HON. JEFFREY CHASE ON APPEAL WAIVER AND CHAVEZ-GARCIA V. SESSIONS

https://www.jeffreyschase.com/blog/2017/9/28/9th-cir-holds-post-order-departure-did-not-waive-right-to-appeal

Jeffrey writes:

“So then why did the circuit court grant the petition, in spite of the regulation, the petitioner being advised of his right to appeal, the attorney’s letter, and the non-response to the DHS motion to summarily dismiss? As the court explained, “the constitutional requirements of a valid waiver of the right to appeal cannot be so lightly disregarded.” The court continued that the Supreme Court has held that a valid waiver of the right to appeal must be “considered” and “intelligent.” The court found that, where the petitioner had heard his attorney reserve his right to appeal, and had even been informed by the immigration judge that his attorney would appeal, the petitioner’s waiver could not be intelligent and informed without the immigration judge warning him that his departure would constitute a waiver of the right to appeal that he previously reserved.

This decision is not likely to impact a large number of people. But the case does illustrate (in the immigration context) the tremendous respect that circuit court judges afford to constitutional protections. While our prior commander-in-chief (who taught constitutional law for 12 years at the University of Chicago Law School) might not have needed a reminder of that point, the incumbent might wish to take note.”

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Read the rest of Jeffrey’s blog, including a great piece of immigration history involving Judge Carlos Bea at the link.

Here’s a link to my previous post on Chavez-Garcia:

http://wp.me/p8eeJm-1sf

PWS

09-28-17

USE WITH EXTREME CAUTION! — HON. JEFFREY CHASE ON THE USE OF SO-CALLED AIRPORT STATEMENTS IN REMOVAL PROCEEDINGS — They Often Prove To Be Highly Unreliable!

https://www.jeffreyschase.com/blog/2017/9/21/the-reliability-of-airport-statements-in-removal-proceedings

Jeffrey writes in his blog:

“In August 2016 I organized and moderated the mandatory international religious freedom training panel at the immigration judges’ legal training conference in Washington, D.C. One of the panelists from the U.S. Commission on International Religious Freedom (“USCIRF”) informed me of a just-published report she had co-authored.

The report, titled Barriers to Protection: The Treatment of Asylum Seekers in Expedited Removal, is the follow-up to a 2005 study by USCIRF of the treatment of arriving asylum seekers in their interactions with the various components of DHS and the Department of Justice involved in the expedited removal process. What jumped out at me from the report was the first key recommendation to EOIR: “Retrain immigration judges that the interview record created by CBP is not a verbatim transcript of the interview and does not document the individual’s entire asylum claim in detail, and should be weighed accordingly.”

The new report referenced the Commission’s 2005 findings, which it described as “alarming.” The earlier study found that “although they resemble verbatim transcripts, the I-867 sworn statements” taken from arrivees by agents of DHS’s Customs and Border Patrol (“CBP”) component “were neither verbatim nor reliable, often indicating that information was conveyed when in fact it was not and sometimes including answers to questions that were never asked. Yet immigration judges often used these unreliable documents against asylum seekers when adjudicating their cases.”

The 2016 report found similar problems with the airport statements taken a decade later. The study found the use of identical answers by CBP agents in filling out the form I-867 “transcript,” including clearly erroneous answers (i.e. a male applicant purportedly being asked, and answering, whether he was pregnant, and a four year old child purportedly stating that he came to the U.S. to work). For the record, USCIRF is a bipartisan organ of the federal government. So this is a government-issued report making these findings.”

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Read the rest of Jeffrey’s analysis at the above link.

Too bad that the Trump Administration has eliminated Annual Immigration Judge Training! With a bunch of new Immigration Judges on board and the push to rubber stamp removals as quickly as possible to comply with the President’s Executive Orders on Enforcement, I guess there is no time for training in how to make correct decisions.

In fact, when judges have enough experience to know what’s really happening and are able to selectively regulate the speed of cases to make sound decisions and achieve due process, they find out that there are lots of problems in how the DHS prepares and presents cases, not all of which immediately meet the eye.

To state the obvious, how would an unrepresented respondent in detention get together the necessary Circuit Court case law to learn and effectively challenge unreliable airport statements introduced by DHS Counsel? How would he or she subpoena Immigration Officers or get documentation necessary to show that many airport statements are prepared by rote with exactly the same information in the same language. Mistakes as to age, gender, and “best language” of applicants are common, suggesting that the reports too often have little to do with the actual facts of a particular case.

Short answer, they wouldn’t! As a result, the chances of the Imigration Judge using unreliable information to reach an incorrect decision against the respondent greatly increase.

And their use in the “kangaroo court” procedure known as “Expedited Removal” where enforcement officers make the decisions is prima facile problematic. Someday, all of the Article III Judges who have turned a blind eye to this unconstitutional procedure will have their judicial records forever tarnished in the light of history.

No wonder this Administration likes to detain individuals in out of the way locations (where conditions are coercive and lawyers are not readily available) to make their removal stats look good. And, while most Immigration Judges are conscientious, without a good lawyer to help pick apart the weaknesses and inaccuracies that are often in airport statement, invoking concepts drawn from Federal case law, the possibility of an incorrect or unjust decision is much greater.

We need an independent Article I U.S. Immigraton Court whose sole objective is achieving due processs and making correct legal decisions. And, that would include providing regular in person judicial training from a wide range of sources, including academic experts and those with litigation experience outside the government, on how to fairly evaluate evidence. It would also include a focus on insuring that every individual who goes to a “Merits Hearing” in Immigraton Court has a fair chance to be represented by counsel and reasonable access to his or her lawyer and the evidence and resources necessary to prepare a successful case.

PWS

09-22-17

HON. JEFFREY CHASE: Stripped By Ashcroft Of The Appellate Judges Who Understood Asylum Law & Stood Up For The Rights Of Refugees, An Emasculated BIA (With No Meaningful Deliberation Or Dissent) Intentionally Misconstrued The “Particular Social Group” Category To Screw Asylum Seekers! — READ MY LATEST “MINI-ESSAY” –“ARBITRARY AND CAPRICIOUS”  — How The BIA Intentionally Misconstrued Asylum Law To Deny Particular Social Group Protection, While The Obama Administration Turned Its Back On Due Process For Refugees!

https://www.jeffreyschase.com/blog/2017/9/14/particular-social-group-errors-in-the-bias-post-acosta-analysis

Jeffrey writes:

Particular Social Group: Errors in the BIA’s Post-Acosta Analysis

In 2006, the Board of Immigration Appeals published its decision in Matter of C-A-, the first in a line of cases creating significant restrictions on what constitutes a cognizable particular social group in claims for asylum. It is worth noting that three years earlier, then Attorney General John Ashcroft purged the BIA of its five most liberal members; two other Board members who clearly would have been removed as well left just prior to the purge. Therefore, the ensuing line of BIA precedents addressing particular social group issues were something of a one-sided affair, with no liberal voices to temper or dissent from the majority.

 

Back in 1985, the Board decided Matter of Acosta, in which it set forth the applicable standard for particular social group determinations.  Not surprisingly, particular social group has proven more difficult for courts to interpret than the other four grounds of race, religion, nationality, and political opinion.  This is because one doesn’t start out asking the question “what is a race?” or “what is a religion?”  Those terms are generally understood.  Not so with particular social group, which as I learned it, was a last-minute creation designed to cover those clearly in need of refugee protection who aren’t covered by the other four grounds.  In Acosta, the Board had to decide how broadly the “PSG” category should be interpreted.  In response to evidence that the drafters of the 1951 Convention considered the ground of particular social group “to be of broader application than the combined notions of racial, ethnic, and religious group,” the Board applied the doctrine of ejusdem generis to conclude that a particular social group, like the four other categories it is grouped with, should be defined by characteristics that are immutable either because its members are unable to change them (like race and nationality), or because they should not, as a matter of conscience, be required to change them (like religion or political opinion).

The Acosta formulation was fair, and worked perfectly well for 21 years.  It was consistent with the way particular social group was being interpreted and applied internationally, and was in no need of modification.  Yet, the post-purge Board added two additional hurdles to particular social group determination: social distinction (previously called social visibility) and particularity.  As discussed below, the result-oriented line of decisions are legally flawed.

Matter of C-A-’s “social visibility” analysis contains at least three errors.   First, as Prof. Karen Musalo, Director of the Center for Gender and Refugee Studies (CGRS) at the University of California – Hastings Law School in San Francisco has pointed out, although the Board in Matter of C-A- cited to the 2002 UNHCR Guidelines on Particular Social Groups as a basis for adding the social distinction requirement, there is a significant difference between the Board’s holding and the UNHCR Guidelines.  The Guidelines at para. 11 define particular social group as “a group of persons who share a common characteristic other than their risk of being persecuted OR  who are perceived as a group by society.”  Note the use of “or.”  “Or” was intended to expand the group of those who satisfy for PSG status, by including both those who share a common characteristic  OR possess what the Board now calls social distinction.  However, the Board changed the “or” to an “and,” which has the opposite effect of significantly narrowing those who can establish a cognizable PSG by requiring both a shared characteristic and social distinction.

Secondly, the Board found that the proposed group of confidential informants lacked social “visibility” (as it then called social distinction) because informants, by the nature of their conduct, are “generally out of the public view,” and “in the normal course of events…remain unknown and undiscovered.”  However, this is irrelevant to whether the group itself is perceived by society to be distinct.  For example, “Russian spies” by the nature of their conduct, seek to remain unknown, undiscovered, and out of the public eye.  However, the group is often in the news, and is the subject of a popular TV show. It has served as the basis for characters in countless novels and films for decades, and has inspired the passage of anti-espionage laws.  The Board thus erred in apparently confusing the “singled out” requirement of the individual asylum applicant with the “social distinction” requirement of the proposed group.

Thirdly, the Board in C-A- stated that visibility of a group of confidential informants “is limited to those informants who are discovered because they appear as witnesses or otherwise come to the attention of cartel members.”  In that case, the cartel members were the persecutors.  However, the Board has claimed that it is the perception of society, and not the persecutors, that determines social distinction.

The particularity requirement is also problematic.  The element requires the social group to be defined by characteristics that provide a clear benchmark for determining inclusion.  The Board requires the terms used to define the group to have “commonly accepted definitions in the society in which the group is a part;” and “[t]he group must also be discrete, and have definable boundaries–it must not be amorphous, overbroad, diffuse, or subjective.”  See Matter of W-G-R-, 26 I&N Dec. 208, 214 (BIA 2014); Matter of A-M-E- & J-G-U-, 24 I&N Dec. 69, 76 (BIA 2007) (rejecting the proposed group as “too amorphous…to provide an adequate benchmark for determining group membership”).

However, in applying the new requirement of particularity to particular social group determinations only, the Board violated the doctrine of ejusdem generis that it had invoked in Acosta.  This is significant, as determinations under the other four protected categories would not necessarily stand up to the particularity determination.  In finding the proposed group of “former members of the MS-13 gang in El Salvador who have renounced their gang membership” to lack particularity, the Board stated that the proposed group “could include persons of any age, sex, or background.”  Matter of W-G-R-, 26 I&N Dec. 208, 221 (BIA 2014).  Of course, race, religion, and nationality will always include persons of any age, sex, or background; and political opinion could also draw from as wide a range of the population.

In a claim of persecution on account of religion, would the Jewish religion, for example, withstand the particularity requirement?  There is a strong chance that such group would be found too amorphous to provide an adequate benchmark for inclusion.  For example, a 2013 study by the Pew Research Center found that 14 percent of American Jews stated that they were raising their children “partially Jewish.”  Do “partially Jewish” claimants merit inclusion in the group?  What about those who only attend synagogue once a year, on Yom Kippur?  Or those who consider themselves culturally Jewish, but don’t observe the religion?  Or those with only a Jewish father (who would therefore not be considered Jewish under traditional Jewish law, but would be considered Jewish in the more liberal Reform branch of the religion)?  Where is the benchmark for inclusion?

Looking to the other asylum categories, is one said to possess a political opinion because she votes once every four years for candidates of a particular party, or because she has canvassed for a party’s candidates, given speeches at rallies, or run for office herself?  In this time of multiculturalism, where individuals of mixed race or ethnicity may choose to identify with a particular race or nationality from among two or more choices, would those categories also be found too amorphous?

In addition to the above shortcomings, attorneys have pointed out that particularity and social distinction often work at odds with each other.  Groups that rank high on society’s radar are usually not defined with the type of specific parameters for inclusion, and would therefore be dismissed as too “amorphous.”  Conversely, groups defined with the exacting precision demanded of the particularity requirement tend to be too cumbersome to register in the zeitgeist.  As an example, the term “soccer moms” became popular in American society several presidential elections ago, when “winning the soccer mom vote” was deemed a significant goal.  So while the term “soccer moms” clearly possessed social distinction, it would undoubtedly be found too amorphous to satisfy the particularity requirement.  However, “married middle-class suburban women between the ages of 32 and 47, who spend a significant amount of time driving their school-aged children to multiple after-school activities, which may or may not include soccer” might be particular enough, but will not grab public attention to the degree required to qualify as social distinction.

In spite of the above shortcomings, the federal circuit courts have largely accorded deference to the Board’s flawed interpretation.  Although immigration judges are bound by the Board’s holdings, practitioners may raise the above issues in order to create a record for eventual review by the circuit courts.  The Seventh and Third Circuits have rejected the particularity requirement for different reasons than those stated above.  As I am not aware of any circuit court addressing the issue of whether religion or any other protected ground would stand up to the particularity requirement, I present it as an argument worth pursuing.

Copyright 2017 Jeffrey S. Chase.  All rights reserved.”

Republished with permission.

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“ARBITRARY AND CAPRICIOUS”  — How The BIA Intentionally Misconstrued Asylum Law To Deny Particular Social Group Protection, While The Obama Administration Turned Its Back On Due Process For Refugees!

By Paul Wickham Schmidt

United States Immigration Judge (Retired)

The original Acosta decision was also wrongly decided on the merits. Of course most “occupational groups” have characteristics that are fundamental to their identity and are, therefore, properly classified as PSGs for asylum and withholding of removal purposes under the INA!

Taxi drivers in San Salvador were clearly a well-recognized tightly-knit group who were identified as such by the public, the Government, and the guerrillas and weren’t lightly going to switch occupations. That’s why they were targeted by both sides!

The result in Acosta was also completely nonsensical from a policy standpoint. The BIA’s “bottom line” was that taxi drivers in San Salvador who feared the guerrillas could either quit their jobs en masse or participate in a transportation strike called by the guerrillas. But, either of those actions would have crippled the Salvadoran Government which the U.S. was supporting during the guerrilla war! How stupid can you get! But, when categorically denying asylum to large groups of Central American refugees, there’s no limit to what captive adjudicators who want to hang on to their jobs will do to avoid granting protection!

Would you tell a New York cabbie that his or her occupation isn’t “fundamental” to his or her identity? I certainly wouldn’t do it while sitting in his or her back seat. How many yarns, stories, and jokes have you heard with the phrase “like a New York cabbie?” There are even movies glorifying or vilifying the occupation!

How about American truck drivers? They have their own culture, lingo, and even restaurants, gas stations, and stores. Next time you walk into a Pilot Truck Stop along the Interstate, see if you can tell the “pros” from the “amateur divers” like me. Then go up to one of those “pros” and tell him or her that he or she could just as well make a living  as a checkout clerk or a computer programmer! Or, walk into the “Reserved for Professional Drivers” section, take a seat, and see how long you last. I really wouldn’t try either of the foregoing unless you have very good hospitalization insurance.

Want to bet that being a lawyer or a judge isn’t fundamental to one’s identity — just ask a non-lawyer, non-judge spouse or anyone whose ever had to attend a social function with with one of us? My wife Cathy can usually pick the lawyers out in a room even without introductions!  They “dress, act, and speak” like lawyers!

I might also add that the identity of being a BIA Appellate Judge is so “fundamental” to some of my former colleagues’ identity that they were willing to put forth a totally disingenuous interpretation of the U.N. Guidelines and blow off both fairness and due process for vulnerable asylum seekers (the BIA’s sole functions) to retain their jobs as Appellate Judges in the Bush and Obama Administrations, which were generally actively hostile or clearly indifferent to the rights of refugees. Nobody had the guts to stand up for a correct intrerpretation of the Refugee Convention which would have saved many lives and made the whole immigration system fairer and easier to administer in the long run.

There actually was a U.S. Circuit Judge way out in the 8th Circuit, of all places, who saw clearly the BIA’s disingenuous approach and “called” them on it. The case is Gaitan v. Holder, 671 F.3d 678, 682-86 (8th Cir. 2012) (Bye, Circuit Judge, concurring), the concurring Judge was Judge Bye, and I reproduce the concurring opinion in full from “Legale” because Judge Bye is so “spot on” and, regrettably, so few people paid attention to his criticism:

BYE, Circuit Judge, concurring.

Based upon our recent decisions in Constanza v. Holder, 647 F.3d 749 (8th Cir. 2011) (per curiam) and Ortiz-Puentes v. Holder, 662 F.3d 481 (8th Cir.2011), I concur in the result reached by the majority. I do so reluctantly, however, and write separately to express my disagreement with our circuit’s as-a-matter-of-course adoption of “social visibility” and “particularity” as requirements for establishing “membership in a particular social group.” See 8 U.S.C. § 1101(a)(42)(A). While both decisions cited with approval the BIA’s new approach to defining “particular social group,” neither had before it the issue raised in this appeal: did the BIA act arbitrarily and capriciously in adding the requirements of “social visibility” and “particularity” to its definition of “particular social group.” While I am convinced it did, I am nonetheless bound by circuit precedent and therefore concur in the result.

Our circuit only recently addressed the BIA’s new approach to defining “particular social group.” While both Constanza and Ortiz-Puentes grafted the requirements of “social visibility” and “particularity” to petitioners’ social groups claims, neither panel offered any explanation as to why the addition of these new requirements—which are very clearly inconsistent with the BIA’s prior decisions—should not be deemed arbitrary and capricious. Neither panel inquired as to whether the BIA had provided a good reason, or any reason at all, for departing from established precedent. Neither asked if the BIA’s new approach to defining “particular social group” amounted to an arbitrary and capricious change from agency practice. Instead, we simply adopted the new approach, as a matter of course, offering no substantial reason ourselves for this shift in direction. As a result, I fear we have chosen the wrong direction.

In order to understand why the BIA’s addition of the “social visibility” and “particularity” requirements to the definition of “particular social group” is arbitrary and capricious, some background information is necessary. The BIA first attempted to define “particular social group” in Matter of Acosta, 19 I. & N. Dec. 211 (B.I.A.1985). In Acosta, the BIA relied on the canon of ejusdem generis to construe “membership in a particular social group” in a way which most closely resembles the definition of the other four grounds of persecution under the Immigration and Nationality Act (Act): race, religion, nationality, and political opinion. Id. at 233. After deducing commonalities between the five bases of persecution cognizable under the Act, the BIA defined “particular social group” as a “group of persons all of whom share a common, immutable characteristic,”

[671 F.3d 683]

 

which may be either “an innate one such as sex, color, or kinship ties” or a “shared past experience such as former military leadership or land ownership.” Id. In all such circumstances, BIA explained, the characteristic uniting the group must be “one that the members of the group either cannot change, or should not be required to change because it is fundamental to their individual identities or consciences.” Id. Because an occupation is not something individuals are either unable to change or, as a matter of conscience, should not be required to change, the BIA rejected an asylum claim by a taxi driver in the city of San Salvador premised on his membership in a taxi cooperative whose members were targeted by the guerillas for having refused to participate in guerrilla-sponsored work stoppages. Id. at 234.

During the next twenty years, the BIA applied the immutability definition of Acosta in a variety of contexts. The BIA’s published decisions recognized as a “particular social group” former members of Salvadorian national police (who could not change their past experience of serving in the police), see In re Fuentes, 19 I. & N. Dec. 658 (B.I.A.1988); members of the Marehan subclan of the Darood clan in Somalia (who shared kinship ties and linguistic commonalities), see In re H-, 21 I. & N. Dec. 337 (B.I.A. 1996); Filipinos of mixed Filipino-Chinese ancestry (because their traits were immutable)], see In re V-T-S-,21 I. & N. Dec. 792 (B.I.A.1997); young women of a certain Togo tribe who have not yet had a female genital mutilation (FGM) and who opposed the practice on moral grounds (because the “characteristic of having intact genitalia is one that is so fundamental to the individual identity of a young woman that she should not be required to change it”), see In re Kasinga, 21 I. & N. Dec. 357 (B.I.A.1996); and homosexuals in Cuba (based on the Board’s recognition of homosexuality as an immutable characteristic), see In re Toboso-Alfonso,20 I. & N. Dec. 819, 822 (B.I.A.1990). With some variations, all circuits adopted the Acostadefinition of “particular social group.” See generally Fatma E. Marouf, The Emerging Importance of “Social Visibility” in Defining a “Particular Social Group” and Its Potential Impact on Asylum Claims Related to Sexual Orientation and Gender, 27 Yale L. & Pol’y Rev. 47, 53 & n. 24 (2008) (stating federal courts “generally have followed Acosta” and cataloging relevant precedents) (hereinafter “The Emerging Importance of Social Visibility”). Our circuit adopted the Acosta definition as well, although it seemingly expanded it following the Ninth Circuit’s lead to also permit social groups based on a “voluntary associational relationship among the purported members.” Safaie v. INS, 25 F.3d 636, 640 (8th Cir.1994) (theorizing a group of Iranian women who refuse to conform to Iranian customs relating to dress and behavior and whose opposition is so profound that they would choose to suffer the severe consequences of noncompliance “may well satisfy the definition”) (citing the standard in Sanchez-Trujillo v. INS, 801 F.2d 1571, 1576 (9th Cir.1986)).

Beginning in 2006, however, the BIA started deviating from the Acosta definition of “particular social group” by emphasizing the importance of social visibility of a given group. In Matter of C-A-, for example,2 the BIA reiterated its adherence

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to Acosta, but listed “the extent to which members of a society perceive those with the characteristic in question as members of a social group” as a “relevant factor” in the analysis. 23 I. & N. Dec. 951, 956-57 (B.I.A.2006). Applying this standard, the BIA rejected the proposed social group of noncriminal drug informants working against the Cali drug cartel in Colombia in part because “the very nature of the conduct at issue is such that it is generally out of the public view.” Id. at 960.

The BIA continued the trend in Matter of A-M-E & J-G-U-, 24 I. & N. Dec. 69 (B.I.A.2007), by refusing to recognize a social group of “affluent Guatemalans” targeted for ransom. The BIA acknowledged the petitioners should not be expected to divest themselves of their wealth under the second prong of Acosta, but denied the claim on the basis of the applicants’ inability to show “social visibility,” id. at 75 (lamenting the lack of evidence to demonstrate “the general societal perception” of wealthy people was different from the common perception of groups at different socio-economic levels), and “particularity,” id.at 76 (criticizing the proposed group for being “too amorphous” and “indeterminate”). In its reasoning, the BIA drew on the Second Circuit opinion in Gomez v. INS, 947 F.2d 660, 664 (2d Cir.1991), where the court required members of a cognizable social group to possess “some fundamental characteristic in common which serves to distinguish them in the eyes of a persecutor—or in the eyes of the outside world in general.”

The biggest transformation in the BIA’s “particular social group” jurisprudence, however, came in its two most recent decisions issued on the same day in 2008: Matter of S-E-G-,24 I. & N. Dec. 579 (B.I.A.2008), and Matter of E-A-G-, 24 I. & N. Dec. 591 (B.I.A.2008). Both confronted claims of gang-related persecution under the rubric of membership in a particular social group. In E-A-G-, the BIA refused to recognize social groups of “young persons who are perceived to be affiliated with gangs (as perceived by the government and/or the general public)” and “persons resistant to gang membership (refusing to join when recruited)” because these groups “have not been shown to be part of a socially visible group within Honduran society, and the respondent [does not] possess[] any characteristics that would cause others in Honduran society to recognize him as one who has refused gang recruitment.” 24 I. & N. Dec. at 593-94. In S-E-G-, the unsuccessful group was that of Salvadorian youth who have been subjected to recruitment efforts by the MS-13 and who have rejected and resisted membership in the gang based on their own personal, moral, and religious opposition to the gang’s values and activities. 24 I. & N. Dec. at 579. Their claim for asylum failed because, according

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to the BIA, it did not fare well under the “recent decisions holding that membership in a purported social group requires that the group have particular and well-defined boundaries, and that it possess a recognized level of social visibility.” Id. In essence, the decisions elevated the requirements of “social visibility” and “particularity” from merely some of the many factors in the holistic analysis of the issue to absolute prerequisites to establishing membership in a particular social group.

This new approach to defining “particular social group” split the circuits as to the validity and permissible extent of the BIA’s reliance on “social visibility” and “particularity.” Compare Valdiviezo-Galdamez v. Holder, 663 F.3d 582, 603-09 (3d Cir.2011) (concluding the BIA’s “social visibility” and “particularity” requirements are inconsistent with prior BIA decisions and rejecting the government’s attempt to graft these additional requirements onto petitioner’s social group claims); Gatimi v. Holder, 578 F.3d 611, 615-16 (7th Cir. 2009) (criticizing the BIA’s decisions in S-E-G- and E-A-G- for being “inconsistent” with the BIA’s precedents in Acosta and Kasinga and for failing to explain the reasons for adopting the “social visibility” criterion); Benitez Ramos v. Holder, 589 F.3d 426, 430-31 (7th Cir.2009) (denouncing the BIA’s insistence on “social visibility,” sometimes in its literal form, and charging the BIA might not understand the difference between visibility in a social sense and the external criterion sense); Urbina-Mejia v. Holder, 597 F.3d 360, 365-67 (6th Cir.2010) (noting being a former gang member is an immutable characteristic and defining former members of the 18th Street gang as a “particular social group” based on their inability to change their past and the ability of their persecutors to recognize them as former gang members), with Lizama v. Holder, 629 F.3d 440, 447 (4th Cir.2011) (upholding the BIA’s definition of a particular social group as requiring that “(1) its members share common immutable characteristics, (2) these common characteristics give members social visibility, and (3) the group is defined with sufficient particularity to delimit its membership”); Ramos-Lopez v. Holder, 563 F.3d 855, 862 (9th Cir.2009) (upholding the BIA’s adoption of the “social visibility” requirement); Scatambuli v. Holder, 558 F.3d 53, 60 (1st Cir.2009) (rejecting petitioners’ claims the BIA is precluded from considering the visibility of a group); and Fuentes-Hernandez v. Holder,411 Fed.App’x. 438, 438-39 (2d Cir. 2011) (stating individuals who resisted gang recruitment in El Salvador do not constitute a “particular social group” because their proposed group lacked “social visibility” and “particularity” and because the alleged persecution “did not bear the requisite nexus to a protected ground”).

I agree with the circuits which hold the BIA’s addition of the “social visibility” and “particularity” requirements to the definition of “particular social group” is arbitrary and capricious. First, as discussed above, these newly added requirements are inconsistent with prior BIA decisions. Specifically, they are in direct conflict with the definition of “particular social group” announced in Acosta. By stating this, I am in no way suggesting the BIA must continue to adhere to the Acosta definition. I am of course cognizant the BIA may “add new requirements to, or even change, its definition of `particular social group'” over time. Valdiviezo-Galdamez, 663 F.3d at 608; see also Motor Vehicle Mfrs. Ass’n of U.S., Inc. v. State Farm Mut. Auto. Ins. Co., 463 U.S. 29, 57, 103 S.Ct. 2856, 77 L.Ed.2d 443 (1983) (stating an agency may change its interpretation of a stature or regulation over time). The BIA, however, must explain its choice for

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doing so because an unexplained departure from established precedent is generally “a reason for holding [the departure] to be an arbitrary and capricious change from agency practice[.]” Nat’l Cable & Telecomms. Ass’n v. Brand X Internet Servs., 545 U.S. 967, 981, 125 S.Ct. 2688, 162 L.Ed.2d 820 (2005); see also FCC v. Fox Television Stations, Inc., 556 U.S. 502, 129 S.Ct. 1800, 1811, 173 L.Ed.2d 738 (2009) (stating “the agency must show that there are good reasons for the new policy”); Friends of Boundary Waters Wilderness v. Dombeck, 164 F.3d 1115, 1123 (8th Cir. 1999) (noting “a sudden and unexpected change in agency policy” may be characterized as arbitrary and capricious).

Because the BIA departed from its well-established Acosta definition without providing a reasonable explanation for its choice, the departure is arbitrary and capricious. Thus, although I am bound by our decisions in Constanza and Ortiz-Puentes, I cannot agree with our circuit’s as-a-matter-of-course adoption of the BIA’s new approach to defining “particular social group”—an approach which not only represents a stark departure from established precedent, but also eviscerates protections for many groups of applicants eligible under the agency’s prior definition.

Therefore, I reluctantly concur in the result.

FootNotes

1. Gaitan does not address the denial of relief under the Convention Against Torture in his brief. Any argument based on that ground is therefore deemed waived. See Tinajero-Ortiz v. United States, 635 F.3d 1100, 1103 n. 3 (8th Cir.), cert. denied, ___U.S. ___, 132 S.Ct. 315, 181 L.Ed.2d 194 (2011). Gaitan notes that he does not waive his claim that he is otherwise eligible for relief in the form of withholding of removal under the INA. However, “[t]he standard for withholding of removal, a clear probability of persecution, is more rigorous than the well-founded fear standard for asylum. An alien who fails to prove eligibility for asylum cannot meet the standard for establishing withholding of removal.” Turay v. Ashcroft, 405 F.3d 663, 667 (8th Cir.2005) (internal citations omitted). Because we find that Gaitan is not eligible for asylum, Gaitan is unable to meet the standard for establishing withholding of removal.

 

2. The BIA signaled its intention to break away from the Acosta standard as early as 2001, in its decision in Matter of R-A-, 22 I. & N. Dec. 906 (B.I.A.2001). There, the BIA refused to accord a social group status to a group of “Guatemalan women who have been involved intimately with Guatemalan male companions who believe that women are to live under male domination.” Id. at 917-18. Although the outcome of the opinion was unobjectionable even under the traditional Acosta standard, its logic was noteworthy for the BIA’s insistence that the applicant demonstrate “how the characteristic is understood in the alien’s society” and how “the potential persecutors… see persons sharing the characteristic as warranting suppression or the infliction of harm.” Id. at 918. Because at the time R-A- was issued, the Immigration and Naturalization Service was in the process of finalizing a rule defining “membership in a particular social group,” the Attorney General vacated the BIA’s opinion pending the publication of that rule. In re R-A-, 22 I. & N. Dec. 906 (B.I.A.2001). The proposed rule would incorporate R-A-‘s consideration of social visibility, but only as one of several non-exclusive factors. Asylum & Withholding Definitions, 65 Fed.Reg. 76,588, 76,594 (Dec. 7, 2000). Ultimately, the rule was never formalized, and the ball was back in the BIA’s court to define the “particular social group” incrementally, on a case-by-case basis.”

When Gaitan came out in 2012, the Bushies were gone Obama had taken over, and the Attorney General was Eric Holder. One might have thought that someone with Holder’s reputation for civil rights sensitivity and equal justice under the law might have forced the BIA to confront its tarnished past, or at least have appointed some “asylum experts” as Appellate Judges to force the BIA to engage in some “two-sided” appellate deliberation.
But, alas, Holder, like his successor Attorney General Loretta Lynch, didn’t  see a need to extend civil rights and fair legal treatment to refugees and asylum seekers being mistreated by the DOJ’s wholly owned subsidiary, the BIA. It became apparent that Holder and Lynch rather liked the idea of owning a complacent, largely pro-Government appellate court just as much as Ashcroft and the Bushies did.
During the Obama Administration, the BIA continued to be comprised of Appellate Judges who were insiders and/or bureaucrats. They kept the numbers rolling, didn’t rock the boat, almost never dissented, and “went along to get along” even with obviously flawed legal policies that forced scared, often semi-literate women and children to represent themselves before the U.S. Immigration Courts and make out cases under the BIA’s arcane, convoluted, and generally applicant-unfriendly definitions of PSG. So Sessions was able to take over a dysfunctional court system (in terms of its due process mission), but a relatively well-oiled “denial mill” masquerading as a Federal Appellate Court. And, that’s where we stand today, folks!

The U.S. Immigration Courts will not regain integrity until the are removed from the Executive Branch and reconstituted as as an independent Article I or even Article III Court. Until then, it’s likely that refugees and asylum seekers will continue to suffer unfair treatment, bias, and undeserved fates under the U.S. asylum system. Doesn’t anybody care?

PWS

09-14-17

 

HON. JEFFREY CHASE: From The Heart — Tribute To A.M. “Abe” Rosenthal Of The NY Times, “A Dreamer Ahead Of His Time!”

https://www.jeffreyschase.com/blog/2017/9/7/we-are-all-dreamers

“Sep 7 We Are All Dreamers
One of the best recurring experiences of my first stint in private practice (prior to my appointment as an immigration judge in 1995) would begin with my answering the phone and hearing “Jeff, buddy, Abe Rosenthal!” A.M. Rosenthal was one of the biggest names in journalism. A Pulitzer Prize winning foreign correspondent, Abe then became the long-time editor of the New York Times. He courageously pushed to publish the Pentagon Papers over the objection of the Nixon administration, which led to a landmark Supreme Court decision protecting freedom of the press. He also oversaw the paper’s coverage of the Vietnam War and Watergate. Abe heard me speak at a press briefing on asylum in the early 1990s, and would call from time to time to discuss an immigration column he was working on.

Abe once told me that many would ask him why he was so conservative in his views on other topics (an opinion that Abe himself disputed) but was so liberal in his views on immigration? He explained as follows: he was born in Canada; his family immigrated to the U.S. when he was a child. He added that his family’s reason for coming to the U.S. was entirely economic: he therefore saw nothing wrong with immigrants coming to this country solely in search of better wages. When Abe was 18 (which would have been around 1940), he went to enlist in the Army; as was normal procedure, he was asked for his proof of citizenship. When he went home to ask his mother for his citizenship papers, her face took on a strange expression; she then explained to him that he had no legal status in the U.S. Abe said that this was a traumatic experience; he had always thought he was American. He added that back in that time, the authorities were very understanding about this issue, and he was able to obtain U.S. citizenship quickly and easily. But the experience forever shaped his views on immigration.

Abe passed away in 2006, but I thought of his story on Tuesday not long after hearing the depressing, infuriating announcement by our nation’s supposed defender of justice, revoking the legal status that President Obama had through executive order bestowed on some 800,000 youths who, like the late Abe Rosenthal, possessed all that it means to be American with the exception of a citizenship paper. Many others have by now responded to the termination of DACA far more eloquently, emotionally, and intelligently than I could do. I therefore simply wish that A.M. Rosenthal, a Dreamer some 70 years ahead of his time, were still around to write one more column from his heart in response to the sickening injustice that just befell 800,000 of our own youth and our nation’s future.”

Copyright 2017 Jeffrey S. Chase. All rights reserved.

Republished with permission.

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PWS

09-07-17

TIME MAGGIE: DUE PROCESS TAKES ANOTHER HIT IN IMMIGRATION COURT WITH EOIR’S DISINGENUOUS MEMO DISCOURAGING CONTINUANCES IN IMMIGRATION COURT! — When Will The Article III Courts & Commentators Expose The REAL Fraud Being Fobbed Off On The Public By The Sessions DOJ & EOIR? — The DOJ Is Trying To Blame The “Champions Of Due Process” (Private Lawyers) For The “ADR” — Aimless Docket Reshuffling — That The DOJ Created And Actually Mandated— Hold The DOJ Fully Accountable For The Failure Of The U.S. Immigration Courts!

http://time.com/4902820/immigration-lawyers-judges-courts-continuance/

Tessa Berenson writes in Time:

“The president and attorney general have vowed to crack down on illegal immigration, and the new directive could help move cases through the system at a faster clip. Most immigration lawyers agree that the overloaded courts are a major issue. But they fear the end result will be more deportations as judges use the wide discretion afforded to them to curtail continuances. The Immigration and Nationality Act doesn’t establish a right to a continuance in immigration proceedings, Keller’s letter notes. They’re largely governed by a federal regulation which says that an “immigration judge may grant a motion for continuance for good cause shown.”

Immigration lawyers often rely heavily on continuances for their prep work because immigration law grants limited formal discovery rights. Unlike in criminal cases, in which the prosecution is generally required to turn over evidence to the defense, immigration lawyers often have to file a Freedom of Information Act request to find out what the government has on their client. These can take months to process.

“If their priority is speed, we all know that sounds really good, to be more efficient, but usually due process takes a hit when your focus is efficiency,” says Andrew Nietor, an immigration attorney based in San Diego. “By the time we are able to connect with our clients, that first court appearance might be the day after we meet somebody, so we haven’t had the opportunity to do the investigation and do the research. And up until several months ago, it was standard to give immigration attorneys at least one continuance for what they call attorney preparation. Now it’s not standard anymore.”

The Justice Department’s guidance says that “the appropriate use of continuances serves to protect due process, which Immigration Judges must safeguard above all,” and notes that “it remains general policy that at least one continuance should be granted” for immigrants to obtain legal counsel.

But the memo is more skeptical about continuances for attorney preparation. “Although continuances to allow recently retained counsel to become familiar with a case prior to the scheduling of an individual merits hearing are common,” it says, “subsequent requests for preparation time should be reviewed carefully.”

It remains to be seen if this careful review will streamline the ponderous system or add another difficulty for the harried lawyers and hundreds of thousands of immigrants trying to work their way through it. For Jeronimo, it may have been decisive. In mid-August, the judge found that the defense didn’t adequately prove Jeronimo’s deportation would harm his young daughter and gave him 45 days to voluntarily leave the United States. Now Jeronimo must decide whether to appeal his case. But he’s been held in a detention center in Georgia since March, and his lawyers worry that he has lost hope. He may soon be headed back to Mexico, five months after he was picked up at a traffic stop in North Carolina.”

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Read the complete article at the link.

OK, let’s have a reality check here. The tremendous backlog is NOT caused by giving respondents time to find an attorney in an already overwhelmed system or by giving those overworked and under-compensated private attorneys time to adequately prepare their clients’ cases.

No, it’s caused by two things both within the control of the Government. The first is the abuse of the system, actively encouraged by this Administration, for cases of individuals who are law abiding members of the U.S. community, helping our nation prosper, who either should be granted relief outside the Immigrant Court process, or whose cases should be taken off the docket by the reasonable use of prosecutorial discretion (something that the Trump Administration eliminated while outrageously calling it a “return to the rule of law” — nothing of the sort — it’s a return to docket insanity enhanced by intentional cruelty).

Your tax dollars actually pay for the wasteful and counterproductive abuses being encouraged by the Trump Administration! Eventually, Congress will have to find a solution that allows all or most of these folks to stay. But, mindlessly shoving them onto already overwhelmed Immigration Court dockets is not that solution.

The second major cause is even more invidious: Aimless Docket Reshuffling (“ADR”) by the Government! The problematic continuances being given in this system — those of many months, or even many years — are forced upon Immigration Judges by EOIR and the DOJ, usually without any meaningful input from either the sitting Immigration Judges or the affected public. Immigration Judges are required to accommodate politically-motivated “changes in priorities” and wasteful transfer of Immigration Judges wth full dockets (which then must be reset, usually to the end of the docket, sometimes to another Immigration Judge) to other locations, often in detention centers, to support enforcement goals without any concern whatsoever for due process for the individuals before the court or the proper administration of justice within the U.S. Immigration Court system.

There is only one real cure for this problem: removal of the U.S. Immigration Courts from the highly politicized U.S. Department of Justice to an independent Article I Court structure that will focus  on due process foremost, and efficient, but fair, court administration. But, until then, it’s up to the press to expose what’s really happening here and to the Article III Courts to call a halt to this travesty.

The “heroes” of the U.S. Immigration Court system, dedicated NGOs and attorneys, many of them acting without compensation or with minimal compensation, are under attack by this Administration and the DOJ. Their imaginary transgression is to insist on a fair day in court for individuals trying to assert their constitutional right to a fair hearing. They are being scapegoated for problems that the U.S. Government has caused, aggravated, and failed to fix, over several Administrations.

The DOJ is creating a knowingly false narrative to cover up their failure to deliver due process in the U.S. Immigration Courts and to shift the blame to the victims and their representatives. A simple term for that is “fraud.”

If we allow this to happen, everyone will be complicit in an assault not only on American values but also on the U.S. Constitution itself, and the due process it is supposed to guarantee for all. If it disappears for the most vulnerable in our society, don’t expect it to be there in the future when you or those around you might need due process of law. And, when you don’t get due process, you should also expect the Government to blame you for their failure.

PWS

08-19-17

 

HON. JEFFREY CHASE ON WHY WE NEED AN ARTICLE I IMMIGRATION COURT!

https://www.jeffreyschase.com/blog/2017/8/17/the-need-for-an-independent-immigration-court

Jeffrey writes:

“On August 8, the Department of Justice issued a highly unusual press release that inadvertently illustrated the need for an independent Article I immigration court.  Titled “Return to Rule of Law Under Trump Administration Marked by Increase in Key Immigration Statistics,” the release proudly cited a 30 percent increase in the number of people ordered deported by immigration judges since the present administration took office (which of course corresponded with a marked decrease in the number of individuals granted relief and allowed to remain legally in the country).  The press release was posted on the public website of  the Executive Office for Immigration Review, the agency which includes both the immigration courts and the Board of Immigration Appeals.

On his blog immigrationcourtside.com, former BIA chairman Paul Schmidt drew some apt analogies, imagining what the reaction would be if the Supreme Court were to proudly announce that in support of Donald Trump’s deregulaton initiative, it had struck down 30 percent more regulations since he took office?  Or if a circuit court released a self-congratulatory statement that in support of the president’s war on drugs, it issued 30 percent more convictions and 40 percent longer sentences for drug crimes than under the previous administration?  Such statements would be unthinkable, and would trigger a strong backlash.  But not so for the August 8 announcement.  Fortunately, EOIR itself did not sink to issuing such a statement.  Unfortunately, EOIR felt the need to post the release in a prominent place on its website (either because it was instructed to do so, or was afraid not to).

The National Association of Immigration Judges (the immigration judges’ union) has for years made a strong argument for the creation of an independent Article I immigration court.  The 334 immigration judges are the only judges among the Department of Justice’s 112,000 total employees.  The concept of the judges’ independence and political neutrality never really took within DOJ.  When both the former INS and EOIR were housed within Justice (prior to the former being moved to the Department of Homeland Security after the reorganization that followed the 9/11 tragedy), INS higher-ups would make complaints about immigration judges known to the Deputy Attorney General’s office, which oversaw EOIR’s director, a process that would be highly improper in other courts.  When 1996 legislation provided immigration judges with contempt power over attorneys appearing in their courts, INS managed to indefinitely block implementing DOJ regulations because the agency did not wish to afford immigration judges such authority over their fellow DOJ attorneys within INS; as a result, the judges still lack such contempt power 21 years later.

. . . .

It is a cornerstone of our justice system that judges not only be impartial, but that they also avoid the appearance of impartiality.  28 U.S.C. § 455(a) requires federal judges to recuse themselves in any proceeding in which their impartiality might reasonably be questioned.  How can the impartiality of an immigration judge not be questioned when the agency that employs him or her releases statements celebrating the increase in the percentage of cases in which deportations are ordered as a “return to the rule of law?”

The partisan pronouncement raises questions not only as to the independence of the judges in their decision making.  It also casts a cloud over hiring and policy decisions by EOIR’s management.  In hiring new judges and Board members, will EOIR’s higher-ups feel pressured to choose candidates likely to have higher deportation rates?  Are they likely to implement policies aimed at increasing fairness or expediency?  As an example, let’s use what Paul Schmidt aptly refers to as “aimless docket reshuffling,” in which immigration judges are detailed away from their home courts to hear cases elsewhere.  Of course, this means that the individuals scheduled for hearing in the home court (who have likely been waiting two years for their hearing) need to have their cases adjourned due to the judge’s absence.  I have no information as to what factors go into making these detailing decisions.  But hypothetically, if EOIR’s managers feel pressure to produce more deportations, might they consider shifting judges in high-volume courts in large cities such as New York or Los Angeles, where the respondents are likely to be represented by counsel, have adequate time to prepare and gather evidence, and have access to call witnesses (including experts),  to instead hear cases of detained, recently-arrived respondents in remote areas where they have less access to counsel, community support, evidence, or witnesses?  In which of those two scenarios might the judge “accomplish” more deportations in the same amount of time?

There is some irony in the use of the term “rule of law” in the Aug. 8 press release, because rules of law take a great deal of time to develop properly.  In a 2013 article titled “Let Judges Be Judges,” , Hon. Dana Leigh Marks, the president of the National Association of Immigration Judges, stated that allowing “immigration judges to consider the individual circumstances unique to each case” in an independent Article I court setting “would create a fine-tuned tool…instead of the blunt instrument that now exists.”  A “fine-tuned tool” is needed, as many of the claims presently being heard involve very complex legal issues.  Many cases involve those fleeing an epic humanitarian crisis in Central America.  Case law continues to develop, as leading asylum attorneys and scholars have spent years crafting nuanced theories to clarify the nexus between the serious harm suffered or feared and one of the five protected grounds required for a grant of asylum.  In other claims from countries such as Albania or the former Soviet republics, highly detailed testimony from country condition experts is required to educate judges as to specific dangers not mentioned in the generalized State Department country reports.  This type of painstaking development of the record cannot be accomplished under conditions termed in a 2009 report of the Appleseed Foundation as “assembly line injustice.”

In summary, a Department of Justice which chooses to publicly celebrate accelerated hearings resulting in orders of deportation as a positive development cannot oversee an immigration court system which aspires to provide “due process and fair treatment for all parties involved.”

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Head over to Jeffrey’s great blog at the above link for the complete story.

Jeff Sessions seldom, if ever, has a kind word to say about migrants of any type. He has been the enthusiastic “point man” for the President’s xenophobic, White Nationalist immigration enforcement program. He has promoted and repeated false narratives about immigrants and crime. The idea of him running the U.S. Immigration Court system charged with proving fair hearings to migrants is preposterous on it’s face.

And, it’s not just Sessions. All Attorneys General have the actual or apparent conflict of interest described by Jeffrey Chase. Sessions is just one of the most outrageous examples to date. If an Immigration Judge made the type of statement set forth  in the DOJ press release, he or she would undoubtedly be charged with ethical violations. And, let’s not forget that under the bizarre structure of the U.S. Immigration Courts, the Attorney General has authority to “certify” any individual case to him or her self and substitute his decision for that of the Immigration Judge and the BIA.

PWS

08-16-17

 

ANALYSIS BY HON. JEFFREY CHASE: BIA ONCE AGAIN FAILS REFUGEES: Matter of N-A-I-, 27 I&N Dec. 72 (BIA 2017) Is Badly Flawed!

https://www.jeffreyschase.com/blog/2017/8/10/the-bias-flawed-reasoning-in-matter-of-n-a-i-

Jeff writes

“In its recent precedent decision in Matter of N-A-I-, 27 I&N Dec. 72 (BIA 2017), the Board of Immigration Appeals held that when one who was granted asylum adjusts his or her status under section 209(b) of the I&N Act, their asylum status automatically terminates.  The Board further held that as a result, the restriction under section 208(c) of the Act, preventing the removal of an asylee to the country from which he or she was granted asylum, no longer applies.  Although this decision hasn’t received much attention, I believe it warrants discussion, as the conclusion runs contrary to well-established principles of asylum law.

Let’s begin by looking at some basic asylum concepts.  The reason refugees are granted asylum is because, in their inability to avail themselves of the protection of their native country, they are essentially stateless.  A refugee is one who is outside of his or her country of nationality, and unable or unwilling to return because doing so will result in a loss of life or liberty due to a statutorily-protected ground. One becomes a refugee when these criteria are met; a grant of asylum is merely a legal recognition of an already existing status.

In the same way that one becomes a refugee when the above conditions are met (and not upon a grant of asylum status), one remains a refugee until those conditions cease to exist.  This generally happens in one of two ways.  Less frequently, conditions may change in the original country of nationality to the extent that the individual can safely return.  In the far more common scenario, the asylee eventually obtains citizenship in the country of refuge, at which point he or she ceases to be stateless.  Under U.S. immigration law, the only way to get from asylee to U.S. citizen is by first adjusting one’s status to that of a lawful permanent resident.  Our laws encourage this step towards citizenship (and an end to refugee status) by allowing one to adjust status one year after being granted asylum.  Furthermore, our laws waive several grounds of inadmissibility that apply to non-refugee adjustment applicants, and allow for most others to be waived (with the exception of those convicted of serious crimes or who pose security concerns).

Obviously, the fact that one takes the step towards citizenship of adjusting their status does not mean that they magically cease to be a refugee.  The change in their U.S. immigration status does not make them able to safely return to a country where they might face death, rape, lengthy imprisonment,or torture.  For that reason, section 208(c)(1) of the Act forbids the return of one granted asylum to the country of nationality from which they fled.  The statute makes no mention of this protection terminating upon a change in the asylee’s immigration status; it states that it applies “[i]n the case of an alien granted asylum.”

. . . .

To support its position that adjustment of status is a voluntary surrender of asylum status, the Board needed to provide an alternative to the purportedly voluntary act.  It therefore claimed that one “who prefers to retain the benefits and protections of asylee status, including the restrictions against removal under section 208(c) of the Act, is not obligated to file an application for adjustment of status.”  This is a disingenuous statement, as first, no one would prefer to remain a refugee forever, and second,  the statute itself states that asylum conveys only a temporary status.  Furthermore, the law should not encourage individuals with a direct path to permanent status to instead live their lives in indefinite limbo in this country.

It will be interesting to see whether the United States Court of Appeals for the Fifth Circuit (under whose jurisdiction the present case arose) will decline to accord Chevron deference to the Board’s decision for the reasons stated above.”

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Read Jeffrey’s complete analysis at his own blog at the above link. Here’s a link to my earlier post on Matter of N-A-I-: http://immigrationcourtside.com/2017/08/04/new-precedent-bia-says-adjustment-to-lpr-status-terminates-asylum-status-matter-of-n-a-i-27-in-dec-72-bia-2017/

I agree with Jeffrey that the BIA once again has worked hard to limit protections for refugees under U.S. law. For many years now, basically since the “Ashcroft purge” of 2003, the BIA has, largely without any internal opposition, manipulated the law in many instances to avoid offering refugees appropriate protections. And, lets face it, with xenophobes Donald Trump as President and Jeff Sessions as Attorney General, nobody realistically expects today’s BIA to stand up for refugees or for the due process rights of migrants generally. That would be “career threatening” in a “captive Immigration Court system” that has abandoned its mission of “being the world’s best administrative tribunals, guaranteeing fairness and due process for all.”

PWS

08-13-17

FROM THE “CHASE ARCHIVES:” 24 Years Ago, Jeffrey Chase Stood Up For The Rights Of Asylum Seekers, Due Process, And American Values — H.R. 391 Is A Mindless Recycling Of The Same Horrible Ideas That Chase Opposed Then — Have We Learned Nothing In The Interim?

https://www.jeffreyschase.com/blog/2017/8/3/from-the-archives-my-wall-st-journal-op-ed-sept-9-1993

Jeffrey wrote;

“Last week, the House marked-up H.R. 391, the “Asylum Reform and Border Protection Act of 2017.”  The bill would create significant obstacles for asylum seekers, and increase the risk to unaccompanied children fleeing harm.  Provisions of the bill caused me to think of an op-ed I had written 24 years ago, which was published in The Wall Street Journal.  A different bill, a different President, but many of the same arguments apply.  So many years later, I still become emotional when I remember, as we stepped out of the airport terminal, the little girl excitedly crying out in Farsi: “Maman, azad shodim, azad shodim!” (“Mommy, we’re free, we’re free!)

 

 

‘Mommy, We’re Free!’ — In Defense of Asylum Rights

By Jeffrey S. Chase

 

Five years ago I met Goli (not her real name), a three-year-old Iranian girl detained by the Immigration and Naturalization Service.  Goli’s parents were political opponents of the Ayatollah Khomeini’s government.  Her father was missing in Iran, either killed or imprisoned.  Goli and her mother were forced to seek refuge in, of all places, Iraq.  They had spent the last two years in a camp there.  Goli was small for her age and sickly; she needed surgery unavailable to her in Iraq.  She had never had a real home, or even her own doll.

When Iraq’s war with Iran ended, Goli and her mother were expelled by Saddam Hussein.  They could not return to Iran, where the war’s end was celebrated with the arrests of hundreds of members of the mother’s opposition party.  With little money and nowhere else to go, the mother paid a smuggler to get her and her child to the U.S. with a false passport.  There, they would apply for asylum.  A relative of her husband’s, a physician living in Michigan, would help them settle and arrange for Goli’s much needed medical care.

Goli and her mother were detained on arrival at Kennedy Airport by the INS.  They were immediately scheduled for a hearing before an immigration judge; I was their attorney.  When we met, Goli had a high fever.  A doctor had prescribed antibiotics, but the security guards had not found time to purchase them.  A week later, when she had taken the antibiotics that I insisted be provided, she felt better, and a friendlier captor played with the girl, using her handcuffs as a makeshift toy.

Thanks to the rights afforded by our current asylum laws, Goli and her mother were released after a few weeks to live with their relatives in Michigan.  When her mother carried Goli outdoors for the first time, she cried, “Mommy, we’re free!”

Representing asylum seekers entails much work and aggravation with little or no pay.  The reward is a happy ending.  I have known nearly 100 others like Goli and her mother who have found refuge here in the U.S., away from the terror and chaos reigning in their home countries.  But recently, President Clinton announced legislation, sponsored by Sen. Edward Kennedy (D., Mass.), that would end such happy endings.  Reacting to a “crisis” that doesn’t exist, he has decided to show his political toughness by going after the world’s most vulnerable group, refugees.

Under the president’s bill, asylum seekers arriving here without proper documents will have no right to a lawyer, or a hearing, or an appeal.  The bill ignores the fact that many refugees are forced to escape their homelands without valid papers because there is no time to obtain them or because applying for and carrying the proper documents is too dangerous.

There are other troubling provisions.  According to the new bill, if refugees escaping certain death at home try fleeing to the U.S. aboard a plane that stops in Germany, for example, they would immediately be deported to Germany–even if they never stepped off the plane there.  This provision is similar to one in many Western European nations, whereby refugees are expected to apply for asylum in the first “safe” country they reach.  But sending refugees back to a country where they were “last present” is no guarantee that they will not be deported to their nation of origin.

As an immigration attorney, I’ve heard hundreds of asylum claims: in my office and in detention centers, in courts and airport terminals.  Asylum seekers are not terrorists; they are people like Goli and her mother.  Nor are they statistics; they are flesh and blood.  This phrase takes on added meaning when the flesh is marked with bullet wounds, cigarette burns and other remnants of torture.

I can still see the Afghan teenager, much of whose face was blown off by a Soviet land mine.  I still hear the Muslim man from Bosnia, who wept as he told me how Serbian troops stopped the United Nations bus he rode.  He was spared only when the would-be executioners discovered that the bus was leaving the country, thus assisting them in their “ethnic cleansing.”  After finally escaping Bosnia, he stopped briefly in another country en route to the U.S.  The Clinton legislation would deport him, and similarly the Liberian boy I met who told me how he survived a massacre by a rival clan by lying still among the corpses until the attackers left.

Even some who are sympathetic to such cases may feel that the U.S. cannot accept all of the world’s refugees.  We don’t.  There are 17 million refugees in the world.  Of the 300 million aliens the INS inspected last year at ports of entry, only 15,000 applied for asylum.  This means that 0.005% of the people who sought admission to the U.S. were asylum applicants.  Ironically, such exemplars of human rights as Iran and Pakistan accept far more.  Contrary to media reports, we have not “lost control of our borders” to “teeming hordes” of asylum seekers.  While some individuals abuse the system, their number is too small to justify all the ills assigned to them by nativist organizations.

Under the proposed legislation, if refugees somehow managed to reach the U.S. directly, they would have to present their cases on the spot at the airport to a junior level INS official.  The asylum seeker would have no right to compile evidence supporting their requests for asylum, call witnesses, or even consult a lawyer.  If this legislation becomes law, a person fighting a parking ticket would have more rights in our country than a Muslim fleeing certain death in Bosnia.

The answer to the asylum question is not to turn away genuine refugees.  Administrative improvements to preserve legal protections for refugees are urgently needed.  More asylum officers and faster and fairer processing of asylum cases would eliminate any instances of abuse.  They would also make possible more happy endings for the world’s future Golis.

 

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H.R. 391 is simply appalling in its false premises and its ignorance about what really happens in the U.S. asylum system.  And, make no mistake about it — even without the “gonzo” proposals contained in H.R. 391, we are knowingly and intentionally sending plenty of innocent folks back to countries in the Northern Triangle to be preyed upon by gangs, corrupt governments, or both, too many without receiving even the trappings of real due process.  Why not fix the due process problems in the current asylum system, rather than trying to further diminish the already limited rights of asylum seekers? For a fraction of the money Trump & Co. propose to waste on unneeded additional enforcement agents and an idiotic border wall, the asylum system could be fixed to run smoothly, efficiently, and fairly!
PWS
08-03-17

HON. JEFFREY CHASE RESPONDS TO CHIEF JUDGE KELLER’S OPPM: Continuances Promote Due Process — U.S. Immigration Judges Should Be Free To Exercise Discretion — Memo Fails To Recognize Dire Straits Of NGOs And Asylum Seekers Largely Caused By DOJ & EOIR’s Own Policies!

https://www.jeffreyschase.com/blog/2017/8/3/in-support-of-continuances

Jeffrey writes:

“The chief judge’s memo correctly states that “at least one continuance should be granted” in order to allow a respondent to obtain counsel.  However, the memo raises concerns about granting additional adjournments, “particularly when all respondents are initially provided a list of pro bono legal services…”  However, the memo fails to mention the strain the same backlog has put on the limited resources of the listed pro bono representatives.  Therefore, denying additional continuances will require more applicants to proceed without counsel.  At present, many cases pending before the courts involve asylum seekers (including minors) fleeing gang violence in Central America and Mexico.  Many of these claims are based on the claimants’ membership in a particular social group, a still-evolving area of the law.  BIA precedent requires an asylum applicant to “delineate and establish to the Immigration Judge any particular social group he claims.”  See Matter of A-T-, 25 I&N Dec. 4, 10 (BIA 2009).  “Particular social group” is a term of art that a pro se applicant would not understand.  Furthermore, a knowledge of existing case law is essential in crafting a proposed social group to present to the immigration judge.  In other words, the denial of additional continuances to allow an asylum applicant to obtain representation in order to move a case along can be fatal to an individual’s chances for obtaining relief, and can further undermine the applicant’s chance of success on appeal.

Hopefully, judges will continue to consider all of the above in their application of the Chief Judge’s memo.”

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Read Jeffrey’s complete commentary at the link.

I agree entirely with Jeffrey that continuances play a critical role in maintaining due process.  I also agree that memos such as this OPPM show a total misunderstanding and lack of appreciation for the situation of NGOs — who are basically keeping the system afloat — and the due process need for counsel in asylum cases. See my comments from yesterday on the OPPM:

http://immigrationcourtside.com/2017/08/02/eoir-issues-oppm-on-continuances-apparent-attempt-to-shift-focus-away-from-politically-motivated-adr-that-is-causing-massive-backlogs/.

Contrary to the Chief Judge’s tone, problems caused by DOJ and EOIR management have basically tied the individual Immigration Judges’ hands in granting continuances. Let’s face it, after DOJ and EOIR arbitrarily “orbit” ready for trial non-detained cases for their own political goals, individual Immigration Judges lose both credibility and effective control of their dockets. How can a judge in good conscience deny most motions to continue when cases are intentionally left pending for years:  attorneys change, the law changes, country conditions change, witnesses change or become unavailable, and other forms of relief pop up.

Moreover, as pointed out by Jeffrey, rather than simplifying the system so that protection could be quickly granted in more straightforward cases, the BIA has intentionally made the process more complicated — to the extent that it is virtually impossible to imagine that any unrepresented asylum applicant could document a PSG case to the BIA’s hyper-technical specifications.

And, Congress also shares responsibility for the current untenable situation. During several relatively recent “contrived” Government shutdowns, the Immigration Court’s entire non-detained docket and the the vast majority of Immigration Judges who staffed them were determined to be “nonessential” and therefore “furloughed,” leaving active dockets “to rot.” Non-detained cases were cancelled en masse and the court system never really recovered. For all I know, some of those cases are still “off docket.”

Also, these actions sent a strong message that the politicos in both the Legislative and Executive branches neither respected the work of U.S. Immigration Judges nor considered it important. The “non-detained docket” basically became the “who cares docket.”

The Obama Administration then further aggravated the problem by unwisely (and without consulting “line” U.S. Immigration Judges) prioritizing new “Not Quite Ready For Prime Time” Southern Border cases over regularly scheduled non-detained cases, thus sending  the non-detained docket further into complete chaos: “Aimless Docket Reshuffling.” Now, the Trump Administration’s “gonzo, anything goes, show no judgement, exercise no prosecutorial discretion” regime is pushing the courts over the brink.

We need bipartisan legislation to get the U.S. Immigration Courts out of the DOJ and into an independent judicial structure where they can focus on providing high quality due process in an efficient, predictable, and systematic manner.

PWS

08-03-17

BIA/DURESS DEFENSE — NEW COMMENTARY FROM JUDGE JEFFREY S. CHASE: “Former IJs and Board Members File Amicus Brief in Negusie Remand”

https://www.jeffreyschase.com/blog/2017/7/17/former-ijs-and-board-members-file-amicus-brief-in-negusie-remand

Jeffrey writes:

“An Amicus brief was recently filed with the BIA on behalf of seven former immigration judges (including myself) and a former BIA board member in the case of Negusie v. Holder.  (In addition to the former Board member, one of the included IJs also served as a temporary Board member).   The case was remanded by the U.S. Supreme Court in order for the Board to determine whether there is a duress exception to the bar to asylum which applies to those who have persecuted others on account of a protected ground.

The context for the brief is as follows.  After initially ceding a limited duress exception to the Board, DHS recently changed its position.  In now opposing such exception, DHS relies in part on its contention that the complex analysis such determinations require would overburden the currently backloggedimmigration courts.

The amicus brief on behalf of the former IJs and Board member offers three primary points in rebuttal to this portion of DHS’s claim.  First, the brief points out that the immigration courts’ present backlog is largely the result of policy decisions made by both EOIR and DHS itself.  As the brief argues, it is disingenuous for DHS to create policies that contribute to the immigration courts’ backlog, and then argue to limit immigration judge’s decision-making authority as a means of alleviating its self-created burden.  The brief adds that such “bureaucratic failures resulting in the immigration court backlog cannot be a reason to deny people their right to a fair and just outcome.”

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Read Jeffrey’s complete analysis over on his own website at the above link.

Why the “Chevron Doctrine” has gotta go:

Folks, the Supremes remanded the Negusie case in 2009 — that’s right, approximately eight years ago! Since that time, the supposedly “expert” BIA has been screwing around trying to came up with guidance.

It was obvious from the Supreme’s decision that they all had firm opinions on the correct answer (notwithstanding some very disingenuous protests to the contrary). So, why send the case back several levels in the system, all the way to a non-Article III administrative tribunal to make a decision that the BIA is either unwilling or incapable of making in a timely manner?

It’s time for the Supremes to step up to the plate and decide difficult and controversial issues when they are presented to them, not “punt” back to lesser qualified Executive agencies that lack the necessary judicial independence to make the best and fairest decisions. Why have a Supreme Court that is afraid to decide important legal issues?

In the meantime, lives are in the balance as the BIA flounders about trying to reach a decision. U.S. Immigration Judges and lower Federal Courts have had to “go it alone” on real-life cases while the BIA ruminates. Indeed, I had to decide such cases at the trial level on several occasions without any meaningful guidance from the BIA.

Moreover, the obvious unfairness of these delays is well illustrated here. During the eight years at the BIA, the Administration has changed and is now taking a much more restrictive position. But, if the BIA had done its job, the precedent, presumably more generous, would have been established years ago, and many cases would already have been finally determined thereunder.

It’s time to put an end to the absurdly “undue deference” that the Supremes give to non-Article III decision makers on questions of law under Chevron.

PWS

07-17-17

NEW BLOG ON THE BLOCK! –“JEFFREY S. CHASE OPINIONS/ANALYSIS ON IMMIGRATION LAW”

Congratulations and welcome to the “blogosphere,” Jeffrey! Glad to have your expertise and analysis out there and easily accessible!

Check out Judge Chases’s new blog here:

https://www.jeffreyschase.com/

PWS😎😎😎😎😎

06-30-17

IMMIGRATION HISTORY: Here’s The Chase-Burman Mini-Library Of Immigration History, Courtesy Of “The Green Card!”

75 Years of the BIA

http://www.fedbar.org/Image-Library/Sections-and-Divisions/Immigration/Green-Card-Spring-2016-updated.aspx

“Matter of L-, 1 I&N Dec. 1 (BIA 1940), was issued on August 29, 1940, the day before the Board of Immigration Appeals came into existence.2 Some background about the Board’s early history is required to explain this. From 1922 until 1940, a five-member Board of Review existed within the Department of Labor to review all immigration cases. The Board of Review had no decision- making authority of its own; it could only recommend action to the Secretary of Labor. In 1933, the Immigration and Naturalization Service (INS) was formed within the Department of Labor,3 and from 1933 until 1939 the Board of Review made its recommendations to the Commissioner of Immigration and Naturalization.4″

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Commentary on “Pattern or Practice” Persecution

http://www.fedbar.org/Image-Library/Sections-and-Divisions/Immigration/Green-Card-Fall-2016-.aspx

In INS v. Cardoza-Fonseca, its landmark 1987 decision establishing that the burden of proving a “well-founded fear of persecution” is significantly less than fifty percent, the Supreme Court relied on the following scholarly example: “Let us…presume that it is known that in applicant’s country of origin every tenth adult male person is either put to death or sent to some remote labor camp… In such a case it would be only too apparent that anyone who managed to escape from the country would have ‘well-founded fear of being persecuted’ on his eventual return.”2 While the Court’s decision predates the “pattern or practice” regulation by more than three years, the example it relies on (which predates the regulation by 24 years) presents a classic “pattern or practice” scenario. The hypotheti- cal establishes (1) a group, i.e., all adult males in a particular country; and (2) information establishing systemic persecution of one in ten members of such group. all members of the group therefore have a well-founded without the need to explain their individual circumstances.”

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The History of Racism in U.S. Immigration


http://www.fedbar.org/Image-Library/Sections-and-Divisions/Immigration/the-green-card-winter-2017.aspx

“Racism was codified in this country’s original natu- ralization law. The Naturalization Act of 1790 limited the right to naturalize to “free white persons.” Following the Civil War, the Act of July 14, 1870, added “aliens of African nativity” and “aliens of African descent” to those eligible to naturalize. However, all others considered “non-white” continued to be barred from obtaining United States citizenship. In 1922, the Supreme Court denied Takao Ozawa, a Japanese immigrant who had lived in the U.S. for 20 years, the right to become a naturalized citizen because he “clearly” was “not Caucasian.” In interpreting the term “free white persons,” the Court found that “the framers did not have in mind the brown or yellow races of Asia.”1 In United States v. Bhagat Singh Thind,2 the Supreme Court reached the same conclusion regarding an “upper-caste Hindu” who claimed a lineage classi ed as “Aryan” or “Caucasian.” The Court determined that “Aryan” related to “linguistic, and not at all with physical, characteristics,” and concluded that the term “free white persons” as understood by the common man, would not include those of Hindu ancestry.3 It was not until passage of the McCarran-Walter Act in 1952 that the naturalization law was amended to read that “[t]he right of a person to become a naturalized citizen shall not be denied or abridged because of race or sex…”4

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Read all three of Judge Chase’s outstanding histories and get some “instant perspective” on how we got to where we are today as a nation of immigrants. There was no shortage of hypocracy. And, I submit that in the course of history some of today’s politicians advocating restrictive racially and religiously charged immigration policies are going to look just as distasteful, arrogant, prejudiced, and ignorant as some of the judges, lawmakers, and government officials described in these articles.

PWS

06-19-17

UPDATE

Judge Chase has reminded me that there is a fourth part to this collection:

The History of U.S. Asylum Law

http://www.fedbar.org/Image-Library/Sections-and-Divisions/Immigration/Green-Card-Summer-2016.aspx

“U.S. asylum policy is a product of the tension between the public sentiments of compassion and fear. In the words of a former Deputy UN High Commissioner: “The public will not allow governments to be generous if it believes they have lost control.” 1 Although asylum can be traced back at least to the Old Testament, for all practical purposes, U.S. asylum policy began on the eve of World War II.”

PWS

06-21-17

INTRODUCING NEW COMMENTATOR — Hon. Jeffrey Chase — “Matter Of L-E-A: The BIA’s Missed Chance” — Original For immigrationcourtside!

Hi immigrationcourtside.com readers:

I am delighted to provide an original article by my good friend and colleague the Honorable Jeffrey Chase, who recently joined us in the ranks of the “retired but still engaged.” Judge Chase is a former U.S. Immigration Judge in New York, a former Senior Attorney Adviser at the BIA, and a former sole immigration practitioner in New York. He’s also a gentleman, a scholar, and an immigration historian. In a subsequent post I’ll be providing some links to parts of the “Chase Immigration History Library” which has previously been published by our friend and former colleague Judge Lawrence O. Burman in the FBA’s The Green Card.

Welcome to retirement and to immigrationcourtside, Judge Chase! We live in interesting times. Enjoy the ride.

Now, for your reading pleasure, here’s the complete original version of Judge Chase’s article about a recent BIA precedent.  Enjoy it!

Matter of L-E-A-

Matter of L-E-A-: The BIA’s Missed Opportunity

 

Jeffrey S. Chase

 

On May 24, the Board of Immigration Appeals published its long-anticipated precedent addressing family as a particular social group, Matter of L-E-A-, 27 I&N Dec. 40 (BIA 2017). Thirteen amicus briefs were received by the Board addressing the issue of whether a “double nexus” is required in claims based on the particular social group of family.   The good news is that the Board did not create a “double nexus” requirement for family-based PSG claims. In other words, the decision does not require an asylum applicant to prove both their inclusion in the social group of X’s family, and then also establish that X’s own fear is on account of a separate protected ground.

 

Nevertheless, the resulting decision was highly unsatisfying. The Board was provided a golden opportunity to adopt the interpretation of the U.S. Court of Appeals for the Fourth Circuit, which has held persecution to be “on account of” one’s membership in the particular social group consisting of family where the applicant would not have been targeted if not for their familial relationship. Such approach clearly satisfies the statutory requirement that the membership in the particular social group be “at least one central reason for persecuting the applicant.” If the asylum seeker would not have been targeted if not for the familial relationship, how could such relationship not be at least one central reason for the harm? L-E-A- rejected this interpretation, and instead adopted a much more restrictive “means to an end” test. Under L-E-A-, even though the respondent would not be targeted but for her familial relationship to her murdered husband, she would not be found to have established a nexus because the gangsters she fears do not wish to harm her because of an independent animus against her husband’s family. Rather, targeting her would be a means to the end of self-preservation by attempting to silencing her to avoid their own criminal prosecution.

 

Under the fact patterns we commonly see from Mexico and the “northern triangle” countries of Central America, claims based on family as a particular social group will continue to be denied, as such fears will inevitably be deemed to be a means to some criminal motive of gangs and cartels (i.e. to obtain money through extortion or as ransom; to increase their ranks; to avoid arrest) as opposed to a desire to punish the family itself. Applying the same logic to political opinion, a popular political opponent of a brutal dictator could be denied asylum, as the dictator’s real motive in seeking to imprison or kill the political opponent could be viewed as self-preservation (i.e. avoiding losing power in a free and fair election, and then being imprisoned and tried for human rights violations), as opposed to a true desire to overcome the applicant’s actual opinions on philosophical grounds.

 

Sadly, the approach of L-E-A- is consistent with that employed in a line of claims based on political opinion 20 years ago (see Matter of C-A-L-, 21 I&N Dec. 754 (BIA 1997); Matter of T-M-B-, 21 I&N Dec. 775 (BIA 1997); Matter of V-T-S-, 21 I&N Dec. 792 (BIA 1997)) in which attempted guerrilla recruitment, kidnaping, and criminal extortion carried out by armed political groups were not recognized as persecution where the perpetrator’s motive was to further a goal of his/her political organization as opposed to punishing the asylum applicant because of his/her own political opinion.

 

Nearly a decade earlier, an extreme application of this “logic” resulted in the most absurd Board result of to date. In Matter of Maldonado-Cruz, 19 I&N Dec. 509 (BIA 1988), the Board actually held that a deserter from an illegal guerrilla army’s fear of being executed by a death squad lacked a nexus to a protected ground, because the employment of death squads by said illegal guerrilla army was “part of a military policy of that group, inherent in the nature of the organization, and a tool of discipline,” (to quote from the headnotes). After three decades of following the course of such clearly result-oriented decision making, the Board missed an opportunity to right its course.

 

The author formerly served as an immigration judge, and as a staff attorney at the Board of Immigration Appeals.

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I agree with Judge Chase that this is a missed opportunity that will come back to haunt all of us. A correct decision would have allowed many of the Central American asylum seekers clogging the court system at all levels to be granted needed protection, either at the USCIS or in court. Here is a link to my prior blog and “alternative analysis” of L-E-A-.

http://wp.me/p8eeJm-Sh

Instead, I predict that some of these cases could still be “kicking around the system” somewhere a decade from now, unless some drastic changes are made. And the type of positive, due process, fairness, and protection oriented changes needed are not going to happen under the Trump Administration. So, the battles will be fought out in the higher courts.

Although the BIA did it’s best to obfuscate, it’s prior precedent in Matter of J-B-N- & S-M-, 24 I&N Dec. 208 (BIA 2007) basically established a “common sense/but for” test for one central reason. In a mixed motive case, if the persecution would have occurred notwithstanding the protected ground, then it is tangental, incidental, and not “at least one central reason.” On the other hand, if “but for” the protected ground the perseuction would not have occurred, that ground is at least “one central reason” of the persecution.

In L-E-A- the respondent would not have suffered threats and attempts to kidnap him  “but for” his membership in the family. Hence family clearly is “at least one central reason” for the persecution. That’s basically the test the Fourth Circuit Court of Appeals would apply.

It’s a fairly straightforward case. The respondent in L-E-A- satisfies the refugee definition. In fact, the serious threats delivered by a gang which clearly has the ability and the means to carry them out amounts to past persecution. Hence, the respondent is entitled to the rebuttable presumption of future persecution.

Instead of properly applying its own precedents and reaching the correct result, the BIA launches into paragraphs of legal gobbledygook designed to mask what’s really going on here: manipulating the law and the facts to deny protection to Central American refugees whenever possible.

I know, this respondent is from Mexico; but, the BIA’s intended target obviously is Northern Triangle gang-based asylum claims. This precedent gives the Immigration Judges and Asylum Officers lots of “hooks” to deny claims by women and children fleeing family-targeted gang violence.

And, it insures that nobody without a really good lawyer and the ability to litigate up to Courts of Appeals if necessary even has a chance. The BIA is certainly well aware that the Trump Administration is pulling out all the stops to effectively deny counsel to arriving asylum seekers by a combination of using expedited removal, increasing negative credible fear determinations, and detaining everyone in out of the way locations where conditions are discouraging and pro bono counsel are not readily available.

Yeah, I don’t suppose any of this is going to bother Trump Administration officials any more than it did the BIA’s DOJ bosses during the Bush and Obama Administrations. Some negative case precedents on repetitive Central American claims proved mighty handy in border enforcement efforts and “don’t come, you’ve got no chance” publicity campaigns. The only problem is the it twists protection law out of shape.

Finally, let the record reflect that I lodged a dissent in Matter of C-A-L-, 21 I&N Dec. 754 (BIA 1997); Matter of T-M-B-, 21 I&N Dec. 775 (BIA 1997); and Matter of V-T-S-, 21 I&N Dec. 792 (BIA 1997), wrongly decided BIA precedent cases cited by Judge Chase. Indeed, Matter of T-M-B- eventually was reversed by the Ninth Circuit Court of Appeals, Borja v. INS, 175 F.3d 332  (9th cir. 1999), something which many BIA Appellate Judges only grudgingly acknowledged in later cases.

So, it will be left for the Courts of Appeals to straighten out nexus in the family context. Or not.

Again, welcome Judge Chase.  Look forward to hearing more from you.

PWS

06-03-17