Federal Cases

Case namesort ascending Citation Summary
U.S. v. CITGO Petroleum Corp. 801 F.3d 477 (5th Cir. 2015) CITGO was convicted of multiple violations of the Clean Air Act and its regulations, and the Migratory Bird Treaty Act of 1918 (“MBTA”). CITGO urged the 5th Circuit to reverse the Clean Air Act convictions because the district court erroneously instructed the jury about the scope of a regulation concerning “oil-water separators.” CITGO also contended that the MBTA convictions were infirm because the district court misinterpreted the statute as covering unintentional bird kills. The 5th Circuit agreed with both contentions, holding that CITGO's equalization tanks and air floatation device were not oil-water separators under the Clean Air Act's regulations and that “taking” migratory birds involved only “conduct intentionally directed at birds, such as hunting and trapping, not commercial activity that unintentionally and indirectly caused migratory bird deaths. The district court’s decision was reversed and remanded with instructions.
U.S. v. CITGO Petroleum Corp. 893 F.Supp.2d 841 (S,D.Tex.,2014) In 2007, CITGO was convicted of unlawfully taking and aiding and abetting the taking of migratory birds under MBTA § 707(a) after ten dead birds were found in two large open-top oil tanks. CITGO moved the Court to vacate its convictions, arguing that the MTBA criminalizes the unlawful taking or killing of migratory birds by hunting, trapping, poaching, or similar means, but does not criminalize commercial activities in which migratory birds are unintentionally killed as a result of activity completely unrelated to hunting, trapping, or poaching. In response, the Government argued that the MTBA prohibits the taking or killing of a migratory bird at any time, by any means or in any manner. The evidence presented at trial established that a number of individuals saw oil-covered birds, both dead and alive. An employee told senior management and suggested to another member of CITGO's senior management team that CITGO install nets on the tanks to prevent birds from landing in the oil. Based on this evidence, the court held that not only was it reasonably foreseeable that protected migratory birds might become trapped in the layers of oil on top of the tanks, but that CITGO was aware that this was happening for years and did nothing to stop it. Because CITGO's unlawful, open-air oil tanks proximately caused the deaths of migratory birds in violation of the MBTA, CITGO's Motion to Vacate CITGO's Conviction for Violations of the Migratory Bird Treaty Act was denied.
U.S. v. Chevron USA, Inc. 2009 WL 3645170 (Only the Westlaw citation is currently available.) After 35 dead Brown Pelicans were discovered in the space between the inner wall of the caisson and the outer wall of a wellhead, Chevron was charged with a violation of the Migratory Bird Treaty Act. But, the Court held that the MBTA was clearly not intended to apply to commercial ventures where, occasionally, protected species might be incidentally killed as a result of totally legal and permissible activities. Therefore, at the plea hearing the Court refused to accept the plea of guilty from Chevron.
U.S. v. Carpenter 933 F.2d 748 (9th Cir. 1991)

Defendant owned a goldfish farm and hired lethal "birdmen" to kill various birds that interfered with his operation, including herons and egrets, by means of shooting, trapping, and poisoning.  In reversing defendant's conviction under the Lacey Act, the Court disagreed with the government's position that the act of taking of the birds in violation of the Migratory Bird Treat Act also implicated the Lacey Act.  The court held that the Lacey Act requires something beyond the first taking; indeed a person must do something to wildlife that has already been "taken or possessed" in violation of law.

U.S. v. Cameron 888 F.2d 1279 (9th Cir. 1989)

Defendant was a commercial fisherman and conditionally pled guilty to unlawfully acquiring and transporting halibut with market value of more than $350 and knowingly intending to sell illegally taken halibut in violation of Lacey Act after he exceeded the catch limits set by the Pacific Halibut Act.  Defendant argued that the Lacey Act criminalized the same civil conduct regulated by the Halibut Act, thereby superseding that federal statute.  The court disagreed, finding that the purpose of the Lacey Act was to strengthen existing wildlife laws where the underlying law did not specify exclusive control. 

U.S. v. Bryant 716 F.2d 1091 (C.A. Tenn., 1983)

Ricky Bryant appeals convictions on one misdemeanor and two felony counts of purchasing illegally obtained fox pelts, violations of the Lacey Act Amendments of 1981, 16 U.S.C. § 3371-3378 (1981).  The court held that the North Carolina regulation, which unambiguously prohibited the hunting of foxes without authorization and expressly stated that dealing in untagged pelts is illegal, withstood the void for vagueness test as prosecuted under the Lacey Act.  The court further dismissed challenges based on an entrapment defense and arguments that the Lacey Act constitutes an unconstitutional delegation to the States of legislative power reserved to Congress.

U.S. v. Bronx Reptiles, Inc. 217 F.3d 82 (2nd Cir. 2000)

After defendant received a shipment of dead frogs, he was convicted of violating a portion of the Lacey Act, 18 U.S.C.S. § 42(c), which made it a misdemeanor to knowingly cause or permit any wild animal to be transported to the United States under inhumane or unhealthful conditions. Defendant appealed, and judgment was reversed and remanded with instructions to enter a judgment of not guilty. The government failed to meet its burden to prove not only that the defendant knowingly caused or permitted the transportation to the United States of a wild animal, but also that the defendant knew the conditions under which the frogs was transported were "inhumane or unhealthful."

U.S. v. Brigham Oil and Gas, L.P. 840 F. Supp. 2d 1202, 1203 (D.N.D. 2012), appeal dismissed (Apr. 18, 2012) The Government charged Brigham Oil & Gas, L.P.with “taking” (killing) two migratory birds found dead near one of its reserve pits. But, the Court found that the use of reserve pits in commercial oil development is legal, commercially-useful activity that stands outside the reach of the federal Migratory Bird Treaty Act. Therefore, the Court held that the oil and gas companies' use of reserve pits did not violate Migratory Bird Treaty Act's prohibition against taking of protected birds, since death or injury was not intentional, and grated the defendant's motion to dismiss.
U.S. v. Braddock Slip Copy, 2011 WL 327416 (C.A.4 (S.C.),2011)

Defendant-appellants appealed their convictions following guilty pleas to offenses relating to illegal cockfighting and gambling activities. On appeal, they challenged the denial of their motion to dismiss for selective prosecution or, in the alternative, for discovery in support of their selective prosecution claim. In particular, appellants contend that district court should have dismissed the indictment or granted leave to obtain discovery because they, as Caucasians, were prosecuted federally, while two Hispanic co-conspirators and thirty-six Hispanic people arrested in connection with another cockfighting ring in Hampton County, South Carolina, faced only state charges. The Court of Appeals, Fourth Circuit, found that appellants failed to show that they were similarly situated to the Hispanic defendants who were not prosecuted on federal charges.

U.S. v. Big Eagle 684 F.Supp. 241 (D.S.D. 1988)

On November 23, 1987, defendant, John Terrence Big Eagle, filed a motion to dismiss the indictment in this action on the grounds that this Court lacks subject matter jurisdiction. The indictment charges the defendant with violating the Lacey Act prohibitions against transporting, selling, or acquiring fish taken or possessed in violation of state law or Indian tribal law.  The court held that the fishing regulations of the Lower Bule Sioux Tribe were applicable to defendant, a Native American of another tribe, and that this subjected him to prosecution under the Lacey Act.

U.S. v. Bengis 631 F.3d 33 (2nd Cir. 2011)

After two applications to seek compensation for South Africa were denied, the United States appealed the two orders and the 2nd Circuit held that South Africa (1) had a property interest in rock lobsters unlawfully harvested from its waters and (2) was a victim under the MVRA and VWPA. The 2nd Circuit therefore held that restitution was owed to South Africa and the case was remanded for the district court to calculate restitution.

U.S. v. Atkinson 966 F.2d 1270 (9th Cir. 1992)

Melville O'Neal Atkinson was convicted of twenty-one felony violations of the Lacey Act for his role in organizing and guiding several illegal hunting expeditions.  The court found sufficient evidence to sustain his conviction based on interstate commerce where, at the end of each illegal hunt, defendant arranged or assisted in arranging to ship deer carcasses to the hunters' homes outside the state. 

U.S. v. Apollo Energies, Inc. 611 F.3d 679 (C.A.10 (Kan.), 2010)

Appellants, Apollo Energies, Inc. and Dale Walker, were charged with violating the Migratory Bird Treaty Act after an agent with the USFWS discovered dead migratory birds lodged in each appellant's "heater-treater," a piece of equipment used in the course of appellants' Kansas oil drilling businesses, on several occasions. At trial, both Apollo and Walker were convicted of  misdemeanor violations for "taking" or "possessing" migratory birds. On appeal, Apollo and Walker contested that (1) the MBTA is not a strict liability crime or, (2) if it is a strict liability crime, the MBTA is unconstitutional as applied to their conduct. Bound by a previous holding that found misdemeanor violations of the MBTA are strict liability crimes, the court concluded that the MBTA includes no mens rea requirement. As to Appellants' second contention challenging the constitutionality of the Act, the court concluded that while the Act is not unconstitutionally vague, "the MBTA requires a defendant to proximately cause the statute's violation for the statute to pass constitutional muster.

U.S. v. Antoine 318 F.3d 919 (9th Cir. 2003)

Defendant was a member of a Canadian tribe when he brought eagle feathers across the border to the U.S. for a "potlatch" ceremony (exchange of eagle parts for money and goods, which was religiously significant to defendant).  On appeal, defendant challenged his conviction under the RFRA (Religious Freedom Restoration Act), arguing in part that the government lacked an asserted compelling interest where the USFWS had issued a proposed delisting of the eagle from the ESA list.  The Ninth Circuit disagreed, finding the evidentiary weight of the proposed delisting was lacking and that defendant was not discriminated against based on religion, but rather was excluded from the permit system based on the secular component of the Act (i.e., the requirement for membership in a federally-recognized tribe).

U.S. v. Abeyta 632 F. Supp. 1301 (D.N.M. 1986)

Defendant, an Indian who resided on a reservation charged with the possession of golden eagle parts under the BGEPA, challenged the indictment as a violation of treaty rights and an unconstitutional burden on his exercise of religion.  In an unusual decision, the court found that the BGEPA placed an unconstitutional burden on defendant's exercise of religion, where the golden eagle was not threatened in New Mexico and permits to kill depredating eagles had previously been issued.  The court also held that the treaty at issue granted special religious accommodations to the tribe, thereby preserving a treaty right to harvest eagles for religious needs.  For further discussion on religious challenges to the BGEPA by Native Americans, see Detailed Discussion of Eagle Act .

U.S. v. Abbate 439 F.Supp.2d 625 (E.D.La., 2006)

Before the Court is the appeal of Frank J. Abbate, Jr.from a misdemeanor conviction for violating a provision of the Migratory Bird Treaty Act ("MBTA") after a Louisiana Department of Fisheries and Wildlife agent witnessed Abbate illegally taking or attempting to take wood ducks after legal shooting hours. At trial, appellant was found guilty of the offense charged and sentenced him to a two-year term of probation. As a special condition, the magistrate ordered that appellant pay a fine of $500 and refrain from hunting birds during the probationary period. Appellant petitions this Court to review his portrayal of the facts and reconsider the credibility of the witnesses and evidence in light of the arguments and allegations presented in his appellate brief. However, rules of procedure governing this appeal preclude appellant from receiving a trial de novo. Accordingly, this Court cannot consider new facts which appellant did not allege at trial and disregarded appellant's arguments which raise conflict over the weight and credibility of testimony. With regard to sentencing, the court found that the magistrate properly exercised his discretion where appellant had a prior conviction under the MBTA for illegal hunting and the revocation of his hunting license would properly prevent future MBTA violations.

U.S. v. 594,464 Pounds of Salmon, More or Less 687 F.Supp. 525 (W.D. Wash. 1987)

Defendants were charged with exporting salmon from Taiwan in violation of Taiwanese regulations.  The regulations and public announcement of the Taiwan Board of Foreign Trade restricting the export of salmon from Taiwan constituted "foreign law" as that term is used in the Lacey Act, despite the fact this was embodied in regulation, not statute.  Moreover, this provision of the Lacey Act was not void for vagueness for failing to expressly state that the term "foreign law" encompassed both foreign statutes and regulations. 

U.S. v. 3,210 crusted sides of Caiman crocodilus yacare 636 F.Supp. 1281 (S.D. Fla. 1986)

The plaintiff, the United States of America, seeks forfeiture of the defendant, 10,870 crusted sides of Caiman crocodilus yacare, an endangered species of wildlife (hides) transported from Bolivia to the U.S. in violation of the Lacey Act, among other statutes.  The court found that the testimony concerning the shrinkage of the crocodile hides during tanning did not meet the buren of the claimed owners showing by a preponderance of the evidence that the hides, which were shipped from Bolivia under the size limit imposed by Bolivian law, were not subject to the forfeiture provisions of the Lacey Act, 16 U.S.C. § 3374(a)(1) (1985).  The provision of the Lacey Act at issue prohibits the interstate or foreign commerce of any wildlife taken in violation of any foreign law. 

U.S. v. 2,507 Live Canary Winged Parakeets 689 F.Supp. 1106 (S.D.Fla., 1988)

Plaintiff U.S. sought to forfeit the Defendant parakeets on the ground that they were imported in violation of Peruvian law and consequently, in violation of the Lacey Act.  The court held that, if even the "innocent owner" defense was available under the Lacey Act (which the court held it is not under the forfeiture provision of the statute), the claimant importer never attempted to independently confirm or verify that the parakeet species in question (brotogeris versicolorus) could be lawfully imported from Peru.  Thus, the court held the forfeiture valid where the U.S. established by probable cause to believe the Lacey Act was violated where the testimony at trial established that Peruvian Supreme Decree No. 934-73-AG prohibits from anywhere in the national territory the exportation of wild live animals coming from the forest or jungle region. 

U.S. ex rel. Haight v. Catholic Healthcare West 594 F.3d 694 (C.A. 9 (Ariz.), 2010)

The plaintiffs, In Defense of Animals and Patricia Haight brought suit against the defendants, Michael Berens, the principal research investigator of the study in question, and the Barrow Neurological Institute, St. Joseph’s Hospital and Medical Center, Catholic Healthcare West Arizona, and Catholic Healthcare West, his employers, under the False Claims Act.  In 1997, defendant Michael Berens, Ph.D., submitted a grant application to the NIH in which he sought federal funding for a project to develop a canine model to study glioma, a form of human brain cancer, and attempted to create a process for implanting gliomas in the brains of beagles. The plaintiffs brought suit against Dr. Berens under the False Claims Act asserting that he had lied in his grant application in order to obtain NIH funding. The district court granted summary judgment to the defendants, holding that the plaintiffs failed to produce sufficient evidence from which a reasonable jury could find that the challenged grant application statements were objectively false.   In response, the plaintiffs filed a notice to appeal 51 days later, relying on a circuit court precedent allowing plaintiffs 60 days to file a notice of appeal in these types of cases.   However, an intervening Supreme Court decision declared that plaintiffs have only 30 days to file a notice to appeal in this type of case.   This case was amended and superseded by US ex rel Haight v. Catholic Healthcare West , 602 F.3d 949 (9th Cir., 2010).

U.S. ex rel. Haight v. Catholic Healthcare West 602 F.3d 949 (9th Cir., 2010)

The plaintiffs, In Defense of Animals and Patricia Haight brought suit against the defendants under the False Claims Act.  In 1997, defendant Michael Berens, Ph.D., submitted a grant application to the NIH in which he sought federal funding for a project to develop a canine model to study glioma, a form of human brain cancer, and attempted to create a process for implanting gliomas in the brains of beagles. The district court granted summary judgment to the defendants, holding that the plaintiffs failed to produce sufficient evidence from which a reasonable jury could find that the challenged grant application statements were objectively false. 

Turtle Island Restoration Project v. U.S. Department of Commerce 438 F.3d 937 (9th Cir. 2006)

Environmental Groups sued the National Fisheries Service (NMFS) and the United States Department of Commerce for making regulations which allowed swordfish longline fishing along the Hawaii coast, alleging violations of the National Environmental Policy Act (NEPA), the Migratory Bird Treaty Act (MBTA), and the Endangered Species Act (ESA). The Court found that because the regulations were made under the Magnuson-Stevens Fishery Conservation and Management Act of 1976 (Magnuson Act), and because that Act had a 30-day time limit for when challenges to regulations could be made, the environmental groups has not brought their challenge to the regulations in time.

Turtle Island Foods, SPC v. Thompson --- F.Supp.3d ----, 2024 WL 1342597 (W.D. Mo. Mar. 26, 2024) Plaintiffs, a nonprofit advocacy organization and a plant-based meat alternative producer, filed this case to challenge the constitutionality of a statute that criminalizes the misrepresentation of a product as meat that is not derived from livestock or poultry. Plaintiffs bring four constitutional claims against the statute: violation of the First Amendment, violation of the Dormant Commerce Clause, violation of Due Process, and Declaratory Judgment. For the First Amendment violation, plaintiffs specifically argue that the statute is an unlawful restriction on truthful commercial speech. However, the court finds that the statute does not restrict truthful commercial speech, since plaintiffs are still able to accurately indicate what sort of products they are selling to consumers. For the Dormant Commerce Clause argument, the court finds that the statute does not discriminate in purpose or effect, and that the statute passes the Pike balancing test. For the Due Process claim, the court finds that the statute provides sufficiently specific guidance to both the public and prosecutors as to what actions are prohibited, so it does not violate Due Process. Accordingly, the court denied plaintiff's claims and motion for summary judgment.
Turner v. Ferguson 432 F. Supp. 3d 876 (E.D. Wis. 2020) On March 5, 2017 Lori turner was attacked by her neighbor’s (“Arndt”) dog which required her to receive 11 staples to close the wound on her scalp. She also suffered bites on her shoulder and wrist that would later require surgery. Pursuant to local regulations, the neighbor’s dog was quarantined for a ten-day period. Lori mentioned to officers that the City of Gelndale had recently enacted an ordinance that allowed for an officer to declare a dog vicious which then required the owner of the dog to adhere to certain requirements like securing the dog in a kennel when it was outdoors and maintaining liability insurance for dog bites. On March 14, 2017, Officer Ruppel issued a citation to Ardnt under a Glendale ordinance for damage caused by dogs, however, he did not declare the dog vicious under the vicious-dog ordinance. Officer Ruppel reasoned during deposition that he chose not to do so because he considered Ardnt grabbing the dog by the neck and Lori walking up and petting the dog (prior to Ardnt’s action) provocation. Lori filed suit against the officers she interacted with over the course of the next year claiming that the officers denied her equal protection of the law by refusing to declare Arndt’s dog vicious and by failing to protect her from loose dogs in the neighborhood. Lori had repeatedly contacted the police department over the course of a year about how she did not like the outcome of her dog bite case and about loose dogs in the neighborhood. Lori specifically alleged that the officers treated her with animus. The Court ultimately found that the evidence in the record did not support a class-of-one equal protection claim. Officer Ruppel’s decision to not declare Ardnt’s dog vicious was supported by a rational basis. Additionally, no evidence existed that suggested that the Glendale police department intentionally and irrationally treated Lori’s complaints about loose dogs in the neighborhood differently than it treated similar complaints by other citizens. The Defendant’s motion for summary judgment was granted.
Tuman v. VL GEM LLC Slip Copy, 2017 WL 781486 (S.D.N.Y. Feb. 27, 2017)

In this case, Tuman sued the owners of her apartment complex, VL GEM LLC and GEM Management Partners LLC, after the apartment complex refused to allow her to keep an emotional support dog in her apartment to help her deal with her post-traumatic stress disorder. Truman argued that she was discriminated against after she requested a “reasonable accommodation” for her disability, in violation of the Fair Housing Act (FHA). The defendants argued that Truman failed to provide sufficient medical documentation of her need for the support dog and therefore were not liable for discrimination under the FHA. The court found that Truman was able to establish a disability under FHA by showing that her PTSD “causes her to have severe anxiety and difficulties with socialization.” The court held that this satisfied the requirement under the FHA that the disability must “substantially limit one or more major life activities.” Since Truman qualified as disabled under the FHA, the court turned to whether or not she had provided the apartment complex with sufficient documentation and notice. Ultimately, the court found that Truman had provided the apartment with sufficient documentation because she provided them with a note from her doctor stipulating that Truman needed an accommodation in order to cope with her disability. Lastly, the court found that the apartment complex knew of Truman’s disability and request for an accommodation and still refused to allow her to have a dog, which resulted in a violation under the FHA. As a result, the court found for Truman. 

Triumph Foods, LLC v. Campbell --- F.Supp.3d ----, 2024 WL 421994 (D. Mass. Feb. 5, 2024) This case was brought by a group of pork producers and farmers to challenge the Massachusetts' Prevention of Farm Animal Cruelty Act on the grounds that it violates the dormant Commerce Clause by improperly regulating interstate commerce. The Act would require pork producers to phase out certain means of pig confinement in order to sell pork products in Massachusetts. In response, the state filed a motion to dismiss arguing that there is no causally connected harm to the pork producers, which the court denied. The court first evaluated the slaughterhouse exemption, which exempts sales from the requirement that they must take place within Massachusetts if the buyer takes physical possession of the pork while on the premises of an establishment inspected under the Federal Meat Inspection Act. Plaintiff argued that as an out-of-state pork processor, it could not take advantage of this exemption, even though it operates entirely federally inspected facilities, because it ships its product into Massachusetts from out-of-state and, its buyers do not take physical possession of its product while at its facilities. The court found that this exemption has a discriminatory effect, and vacated the order in part to allow the court to consider whether the Act with the slaughterhouse exemption severed is preempted by the Federal Meat Inspection Act.
Tranchita v. Callahan 511 F. Supp. 3d 850 (N.D. Ill. 2021) This case involves a motion for a temporary restraining order (TRO) and preliminary injunction by Plaintiff Tranchita against Colleen Callahan, Director of the Illinois Department of Natural Resources (IDNR). In 2019, agents of the IDNR seized four coyotes Tranchita was raising at her home. After the seizure, three of the four coyotes died, and the remaining coyote, Luna, is elderly and in poor health. Tranchita seeks return of Luna from the coyote rescue center where Luna now resides. The IDNR contends that it will not release Luna until a court declares that the Plaintiff can legally possess her. By way of background, Tranchita is a wildlife exhibitor and educator who has cared for orphaned coyote pups since 2006. In 2016, Tranchita forgot to obtain another Breeder Permit and then failed to do so for the successive three years. Consequently, while she possessed a USDA Exhibitor License, she did not possess the required Illinois state licenses to keep coyotes. In 2019, Plaintiff sought relief in Illinois state court, which found that should she regain possession of Luna again, she must possess a Breeder Permit. The court did not consider whether that permit alone was sufficient or whether a Hound Running Permit is also required. Plaintiff then voluntarily dismissed her state court complaint and, four months later, filed a six-count verified complaint under 42 U.S.C. § 1983. After that filing, Plaintiff moved for a TRO and preliminary injunction enjoining Defendants from (1) requiring her to hold a Hound Running Permit in order to keep Luna in Illinois; and (2) seizing Luna so long as Tranchita holds a current Breeder Permit. Tranchita seeks prospective declaratory and injunctive remedies that are all directed to allowing her to keep Luna in Illinois without a Hound Running Permit. The court first examined Tranchita 's likelihood of success on the merits for her five claims: her “class-of-one” equal protection claim, preemption claim, free exercise claim, procedural due process claim, and substantive due process claim. As to the first "class-of-one" claim, the court found that Tranchita's displeasure and disagreement with Defendants’ failure to enforce the Hound Running Permit requirement against other alleged violators likely does not give rise to a class-of-one claim. Further, the court found Tranchita was not likely to success on her claim asserting that the AWA preempts the IDNR's policy requiring an individual who wants to possess a coyote to obtain a Hound Running Permit. The court rejected Plaintiff's argument that hound running in Illinois constitutes an “animal fighting venture” that the AWA prohibits. Indeed, the court noted that the state definition for "hound running" includes when an authorized species "pursued with dogs in a hound running area, but not in a manner or with the intent to capture or kill.” Further, the court noted the Seventh Circuit held that Congress did not intend for the AWA to preempt or ban state legislation, like the Wildlife Code, that regulates wild animals. Tranchita also asserts that the Hound Running Permit requirement violates her rights under the Free Exercise Clause of the First Amendment. The court found that Hound Running Permit requirement is neutral and generally applicable and is rationally related to a legitimate government interest" (i.e., regulating who can keep coyotes (and where) in that it requires an individual who wants to raise a coyote to do so on at least ten contiguous acres of land). Because the Hound Running Permit requirement appears to be supported by a rational basis, Tranchita is not likely to succeed on her Free Exercise claim. Finally, Tranchita brings claims for procedural and substantive due process violations. The court stated that, to succeed on this contention, Plaintiff must provide something that happened after April 2019 that could arguably return her property interest in Luna or provide her with a new, independent property interest in Luna. However, the court found that Plaintiff did not have a property interest in Luna at the time of the seizure because she did not have a Breeder Permit at that time. Because Tranchita has not demonstrated that she is likely to establish a protected property interest in Luna, she has failed to show that she is likely to succeed on either due process claim based on this interest. Tranchita's argument that her current Breeder Permit (issued without the concomitant Hound Running Permit by Illinois) protects her property interest also failed to persuade the court because the law states that "[n]o fur-bearing mammal breeder permits will be issued to hold, possess, or engage in the breeding and raising of striped skunks acquired after July 1, 1975, or coyotes acquired after July 1, 1978, except for coyotes that are held or possessed by a person who holds a hound running area permit under Section 3.26 of this Act." That granting of the Breeder Permit without the necessary Hound Running Permit required by law led Tranchita to her last argument: "the IDNR's custom and policy of issuing her Breeder Permits and allowing her to keep coyotes without a Hound Running Permit created an entitlement to possess a coyote based on a Breeder Permit alone." In fact, Tranchita points out that IDNR issued her a Breeder Permit on several separate occasions without requiring her to first have a Hound Running Permit while she already possessed coyotes. The court noted that a protected property interest may “arise from mutually explicit understandings," but the plaintiff bears the burden of demonstrating the existence of a mutually explicit understanding. Here, the Court was "skeptical" that sufficient evidence existed to demonstrate a department-wide custom or policy. In essence, the court found Tranchita had no likelihood of succeeding on the merits of the claims. The court did briefly engage in addressing the preliminary injunction factors. With regard to her claim that she will suffer irreparable harm in the form of Luna's imminent death, the court noted that the harm must be "likely" rather than just "possible." Tranchita's delay in seeking preliminary injunctive relief (four months after she withdrew her state court claims) undermines her irreparable harm argument. While the court was sympathetic and concludes that Luna's death would constitute irreparable harm to Plaintiff, it was not enough to persuade the court that death is likely absent the issuance of a TRO or injunction. Finally, on balancing the harms and public interests, the court found they do not weigh decidedly in Plaintiff's favor. Thus, the court denied Tranchita's motion for a TRO and preliminary injunction.
Toney v. Glickman 101 F.3d 1236 (8th Cir., 1996) Plaintiffs were in the business of selling animals to research facilities. The Administrative Law Judge (ALJ) found that they had committed hundreds of violations of the Animal Welfare Act, 7 U.S.C. §§ 2131 et seq. The ALH then imposed what was, to that point, the harshest sanction, $200,000, in the history of the Act. The Judicial Officer affirmed the ALJ's findings and denied the Plaintiffs' request to reopen the hearing for consideration of new evidence. While the 8th Circuit affirmed most of these findings, it held that the evidence did not support all of them. Accordingly, the court remanded the matter to the Department for redetermination of the sanction. The court also affirmed the Judicial Officer's refusal to reopen the hearing and denied the Plaintiffs' Request for Leave to Adduce Additional Evidence. The Plaintiffs were free, however, to seek leave to offer this additional evidence on remand to the extent it was relevant to the sanction.
Tillett v. Bureau of Land Management Slip Copy (unpublished decision), 2016 WL 1312014 (D. Mont. Apr. 4, 2016) In this case, plaintiff (proceeding pro se) filed suit against the Bureau of Land Management (BLM) challenging its management of wild horses on the Pryor Mountain Wild Horse Range (PMWHR). Plaintiff filed suit challenging BLM’s fertility control and gather programs. BLM argued that plaintiff’s claims should be denied as a matter of summary judgment. The court ultimately held that plaintiff failed to provide any “legal authority” or “jurisdictional basis” for the remedies in which she was seeking. The court held that BLM was within its own authority to rely on its own data and surveys of its programs and was under no obligation to review its programs based on plaintiff’s alleged observations. Finally, the court held in favor of BLM as a matter of summary judgment.
Tilikum ex rel. People for the Ethical Treatment of Animals, Inc. v. Sea World Parks & Entertainment, Inc. 842 F.Supp.2d 1259 (S.D.Cal.,2012)

Plaintiffs sued aquarium for declaratory and injunctive relief seeking a declaration that wild-captured orcas were being held in violation of the Thirteenth Amendment’s prohibition on slavery and involuntary servitude. The court dismissed the action, holding that Plaintiffs had no standing because the Thirteenth Amendment only applies to humans, and therefore, the court lacked subject matter jurisdiction.

Thorp v. District of Columbia 319 F. Supp. 3d 1, 20 (D.D.C.), reconsideration denied, 327 F. Supp. 3d 186 (D.D.C. 2018) Two officers were stationed in a church parking lot near the home of Plaintiff, Mark Thorp. The two officers claimed they saw and heard the plaintiff “forcefully strike” his dog. The plaintiff then took the dog inside and would not speak with the officers. The officers reported the incidence to a Washington Humane Society Law Enforcement Officer who applied for a search warrant of plaintiff’s home. The warrant was subsequently approved. The Lieutenant who led the team that executed the search warrant on the plaintiff’s home previously had a sexual relationship with the plaintiff’s ex-girlfriend. During the search, the officers secured the dog and concluded that the dog was uninjured and in good health exhibiting no signs of abuse. The search warrant was only approved for evidence of animal cruelty/neglect, however, the search continued even after the plaintiff’s dog had been found in good health. The plaintiff believes that the search continued because the officers wanted to find drugs in his home. Plaintiff believes that the search for animal cruelty was just a disguise so that the officers could search for drugs. The officers found in the plaintiff’s freezer two zip-loc bags full of capsules which turned out to be amphetamines. The plaintiff insists he had a prescription for the pills. A second warrant was issued for evidence of drugs and related materials. After the second search, the officers found additional drugs and drug paraphernalia in the house. The plaintiff was charged with animal cruelty and possession of illegal drugs, however, the prosecutor abandoned the case and all criminal charges were dismissed. Plaintiff brought this action seeking redress for his injuries against the Lieutenant who led the search and the District. Both parties filed Cross-Motions for Summary Judgment. Plaintiff claims his fourth amendment rights were violated under section 1983. Specifically, the plaintiff claims that the first animal-cruelty warrant application was deficient and made at the behest of the Lieutenant and that false information was used on the warrant application. The Court rejects this argument because the plaintiff abandoned the fact that the two officers fabricated the warrant application at the behest of the Lieutenant. The Court, therefore, concluded that the Lieutenant played no role in preparing or submitting the warrant application. Next the plaintiff contends that the Lieutenant’s reliance on the warrant was improper. The Court concluded that since the Lieutenant had no part int the warrant application, he had no reason to distrust its contents. The warrant was facially valid and as a result, the Court cannot hold the Lieutenant responsible for executing it. Plaintiff contended that the Lieutenant exceeded the scope of the first warrant because the rummaging around in closed spaces after the search was considered finished exceeded the scope. The Court disagreed and concluded that the warrant authorized a search for animals that were dead or alive and an animal can surely fit in a freezer. The Court said that the Lieutenant’s “judgment that the scope of the warrant was supported by probable cause may have been mistaken, but it was not plainly incompetent.” Next the plaintiff argues that the second warrant was invalid. The Court reasoned that since the Lieutenant could have reasonably believed that he had authority to search the freezer, it would also be reasonable for him to obtain a warrant based on its contents. Plaintiff also contended that the pills in the freezer were not in plain sight. However, the photos that the plaintiff used to prove his point actually belies this claim because the Court could clearly make out the same clear plastic baggies with pills in both pictures. Next the plaintiff argues that the warrantless field test of the methamphetamines was improper. The Court concluded that field tests of methamphetamine are not recognized as a search and therefore do not implicate Fourth Amendment protections. Even if that were the case, qualified immunity would shield the Lieutenant from civil liability. Next the plaintiff argues that his arrest was without probable cause. The Court stated that given the amount of drug evidence that was found in the second search, there was enough probable cause to arrest the plaintiff. Next the plaintiff argues that the execution of the warrants unnecessarily cause property damage. The plaintiff failed to challenge this claim because he did not accompany it with specific points of law to support it. The Court refused to decide this matter. Finally, plaintiff argues that the officers unlawfully seized more than $53,000 in cash from the apartment. This claim also falls outside of the lawsuit because the plaintiff failed to make mention of it in his complaint. The plaintiff lastly alleges that the district negligently supervised and retained the lieutenant and he asserts a claim of abuse of process. The plaintiff failed to show that the Lieutenant engaged in behavior that should have put his employer on notice that he required additional training or that he was dangerous or otherwise incompetent. As for the abuse of process claim, plaintiff alleges two acts: Lieutenant’s arrest of him and the seizure of his property. The court held that the Lieutenant’s warrantless actions cannot sustain an abuse of process claim. The Court ultimately granted the Defendant’s Motion for Summary Judgment and denied the Plaintiff’s Cross-Motion for Partial Summary Judgment.
The Ecology Center v. Russell 361 F.Supp.2d 1310 (D.Utah,2005)

The instant case is a Petition for Review of Agency Action, brought by The Ecology Center and The Aquarius Escalante Foundation (Plaintiffs). Plaintiffs seek review of a Record of Decision (ROD) issued by the Acting Forest Supervisor of the Dixie National Forest (the DNF), an agency of the United States Department of Agriculture. The decision in question is the final approval by the DNF of the Griffin Springs Resource Management Project, (the Project) in which the DNF approved a plan to allow logging in the Griffin Springs area of the DNF. Plaintiffs seek declaratory and injunctive relief to stop the implementation of the plan, claiming that the ROD violates the National Environmental Policy Act (NEPA), the National Forest Management Act (NFMA), and the Administrative Procedures Act (APA).  Of particular concern, is the effect upon the northern goshawk.

Thacker ex rel. Thacker v. Kroger Co. 155 Fed.Appx. 946 (C.A.8 (Mo.),2005)

Eighth Circuit Court of Appeals affirmed district court decision that Thacker family failed to link an injury to ground beef on which the USDA requested a recall.

Texas Beef Group v. Winfrey 201 F.3d 680 (C.A.5 (Tex.),2000)
Cattle ranchers in Texas sued the  The Oprah Winfrey Show and one of its guests for knowingly and falsely depicting American beef as unsafe in the wake of the British panic over “Mad Cow Disease.” The matter was removed from state court to federal court. The federal district court granted summary judgment as a matter of law on all claims presented except the business disparagement cause of action, which was eventually rejected by a jury. The court alternately held that no knowingly false statements were made by the appellees. This court affirmed on this latter ground only, finding that the guest's statement and the producers' editing of the show did not violate the Texas False Disparagement of Perishable Food Products Act. 
Test Drilling Service Co. v. Hanor Company 322 F.Supp.2d 957 (C.D. Ill. 2003)

Owner of oil and gas mineral rights sued the operators of commercial hog confinement facilities for negligence, claiming that the operator's allowed hog waste to escape the confines of the facility and flow into the mineral rights.   The District Court held that plaintiff's alleged damages were not barred by a rule prohibiting recovery of economic loss in tort actions; that defendant's alleged violations were evidence of negligence, but not negligence per se; and that defendant's owed a duty of ordinary care to plaintiff.

Terranova v. United States Dep't of Agric. 820 F. App'x 279 (5th Cir. 2020) Petitioners seek review of a decision and order of the USDA/APHIS determining that they violated various provisions of the Animal Welfare Act (“AWA”) and its implementing regulations, imposing civil penalties, and revoking the exhibitor license granted to Terranova Enterprises, Inc. Petitioners were licensees who provide wild animals like tigers and monkeys for movies, circuses, and other entertainment. In 2015 and 2016, APHIS filed complaints against petitioners that they willfully violated multiple provisions of the AWA and knowingly violated a cease and desist order issued in 2011 to avoid future violations of the AWA. After consolidating the complaints, the Administrative Law Judge ("ALJ") found that petitioners willfully committed four violations, so the ALJ issued a cease and desist order, suspended petitioners' license for 30 days, and assessed a $10,000 penalty and an $11,550 civil penalty for failing to obey the prior cease and desist order. On appeal by both parties to the Judicial Officer of the USDA, petitioners' exhibitor license was revoked and the penalties were increased to $35,000 and $14,850, respectively. On appeal here to the Fifth Circuit, petitioners claim that the determinations of the Judicial Officer were not supported by substantial evidence and that she abused her discretion in revoking their exhibitor license. This court found there was sufficient evidence to support the violations, including failing to allow APHIS officials to conduct compliance investigations and inspections, faulty tiger enclosures, insufficient distance/barriers between tigers and the public, failure to make an environmental enrichment plan, and failings involving tiger enclosure and protection from inclement weather, among other things. With regard to petitioners' claim that the Judicial Officer abused her discretion in revoking the exhibitor license, this court court found that petitioners committed more than one willful violation of the AWA so revocation was not unwarranted or without justification. The court concluded that the USDA Secretary’s order was not arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with the law, and that it was supported by substantial evidence. Therefore, the court denied the petition for review.
Tarquinio v. City of Lakewood, Ohio (unpublished) Slip Copy, 2011 WL 4458165 (N.D.Ohio)

Plaintiffs sought a declaratory judgment from the court that Lakewood City Ordinance (“LCO”) 506.01, which bans pit bull dogs or those dogs with "appearance and characteristics of being predominantly of such breeds," unconstitutional under the Ohio Constitution Home Rule provisions. In this motion, plaintiffs argue that LCO 506 conflicts with and impermissibly expands the provisions of Ohio Revised Code § 955.22. The court found that while § 955.22 outlines requirements that must be met by a person who houses vicious dogs, including all pit bulls, it does not explicitly permit pit bulls. The court found that the General Assembly intended to allow municipalities to regulate the possession of pit bulls.

Szabla v. City of Brooklyn Park, Mn. 429 F.3d 1168 (8th Cir., 2005)

A homeless man was mistaken for the driver of a crashed car while sleeping in a public park and was bitten by a police dog.  The homeless man brought claims under Section 1983 claiming his Fourth Amendment rights had been violated.  The trial court granted summary judgment in favor of the police department and city, but the Court of Appeals remanded the issue of excessive force. Rehearing en Banc Granted in Part, Opinion Vacated in Part by Szabla v. City of Brooklyn Park, MN , 429 F.3d 1289 (8th Cir., 2006).

Szabla v. City of Brooklyn Park, MN 437 F.3d 1289 (8th Cir. 2006)

After an 8th Circuit decision to affirm the district court's summary judgment against Szabla and to reverse the district court’s grant of summary judgment for the City of Brooklyn Park, the City of Brooklyn Park filed a petition requesting a hearing en blanc. The 8th Circuit granted the petition, but limited the en blanc hearing to the issues raised in the city’s petition.  In all other respects, however, the Szabla v. City of Brooklyn Park, Mn., 429 F.3d 1168 (8th Cir. 2005) panel opinion and judgment were reinstated. Szabla v. City of Brooklyn Park, Minnesota, 486 F.3d 385 (8th Cir. 2007).

Szabla v. City of Brooklyn Park, Minnesota 486 F.3d 85 (8th Cir. 2007)
A man who was bitten by a police dog brought a § 1983 action against two cities and police officers for violating his Fourth Amendment rights; the man also brought some state laws claims against the defendants as well. When the district court granted Minnesota’s motion for summary judgment, the park occupant appealed and the appeals court reversed the lower court’s decision. The appeals court also granted a petition to rehear, en banc, the question of the city’s municipal liability and found that the city was entitled to summary judgment on that claim. Circuit Judge Gibson filed a dissenting opinion and was joined by Wollman, Bye, and Melloy.
Sykes v. Cook Cty. Circuit Court Prob. Div. 837 F.3d 736 (7th Cir. 2016), reh'g and suggestion for reh'g en banc denied (Oct. 27, 2016) This case dealt with the plaintiff's denial of the use of her service dog while in a courtroom to present a motion. After the denial, the plaintiff filed an Americans with Disabilities Act (ADA) action, alleging that there was a violation for denial of reasonable accommodations under the ADA. The district court dismissed the action for lack of jurisdiction, because as a federal court, it was barred from hearing the claim under the Rooker–Feldman doctrine. The Court of Appeals agreed, and held that as a federal court, it was barred from hearing the claim under the Rooker–Feldman doctrine, which prevents lower federal courts from exercising jurisdiction over cases brought by state court losers challenging state court judgments rendered before the district court proceedings commenced. Additionally, the district court held that it should exercise Younger abstention because the proceeding was ongoing and because the plaintiff had an adequate opportunity to raise her federal claims about her dog in state court, but the Court of Appeals held that "Younger is now a moot question because there is no ongoing state proceeding for [the Court of Appeals] to disturb." As a result, the district court's dismissal for lack of subject matter jurisdiction was AFFIRMED.
Swartz v. Heartland Equine Rescue 940 F.3d 387 (7th Cir., 2019) The Plaintiff, Jamie and Sandra Swartz, acquired several horses, goats, and a donkey to keep on their farm in Indiana. In April of 2013, the county’s animal control officer, Randy Lee, called a veterinarian to help evaluate a thin horse that had been observed on the Swartzes’ property. Lee and the veterinarian visited the Swartzes’ on multiple occasions. The veterinarian became worried on its final visit that the Swartzes’ were not properly caring for the animals. Lee used the veterinarian’s Animal Case Welfare Reports to support a finding of probable cause to seize the animals. Subsequently, the Superior Court of Indiana entered an order to seize the animals. On June 20, 2014, the state of Indiana filed three counts of animal cruelty charges against the Swartzes. However, the state deferred prosecuting the Swartzes due to a pretrial diversion agreement. The Swartzes filed this federal lawsuit alleging that the defendants acted in concert to cause their livestock to be seized without probable cause and distributed the animals to a sanctuary and equine rescue based on false information contrary to the 4th and 14th amendments. The district court dismissed the Swartzes' claims to which, they appealed. The Court of Appeals focused on whether the district court had subject-matter jurisdiction over the Swartzes’ claims. The Court applied the Rooker-Feldman doctrine which prevents lower federal courts from exercising jurisdiction over cases brought by those who lose in state court challenging state court judgments. Due to the fact that the Swartzes’ alleged injury was directly caused by the state court’s orders, Rooker-Feldman barred federal review. The Swartzes also must have had a reasonable opportunity to litigate their claims in state court for the bar to apply. The Court, after reviewing the record, showed that the Swartzes had multiple opportunities to litigate whether the animals should have been seized, thus Rooker-Feldman applied. The case should have been dismissed for lack of jurisdiction under the Rooker-Feldman doctrine at the outset. The Court vacated the judgment of the district court and remanded with instructions to dismiss the case for lack of subject-matter jurisdiction.
Supreme Beef Processors, Inc. v. U.S. Dept. of Agriculture 275 F.3d 432 (C.A.5 (Tex.),2001)

The Fifth Circuit United States Court of Appeals affirmed the district court's decision that the Federal Meat Inspection Act focuses on the processes used by a manufacturer and not the product itself, and that the presence of Salmonella bacteria in the meat does not necessarily make a product "adulterated" because the act of the cooking meat normally destroys the bacteria.

Supreme Beef Processors, Inc. v. U.S. Dept. of Agriculture 113 F.Supp.2d 1048 (N.D.Tex.,2000)

North Federal District Court of Texas ruled that the Federal Meat Inspection Act (FMIA) only empowered the Food Safety and Inspection Services to prevent the United States Department of Agriculture from allowing companies to sell adulterated meat to the public. To find meat adulterated under FMIA requires that the processor's plants conditions are insanitary, thus the FSIS should focus on the manufacturing process and not the final product to determine that a plant is insanitary.

Sturgeon v. Frost 872 F.3d 927 (9th Cir. 2017) In this case, Sturgeon sought to use his hovercraft in a National Preserve to reach moose hunting grounds. Sturgeon brought action against the National Park Service (NPS), challenging NPS’s enforcement of a regulation banning operation of hovercrafts on a river that partially fell within a federal preservation area in Alaska. Alaskan law permits the use of hovercraft, NPS regulations do not; Sturgeon argued that Park Service regulations did not apply because the river was owned by the State of Alaska. Sturgeon sought both declaratory and injunctive relief preventing the Park Service from enforcing its hovercraft ban. On remand, the Court of Appeals held that regulation preventing use of hovercraft in federally managed conservation areas applied to the river in the National Preserve. While the hovercraft ban excludes "non-federally owned lands and waters" within National Park System boundaries, this court found that the waterways at issue in this case were within navigable public lands based on established precedent. The district court's grant of summary judgment to defendants was affirmed.
Strong v. United States 5 F.3d 905 (1993)

The appeal in this case does not contest the denial of a permit to conduct dolphin feedings cruises. The position of the plaintiffs-appellees is that the Secretary of Commerce has no authority to consider feeding to be a form of harassment or to regulate it. The court disagreed with the plaintiffs-appellees and found it clearly reasonable to restrict or prohibit the feeding of dolphins as a potential hazard to them.

Strahan v. Linnon 1998 U.S. App. LEXIS 16314 (1st Cir.)

Coast Guard vessels struck and killed Northern Right whales. Plaintiffs claim that these incidents constitute takings in violation of the ESA and MMPA. Court holds that the Coast Guard could implement reasonable and prudent alternatives that would reduce the striking of whales.

Stout v. U.S. Forest Service 2011 WL 867775 (2011)

Plaintiff ranch owners grazed cattle within the Murderer's Creek Wild Horse Territory (WHT), an area in which the threatened Middle Columbia River steelhead was present. The Forest Service approved a wild horse management plan in the area, but failed to prepare a Biological Assessment (BA) to determine whether the plan was likely to affect the threatened species, and whether formal consultation with the National Marine Fisheries Service (NMFS) was necessary. The Forest Service’s failure to comply with section 7(a)(2) of the Endangered Species Act (ESA) was arbitrary and capricious, and was ordered to consult with NMFS on its plan.

Stevens v. Hollywood Towers and Condominium Ass'n 836 F.Supp.2d 800 (N.D. Ill. 2011) Plaintiffs brought the instant suit contending that their Condo Board's refusal to accommodate the need for an emotional support animal forced them to sell their condo. The Defendants moved to dismiss for failure to state claims upon which relief could be granted. After finding that Plaintiffs were not entitled to unrestricted access for their dog despite a no pet waiver and after needing more facts to determine whether Defendants restrictions on Plaintiffs’ access to the building were reasonable, the District Court denied Defendants' motion to dismiss Plaintiffs' claims under the Federal Housing Amendments Act (FHAA) and the Illinois Human Rights Act (IHRA). The District Court also found Plaintiffs' interference or intimidation allegations sufficient to withstand a motion to dismiss. However, the District Court dismissed Plaintiffs’ nuisance claim because Plaintiffs had not contended that Defendants unreasonably used their own property to interfere in Plaintiffs' use and enjoyment of their home, but rather, contended that Defendants made rules that interfered with the Plaintiff's ability to use the common areas of the property as they wished. Plaintiffs’ intentional infliction of emotional distress claim was also dismissed because Plaintiffs had not sufficiently alleged that Defendants' conduct was extreme or outrageous. Finally, the constructive eviction claim was dismissed because more than a year had past between the owners’ accommodation request and the sale of their condominium. In sum, Counts I, II, and III went forward, but the remainder of the complaint was dismissed. Additionally, Defendant Sudler Building Services was dismissed from the complaint.
Stephens v. Target Corp. 482 F.Supp.2d 1234 (2007)

Lamp owners sued the lamp’s manufacturer and seller under Washington Products Liability Act, alleging that  lamp caused a fire that injured their dog. The District Court held that Plaintiffs could not recover damages for emotional harm arising from injury to their dog. The appropriate measure of damages for personal property is market value, but if it has none, then the value to the owner is the proper measure. Plaintiffs' recovery was limited to the actual or intrinsic value of the dog.

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