NFIB诉西贝利厄斯案中的联邦制与虚幻经济权利

IF 0.2 4区 社会学 Q4 LAW University of Cincinnati Law Review Pub Date : 2013-10-17 DOI:10.2139/SSRN.2341685
M. Lindsay
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引用次数: 0

摘要

几乎没有人预料到,《患者保护和平价医疗法案》的宪法命运将取决于国会征收税收的权力。然而,在NFIB诉西贝利厄斯案中,最高法院支持该法案的核心内容——最低保险条款(MCP),通常被称为“个人强制”——作为一种税收。最高法院裁决的出人意料的基础转移了人们的注意力,使人们忽视了可能证明该裁决更具宪法意义的特征:最高法院的多数法官同意,根据《商业条款》,国会没有权力惩罚拒绝购买医疗保险的人。首席大法官罗伯茨和四名联合持不同意见的法官赞同该法案的反对者提出的新的限制原则,即区分国会可以监管的经济“活动”和国会不能监管的经济“不活动”。因为商业权力只延伸到“现有的商业活动”,因为没有保险的人在医疗保健市场上是“不活跃的”,他们推断,MCP不是宪法意义上的商业监管。关键的是,活动/不活动区分的支持者坚持认为,这是对国会权威的内在约束,根植于第一条的案文和联邦制的结构原则,而不是植根于宪法自由利益的“肯定”禁止。本文认为,首席大法官和联合持不同政见者在立法权威的内在约束和基于权利的约束之间划出的泾渭分明的二分法是虚幻的,它模糊了活动/不活动区分的基本逻辑和更广泛的含义。事实上,这种区别与其说是基于宪法对权力的列举或联邦制,不如说是基于对个人自由的关注。即使在没有正式的宪法“权利”作为理论载体的情况下,大法官们对经济自由的捍卫也类似于洛克纳时代对“合同自由”的实质性正当程序权利——作为对立法手段和目的加强审查的触发器。当前学者在研究NFIB诉西贝利厄斯案中个人自由的作用时,倾向于将洛克纳案作为一个方便的修辞试金石,为多数派对商业条款的分析增添一种不法或诡计的气氛。本文认为,洛克纳时代的实质正当程序案件比法官和许多学者所认识到的更为微妙,也更具启发性。它们特别说明,植根于个人自由的对立法权的限制,以及植根于列举权力和联邦制的对立法权的限制,能够而且确实以动态的关系相互作用。通过这一历史视角来解读NFIB诉西贝利厄斯案,可以让我们更好地审视经济自由在多数人的商业条款分析中所扮演的角色,并为首席大法官和联合持不同意见者提出的结构/权利二分法提供一个重要的替代分析框架。活动/不活动的区别不仅预示着联邦购买命令在宪法上的暗淡未来,而且可能预示着对国会干预经济自由的更深远的限制,在法院的联邦制中,个人主权与国家主权并列。
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Federalism and Phantom Economic Rights in NFIB v. Sebelius
Few predicted that the constitutional fate of the Patient Protection and Affordable Care Act would turn on Congress’ power to lay and collect taxes. Yet in NFIB v. Sebelius, the Supreme Court upheld the centerpiece of the Act — the minimum coverage provision (MCP), commonly known as the “individual mandate” — as a tax. The unexpected basis of the Court’s holding has deflected attention from what may prove to be the decision’s more constitutionally consequential feature: that a majority of the Court agreed that Congress lacked authority under the Commerce Clause to penalize people who decline to purchase health insurance. Chief Justice Roberts and the four joint dissenters endorsed the novel limiting principle advanced by the Act’s challengers, distinguishing between economic “activity,” which Congress can regulate, and “inactivity,” which it cannot. Because the commerce power extends only to “existing commercial activity,” and because the uninsured were “inactive” in the market for health care, they reasoned, the MCP was not a regulation of commerce within the meaning of the Constitution. Critically, supporters of the activity/inactivity distinction insisted that it was an intrinsic constraint on congressional authority anchored in the text of Article I and the structural principle of federalism, rather than an “affirmative” prohibition rooted in a constitutional liberty interest. This Article argues that the neat dichotomy drawn by the Chief Justice and joint dissenters between intrinsic and rights-based constraints on legislative authority is illusory, and that it obscures both the underlying logic and broader implications of the activity/inactivity distinction. In fact, that distinction is rooted less in the constitutional enumeration of powers or federalism than in a concern about individual liberty. Even in the absence of a formal constitutional “right” to serve as a doctrinal vehicle, the Justices’ defense of economic liberty operates analogously to the substantive due process right to “liberty of contract” during the Lochner era — as a trigger for heightened scrutiny of legislative means and ends. Current scholarship addressing the role of individual liberty in NFIB v. Sebelius tends to deploy Lochner as a convenient rhetorical touchstone, to lend an air of illicitness or subterfuge to the majority’s Commerce Clause analysis. This Article argues that the Lochner-era substantive due process cases are both more nuanced and more instructive than judges and many scholars have realized. They illustrate, in particular, that constraints on legislative authority that are rooted in individual liberty and constraints on legislative authority that are rooted in enumerated powers and federalism can and do operate in dynamic relationship to one another. Reading NFIB v. Sebelius through this historical lens better equips us to interrogate the role that economic liberty plays in the majority’s Commerce Clause analysis, and provides an important alternative analytical framework to the structure/rights dichotomy advanced by the Chief Justice and joint dissenters. The activity/inactivity distinction not only portends a constitutionally dim future for federal purchase mandates, but may also herald more far-reaching restrictions on congressional interference with economic liberty, in which individual sovereignty assumes a place alongside state sovereignty in the Court’s federalism.
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期刊介绍: The University of Cincinnati Law Review is a quarterly publication produced by second and third-year law students. The Review, along with its counterparts at all other accredited law schools, makes a significant contribution to scholarly legal literature. In addition, the Review represents the College of Law to the outside community. Each year, approximately 30 students are invited to join the Law Review as Associate Members. All Associate Members are chosen on the basis of first year grade point average combined with a writing competition score. The competition begins immediately after completion of first year studies.
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