) success on the merits; (2) that a failure to grant the injunction
will result in irreparable injury; (3) that said injury outweighs any damage that
the injunction will cause the opposing party; and (4) that the injunction will not
disserve the public interest. Roark & Hardee LP, 
2006 WL 2854399
, at *2
(quoting V.R.C. L.L.C. v. City of Dallas, 
460 F.3d 607
, 611 (5th Cir. 2006)).




certainty does not preclude the use of ordinary terms to express ideas which find adequate
interpretation in common usage and understanding. . . . The use of common experience as a
glossary is necessary to meet the practical demands of legislation.”) (emphasis added and
citation omitted). As business owners of stand-alone bars, Plaintiffs frequently must take
steps to control behavior ranging from inappropriate dress, rowdiness, fighting, underage
drinking, and intoxication. Thus, through prior business experiences, these owners and
operators have knowledge of the “steps” that work best in their establishments. They can
easily draw on those common experiences and implement the same types of steps to enforce
the smoking ordinance. The City even points this out to the owners and operators with the
inclusion of the final step in both sets of guidelines, stating that “necessary steps” requires an
application of the standard business practices for violations of house rules, state laws, and local
ordinances.
       25
          Although the City appeals the entire judgment, it makes no arguments regarding the
validity of the order permanently enjoining enforcement of the penalty provisions.

                                               31
                                   No. 06-51670

      Based on our conclusion that the district court erred in finding that the
“necessary steps” provision in the ordinance is unconstitutionally vague, it was
an abuse of discretion to grant a permanent injunction enjoining the City from
enforcing that section of the ordinance.
                                 D. Attorneys’ Fees
      Plaintiffs appealing the attorneys’ fees issue argue that the district court
erred in failing to grant them attorneys’ fees as a “prevailing party” in the
litigation. Under 42 U.S.C. § 1988(b), a district court, in its discretion, may
award to the “prevailing party” in a § 1983 action reasonable attorneys’ fees. We
review a district court’s denial of attorneys’ fees under § 1988 for abuse of
discretion. Myers v. City of W. Monroe, 
211 F.3d 289
, 292 (5th Cir. 2000).
      In arguing that they should be considered a “prevailing party” under
§ 1988, those Plaintiffs rely primarily on the district court’s judgment enjoining
the City from holding the owner or operator of a public place liable for failure to
take “necessary steps” to prevent smoking in their establishments. As this
ruling was in error, Plaintiffs’ case for attorneys’ fees is significantly diminished.
The only other constitutional claim within the ambit of § 1988(b) for which the
district court granted relief to Plaintiffs was the due process claim regarding the
suspension and revocation of city permits and licenses without expeditious
judicial review, a holding which was not appealed on its merits. Considering the
numerous other claims Plaintiffs lost and the fact that the City can still enforce
the license revocation provision, as long as it provides expeditious judicial
review, Plaintiffs’ success is, at most, de minimis, and the district court did not
abuse its discretion in denying their claim for attorneys’ fees under § 1988 as a
“prevailing party.” See Texas State Teachers Ass’n v. Garland Indep. Sch. Dist.,
489 U.S. 782
, 792 (1989) (stating that if the party succeeds on a “purely
technical” or “de minimus” legal question, then the party is not a “prevailing
party” for purposes of § 1988 attorneys’ fees).

                                         32
                                  No. 06-51670

                               III. CONCLUSION
      We REVERSE that portion of the district court’s judgment declaring the
“necessary steps” provision of the ordinance unconstitutionally vague, VACATE
the provision of the permanent injunction enjoining enforcement of said
provision, and otherwise AFFIRM the judgment. We also AFFIRM the district
court’s denial of attorneys’ fees. Plaintiffs shall bear the costs of these appeals.




                                        33

Source:  CourtListener

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