Professional Documents
Culture Documents
3/15/15 5:32 PM
Search'this'site:'
Search
!FederalPracticeManualforLegalAidAttorneys
Acknowledgements
Home!!Federal!Practice!Manual!for!Legal!Aid!Attorneys!!Chapter!3:!The!Case!or!Controversy!Requirement!and!Other
Preliminary!Hurdles
Search
3.1
Standing
Search'this'site:'
Search
Book!navigation
Federal!Practice!Manual!for
Legal!Aid!Attorneys
Chapter!1:!Preparing!for
Litigation
Chapter!2:!Jurisdiction
Chapter!3:!The!Case!or
Controversy!Requirement
and!Other!Preliminary
Hurdles
3.1!Standing
3.2!Ripeness
3.3!Mootness
3.4!Exhaustion!and
Preclusion
Chapter!4:!Drafting!and
Filing!the!Complaint
Chapter!5:!Causes!of!Action
Updated 2013 by Jeffrey S. Gutman
Chapter!6:!Pretrial!and!Trial
Practice
Attorneys need to understand the law of standing in order to minimize the likelihood of having to litigate the issue.
Chapter!7:!Class!Actions
Avoiding a standing defense requires a careful selection of plaintiffs, thoughtful choice of claims and relief sought, and
specific allegation of facts in the complaint. Skillful pleading, therefore, should focus not only on the merits of the claims
Chapter!8:!Limitations!on
Relief
but also on the standing of the plaintiffs to advance them. Failure to do so may result in delay of the case at best, and
Chapter!9:!Relief
Contributors
3.1.A. Overview
The law of standing has its roots in Article IIIs case and controversy requirement./1/ The U.S. Supreme Court has
established a three-part test for standing. The irreducible constitutional minimum of standing requires the plaintiff to
establish:
First ... an injury in factan invasion of a legally protected interest which is (a) concrete and
particularized, and (b) actual or imminent, not conjectural or hypothetical. Second, there must be a
causal connection between the injury and the conduct complained ofthe injury has to be fairly ...
trace[able] to the challenged action of the defendant, and not ... th[e] result [of] the independent action of
some third party not before the court. Third, it must be likely, as opposed to merely speculative, that the
injury will be redressed by a favorable decision./2/
While the standing test is easily stated, it can be difficult to apply. The Supreme Court has observed that [g]eneralizations
http://federalpracticemanual.org/node/19
Page 1 of 24
3/15/15 5:32 PM
http://federalpracticemanual.org/node/19
Page 2 of 24
3/15/15 5:32 PM
Page 3 of 24
3/15/15 5:32 PM
do not support a finding of the actual or imminent injury that our cases require./28/
The Supreme Courts more recent decision in Friends of the Earth v. Laidlaw Environmental Services involved standing
under the citizen-suit provision of the Clean Water Act./29/ That provision authorizes the federal courts to hear actions
for injunctive relief and civil penalties by a person or persons having an interest which is or may be adversely
affected./30/ Laidlaw received a permit to discharge certain pollutants into a river but repeatedly exceeded those limits.
South Carolina sued Laidlaw and quickly settled for $100,000 in civil penalties and a promise to comply with the permit.
Friends of the Earth subsequently filed suit, seeking additional civil penalties and injunctive relief. The issue before the
Court was whether plaintiffs had standing to seek civil penalties after Laidlaw had complied with the discharge permit.
The Court held that plaintiffs had established injury in fact, Through affidavits and deposition testimony they detailed
their desire to recreate on the nearby river and to enjoy its aesthetic beauty, but explained their hesitance to do so because
of the pollution./31/ Distinguishing National Wildlife Federation and Defenders of Wildlife, the Court held that the
affidavits and testimony presented by Friends of the Earth members asserted that Laidlaw's discharges, and the affiants'
reasonable concerns about the effects of those discharges, directly affected those affiants' recreational, aesthetic, and
economic interests. The court stated that the submissions presented more than the mere "general averments" and
"conclusory allegations" found inadequate in National Wildlife Federation. The Court further found that the affiants'
conditional statements -- that they would use the nearby North Tyger River for recreation if Laidlaw were not discharging
pollutants into it -- were not like the speculative "'some day" intentions to visit endangered species halfway around the
world that we held insufficient to show injury in fact in Defenders of Wildlife."/32/
Friends of the Earth offers useful guidance to advocates who need to identify potential plaintiffs and plead their injuries
in the complaint or in affidavits. Unlike plaintiffs in National Wildlife Federation, the Friends of the Earth plaintiffs
alleged direct injury from the pollutants in question to the particular area in which they wished to recreate./33/ Unlike
plaintiffs in Defenders of Wildlife, the plaintiffs in Friends of the Earth alleged that they would use the river without the
discharges, not that they might someday do so./34/ Notwithstanding the Court's opinion in Earth Island Institute,
discussed below, Friends of the Earth suggests that the Court remains receptive to finding injury in fact in environmental
cases where plaintiffs are able to allege a clear wish to avail themselves of recreational or aesthetic opportunities in a
particular, proximate area, but assert that they had not done so because of reasonable concern of harm.
3.1.B.1.c. Injuries to Statutory Rights
Statutory rights can create the cognizable legal interest required for standing, but Defenders of Wildlife seemed to place
limits on this general principle. A majority of the Court found the citizen suit provision of the Endangered Species Act
unconstitutional./35/ The Act permitted any person to obtain judicial review of agency action that is alleged to violate
the Act. The plurality opinion, authored by Justice Scalia, recognized that the Court had frequently held that [t]he ...
injury required by Art. III may exist solely by virtue of statutes creating legal rights, the invasion of which creates
standing./36/ However, relying on the line of generalized grievance cases, Justice Scalia stated that Congress could
recognize cognizable injuries by statute but could not dispense with the concrete-injury requirement. Justices Kennedy
and Souter joined this holding, forming a majority, on slightly narrower grounds. They noted that Congress must, at the
very least, identify the injury it seeks to vindicate and relate the injury to the class of persons entitled to bring suit./37/
That was something the citizen-suit provision of the Act failed to do./38/
In so holding, the Supreme Court did not purport to overturn a line of cases arising under the Fair Housing Act of
1968./39/ In those cases, the Court held that Congress may create by statute a right, the deprivation of which constitutes
the injury in fact necessary for standing, even when the plaintiff would have suffered no judicially cognizable injury
without the statute. In Trafficante v. Metropolitan Life Insurance Company, cited with apparent approval in Defenders
of Wildlife, the Court held that Congress created a right to be free from the effects of racially discriminatory housing
practices directed at others./40/ Thus, white residents of an apartment complex had standing to challenge the exclusion
of black rental applicants because they suffered the loss of the benefits of life in an integrated community./41/ Defenders
of Wildlife would suggest that such antidiscrimination laws can create new cognizable injuries, but that such statutes can
permit only those particularly and concretely suffering such injuries to enforce these laws./42/ Indeed, acknowledging
contrary authority under the Fair Housing Act, the Supreme Court recently held that the "person aggrieved" right to sue
provisions in Title VII is narrower than Article III standing./43/ Instead, the Court equated the "person aggrieved"
language with the "zone of interest" test found in APA standing jurisprudence./44/
3.1.B.1.d. Procedural Injury
http://federalpracticemanual.org/node/19
Page 4 of 24
3/15/15 5:32 PM
The Supreme Court has addressed an additional form of injuryother than economic, recreational, and aesthetic injury
of potential value to legal aid attorneys. In Defenders of Wildlife, plaintiffs sought standing on the ground that the Act in
question created a procedural right in the form of interagency consultation that was allegedly violated. The Court rejected
the view that anyone could have standing to assert this abstract procedural right./45/ The Court did, however, note that
procedural rights are special: the person who has been accorded a procedural right to protect his concrete interest can
assert that right without meeting all the normal standards for redressability and immediacy./46/ Plaintiffs have, in short,
standing to challenge the alleged violation of procedures so long as the procedures are designed to protect some concrete
substantive interest of the plaintiff and that it is "substantively probable" that breach of those procedures will injure those
interests./47/ Otherwise, the claim of standing is regarded as nothing more than a generalized interest in the
governments compliance with laws./48/
The Supreme Court's decision in Massachusetts v. Environmental Protection Agency clearly reinforces, if not expands,
this form of standing./49/ In that case, Massachusetts challenged the Environmental Protection Agencys decision not to
regulate greenhouse gases pursuant to the Clean Air Act, which expressly authorizes challenges for actions unlawfully
withheld. Holding that Massachusetts could advance this challenge without meeting the ordinary standards for
redressability and immediacy, the Court held that "when a litigant is vested with a procedural right, that litigant has
standing if there is some possibility that the requested relief will prompt the injury-causing party to reconsider the
decision that allegedly harmed the litigant."/50/
In!seeming!tension!with!Monsanto,!the!Court's!most!recent!standing!case,!Clapper,v.,Amnesty,International,!squarely
http://federalpracticemanual.org/node/19
Page 5 of 24
3/15/15 5:32 PM
addressed!the!question!of!future!injury!and!exposed!the!deep!rift!in!the!Court!on!how!to!define!the!degree!of!certainty
required!of!plaintiffs!to!establish!standing!when!asserting!future!injury./61/!In!Clapper,!a!group!of!journalists,!attorneys
and!others!challenged!as!unconstitutional!a!provision!in!the!amended!Foreign!Surveillance!Intelligence!Act!which
authorized!the!government!to!engage!in!electronic!surveillance!of!their!sources!and!clients!overseas.!The!plaintiffs
contended!that!their!sources!and!clients!are!the!kinds!of!people!likely!to!be!subject!to!such!surveillance!and,!fearing!future
surveillance,!they!had!undertaken!costly!measures,!such!as!foreign!travel!instead!of!phone!calls!or!e[mail,!to
communicate!with!these!individuals,!or!had!limited!their!electronic!contacts!to!maintain!their!confidentiality.!
In!a!5[4!decision,!the!majority!initially!observed!that!the!standing!requirement!is!particularly!exacting!when!the!case
challenges!the!constitutionality!of!actions!taken!by!another!branch!of!the!federal!government!and!when!the!issue!relates
to!intelligence!gathering!and!foreign!affairs./62/!However,!relying!on!cases!outside!that!context,!the!Court!held!that!the
threatened!injury!must!be!"certainly!impending."/63/!It!found!that!plaintiff!had!not!satisfied!that!formidable!standard.!The
Court!regarded!the!plaintiffs'!fear!that!the!government!will!target!their!contacts!or!clients!as!speculative,!citing!affidavits
that!expressly!stated!that!the!affiant!assumed!their!communications!would!be!monitored.!In!context,!an!allegation!of
certain!surveillance!was!not!possible.!Even!if!the!government!targeted!the!communications!of!those!connected!to!the
plaintiffs,!the!request!to!do!so!required!review!of!the!Foreign!Intelligence!Surveillance!Court!and!the!Court!announced!its
reluctance!"to!endorse!standing!theories!that!require!guesswork!as!to!how!independent!decisionmakers!will!exercise!their
judgment."/64/!The!plaintiffs!further!contended!that!their!fear!of!surveillance!caused!them!present!injuries!when!they
took!measures,!including!foreign!travel,!to!avoid!being!overheard.!The!majority!rejected!that!assertion!as!nothing!more
than!an!effort!to!"manufacture!standing!merely!by!inflicting!harm!on!themselves!based!on!their!fears!of!hypothetical
future!harm!that!is!not!certainly!impending."/65/!The!dissent!observed!that!there!was,!in!reality,!a!"very!high!likelihood"
that!the!government!would!intercept!the!communications!involving!the!plaintiffs!because!their!clients!and!contacts!were
the!kinds!of!people!of!great!concern!to!the!government,!the!content!of!the!communications!would!be!of!interest!to!the
government,!they!had!been!previously!targeted!for!surveillance,!and!the!government!has!the!capacity!to!conduct
surveillance!of!these!communications./66/!The!dissent!further!challenged!the!notion!that!the!"certainly!impending"
standard!was!the!required!threshold!for!standing,!citing!many!cases,!including!Monsanto,!applying!a!less!rigorous
probabilistic!standard./67/
Notwithstanding!the!national!security!context,!there!seems!little!doubt!that!Clapper's!"certainly!impending"!language
narrows!access!to!the!federal!courts!in!cases!involving!fear!of!future!injury.!For!those!challenging!government!action
which!promises!to!harm!your!clients,!who!may!have!altered!their!behavior!to!mitigate!expected!harm,!Clapper,is!required
reading!and!presents!substantial!challenges.
Page 6 of 24
3/15/15 5:32 PM
distinct and palpable is a prudential limitation on standing created to effectuate the separation of powers. Because the
requirement is prudential, Congress can dispense with it./76/
Allen v. Wright culminated the demise of both citizen standing and taxpayer standing./77/ Parents of African American
public school children, residing in school districts undergoing desegregation, challenged the Internal Revenue Services
failure to deny tax-exempt status to discriminatory private schools in their respective districts. Plaintiffs did not allege
that their children wished to attend these private schools. Rather, the parents alleged that governmental financial
assistance to discriminatory schools both harmed them and impaired their ability to have the public schools desegregated.
Treating the claim as an abstract allegation that the government stigmatized African American citizens by subsidizing race
discrimination, the Court held that the claim did not state a distinct and palpable injury./78/ The Court found that
stigmatic injury accords a basis for standing only to those persons who are personally denied equal treatment by the
challenged discriminatory conduct./79/
More recently, the Supreme Court returned to the topic, dismissing a case raising what it regarded as a generalized
grievance. In Lance v. Coffman, the Supreme Court found that four Colorado voters lacked standing to challenge a
provision of the Colorado Constitution interpreted to permit a redistricting plan on the grounds that it violated the
Elections Clause in the Federal Constitution. The Court viewed the complaint as only asserting an injury that the
government was not following the law./80/
Nonetheless, the Court has sometimes found standing based upon claims of injury that can be described only as
generalized or abstract. In Federal Election Commission v. Akins, for example, voters challenged a decision by the Federal
Election Commission that a particular organization was not a political committee./81/ Political committees must make
certain disclosures to the Commission; those disclosures, in turn, may be made public. The Court found that plaintiff
voters had standing because the voters were not afforded access to information that might assist them in casting their
vote, even though all voters could have claimed the same thing./82/ Akins might be justified on the grounds that the right
of information at issue was statutorily created and that a statute gave aggrieved parties a right to challenge the FEC
decision. That would put Akins closer to Trafficante than Defenders of Wildlife, discussed above.
Page 7 of 24
3/15/15 5:32 PM
practices./88/ The developer had contracted to buy property contingent upon its rezoning for multiple family use and
filed a properly documented application. When the city denied the application, the developer sued. Although financing for
the project was uncertain, the Court held that the developer had standing to challenge the citys action because an
injunction would remove a barrier to development./89/ The individual plaintiff alleged that he would seek and qualify for
housing in the proposed development in order to move closer to his job. Finding that the citys action frustrated the
individual plaintiffs specific plan and that an injunction would create at least a substantial probability of development,
the Court concluded that he too had standing./90/
Plaintiffs in Arlington Heights overcame standing problems by paying attention to detail. Rather than mount an abstract
challenge to exclusionary zoning practices on behalf of developers who hoped to develop at some future time and tenants
who hoped to rent somewhere, they identified a developer and an individual with specific injuries more closely traceable
to city action. Because they pled a commitment to act if relief were granted, these plaintiffs also established a greater
likelihood of redressability. By recognizing from the outset the importance of establishing that exclusionary zoning caused
the inability to develop or to rent, they overcame the Warth obstacle. Arlington Heights represents a wise response to
Warth: to identify with precision the injury and to demonstrate the link between the injury and official action./91/
Simon v. Eastern Kentucky Welfare Rights Organization, in contrast, demonstrates the hazards of filing a suit without
giving due regard to standing./92/ In that case, various individuals and organizations challenged an Internal Revenue
Ruling which permitted some hospitals to deny admission to non-emergency indigent patients without jeopardizing their
tax-exempt status. Plaintiffs each claimed to have been denied hospital treatment because of their indigence and asserted
that the revised revenue ruling encouraged and was encouraging the continued denial of treatment. Plaintiffs pled that
each of the hospitals was tax-exempt and received substantial private contributions.
The Court held that the plaintiffs failed to establish that the denial of treatment was fairly traceable to the revised revenue
ruling. The Court reasoned that, in the absence of such evidence, [i]t is purely speculative whether the denials of service .
. . fairly can be traced to [Internal Revenue Service's] encouragement or instead result from decisions made by the
hospitals without regard to the tax implications./93 / Eastern Kentucky Welfare Rights Organization presented a
particular challenge to the plaintiffs because they needed establish a causal relationship between a policy and the actions
of a third party. Causation is much easier to show when it turns on the plaintiffs' own actions or decisions not to act.
Friends of the Earth is a good example. The Court did not require the plaintiffs to demonstrate that particular discharges
into a river had caused them injury or increased their risk of injury. Rather, the Court found it sufficient that the
discharges generally created reasonable concerns about their effects and that these concerns directly and reasonably
affected plaintiffs recreational and aesthetic interests when plaintiffs chose not to use the river./94/
The Court's recent decision in Massachusetts v. Environmental Protection Agency involved a somewhat different
concept of causation./95/ There, the Environmental Protection Agency conceded a causal link between greenhouse gasses
and global warning, but argued that Environmental Protection Agencys failure to regulate new car emissions contributed
very little to the asserted injuries and that regulation would not help global warming because of greenhouse gas emissions
from other countries. The Court held that causation is present even if there is a tentative or incremental link between the
challenged action (or inaction) and asserted injury./96/ The earlier cases measured causation in terms of the degree to
which the link between conduct and injury was clear or certain. In a sense, causation was clear and certain in
Massachusetts; the issue was, instead, the extent to which the link must be quantitatively significant. On that point, the
Court was rather forgiving, although it suggested that a more relaxed standard was in order when a state is the plaintiff.
Page 8 of 24
3/15/15 5:32 PM
until City of Los Angeles v. Lyons did the Court clearly articulate the requirement of remedial efficacy as a constitutional
component of standing./97/ The plaintiff in Lyons sought damages and injunctive relief after being choked by city police
officers. He alleged that the city permitted the police department to use unnecessary choke holds indiscriminately. The
Court conceded that Lyons had standing to sue for damages./98/ However, the Court held that he lacked standing to seek
injunctive relief. An injunction would not redress his injury because it was unlikely that he would be arrested and choked
again.
Lyons differs dramatically from Warth and Eastern Kentucky Welfare Rights Organization. In the earlier cases, the
Courts concern for remedial efficacy was a corollary to the requirement that the plaintiff establish that the injury was
fairly traceable to defendants unlawful conduct. If the causal link between the defendants conduct and the plaintiffs
injury was tenuous, then it followed that injunctive relief against that conduct was unlikely to remedy the injury. Thus, the
requirement of remedial efficacy grew out of the focus upon causation; whenever causation was in doubt, so too was
remedial efficacy.
The notion of uncertainty in redressability arose in a different context in Defenders of Wildlife. In that case, plaintiffs
challenged a regulation that did not require funding agencies to consult with the government before granting funds to
projects that might harm endangered species. The Court found that plaintiffs had not demonstrated redressability
because the funding agencies were not otherwise bound by any consultation requirement and because the funding
agencies supplied only a small percentage of the financing for certain projects./99/ Even if those funds were withdrawn,
the plaintiffs did not show that the project would be suspended or cause less harm to the endangered species, a showing
that would be formidable, if not impossible.
The ability of prospective injunctive relief to remedy past wrongs dealt with in Lyons has echoes in Steel Company v.
Citizens for a Better Environment./100/ In Steel Company, plaintiff sued a manufacturing firm for past violations of a
federal statute requiring users of certain toxic and hazardous chemicals to file forms with the Environmental Protection
Agency that detail the name, quantity, and disposal methods of various chemicals. The Environmental Protection Agency
alerted the firm that it had failed to file the forms for several years. The firm then did so. Suing the firm for violating the
statute, the plaintiff asserted that the companys failure to file these forms precluded the plaintiff from learning about its
operations. The plaintiff sought declaratory and injunctive relief and civil penalties.
The Court found that the plaintiff failed the redressability prong of the standing test. With respect to injunctive relief, the
plaintiff sought an order permitting it to inspect the firms facilities and records and requiring the firm to submit future
forms to the Environmental Protection Agency. The Court held that such relief would not redress the injury previously
caused when the firm failed to file the forms. The plaintiff did not allege that such a violation was going to happen again,
and, without it, there was no basis for prospective injunctive relief.
In contrast, the Courts approach to redressability in Massachusetts v. Environmental Protection Agency was somewhat
more forgiving./101/ There, the Court emphasized that the relief requested need not remedy the entire injury suffered by
the plaintiff; regulation of greenhouse gas emissions from new cars will not solve the global warming problem./102/ The
Court, though, seized on Environmental Protection Agency statements underscoring the need to address the problem,
including voluntary measures. These statements suggested Environmental Protection Agencys recognition that some
regulation must offer some prospect for at least slowing global warming. Holding that the redressability prong can be
satisfied even if relief only promises modest reductions in remote risk, the Court held that:
In sum at least according to petitioners uncontested affidavitsthe rise in sea levels associated with
global warming has already harmed and will continue to harm Massachusetts. The risk of catastrophic
harm, though remote, is nevertheless real. That risk would be reduced to some extent if petitioners received
the relief they seek./103/
The clear message of Lyons and Steel Company is to choose plaintiffs with care and, whenever possible, to choose
plaintiffs who have suffered recurrent application of the practice or policy at issue. In preparing a claim seeking injunctive
relief based upon past conduct, the attorney must therefore articulate in the complaint the reasons why the risk of
recurrence is more than speculative. When the acts or omissions promise to continue into the future, the less demanding
perspective of Massachusetts offers potentially valuable support for creative redressability arguments./104/
Reconciling these standing cases is not realistically possible. However, the Court seems far more likely to find standing in
cases brought pursuant to a specific federal statute which reflected Congress' intent and desire for judicial
http://federalpracticemanual.org/node/19
Page 9 of 24
3/15/15 5:32 PM
intervention./105/ Such statutes evidence a legislative judgment that certain classes of plaintiffs suffer injury in fact when
the statute is violated, that the violation causes the injury, and that such injury is redressable by the statutory remedies
provided. These statutes also explicitly reflect Congress desire that courts intervene to resolve disputes arising from the
statutes. As the Court recently put it, Congress [can] define new legal rights, which in turn will confer standing to
vindicate an injury caused to the claimant./106/ With the exception of Defenders of Wildlife, the Court found standing in
each case arising from such statutes. When, however, the action does not arise from such statutes and there is no explicit
legislative mandate for intervention, the Court takes a much narrower view of standing. This is particularly true in cases,
often involving constitutional questions, that pose challenges to the judicial function when standards of decision are not
readily available or discernible/107/ and when separation of powers issues are present./108/
Page 10 of 24
3/15/15 5:32 PM
generally benefiting the association and its members,/122/ even when there is a need for some limited participation of
association members in fact discovery or at trial./123/ The application of the third prong in cases with a conflict among an
associations membership resulted in an interesting split in the circuits./124/ Unless Congress eliminates the third
element of the Hunt test by statutorily authorizing suit for damages,/125/ associational claims for damages run afoul of
this third prong because the claims require individualized proof of damage and representative standing is therefore
inappropriate./126/ Because Hunt vests trial courts with some discretion in resolving claims of associational standing, the
better practice when group standing appears tenuous is to join at least one named individual as plaintiff in litigation
brought by a group asserting associational standing. The presence of an individual with standing should discourage the
courtand opposing counselfrom delving deeply into the question of the groups associational standing.
Page 11 of 24
3/15/15 5:32 PM
prohibit standing based upon a general injury to a groups ideological interests./139/ Thus, group standing deriving from
injury to the groups non-economic interests offers only limited possibilities for litigation.
In structuring a claim by a group suing qua group, every effort should be made to identify and plead some kind of
economic harm, frustration of a core interest, or membership loss flowing from the challenged conduct. Because
combining individual group standing with associational group standing increases the likelihood of success in establishing
standing, a group asserting injury to its own interests should, whenever possible, also plead representative standing.
Page 12 of 24
3/15/15 5:32 PM
The Court developed a three-part test, each prong of which must be satisfied in order to bring third-party claims: [t]he
litigant must have suffered an injury in fact, thus giving him or her a sufficiently concrete interest in the outcome of the
issue in dispute; the litigant must have a close relationship to the third party; and there must exist some hindrance to the
third partys ability to protect his or her own interests./158/ As this test has been applied, however, the Court has found
standing even in cases in which the second or third prong has not been clearly established.
The first prong of the test has been rigorously enforced. The plaintiff must satisfy traditional constitutional standing
requirements; the challenged law or conduct must injure the party in order for that party to assert the rights or interests
of third parties. These requirements have been found to be satisfied when, for example, the plaintiff challenges laws that
cause it economic harm,/159/ or a criminal defendant challenges jury selection procedures./160/
With respect to the second prong, the Supreme Court has not articulated specific standards for the degree of the closeness
of the relationship between the plaintiff and the third party whose rights are asserted, or the nature of the relationship
which satisfies this criterion. Nonetheless, a number of cases offer significant guidance.
In Singleton v. Wulff, a leading case in this area, the Supreme Court held that a physician had standing to assert the rights
of patients in challenging a state statute limiting Medicaid-covered abortions. The Court noted the close relationship
between doctor and patient and stated that the relationship was directly implicated by the law challenged. Similarly, the
Court permitted an attorney to challenge a statute limiting the ability to recover attorney fees in black lung benefit cases
on the ground that the statute violated his clients due process right to legal representation./161/ In so doing, the Court
observed that third-party standing was appropriate in cases in which the limitation or restriction challenged by the
plaintiff prevented the third party from establishing a lawful relationship with the plaintiff./162/
This notion explains a number of cases in which the Court held that suppliers of products may challenge restrictions on
sales by asserting the rights of customers to obtain the product. In Craig v. Boren, for example, a seller of beer was
permitted to challenge on equal protection grounds an Oklahoma law that prohibited sales of 3.2 percent beer to men
under 21, while allowing the sale to women aged 18 to 21./163/ While the relationship between a tavern and customers
seems more tenuous than that between a doctor and patient or an attorney and client, the Court justified its holding on
the ground that the seller is entitled to assert those concomitant rights of third parties that would be diluted or adversely
affected should her constitutional challenge fail and the statutes remain in force./164/ Similarly, the Court has permitted
booksellers to assert the First Amendment rights of book buyers/165/ and sellers of contraceptives to assert the privacy
rights of customers./166/
With respect to the third prong of the test, the Supreme Court frequently permits third-party standing when the third
party is unlikely to assert its own interests. Most recently, the Court permitted third-party standing in jury selection cases.
In Powers v. Ohio, a white criminal defendant appealed his conviction on the ground that the prosecutors use of
peremptory challenges violated the equal protection rights of prospective African American jurors./167/ The Court first
found that discriminatory use of peremptory challenges caused the defendant injury in fact, regardless of race, because
such use called into question the fairness of the trial./168/ Second, the Court held that the connection between the
defendant and excluded jurors was as close as, if not closer than those in cases such as Triplett because [v]oir dire
permits a party to establish a relation, if not a bond of trust, with the jurors./169/ Somewhat more convincingly, the
Court further noted that the defendant was likely to advocate vigorously on behalf of the excluded jurors in order to secure
a reversal of his conviction./170/ The Court held that excluded jurors were unlikely to challenge their exclusion since the
costs were high and potential benefits low, but that, even if they did, they would be unable to obtain declaratory or
injunctive relief./171/ The Powers rationale has been extended to civil cases/172/ and challenges to the selection of grand
jurors./173/
The question of barriers to third parties enforcing their own rights has also featured prominently in cases involving
unlawful racial covenants and the distribution of contraceptives. In Barrows v. Jackson, for example, whites who sued for
violating racially restrictive covenants in their deeds were permitted to assert the equal protection rights of African
Americans, who could not sue as they were not parties to the covenant./174/ In Eisenstadt v. Baird, a doctor who was
prosecuted for distributing contraceptives to unmarried persons was permitted to assert the rights of such persons./175/
Such persons were not subject to prosecution and were thereby denied a forum in which to assert their own rights./176/
At the same time, one can imagine scenarios in which young males interested in buying 3.2 percent beer, Medicaid
beneficiaries, individuals wishing to obtain contraceptives, and African Americans seeking to purchase property
encumbered by a racially restrictive covenant could assert their rights in litigation that they would initiate. This suggests a
http://federalpracticemanual.org/node/19
Page 13 of 24
3/15/15 5:32 PM
reasonably relaxed approach to the third prong of the test. However, this may be more reflective of the Courts more
generally forgiving approach to standing in the 1970s. The more recent cases in the jury selection area did not raise
significant third-prong problems. However, the Courts most recent third-party standing case struck a more cautionary
note, focusing more on legal barriers to third-parties bringing claims than their likelihood of success in doing so. In
Kowalski v. Tesmer, the Court held that pro se criminal defendants who plead guilty were not hindered in challenging a
state statute forbidding the appointment of appellate counsel./177/
At least two justices have suggested that the Supreme Court revisit and clarify the law of third-party standing. In Miller v.
Albright, a woman born abroad and out of wedlock to an American father and a foreign mother challenged, along with her
father, a provision in the Immigration and Nationality Act that created different citizenship requirements for those born
abroad of an alien father and American mother as opposed to those born abroad to an alien mother and American
father./178/ The lawsuit asserted that the fathers equal protection rights were violated. Nonetheless, the district court
dismissed the fathers claim for lack of standing. The father did not appeal.
Citing only Craig, the plurality opinion written by Justice Stevens and joined by Chief Justice Rehnquist held that thirdparty standing was appropriate. Addressing the issue in more detail, Justice Breyer, on behalf of Justices Souter and
Ginsburg, who dissented on other grounds, agreed. Justice OConnor, joined by Justice Kennedy, would have denied
third-party standing on the ground that the father did not face sufficient barriers to asserting his own rights. Justices
Scalia and Thomas expressed agreement with Justice OConnor but cited Craig to suggest that the third prong of the test
was not especially demanding. Justice Scalia concluded that [o]ur law on this subject is in need of what may charitably be
called clarification./179/
The most sensible approach to litigation in the face of uncertainty is to avoid third-party standing problems by joining
appropriate additional plaintiffs. Creating a complex and unnecessary obstacle to the assertion of a claim by attempting to
have one plaintiff assert the rights of others makes no sense. Simply join representative individuals whose rights are at
issue as named plaintiffs.
Third-party standing rules are more clearly developed in the context of overbreadth claims. The prototypical overbreadth
claim arises when regulation of activity protected by the First Amendment is challenged on the ground that the regulation
sweeps substantial protected as well as unprotected conduct or expression within its prohibition. When plaintiff is
engaging in expression clearly subject to permissible regulation under a properly drawn restraint, the overbreadth
challenge raises third-party standing issues.
The leading case is Secretary of State of Maryland v. Joseph H. Munson Company/180/ The Court held that a plaintiff
invoking third-party standing in an overbreadth case must establish only that he had suffered injury in fact and that he
would adequately frame the issues./181/ To demonstrate injury in fact in an overbreadth case, the plaintiff must
demonstrate a genuine threat of enforcement of the statute against his future activities./182/ Underlying the special
third-party standing rule for overbreadth cases is the risk that the absent party whose rights are at issue may refrain from
the protected activity rather than sue to vindicate First Amendment rights. Should that happen, society loses the views of
those who are silenced.
_________________________________________________________________________________
1. Summers v. Earth Island Institute, 555 U.S. 488, 492-93 (2009); DaimlerChrysler Corporation v. Cuno, 547 U.S.
332, 340-41 (2006).
2. Lujan v. Defenders of Wildlife, 504 U.S. 555, 560-61 (1992); see also Summers, 555 U.S. at 493.
3. Association of Data Processing Service Organizations Incorporated v. Camp, 397 U.S. 150, 151 (1970).
4. United States v. Windsor, 133 S. Ct. 2675, 2687 (2013) (quoting Baker v. Carr, 369 U.S. 186, 204 (1962)). See, e.g., Elk
Grove Unified School District v. Newdow, 542 U.S. 1 (2004) (relying on principles of prudential standing to deny
standing to students father who sought to challenge requirement that his daughter recite Pledge of Allegiance, when
fathers right to act on his daughters behalf was founded on disputed issues of state family law).
5. The Supreme Court examined the distinction between Article III and prudential limitations on standing in the unusual
http://federalpracticemanual.org/node/19
Page 14 of 24
3/15/15 5:32 PM
context presented in Windsor, the recent case that invalidated the Defense of Marriage Act. There, the Supreme Court
held that the United States had standing to appeal a trial courts decision to require it to pay a tax refund although it
refused to defend the statute on which it had denied and continued to deny the request for refund. The Court further held
that the importance of the issues, the prospect of time-consuming and costly litigation over DOMA were the appeal
dismissed, and the presentation by a Congressional group that intervened to support the constitutionality of DOMA
counseled against dismissing the appeal on prudential grounds. Windsor, 133 S. Ct. at 268489.
6. DaimlerChrysler, 547 U.S. at 342, n.3; FW/PBS Incorporated v. Dallas, 493 U.S. 215, 231 (1990).
7. Defenders of Wildlife, 504 U.S. at 561.
8. Davis v. Federal Election Commission, 554 U.S. 724, 734 (2008).
9. While the Supreme Court reviews standing sua sponte where [it] [has been erroneously assumed below, it does not
examine standing simply to reach an issue for which standing has been denied below, a conclusion not challenged in the
appellants petition for certiorari. Adarand Constructors Incorporated v. Mineta, 534 U.S. 103, 110 (2001). By contrast,
courts of appeal are obliged to examine standing under all circumstances. See, e.g., Wyoming Outdoor Council v. U.S.
Forest Service, 165 F.3d 43, 47 (D.C. Cir. 1999).
10. Monsanto Company v. Geerston Seed Farms, 130 S. Ct. 2743, 2754 (2010) (plaintiffs must demonstrate standing to
pursue each form of relief sought); Davis, 554 U.S. at 734; City of Los Angeles v. Lyons, 461 U.S. 95, 105 (1983).
11. DaimlerChrysler, 547 U.S. at 353.
12. Clinton v. New York, 524 U.S. 417, 432 (1998). See also Vermont Agency of Natural Resources v. United States, 529
U.S. 765 (2000) (relator in qui tam action has standing to challenge injury suffered by government because Congress
assigned relator an entitlement to a percentage of any monetary recovery).
13. Clinton, 524 U.S. at 432-34 (finding cooperative has standing to challenge veto of tax benefit enacted to foster ability
to purchase processing plants); Association of Data Processing Service Organizations Incorporated v. Camp , 397 U.S.
150, 154-56 (1970) (data processing service providers have standing to challenge decision to permit banks to provide such
services to other banks)
14. Clinton, 524 U.S. at 432-33.
15. Id. at 431.
16. Massachusetts v. Environmental Protection Agency, 549 U.S. 497, 520 (2007).
17. Id. at 522.
18. Id. at 523.
19. Sierra Club v. Morton, 405 U.S. 727 (1972).
20. See Sierra Club v. Morton, 348 F. Supp. 219 (N.D. Cal. 1972).
21. United States v. Students Challenging Regulatory Agency Procedures (SCRAP), 412 U.S. 669 (1973).
22. Lujan v. National Wildlife Federation, 497 U.S. 871, 889 (1990).
23. Duke Power Company v. Carolina Environmental Study Group, 438 U.S. 59 (1978).
24. Id. at 73. The Supreme Court suggested that the threat of a core meltdown and the present consequences in terms of
personal anxiety and decreased property values of that threat were too speculative to confer standing.
25. Lujan v. National Wildlife Federation, 497 U.S. 871 (1990).
http://federalpracticemanual.org/node/19
Page 15 of 24
3/15/15 5:32 PM
Page 16 of 24
3/15/15 5:32 PM
(2009).
47. Defenders of Wildlife, 504 U.S. at 573 n.8; Earth Island Institute, 555 U.S. at 496-97. Compare Center for Biological
Diversity v. U.S. Department of Interior, 563 F.3d 466, 479 (D.C. Cir. 2009) (finding standing) with New York Regional
Interconnect Incorporated v. Federal Energy Regulatory Commission, 634 F.3d 581, 587 (D.C. Cir. 2011) (finding
standing) and Center for Law and Education v. U.S. Department of Education, 396 F.3d 1152 (D.C. Cir. 2005) (rejecting
standing). Courts of appeal decisions applying procedural rights standing include Wyoming Outdoor Council v. U.S.
Forest Service, 165 F.3d 43, 51 (D.C. Cir. 1999) (holding that plaintiff may sue for the denial of procedural rights in the
Forest Services grant of authority to drill on federal lands even though there was no certainty that the drilling would
take place), and Moreau v. Federal Energy Regulatory Commission, 982 F.2d 556, 564 (D.C. Cir. 1993) (plaintiffs had
standing to contest the agencys failure to give them notice of proceedings and to hold an evidentiary hearing regarding
the construction of a natural gas pipeline notwithstanding the plaintiffs failure to show that such pre-deprivation
safeguards would have changed the outcome). See also Salmon Spawning and Recovery Alliance v. Gutierrez, 545 F.3d
1220 (9th Cir. 2008); Defenders of Wildlife v. Environmental Protection Agency, 420 F.3d 946, 957-58 (9th Cir. 2005);
Yesler Terrace Community Council v. Cisneros, 37 F.3d 442, 446-47 (9th Cir. 1994); Florida Audubon Society v. Bentsen,
94 F.3d 658, 664 (D.C. Cir. 1996); Banks v. Secretary of the Indiana Family and Social Services Administration, 997
F.2d 231, 238-39 (7th Cir. 1993) (plaintiffs eligible for Medicaid have standing to challenge Medicaid agencys failure to
give notice and hearing before denying reimbursement claims).
48. See, e.g. Bensman v. U.S. Forest Service, 408 F.3d 945 (7th Cir. 2005) (rejecting, in Appeals Reform Act case,
informational injury as a sufficient substantive interest to warrant procedural injury standing); but see WildEarth
Guardians v. Salazar, 859 F. Supp. 2d 83, 92 (D.D.C. 2012) ("To establish informational standing, a plaintiff must (1)
identify a statute that, on plaintiff's reading, directly requires the defendant to disclose information that the plaintiff has a
right to obtain, (2) show that it has been denied the information to which it is entitled, and (3) provide a credible claim
that the information would be helpful to it.") (citing FEC v. Akins, 524 U.S. 11, 21 (1998)).
49. Massachusetts v. Environmental Protection Agency, 549 U.S. 497 (2007).
50. Id. at 517-18. In this context the Court cited Sugar Cane Growers Cooperative of Florida v. Veneman, 289 F.3d 89,
94-95 (D.C. 2002) ("A [litigant] who alleges a deprivation of a procedural protection to which he is entitled never has to
prove that if he had received the procedure the substantive result would have been altered. All that is necessary is to show
that the procedural step was connected to the substantive result.")
51. Earth Island Institute, 555 U.S. at 493.
52. Id. at 488.
53. Id. at 499-500.
54. See Center for Biological Diversity v. U. S. Department of Interior, 563 F.3d 466, 476-77 (D.C. Cir. 2009) (rejecting
traditional standing in challenge to approval of offshore oil and gas leasing for failure to account to climate change on
Outer Continental Shelf areas).
55. Massachusetts v. Environmental Protection Agency, 549 U.S. 497 (2007).
56. Id. at 523 n.21.
57. Id. at 522.
58. Monsanto Company, 130 S. Ct. 2743.
59. Id. at 2755.
60. Id.
61. Clapper v. Amnesty International USA, 133 S. Ct. 1138 (2013).
http://federalpracticemanual.org/node/19
Page 17 of 24
3/15/15 5:32 PM
62. Id.
63. Id. at 1143.
64. Id. at 1150.
65. Id. at 1151.
66. Id. at 1157.
67. Id. at 1160-61.
68. The most recent Supreme Court case on this point is DaimlerChrysler Corporation v. Cuno, 547 U.S. 332, 341-46
(2006), in which the Court rejected state and municipal taxpayer standing for the same reasons that it had done so in
prior federal taxpayer standing cases. The only area in which the Supreme Court has approved of taxpayer standing is in
certain suits challenging spending on grounds that it violates the Establishment Clause. Flast v. Cohen, 392 U.S. 83
(1968), which established this exception has between frequently distinguished and narrowed. See Arizona Christian
School Tuition Organization v. Winn, 131 S. Ct. 1436 (2011) (Arizona taxpayers have no standing to challenge law
permitting tax credits for contributions to organizations which provide scholarships to students attending private and
parochial schools, distinguishing tax credits from government expenditures); Hein v. Freedom from Religion
Foundation, 551 U.S. 587 (2007) (finding taxpayers have no standing to challenge conferences sponsored by
the President's Faith-Based and Community Initiatives Centers because those offices were funded from general Executive
Branch appropriations, distinguishing Flast v. Cohen, 392 U.S. 83 (1968), in which plaintiffs challenged the distribution
of funds to religious schools pursuant to Congressional spending power legislation); Bowen v. Kendrick, 487 U.S. 589
(1988); Grand Rapids School District v. Ball, 473 U.S. 373 (1985), overruled in part on other grounds by Agostini v.
Felton, 521 U.S. 203 (1997); Flast v. Cohen, 392 U.S. 83 (1968). In DaimlerChrysler, the Court expressly refused to
expand this exception to Commerce Clause challenges to state tax or spending decisions. DaimlerChrysler, 547 U.S. at
347-48.
69. United States v. Richardson, 418 U.S. 166 (1974).
70. Schlesinger v. Reservists Committee to Stop the War, 418 U.S. 208 (1974).
71. Richardson, 418 U.S. at 172.
72. Schlesinger, 418 U.S. at 226.
73. Clapper, 133 S. Ct. 1138.
74. Warth v. Seldin, 422 U.S. 490 (1975).
75. Id. at 500.
76. See, e.g., Raines v. Byrd, 521 U.S. 811, 820 n.3 (1997).
77. Allen v. Wright, 468 U.S. 737 (1984).
78. Id. at 753-59. The Supreme Court found that the latter claim stated a cognizable injury a reduced ability to receive
an integrated education. However, the Court held that the plaintiffs failed to show that revocation of tax exemption of
discriminatory private schools would enhance the cause of integration. Such a showing required several layers of
speculation: how many schools actually received favorable tax treatment, the extent to which they discriminated, whether
they would change any policies if their tax exempt status were revoked, whether white parents would leave the school if
the school changed its policies, and whether sufficient numbers of white students would leave and attend public schools to
meaningfully alter the racial balance.
79. Id. at 755.
http://federalpracticemanual.org/node/19
Page 18 of 24
3/15/15 5:32 PM
http://federalpracticemanual.org/node/19
Page 19 of 24
3/15/15 5:32 PM
Page 20 of 24
3/15/15 5:32 PM
Page 21 of 24
3/15/15 5:32 PM
133. This economic harm may take the form of expenditures that would not be required but for the challenged action. See
Fair Housing Council v. Roommate.com, LLC, 666 F.3d 1216, 1219 (9th Cir. 2012); Mid-Hudson Catskill Rural Migrant
Ministry, Incorporated v. Fine Host Corporation, 418 F.3d 168, 174-75 (2d Cir. 2005); Smith v. Pacific Properties and
Development Corporation, 358 F.3d 1097, 1105-06 (9th Cir. 2004) (reversing dismissal of complaint by advocacy group
for the disabled which alleged that it diverted resources to monitor and publicize alleged discrimination), cert. denied, 543
U.S. 869 (2004).
134. See, e.g., NAACP v. Alabama, 357 U.S. 449, 459-60 (1958); Joint Anti-Fascist Refugee Committee v. McGrath, 341
U.S. 123, 157-59 (1951) (Frankfurter, J., Douglas, J., and Burton, J., concurring); M.O.C.H.A. Society v. City of Buffalo,
199 F. Supp. 2d 40, 46 (W.D.N.Y. 2002) (finding associational standing based on loss of membership); Wyoming Timber
Industry Association v. U.S. Forest Service, 80 F. Supp. 2d 1245, 1253 (D. Wyo. 2000) (validating organizational standing
based on economic harm to a trade association); but see Minnesota Federation of Teachers v. Randall, 891 F.2d 1354,
1359 (8th Cir. 1989) (holding that fear of potential loss of union membership is insufficient to confer organizational
standing).
135. See Friends of Animals v. Salazar, 626 F.Supp.2d 102, 111-13 (D.D.C. 2009).
136. Membership rolls, for example, may be discoverable depending on whether good cause exists for a protective order
pursuant to Federal Rule of Civil Procedure 26(c). See generally Courier-Journal v. Marshall, 828 F.2d 361, 364-67 (6th
Cir. 1987) (affirming the district courts use of discretion in fashioning a protective order that recognizes the associational
rights of nonparty members of the Ku Klux Klan).
137. Failure to cite to such record evidence in the district court waives the assertion of organizational standing on appeal.
National Alliance for the Mentally Ill v. Board of County Commissioners, 376 F.3d 12192, 1295-96 (2004).
138. But see American Canoe Association v. City of Louisa Water and Sewer Commission, 389 F.3d 536 (6th Cir. 2004)
(organizations have standing to challenge failure to comply with the reporting and monitoring that the Clean Water Act
requires because lack of such information impaired organizations missions to monitor and report on environmental
issues).
139. See Havens Realty Corporation v. Coleman, 455 U.S. 363, 372-80 (1982) (organization dedicated to open housing
has standing to challenge realty companys discriminatory practices because they injured the groups ability to advance its
purposes and caused a diversion of resources responding to complaints about the company).
140. See Elk Grove Unified School District v. Newdow, 542 U.S. 1, 11-12 (2004) (invoking principles of prudential
limitations to reject standing of father to challenge constitutionality of the Pledge of Allegiance on behalf of his daughter
when his right to do so was clouded by unsettled issues of state family law).
141 Association of Data Processing Service Organizations, Incorporated v. Camp, 397 U.S. 150 (1970).
142. Bennett v. Spear, 520 U.S. 154, 162 (1997).
143. Warth v. Seldin, 422 U.S. 490, 498 (1975).
144. Congress must do so explicitly, such as through enactment of a citizen-suit provision. See, e.g., Bennett, 520 U.S. at
164 n.2.
145. Administrative Procedure Act, 5 U.S.C. 702.
146. Bennett, 520 U.S. at 163. See, e.g. Thinket Ink Information Resources, Incorporated v. Sun Microsystems,
Incorporated, 368 F.3d 1053 (9th Cir. 2004) (minority-owned business falls within zone of interests of 42 U.S.C. 1981 if
it suffers racial discrimination or has an imputed racial identity).
147. Block v. Community Nutrition Institute, 467 U.S. 340 (1984).
148. The Block Court unanimously held that consumers of milk lacked standing to challenge milk marketing orders
because there was evidence of congressional intent to deny consumers a right to obtain judicial review of such orders. Id.
http://federalpracticemanual.org/node/19
Page 22 of 24
3/15/15 5:32 PM
at 347-48.
149. Id. at 351.
150. Clarke v. Security Industry Association, 479 U.S. 388, 399-400 (1987).
151. Match-E-Be-Nash-She-Wish Band of Pottawatomi Indians v. Patchuk, 132 S. Ct. 2199, 2210-12 (2012).
152. National Credit Union Administration v. First National Bank and Trust Company, 522 U.S. 479 (1998).
153. Air Courier Conference v. American Postal Workers Union, 498 U.S. 517, 524-25 (1991).
154. The Supreme Court recently distinguished third-party standing cases from cases in which an assignee of a legal claim
files suit. In such actions, the assignee asserts their own legal rights, not those of another, even when the assignee has
promised to repay the assignor money recovered in the litigation. Sprint Communications v. APCC Services, 128 S. Ct.
2531 (2008).
155. See United Food and Commercial Workers Union v. Brown Group, 517 U.S. 544, 557 (1996).
156. See Singleton v. Wulff, 428 U.S. 106, 114-15 (1976); Erwin Chemerinsky, Federal Jurisdiction 84-91 (5th ed. 2007).
157. Kowalski v. Tesmer, 543 U.S. 125, 129 (2004) (attorneys lack standing to challenge state process for appointing
appellate counsel for indigent defendants who plead guilty).
158. Powers v. Ohio, 499 U.S. 400, 411 (1991) (citations omitted); see Kowalski, 125 S. Ct. at 567.
159. See Singleton, 428 U.S. at 119 (doctor suffers loss of Medicaid reimbursement income).
160. See Powers, 499 U.S. at 411 (discriminatory use of peremptory challenges harms criminal defendant).
161. U.S. Department of Labor v. Triplett, 494 U.S. 715, 720-21 (1990). In its most recent third-party standing case, the
Supreme Court held that criminal defense attorneys did not have third-party standing to assert claims of future clients.
Kowalski, 543 U.S. at 130-31.
162. Triplett, 494 U.S. at 720. This principle might have been applied in Kowalski, but was not.
163. Craig v. Boren, 429 U.S. 190 (1976).
164. Id. at 195. Craigs sweep is potentially quite broad. The articulated justification for the decision admits of no logical
limit, and how the third prong, discussed infra, was satisfied is difficult to see. The Supreme Court observed that the law
banned the sale, not the consumption, of 3.2 percent beer, but this hardly seems a substantial barrier blocking young men
from challenging the statute.
165. Virginia v. American Booksellers Association, 484 U.S. 383, 392 (1988).
166. Carey v. Population Services International, 431 U.S. 678, 682-83 (1977); Eisenstadt v. Baird, 405 U.S. 438, 443
(1972); but see Tileston v. Ullman, 318 U.S. 44, 45-46 (1943) (denying standing of doctor to challenge laws prohibiting use
of contraceptives on behalf of patients).
167. Powers v. Ohio, 499 U.S. 400 (1991).
168. Id. at 411-12.
169. Id. at 413.
170. Id. at 413-14.
http://federalpracticemanual.org/node/19
Page 23 of 24
3/15/15 5:32 PM
!Chapter!3:!The!Case!or!Controversy
up
3.2!Ripeness!
Requirement!and!Other!Preliminary!Hurdles
Printer[friendly!version
http://federalpracticemanual.org/node/19
Page 24 of 24