National Press v. McCraw

U.S. Court of Appeals for the Fifth Circuit
National Press v. McCraw, 84 F.4th 632 (5th Cir. 2023)

National Press v. McCraw

Opinion

Case: 22-50337      Document: 00516940218          Page: 1     Date Filed: 10/23/2023




            United States Court of Appeals
                 for the Fifth Circuit                                 United States Court of Appeals
                                                                                Fifth Circuit

                                 ____________                                 FILED
                                                                        October 23, 2023
                                   No. 22-50337                          Lyle W. Cayce
                                 ____________                                 Clerk

   National Press Photographers Association; Texas
   Press Association; Joseph Pappalardo,

                                           Plaintiffs—Appellees/Cross-Appellants,

                                        versus

   Steven McCraw, in his official capacity as Director of the Texas
   Department of Public Safety; Dwight Mathis, in his official capacity as
   Chief of the Texas Highway Patrol; Kelly Higgins, in his official capacity
   as District Attorney of Hays County, Texas,

                                 Defendants—Appellants/Cross-Appellees.
                   ______________________________

                   Appeal from the United States District Court
                        for the Western District of Texas
                             USDC No. 1:19-CV-946
                   ______________________________

   Before Clement, Elrod, and Willett, Circuit Judges.
   Don R. Willett, Circuit Judge:
          Chapter 423 of the Texas Government Code governs the operation of
   unmanned aerial vehicles—drones—in Texas airspace. In this case, the
   plaintiffs claim a sweeping First Amendment right to use unmanned aerial
   drones to film private individuals and property without their consent. They
   also assert a constitutional right to fly drones at low altitudes over critical
   infrastructure facilities like prisons and large sports venues.
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                                     No. 22-50337


          We disagree. Though we do not foreclose any as-applied constitutional
   defenses to any hypothetical future prosecutions under the drone laws, we
   hold that these facial challenges fail. Accordingly, we REVERSE and
   REMAND with instructions to enter judgment in the defendants’ favor on
   the constitutional claims. We also reject the plaintiffs’ cross-appeal claiming
   that federal regulations occupy the entire field of drone regulation. Quite the
   contrary, federal law expressly contemplates concurrent non-federal
   regulation of drones, especially where privacy and critical infrastructure are
   concerned. On this issue, we AFFIRM the district court’s dismissal of the
   field-preemption claim.
                                           I
                                          A
          Roughly a decade ago, the Texas Legislature enacted Chapter 423 as
   part of its efforts to regulate the use of drones in Texas airspace. 1 Two sets of
   Chapter 423’s provisions are at issue in this lawsuit:
          First, we have what the parties have nicknamed the “Surveillance”
   provisions. These provisions make it unlawful to use a drone to “capture an
   image” of someone or private property with an intent to surveil the subject
   of the image:
          A person commits an offense if the person uses an unmanned
          aircraft to capture an image of an individual or privately owned
          real property in this state with the intent to conduct
          surveillance on the individual or property captured in the
          image. 2



          1
          Texas Privacy Act, 83d Leg., R.S., ch. 1390, §§ 1–2 (2013), 
2013 Tex. Gen. Laws 3691
, 3691–3694 (codified at Tex. Gov’t Code §§ 423.001–423.008).
          2
              Tex. Gov’t Code § 423.003(a).




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                                            No. 22-50337


   Depending on how you count them, there are at least twenty-one statutory
   exemptions to the Surveillance Provisions. 3 For instance, law enforcement
   and the military are allowed to conduct aerial surveillance using drones. 4 So
   can professors and students, if they do it for an “academic purpose.” 5 It’s
   also fine to use a drone to capture images from under eight feet—roughly the
   height of someone holding a camera above his or her head. 6 Importantly—it
   is lawful to use a drone to capture images of public property or persons on
   public property, 7 and one can always take drone images with the consent of
   the subject. 8 What is not among the twenty-one exceptions, however, is a
   specific exemption for the press.
          Second, we have what the parties have dubbed the “No-Fly
   Provisions.” The No-Fly provisions make it illegal to fly a drone above
   sensitive sites like critical infrastructure facilities, prisons, and large sports
   venues:
          A person commits an offense if the person intentionally or
          knowingly:
          (1) operates an unmanned aircraft over a critical infrastructure
          facility and the unmanned aircraft is not higher than 400 feet
          above ground level;
          (2) allows an unmanned aircraft to make contact with a critical
          infrastructure facility, including any person or object on the
          premises of or within the facility; or


          3
              Id. § 423.002(a)(1)–(21).
          4
              Id. §§ 423.002(a)(3) & (8).
          5
              Id. § 423.002(a)(1).
          6
              Id. § 423.002(a)(14).
          7
              Id. § 423.002(a)(15).
          8
              Id. § 423.002(a)(6).




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                                          No. 22-50337


           (3) allows an unmanned aircraft to come within a distance of a
           critical infrastructure facility that is close enough to interfere
           with the operations of or cause a disturbance to the facility. 9
   Critical infrastructure facilities include airports, petroleum refineries, power
   generators, and military installations, so long as they are enclosed by a fence
   or barrier, or otherwise indicate that entry is forbidden. 10 There is a nearly
   identical No-Fly provision barring flights directly above correctional facilities
   and detention centers, 11 and one that applies to large sports venues:
           A person commits an offense if the person intentionally or
           knowingly operates an unmanned aircraft over a sports venue
           and the unmanned aircraft is not higher than 400 feet above
           ground level. 12
   Just like the Surveillance provisions, the No-Fly provisions contain several
   exemptions. Most relevant here is one that allows a drone operator to violate
   the No-Fly provisions “for a commercial purpose” so long as the operator
   complies with the applicable Federal Aviation Administration rules and
   authorizations. 13 Again, though: there is no specific exemption for the press.



           9
                Id. § 423.0045(b).
           10
                Id. § 423.0045(a)(1-a).
           11
               Tex. Penal Code § 38.115(b). The No-Fly provisions relating to correctional
   facilities and detention centers previously were codified in the same section of the Texas
   Government Code as the No-Fly provisions relating to critical infrastructure sites. Tex.
   Gov’t Code § 423.0045. Effective September 1, 2023, however, the Texas Legislature
   moved those provisions to the Penal Code. See Operation of an Unmanned Aircraft Over a
   Correctional Facility or Detention Facility; Creating a Criminal Offense, 2023 Tex. Sess. Law
   Serv. Ch. 591 (H.B. 3075).
           12
                Tex. Gov’t Code § 423.0046(b).
           13
             Id. §§ 423.0045(c)(5), 423.0046(c)(5). As of September 1, 2023, the provisions
   relating to correctional facilities and detention centers no longer appear to have a
   commercial-purpose exception. See Tex. Penal Code § 38.115(c).




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                                       No. 22-50337


            Violating the Surveillance or the No-Fly provisions is a criminal
   offense under Texas law, 14 and it also subjects the violator to the possibility
   of civil liability. 15
                                            B
            The plaintiffs in this case are one drone-owning journalist and two
   media-related organizations (Plaintiffs).
            Joseph Pappalardo is a self-employed journalist. He owns a small
   aerial drone and is qualified to operate the drone in the national airspace. He
   is “concerned that using a [drone] for journalistic purposes would put [him]
   at risk of criminal penalties and subject [him] to liability in a civil lawsuit” in
   Texas. In 2017, he was informed by one of his “corporate bosses” at the time
   that, should he take images in violation of Chapter 423, the company would
   not pay for a legal defense in any resulting court proceedings. After that
   conversation, he has refrained from using a drone for image capturing in
   Texas “due to [his] concern about possibly violating Chapter 423.” As a
   result, he has missed out on opportunities to take aerial photographs to
   include in his reporting, including stories on Hurricane Harvey, house fires,
   storm damage, removal of homeless encampments, and illegal poaching in
   urban areas. He believes that Chapter 423 prevents him from being able to do
   “complete reporting that journalists in other states are able to do.” “As a
   freelancer, being able to provide aerial imagery can be the difference between
   selling a pitch or being denied.”
            National Press Photographers Association (NPPA) is a national
   association that represents the interests of visual journalists, including news


            14
           Tex. Gov’t Code §§ 423.003(b), 423.0045(d), 423.0046(d); Tex. Penal
   Code § 38.115(d).
            15
                 Tex. Gov’t Code § 423.006(a).




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                                    No. 22-50337


   photographers in Texas. According to NPPA, drones provide its members
   with a cheap and safe alternative to renting a helicopter to obtain aerial
   images. Two NPPA members, both photojournalists, are especially relevant
   to this appeal.
          The first is Guillermo Calzada. In July 2018, he flew his drone near
   the site of an apartment fire in San Marcos, Texas, to capture images for his
   employer, the San Antonio Express-News. An unnamed federal agent at the
   scene approached him and told him that he was interfering with a federal
   investigation. The agent then called the San Marcos police. An unnamed
   police officer arrived and told Calzada that he had violated state law by taking
   pictures with his drone and that, if he published them, he would be violating
   the law again. The officer also told Calzada that she wouldn’t cite him for the
   incident.
          The second is Brandon Wade. He is a freelancer who, though qualified
   to fly a drone, does not use one for journalism due to the risk of enforcement.
   He believes the threat of enforcement is costing him “thousands of dollars”
   because one of his clients, The Dallas Morning News, has not given him any
   drone-photography assignments. In 2018, another client, the Fort Worth
   Star-Telegram, offered Wade an assignment to document the construction of
   a new ballpark for the Texas Rangers. Although the Rangers refused to grant
   permission to Wade’s client, the Rangers did hire Wade to film the
   construction for them for public-relations purposes. As a result, Wade says,
   the Rangers own the copyright to the footage, and he cannot share it with the
   media. Wade “lost thousands of dollars” due to the Rangers’ refusal.
          The other organizational plaintiff is the Texas Press Association
   (TPA). It exists to promote the welfare of Texas newspapers, encourage
   higher standards of journalism, and advocate for First Amendment liberties.
   TPA represents approximately 400 member newspapers, and its members




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                                            No. 22-50337


   include The Dallas Morning News, the San Antonio Express-News, and the Fort
   Worth Star-Telegram. Some of TPA’s member newspapers have enacted
   policies avoiding the use of drone photography in response to Chapter 423’s
   restrictions. Its members would be able to more cheaply and safely cover the
   news if drone photography were permitted.
          The defendants in this case are high-ranking state- and county-level
   officials: two Texas heads of law-enforcement agencies and one county
   district attorney (Defendants).
          Steve McCraw is the Director of the Texas Department of Public
   Safety (DPS). As the “head of the Department of Public Safety,” he is “the
   highest law enforcement official in the state of Texas.” 16 The other state
   official is Dwight Mathis. He is the Chief of the Texas Highway Patrol
   (THP). 17 The record evidence indicates that, while DPS has issued warnings
   and citations to drone operators on a few occasions, neither DPS nor THP
   has ever arrested anybody for violating Chapter 423 specifically.
          Kelly Higgins is the district attorney of Hays County, Texas. 18 Unlike
   the state defendants, the Hays County district attorney’s office has initiated
   at least one prosecution “for drone-related activities” The record evidence
   indicates that this prosecution, which resulted in a deferred disposition, was
   for violating Chapter 423. Though it is not in the record, at oral argument
   Higgins’s counsel indicated that the prosecution did not involve members of
   the press but instead an individual who surreptitiously photographed his
   neighbor.

          16
               Westfall v. Miller, 
77 F.3d 868
, 873 n.1 (5th Cir. 1996).
          17
            Ron Joy previously was Chief of the Texas Highway Patrol and was the defendant
   named in the complaint. Mathis has been substituted in this litigation.
          18
            Wes Mau previously was the Hays County district attorney and the county-level
   defendant named in the complaint. Higgins has been substituted in this litigation.




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                                             No. 22-50337


                                                  C
             Plaintiffs filed this pre-enforcement facial constitutional challenge to
   Chapter 423 against Defendants, seeking to enjoin them from enforcing the
   Surveillance and No-Fly provisions. Plaintiffs asserted five claims, arguing
   that the Surveillance provisions violate the First Amendment and the Due
   Process Clause of the Fourteenth Amendment, and that the No-Fly
   provisions violate the First Amendment, Due Process, and federal
   preemption principles. In essence, their position is that Chapter 423
   unlawfully infringes on their right to film and gather news, that the statutory
   prohibitions are so vague that they violate Due Process, and that Texas has
   no authority to promulgate drone regulations because the federal government
   has expressly preempted all state and local drone regulations.
             The district court ruled on all five claims. In 2020, the court dismissed
   Plaintiffs’ claim that the No-Fly provisions are preempted by federal law. 19
   In 2022, ruling on the parties’ cross motions for summary judgment, the
   court entered a final judgment favoring Plaintiffs on all of their remaining
   theories and enjoined Defendants and all of their subordinates from enforcing
   Chapter 423. 20 The court held that both challenged provisions violate both
   the First Amendment and Due Process.
             Both sides appealed. Defendants argue that Plaintiffs’ claims fail on
   standing, sovereign immunity, and merits grounds. Plaintiffs, on the other
   hand, say the district court should have enjoined enforcement of Chapter 423
   on the additional ground that federal law preempts the entire field of aviation
   safety.

             19
                  Nat’l Press Photographers Ass’n v. McCraw, 
504 F. Supp. 3d 568
, 591 (W.D. Tex.
   2020).
             20
                  Nat’l Press Photographers Ass’n v. McCraw, 
594 F. Supp. 3d 789
, 813 (W.D. Tex.
   2022).




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                                             No. 22-50337


                                                   II
           We review summary-judgment rulings de novo, applying the same
   standard as the district court.21 “Cross-motions must be considered
   separately, as each movant bears the burden of establishing that no genuine
   issue of material fact exists and that it is entitled to judgment as a matter of
   law.” 22 Legal issues, including jurisdictional issues like standing and
   sovereign immunity, are reviewed de novo. 23
           Our discussion proceeds as follows: (A) Article III standing; (B) the
   Ex parte Young exception to sovereign immunity; (C) the First Amendment;
   and (D) “field” preemption under the Supremacy Clause. 24
                                                   A
           Defendants first argue that Plaintiffs lack standing to bring this pre-
   enforcement challenge to Chapter 423 against them. We agree—in part.
           “Article III of the Constitution limits the jurisdiction of federal courts
   to ‘Cases’ and ‘Controversies.’” 25 “The basic inquiry is whether the
   conflicting contentions of the parties present a real, substantial controversy
   between parties having adverse legal interests, a dispute definite and
   concrete, not hypothetical or abstract.” 26



           21
                Shaw Constructors v. ICF Kaiser Eng’rs, Inc., 
395 F.3d 533, 538
 (5th Cir. 2004).
           22
                
Id.
 at 538–39.
           23
                Texas All. for Retired Ams. v. Scott, 
28 F.4th 669, 671
 (5th Cir. 2022).
           24
              See Davis v. Sumlin, 
999 F.3d 278
, 279 (5th Cir. 2021) (“[F]ederal courts must
   do jurisdiction first.”).
           25
           Susan B. Anthony List v. Driehaus, 
573 U.S. 149
, 157 (2014) (quoting U.S.
   Const., art. III, § 2).
           26
             Babbitt v. United Farm Workers Nat’l Union, 
442 U.S. 289, 298
 (1979) (alteration
   accepted) (internal quotation marks omitted).




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                                             No. 22-50337


           To show associational standing, NPPA and TPA must show that “(a)
   its members would otherwise have standing to sue in their own right; (b) the
   interests [each entity] seeks to protect are germane to [each] organization’s
   purpose; and (c) neither the claim asserted nor the relief requested requires
   the participation of individual members in the lawsuit.” 27 It is undisputed
   that the second two elements are met, so the only question is the first:
   whether the individual members would have standing in their own right. 28
           For the individual members and Pappalardo “[t]o have standing,
   [they] must (1) have suffered an injury in fact, (2) that is fairly traceable to
   the challenged action of the defendant, and (3) that will likely be redressed by
   a favorable decision.” 29 Primarily at issue here are the injury and traceability
   elements. As the parties invoking standing, Plaintiffs “bear the burden to
   demonstrate standing for each claim they seek to press.” 30
           We address injury first.
                                                    1
           “An injury sufficient to satisfy Article III must be concrete and
   particularized and actual or imminent, not conjectural or hypothetical. An
   allegation of future injury may suffice if the threatened injury is certainly
   impending, or there is a substantial risk that the harm will occur.” 31



           27
             Speech First, Inc. v. Fenves, 
979 F.3d 319, 330
 (5th Cir. 2020), as revised (Oct. 30,
   2020) (citation omitted).
           28
             See Speech First, 
979 F.3d at 330
 (citing Lujan v. Def’s of Wildlife, 
504 U.S. 555
,
   560–61 (1992)).
           29
                
Id.
           30
                Nat’l Fed’n of the Blind of Tex., Inc. v. Abbott, 
647 F.3d 202, 209
 (5th Cir. 2011).
           31
                Susan B. Anthony List, 573 U.S. at 158 (internal quotation marks and citation
   omitted).




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                                         No. 22-50337


           The parties disagree on whether Plaintiffs have carried their burden
   to show an injury for standing purposes. After all, no Plaintiff has ever been
   arrested or prosecuted for violating Chapter 423. Defendants McCraw and
   Mathis produced evidence showing that they have not arrested or prosecuted
   anybody for violating Chapter 423. And while the Hays County District
   Attorney’s office prosecuted a claim under Chapter 423, that case resulted
   in a deferred disposition and did not involve any members of the press. Thus,
   Defendants say, Plaintiffs have not been injured by any enforcement of
   Chapter 423 and any future injury is purely hypothetical.
           Plaintiffs lack standing to bring their Due Process claims. They have
   never been arrested or prosecuted for violating Chapter 423. And the
   available evidence suggests that Defendants have never enforced Chapter
   423 against Plaintiffs (or anybody else). The issue of whether the Surveillance
   and No-Fly provisions are unlawfully vague in their proscriptions is therefore
   a mere hypothetical dispute lacking the concreteness and imminence
   required by Article III. 32 In the absence of any imminent or even credible
   threat of prosecution under Chapter 423, Plaintiffs lack standing to
   preemptively challenge Chapter 423 under the Due Process Clause. 33 We
   therefore vacate the district court’s judgment on the Due Process claims.
           The First Amendment claims, however, are another matter. This is
   because “standing rules are relaxed for First Amendment cases so that

           32
               See id. at 158. We note that vagueness may be grounds for a pre-enforcement
   challenge insofar as it chills protected speech under the First Amendment. See Roark &
   Hardee LP v. City of Austin, 
522 F.3d 533
, 546–47 (5th Cir. 2008) (“Many times void-for-
   vagueness challenges are successfully made when laws have the capacity to chill
   constitutionally protected conduct, especially conduct protected by the First
   Amendment.” (internal quotation marks omitted)). But as we explain later, see infra § C,
   Plaintiffs’ challenge to the No-Fly provisions do not implicate the First Amendment, so we
   need not reach this issue.
           33
                See id. at 159.




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   citizens whose speech might otherwise be chilled by fear of sanction can
   prospectively seek relief.” 34 “In pre-enforcement cases alleging a violation
   of the First Amendment’s Free Speech Clause, the Supreme Court has
   recognized that chilled speech or self-censorship is an injury sufficient to
   confer standing.” 35 In this context, “[a] plaintiff has suffered an injury in fact
   if he (1) has an ‘intention to engage in a course of conduct arguably affected
   with a constitutional interest,’ (2) his intended future conduct is ‘arguably
   . . . proscribed by [the policy in question],’ and (3) ‘the threat of future
   enforcement of the [challenged policies] is substantial.’” 36 Unlike in other
   constitutional contexts, in the speech context, we “may assume a substantial
   threat of future enforcement absent compelling contrary evidence.” 37
   “Controlling precedent thus establishes that a chilling of speech because of
   the mere existence of an allegedly vague or overbroad statute can be sufficient
   injury to support standing.” 38
           Here, Plaintiffs have evidence that their use of drones (which they call
   “speech”) 39 was chilled because of Chapter 423. Pappalardo, for instance,
   violated Chapter 423 but stopped using a drone after his boss told him he
   would not be provided a legal defense for violating the law. NPPA member
   Calzada, on assignment for the San Antonio Express-News, was told by San
   Marcos police that his use of a drone in July 2018 violated state law. Calzada
   continues to violate Chapter 423 but does not do so if law enforcement is

           34
                Justice v. Hosemann, 
771 F.3d 285, 294
 (5th Cir. 2014).
           35
                Barilla v. City of Houston, 
13 F.4th 427, 431
 (5th Cir. 2021).
           36
                Speech First, 
979 F.3d at 330
 (citing Susan B. Anthony List, 573 U.S. at 161–64).
           37
                Barilla, 
13 F.4th at 433
 (emphasis added).
           38
                Ctr. for Individual Freedom v. Carmouche, 
449 F.3d 655
, 660 (5th Cir. 2006).
           39
                 “In analyzing standing, we assume that [Plaintiffs are] correct on the
   merits . . . .” Young Conservatives of Tex. Found. v. Smatresk, 
73 F.4th 304, 309
 (5th Cir.
   2023) (citing Texas v. EEOC, 
933 F.3d 433, 447
 (5th Cir. 2019)).




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                                            No. 22-50337


   around. NPPA member and freelance photojournalist Wade testified that he
   “often [doesn’t] use [his] drone because of the risk of enforcement.” As a
   result, he has missed money-making opportunities with The Dallas Morning
   News and the Texas Rangers because of his (and their) unwillingness to
   violate Chapter 423. TPA member The Dallas Morning News enacted policies
   prohibiting its photographers from using drone photography. Finally, in their
   briefs, Plaintiffs represent to us that, after the district court enjoined the
   enforcement of Chapter 423 in this litigation, The Dallas Morning News
   reversed its no-drone policy, and Pappalardo and another NPPA member
   began to use drones to capture images for news purposes.
          The above facts are sufficient to show chill. Plaintiffs have restricted
   their use of drones for newsgathering purposes due to the threat of Chapter
   423’s enforcement, which would open them up to criminal and civil
   liability. 40 The facts speak for themselves. We are therefore justified in our
   conclusion that a substantial threat of future enforcement exists absent
   “compelling contrary evidence.” 41
          There’s more, though. We highlight the monetary injury NPPA
   member Wade suffered due to his clients’ compliance with Chapter 423. In
   KVUE, Inc. v. Moore, we found First Amendment standing when a plaintiff
   news organization “offered evidence that it suffered actual monetary losses
   during the time it obeyed the law and that it has in fact violated the statute”
   upon the challenged law’s being enjoined. 42 Here, the evidence confirms that
   photojournalists like Wade “suffer[] actual monetary losses during the time
   [they] obey[] the law,” and Plaintiffs represent that they have “violated the


          40
               See Speech First, 
979 F.3d at 330
.
          41
               Barilla, 
13 F.4th at 433
.
          42
               
709 F.2d 922
, 930 (5th Cir. 1983).




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                                           No. 22-50337


   statute” upon its enjoinment. 43 Our precedent thus holds that they may file
   suit to challenge Chapter 423 on First Amendment grounds.
          In response, Defendants stress that they have never enforced Chapter
   423 and that Plaintiffs’ chill is therefore a subjective self-chill, detached from
   any objective likelihood of the law’s enforcement. But their argument does not
   overcome our precedent, nor does their theory match the evidence here—
   photojournalists and press organizations are restricting drone photography,
   to their financial detriment, out of fear of Chapter 423. “That the statute has
   not been enforced and that there is no certainty that it will be does not
   establish the lack of a case or controversy.” 44 This is particularly so when, as
   here, “the State has not disavowed any intention” of invoking the law against
   Plaintiffs. 45 While Defendants’ point is well taken, it fails in the First
   Amendment context.
          Defendants also argue that Calzada’s encounter with the San Marcos
   police in 2018 is legally insufficient to support standing to seek prospective
   injunctive relief under City of Los Angeles v. Lyons, which held that a single
   chokehold incident is not enough to confer standing to seek prospective relief
   against all future chokeholds. 46 Again, under ordinary circumstances, this is
   likely a winning argument—isolated incidents of past unconstitutional acts
   generally cannot confer standing to seek prospective relief against future
   unconstitutional acts. 47 But Defendants’ point falls short in this First
   Amendment case because Plaintiffs have provided evidence of ongoing chill
   and financial injury. Indeed, in the speech context, past prosecutions are

          43
               
Id.
          44
               KVUE, Inc., 709 F.2d at 930.
          45
               Babbitt, 
442 U.S. at 302
.
          46
               
461 U.S. 95, 105
 (1983).
          47
               See 
id.




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                                            No. 22-50337


   often “good evidence” that the likelihood of a future prosecution is not
   “chimerical.” 48
           In sum, the injury-in-fact element is satisfied by Plaintiffs’ evidence of
   their chilled drone usage—including lost financial opportunities and their
   conduct after Chapter 423 was enjoined.
           On to traceability.
                                                   2
           Even if Plaintiffs suffered an injury, Defendants argue that such injury
   is not fairly traceable to their conduct. After all, Defendants have never
   enforced Chapter 423. Again, we must disagree—with one small exception.
           To establish traceability, Plaintiffs must show “a causal connection
   between the injury and the conduct complained of—the injury has to be fairly
   traceable to the challenged action of the defendant, and not the result of the
   independent action of some third party not before the court.” 49
           Traceability is satisfied with respect to McCraw and Mathis. DPS is
   required to “enforce the laws protecting the public safety.” 50 Any chill from
   the threat of enforcing Chapter 423 is thus fairly traceable to McCraw, as
   head of DPS. Indeed, we have on more than one occasion found litigants to
   have standing to sue Director McCraw in federal district court when Texas
   statutes or DPS are alleged to have violated the federal Constitution. 51 The


           48
                Susan B. Anthony List, 573 U.S. at 164.
           49
                Lujan v. Defs. of Wildlife, 
504 U.S. 555, 560
 (1992) (cleaned up).
           50
                Tex. Gov’t Code § 411.002(a).
           51
               E.g., Fontenot v. McCraw, 
777 F.3d 741
, 746–47 (5th Cir. 2015) (approving
   litigants’ standing to bring Due Process claim seeking injunctive relief against Director
   McCraw as head of DPS, though ultimately dismissing the claims on mootness grounds);
   Nat’l Rifle Ass’n of Am., Inc. v. McCraw, 
719 F.3d 338
, 344–45 (5th Cir. 2013) (approving




                                                  15
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                                             No. 22-50337


   Highway Patrol, too, has statewide law-enforcement and arrest authority. 52
   As the person in charge of the Texas Highway Patrol, Chief Mathis is thus a
   proper defendant as well. Neither Director McCraw nor Chief Mathis denies
   that they have the authority to enforce Chapter 423. Plaintiffs’ chilled
   “speech” is thus fairly traceable to those who would arrest them for violating
   Chapter 423. 53 Calzada, for example, violates the statute only when law-
   enforcement agents are not around. Therefore, Plaintiffs’ chill is fairly
   traceable to these defendants.
            Plaintiffs’ chill is also fairly traceable to District Attorney Higgins. As
   the district attorney, he is charged with prosecuting individuals who violate
   criminal laws. 54 For this reason, courts have long recognized that prosecutors
   are “natural targets for § 1983 injunctive suits since they are the state officers
   who are threatening to enforce and who are enforcing the law.” 55 Indeed, the
   Hays County DA’s office prosecuted at least one drone-related case relating
   to Chapter 423. An injunction against future enforcement is therefore likely
   to redress Plaintiffs’ claimed injury.
            We therefore conclude that Plaintiffs have standing to bring their First
   Amendment claims—though not their Due Process claims—against all three


   litigants’ standing to bring pre-enforcement Second Amendment challenge to Texas
   firearms law).
            52
                 Tex. Gov’t Code § 411.032; Graf v. State, 
925 S.W.2d 740, 742
 (Tex. App.
   1996).
            53
             See Air Evac EMS, Inc. v. Tex. Dep’t of Ins., Div. of Workers’ Comp., 
851 F.3d 507, 514
 (5th Cir. 2017) (finding traceability satisfied where “state defendants oversee the
   [challenged] process,” reasoning that the “state defendants’ oversight” of the challenged
   program “places state defendants among those who cause [the plaintiff’s] injury”).
            54
            Tex. Gov’t Code § 44.205(b); cf. Lewis v. Scott, 
28 F.4th 659, 664
 (5th Cir.
   2022) (“[I]t is local prosecutors, not the Secretary, who are specifically charged with
   enforcement of the criminal prohibition on possessing a voter’s mail-in ballot.”).
            55
                 Sup. Ct. of Va. v. Consumers Union of U.S., Inc., 
446 U.S. 719, 736
 (1980).




                                                   16
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                                            No. 22-50337


   Defendants. With one exception: Plaintiffs can’t sue Defendants to enjoin
   enforcement of Chapter 423’s civil penalties because Defendants do not
   enforce those provisions—only private individuals harmed by a violation of
   Chapter 423 may sue to enforce the civil penalties. 56 The district court lacked
   jurisdiction to order Defendants not to enforce § 423.006, and its order on
   that front must be vacated.
          Satisfied on standing, at least partly, we turn to the next jurisdictional
   question: whether Defendants are entitled to sovereign immunity.
                                                  B
           “Generally, States are immune from suit under the terms of the
   Eleventh Amendment and the doctrine of sovereign immunity.” 57
   “[S]overeign immunity also prohibits suits against state officials or agencies
   that are effectively suits against a state.” 58 “As an exception to the general
   rule of state sovereign immunity, Ex parte Young permits plaintiffs to sue a
   state officer in his official capacity for an injunction to stop ongoing violations
   of federal law.” 59 Importantly: “The officer sued must have ‘some
   connection with the enforcement of the [challenged] act.’” 60
          While the “some connection” test is amorphous, we have identified
   three guideposts to guide the analysis. “First, an official must have more than




          56
             See Tex. Gov’t Code § 423.006 (civil enforcement provisions); Whole
   Women’s Health v. Jackson, 
142 S. Ct. 522, 534
 (2021) (plaintiffs cannot sue the Texas
   Attorney General to enjoin civil actions enforced by private individuals).
          57
               Whole Woman’s Health, 
142 S. Ct. at 532
.
          58
               City of Austin v. Paxton, 
943 F.3d 993, 997
 (5th Cir. 2019).
          59
               Lewis, 28 F.4th at 663.
          60
               Id. (quoting Ex parte Young, 
209 U.S. 123, 157
 (1908)).




                                                  17
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                                             No. 22-50337


   ‘the general duty to see that the laws of the state are implemented.” 61
   Second, “the official must have ‘the particular duty to enforce the statute in
   question and a demonstrated willingness to exercise that duty.’” 62 “Third,
   ‘enforcement’ means compulsion or constraint.’” 63
           Two of these considerations are easily met here. As heads of Texas
   law-enforcement agencies, Director McCraw and Chief Mathis have more
   than just the general duty to see that the state’s laws are implemented—they
   are directly responsible for enforcing Texas’s criminal laws, including those
   set forth in Chapter 423. DPS and THP officers arrest people for violating
   Texas law, exercising “compulsion or constraint” in service of the law. 64
           But one key component of the analysis is missing—Defendants lack
   “a demonstrated willingness to exercise [their] duty” to enforce Chapter
   423. 65 While the record shows that DPS issued six warnings and one citation
   for conduct involving drone operators, none of these incidents was for
   violating Chapter 423 specifically. Thus, in the decade or so that Chapter 423
   has been on the books, the record evidence shows that Director McCraw,
   Chief Mathis, and their respective agencies have never enforced it. We have
   held that even “a scintilla of enforcement by the relevant state official with
   respect to the challenged law will do,” 66 but here there is not even a scintilla
   of enforcement. Not even an iota of a scintilla. Zilch. We therefore hold that


           61
             Tex. All. for Retired Americans v. Scott, 
28 F.4th 669, 672
 (5th Cir. 2022) (quoting
   City of Austin, 943 F.3d at 999–1000).
           62
                
Id.
 (quoting Tex. Democratic Party v. Abbott, 
978 F.3d 168, 179
 (5th Cir. 2020)).
           63
                
Id.
 (quoting City of Austin, 
943 F.3d at 1000
).
           64
                
Id.
           65
                
Id.
           66
              Tex. Democratic Party, 
978 F.3d at 179
 (quoting City of Austin, 
943 F.3d at 1002
)
   (internal quotation marks omitted).




                                                   18
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                                             No. 22-50337


   the Ex parte Young exception is inapplicable to Director McCraw and Chief
   Mathis, and they are entitled to sovereign immunity.
           The same cannot be said for the Hays County District Attorney. This
   is because “state sovereign immunity applies only to states and state officials,
   not to political subdivisions like counties and county officials.” 67 Indeed, we
   have “held that Texas district attorneys [are] not protected by the Eleventh
   Amendment” precisely because they are county officials, not state officials.68
   Accordingly, while Defendants McCraw and Mathis are entitled to state
   sovereign immunity, Defendant Higgins is not.
                                                   C
           Moving to the merits, we now consider whether the Surveillance and
   No-Fly provisions facially violate the First Amendment. They do not.
                                                   1
           We start with the No-Fly provisions, which make it unlawful to fly a
   drone under 400 feet above a correctional facility, detention facility, critical
   infrastructure facility, or sports venue—subject, of course, to numerous
   statutory exceptions, such as the one for commercial purposes. 69
           But Plaintiffs’ First Amendment challenge to the No-Fly provisions
   falters because “only conduct that is ‘inherently expressive’ is entitled to
   First Amendment protection.” 70 The operation of a drone is not inherently
   expressive—nor is it expressive to fly a drone 400 feet over a prison, sports
   venue, or critical infrastructure facility. And nothing in the No-Fly provisions

           67
                Russell v. Jones, 
49 F.4th 507, 512
 (5th Cir. 2022).
           68
                Hudson v. City of New Orleans, 
174 F.3d 677, 682
 (5th Cir. 1999).
           69
                Tex. Gov’t Code §§ 423.0045 & 423.0046; Tex. Penal Code § 38.115.
           70
               Voting for Am., Inc. v. Steen, 
732 F.3d 382, 388
 (5th Cir. 2013) (quoting Rumsfeld
   v. F. for Acad. & Institutional Rts., Inc., 
547 U.S. 47, 66
 (2006)).




                                                   19
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                                           No. 22-50337


   has anything to do with speech or expression. These are flight restrictions,
   not speech restrictions.
          Plaintiffs attempt to convert the No-Fly provisions into speech
   regulations by noting that drones are often used for photography. By making
   it illegal to fly drones over sensitive sites like prisons, they say, Chapter 423
   necessarily prohibits photojournalists from capturing images from the air
   directly over those facilities. They claim that this prevents them from
   capturing newsworthy subjects cheaply and safely. Plaintiffs take issue with
   the absence of a specific exemption for the press and argue that “Chapter 423
   directly targets speech.”
          We are not persuaded. The Supreme Court put it this way nearly 60
   years ago:
          There are few restrictions on action which could not be clothed
          by ingenious argument in the garb of decreased data flow. For
          example, the prohibition of unauthorized entry into the White
          House diminishes the citizen’s opportunities to gather
          information he might find relevant to his opinion of the way the
          country is being run, but that does not make entry into the
          White House a First Amendment right. The right to speak and
          publish does not carry with it the unrestrained right to gather
          information. 71
   Because the No-Fly provisions have nothing to do with speech or even
   expressive activity, they do not implicate the First Amendment. Accordingly,
   we reverse the district court’s judgment that the No-Fly provisions facially
   violate the First Amendment.
          We turn next to the Surveillance provisions, which, unlike the No-Fly
   provisions, implicate at least some First Amendment protections.


          71
               Zemel v. Rusk, 
381 U.S. 1
, 16–17 (1965).




                                                 20
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                                             No. 22-50337


                                                   2
           To refresh, the Surveillance provisions make it unlawful to use a drone
   to “capture an image” of private individuals or property, without their
   consent, “with the intent to conduct surveillance on the individual or
   property captured in the image.” 72 And just like the No-Fly provisions, the
   Surveillance provisions have several express exceptions that do not include
   the press. 73 Plaintiffs characterize aerial surveillance as “speech” and assert
   that, by letting some people use drones to capture images but not others, the
   Surveillance provisions violate the First Amendment.
           Courts have long held that, unlike flight restrictions, restrictions on
   filming can implicate the First Amendment, at least to some extent. And the
   extent of constitutional protections for the right to film is subject to ongoing
   and vigorous debate—particularly when, as in this case, third parties’ privacy
   rights are threatened. For example, the Fourth Circuit recently held that
   undercover animal-rights activists have a First Amendment right to infiltrate
   companies and clandestinely film them notwithstanding a North Carolina
   property-protection law. 74 Judge Rushing dissented, stressing the point
   that, even though newsgathering is afforded some First Amendment
   protection, “an interest in newsworthy information does not confer a First
   Amendment right to enter private property . . . and secretly record” because
   “the mere act of recording by itself is not categorically protected speech.” 75
   In another recent case, the Ninth Circuit held that an Oregon law prohibiting
   the secret recording of conversations violates the First Amendment,

           72
                Tex. Gov’t Code § 423.003(a).
           73
                Id. § 423.002(a).
           74
             People for the Ethical Treatment of Animals, Inc. v. N.C. Farm Bureau Fed’n, Inc.,
   
60 F.4th 815
, 824–834 (4th Cir. 2023) (PETA).
           75
                See 
id.
 at 845–47 (Rushing, J., dissenting).




                                                   21
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                                              No. 22-50337


   reasoning that, under its clear and binding precedent, the act of recording is
   itself an inherently expressive activity. 76 Judge Christen dissented,
   arguing, among other things, that the right to free speech does not necessarily
   include an unrestrained right to record others’ speech. 77
           These debates are not new. The Seventh Circuit in ACLU of Illinois v.
   Alvarez held more than a decade ago that “[t]he act of making an audio or
   audiovisual recording is necessarily included within the First Amendment’s
   guarantee of speech and press rights as a corollary of the right to disseminate
   the resulting recording.” 78 That court reasoned that the “right to publish or
   broadcast an audio or audiovisual recording would be insecure, or largely
   ineffective, if the antecedent act of making the recording is wholly
   unprotected.” 79 Following that premise, the Seventh Circuit went on to hold
   as likely unconstitutional an Illinois anti-eavesdropping statute. Judge
   Posner dissented, warning that such novel “interpretations” of the First
   Amendment have no foundation in the text or original understanding of the
   First Amendment, 80 and urging courts to tread carefully when elevating the
   right to record private individuals above the privacy rights of those
   individuals. 81
           In our own circuit, the leading case is Turner v. Lieutenant Driver.
   There, we held that “the First Amendment protects the right to record the



           76
             Project Veritas v. Schmidt, 
72 F.4th 1043, 1055
 (9th Cir. 2023) (citing Animal Legal
   Def. Fund v. Wasden, 
878 F.3d 1184
 (9th Cir. 2018)).
           77
                See id. at 1069 (Christen, J., dissenting).
           78
                
679 F.3d 583, 595
 (7th Cir. 2012).
           79
                
Id.
           80
                
Id. at 610
 (Posner, J., dissenting).
           81
                
Id. at 614
.




                                                       22
Case: 22-50337          Document: 00516940218               Page: 23         Date Filed: 10/23/2023




                                             No. 22-50337


   police.” 82 In reaching that conclusion, we reasoned that the Supreme Court
   has held that newsgathering and the right to receive information are entitled
   to First Amendment protection, “even though this right is not absolute.” 83
   Citing the Seventh Circuit’s decision in Alvarez, we also suggested that “the
   First Amendment protects the act of making a film, as ‘there is no fixed First
   Amendment line between the act of creating speech and the speech itself.’” 84
   Finally, in recognizing a right to film the police in the course of their public
   duties, we reasoned that the underlying principles of the First Amendment
   counseled us to safeguard the right of the people to hold government officials
   accountable—filming them in the course of their duties being one way to do
   that. 85 We emphasized, however, that the right to film the police is not
   unqualified. The right extends only to filming police performing their public
   duties in public places. 86 And even then, the right is “subject to reasonable
   time, place, and manner restrictions.” 87 Following Turner’s lead, we hold
   that restrictions on the right to film—not just police but in general—are
   subject to at least some level of First Amendment scrutiny.
          The obvious question then becomes: How much scrutiny?
          “In an abundance of caution,” “we apply the intermediate scrutiny
   test,” “which balances the individual’s right to speak with the government’s
   power to regulate.” 88 While aerial surveillance is not inherently expressive,
   and even though the non-expressive aspects of the Surveillance provisions

          82
               
848 F.3d 678, 690
 (5th Cir. 2017).
          83
               
Id. at 688
.
          84
               
Id.
 at 688–89 (quoting Alvarez, 
679 F.3d at 596
).
          85
               
Id. at 699
.
          86
               
Id.
 (citing Glik v. Cunniffe, 
655 F.3d 78
 (1st Cir. 2011)).
          87
               
Id.
 (internal quotation marks omitted).
          88
               Kleinman v. City of San Marcos, 
597 F.3d 323, 328
 (5th Cir. 2010).




                                                   23
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                                           No. 22-50337


   predominate over any expressive component, intermediate scrutiny strikes
   us as appropriate in this context for several reasons.
          First, it is the default level of scrutiny applicable to laws like the
   Surveillance provisions, which do not directly regulate the content of speech
   and which “pose a less substantial risk of excising certain ideas or viewpoints
   from the public dialogue.” 89 This is particularly appropriate given the reality
   that the Surveillance provisions do not directly or even primarily regulate
   speech and expression—nor do they target any particular message, idea, or
   subject matter—but neither are they pure drone-operating laws. Second, it is
   the level of scrutiny suggested in our landmark right-to-film case, Turner v.
   Lieutenant Driver. 90 Third, it is the level of scrutiny we applied in an
   analogous case. In Peavy v. WFAA-TV, Inc., we considered a First
   Amendment challenge to anti-wiretapping laws prohibiting the disclosure of
   illegally intercepted telephone conversations. 91 Reasoning that the laws were
   content-neutral and restricted communication based solely on the means by
   which it was acquired, we held that intermediate scrutiny applied. 92
          The Surveillance provisions here are similar to the anti-wiretapping
   laws in Peavy in that they regulate not what images can be captured but
   instead the means by which those images can be captured. They are also
   similar in that they call for us to balance First Amendment values against
   third parties’ right to privacy. Finally, while the Surveillance provisions no
   doubt have an incidental effect on speech, they more closely resemble
   conduct regulations (aerial surveillance), not regulations of expression, or
   time, place, and manner restrictions (using a drone from a height above eight

          89
               Turner Broad. Sys., Inc. v. FCC, 
512 U.S. 622, 642
 (1994).
          90
               See 
848 F.3d at 690
.
          91
               
221 F.3d 158, 188
 (5th Cir. 2000)
          92
               
Id. at 191
.




                                                   24
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                                          No. 22-50337


   feet)—both of which fall under the umbrella of intermediate scrutiny. 93
   Intermediate scrutiny thus respects the First Amendment values attached to
   photography while remaining cognizant of the obvious fact that recording
   from the sky—something the average private person cannot avoid and from
   where the average photographer would not be able to reach—is simply not
   the same thing as expressing one’s views.
           Plaintiffs argue that strict scrutiny should apply. So, before we apply
   intermediate scrutiny, we explain why we disagree with Plaintiffs’ position.
   They offer three “paths” to strict scrutiny, none of which is persuasive.
           First, like the district court, they reason the Surveillance provisions
   are content-based restrictions on speech (filming, more precisely) because
   they “require the enforcing official to inquire into the contents of the image
   to determine whether it is prohibited.” 94 “An official must first ascertain the
   subject matter of the drone image to determine whether it is permissible
   under the statute. Therefore, it is the content of the image that determines
   its permissibility—the definition of a content-based restriction.” 95 But the
   Surveillance provisions are not content-based. They classify images as lawful
   or unlawful based not on what is in the picture, but on the basis of how the
   picture is taken. The very same aerial image can be unlawfully captured using
   a drone but lawfully captured using a helicopter, a tall ladder, a high building,
   or even a really big trampoline. Indeed, the same image could be captured


           93
              See United States v. O’Brien, 
391 U.S. 367, 376
 (1968) (holding that intermediate
   scrutiny applies to regulations “when ‘speech’ and ‘nonspeech’ elements are combined in
   the same course of conduct”); Globe Newspaper Co. v. Superior Ct. for Norfolk Cnty., 
457 U.S. 596
, 607 n.17 (1982) (“Of course, limitations on the right of access that resemble
   ‘time, place, and manner’ restrictions on protected speech would not be subjected to such
   strict scrutiny.” (citation omitted)).
           94
                McCraw, 594 F. Supp. 3d at 805.
           95
                Id. at 806.




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                                           No. 22-50337


   using a drone, so long as the drone is flown at a height below eight feet—
   roughly the height of a person standing on the ground holding a camera above
   his or her head. 96
          Separately, the district court’s analysis cannot be upheld in light of
   recent developments in First Amendment law. At the time it issued its
   decision in this case, the district court did not have the benefit of City of
   Austin v. Reagan National Advertising of Austin, LLC, which held that a law is
   not content-based simply because one must read a sign to determine whether
   it is lawful under the challenged rule. 97 Here, the district court concluded that
   the Surveillance provisions are content-based simply because one must look
   at the image to determine whether it violates Chapter 423. 98 That is (now) an
   incorrect conclusion of law. We thus reject the notion that the Surveillance
   provisions are content-based restrictions on speech.
          Second, Plaintiffs take the position, as did the district court, that the
   Surveillance provisions discriminate on the basis of content because they are
   speaker-based, again triggering strict scrutiny. 99 They argue that Chapter 423
   impermissibly favors certain speakers—well, drone operators—and
   disfavors others by excepting some operators from the Surveillance
   provisions. For instance, despite the blanket no-drone-surveillance rule, the
   law exempts scholars who use drones for their academic research and the
   military for its exercises and missions. 100




          96
               Tex. Gov’t Code § 423.002(a)(14).
          97
               
142 S. Ct. 1464, 1474
 (2022).
          98
               Nat’l Press Photographers Ass’n, 594 F. Supp. 3d at 805.
          99
               See id. at 806.
          100
                Tex. Gov’t Code §§ 423.002(a)(1), (3).




                                                 26
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                                             No. 22-50337


           While the law certainly favors some drone operators over others, the
   Surveillance provisions are not for that reason automatically subject to strict
   scrutiny. The reason that speaker-based distinctions often trigger strict
   scrutiny is that restricting speakers can be a facially content-neutral loophole
   to suppress certain content or viewpoints disfavored by the government. 101
   But concerns over content and viewpoint discrimination are not present in
   the Surveillance provisions’ preference for certain drone operators. While
   the law distinguishes among photographers, it does not distinguish among
   photographs—Chapter 423 cares not for the content of the image. For
   Chapter 423, what’s in the photograph is irrelevant. It is not enough to say
   that the law distinguishes between speakers; to trigger strict scrutiny, the
   distinction must be based on the speaker’s message, not just the manner in
   which the speaker communicates. 102 The latter situation applies here.
   “Thus, the fact that the provisions benefit [some photographers] and not
   [others] does not call for strict scrutiny under our precedents.” 103
           Finally, Plaintiffs argue that the Surveillance provisions are subject to
   strict scrutiny because the law imposes a direct burden on newsgathering and
   journalism. Drones, they say, “have become quintessential tools for
   documenting newsworthy events.” Indeed, the undisputed record evidence
   shows that photojournalists like Calzada and Wade find drones to be a very
   helpful technology in their trade.


           101
                 Reed v. Town of Gilbert, 
576 U.S. 155, 170
 (2015).
           102
              Turner Broad. Sys., 
512 U.S. at 645
 (“It is true that the [challenged] provisions
   distinguish between speakers in the television programming market. But they do so based
   only upon the manner in which speakers transmit their messages to viewers, and not upon
   the messages they carry. . . . So long as they are not a subtle means of exercising a content
   preference, speaker distinctions of this nature are not presumed invalid under the First
   Amendment.”).
           103
                 
Id. at 659
.




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                                            No. 22-50337


           But this argument also fails to trigger strict scrutiny. The Supreme
   Court has stated, in no uncertain terms, that “the First Amendment does not
   guarantee the press a constitutional right of special access to information not
   available to the public generally.” 104 In Branzburg, the High Court refused to
   create a First Amendment privilege for journalists to keep them from having
   to participate in grand jury investigations on the ground that revealing
   confidential informants would hinder the press’s ability to gather news. In
   rejecting that claimed privilege, the Court reasoned that “the First
   Amendment does not invalidate every incidental burdening of the press that
   may result from the enforcement of civil or criminal statutes of general
   applicability.” 105 “The Court has emphasized that” the press “has no special
   immunity from the application of general laws. . . . no special privilege to
   invade the rights and liberties of others.” 106 “Although stealing documents
   or private wiretapping could provide newsworthy information, neither
   reporter nor source is immune for conviction for such conduct, whatever the
   impact on the flow of news.” 107 And journalists “have no constitutional right
   of access to the scenes of crime or disaster when the general public is
   excluded.” 108 Thus, while drones are no doubt a helpful tool in the
   journalist’s toolkit, restrictions on drone usage do not trigger strict scrutiny.
   “From the beginning of our country the press has operated without
   constitutional protection for [drones], and [yet] the press has flourished.” 109

           104
              Branzburg v. Hayes, 
408 U.S. 665, 684
 (1972); see also Davis v. E. Baton Rouge
   Par. Sch. Bd., 
78 F.3d 920
, 928 (5th Cir. 1996) (“[T]he news media have no right to discover
   information that is not available to the public generally.”).
           105
                 Branzburg, 
408 U.S. at 682
.
           106
                 
Id.
 at 683 (quoting Associated Press v. NLRB, 
301 U.S. 103
 (1937)).
           107
                 Id. at 691.
           108
                 Id. at 684–85.
           109
                 Id. at 698–99.




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                                            No. 22-50337


          In short, “generally applicable laws do not offend the First
   Amendment simply because their enforcement against the press has
   incidental effects on its ability to gather and report the news.” 110 While
   newsgathering is no doubt critical to a free society, the right to gather news
   affords no right to compel others to supply information. 111 Here, Plaintiffs
   claim a First Amendment right to use aerial drones to conduct
   “surveillance” on private persons and property without consent. 112 But in
   light of the authorities above, no such right exists. The press “has no special
   privilege to invade the rights and liberties of others.” 113 We stress that the
   Surveillance provisions protect only private individuals and property. 114 They
   expressly permit using drones to capture images on “public real property or
   a person on that property.” 115 This makes good sense because there is an
   important and obvious “distinction between recording in public spaces and
   unauthorized recording on private property.” 116
          At most, then, intermediate scrutiny applies to the Surveillance
   provisions. After all, the Surveillance provisions regulate not what image is
   captured, but where it is taken from (above eight feet in the air) and how it is
   taken (from a drone, without permission, and with the intent to conduct
   surveillance). 117 Such an approach comports not just with Turner but also


          110
                Cohen v. Cowles Media Co., 
501 U.S. 663, 669
 (1991).
          111
                Houchins v. KQED, Inc., 
438 U.S. 1, 11
 (1978) (plurality op.).
          112
                Tex. Gov’t Code § 423.003(a).
          113
                Branzburg, 
408 U.S. at 683
.
          114
              Tex. Gov’t Code § 423.003(a) (“individual or privately owned real
   property”).
          115
                
Id.
 § 423.002(a)(15).
          116
                PETA, 
60 F.4th at 845
 (Rushing, J., dissenting) (collecting cases).
          117
                Tex. Gov’t Code §§ 423.003(a), 423.002(a)(14), 423.002(a)(6).




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                                           No. 22-50337


   with Peavy v. WFAA-TV, Inc., where we held that a First Amendment
   challenge to anti-wiretapping statutes were subject to intermediate scrutiny
   by reasoning along similar lines—that the anti-wiretapping laws regulated
   “the manner in which the information is acquired.” 118
          We now apply that standard.
          Under intermediate scrutiny, “[a] content-neutral regulation will be
   sustained if it furthers an important governmental interest; if the
   governmental interest is unrelated to the suppression of free expression; and
   if the incidental restriction on alleged First Amendment freedoms is no
   greater than is essential to the furtherance of that interest. 119 “To satisfy this
   standard, a regulation need not be the least speech-restrictive means of
   advancing the Government’s interests.” 120 “Rather, the requirement of
   narrow tailoring is satisfied ‘so long as the regulation promotes a substantial
   government interest that would be achieved less effectively absent the
   regulation.’” 121 “Narrow tailoring in this context requires, in other words,
   that the means chosen do not ‘burden substantially more speech than is
   necessary to further the government’s legitimate interests.’” 122
          Peavy is particularly pertinent. As previously discussed, there we held
   that anti-wiretapping statutes—laws prohibiting surreptitious surveillance—
   survived intermediate scrutiny. 123 Relevant here, we held that the
   government has “a substantial interest in protecting the confidentiality of

          118
                Peavy, 221 F.3d at 188–89 (emphasis added).
          119
                Turner Broad. Sys., 
512 U.S. at 662
 (internal quotation marks omitted).
          120
                
Id.
          121
                
Id.
 (quoting Ward v. Rock Against Racism, 
491 U.S. 781, 799
 (1989)) (alteration
   accepted).
          122
                
Id.
 (quoting Ward, 
491 U.S. at 799
).
          123
                
221 F.3d at 193
.




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                                      No. 22-50337


   private wire, oral, and electronic communications,” that this privacy interest
   is “unrelated to the suppression of free expression,” and that by making
   unlawful the interception and disclosure of private wire transmissions, the
   anti-wiretapping acts were narrowly tailored to the governmental interest in
   protecting privacy. 124
          We follow Peavy here. As that case held, the government has a
   substantial interest in protecting the privacy rights of its citizens. Indeed, we
   noted that the privacy interests at stake “are of constitutional dimension.” 125
   Though most drone operators harbor no harmful intent, drones have singular
   potential to help individuals invade the privacy rights of others because they
   are small, silent, and able to capture images from angles and altitudes no
   ordinary photographer, snoop, or voyeur would be able to reach. And as for
   tailoring—as in Peavy, the government’s ability to accomplish its goal of
   protecting privacy rights would be “achieved less effectively” absent the
   Surveillance provisions. 126 The law is also tailored to bar only surveillance
   that could not be achieved through ordinary means—the law contains an
   exception for images captured “from a height no more than eight feet above
   ground level in a public place, if the image was captured without using any
   electronic, mechanical, or other means to amplify the image beyond normal
   human perception.” 127 We therefore conclude that the law survives
   intermediate scrutiny.
          For similar reasons, we reject Plaintiffs’ catchall contention that the
   Surveillance provisions violate the overbreadth doctrine. “To show
   overbreadth, plaintiffs must establish that [the Surveillance provisions]

          124
                
Id.
 at 192–93.
          125
                
Id. at 192
.
          126
                See 
id.
 at 192–93.
          127
                Tex. Gov’t Code § 423.002(a)(14).




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                                              No. 22-50337


   encompass[] a substantial number of unconstitutional applications ‘judged in
   relation to the statute’s plainly legitimate sweep.’” 128 Plaintiffs have not
   done so. To the contrary, as we have explained, the Surveillance provisions
   are narrowly tailored to Texas’s substantial interest in protecting her
   citizens’ right to privacy. Plaintiffs have identified no unlawful applications
   of Chapter 423, and their arguments to the contrary simply assume Chapter
   423 is unlawful to begin with. We therefore reverse the district court’s
   holding that Chapter 423 is facially overbroad. 129
             In sum, the district court erred in holding that Chapter 423 facially
   violates the First Amendment. We hasten to emphasize that the Surveillance
   provisions are geared only toward protecting private individuals and
   property—they expressly permit aerial surveillance and photography of
   public property and persons thereon. 130 This distinction between public and
   private subjects is critical, because there is a key “distinction between
   recording in public spaces and unauthorized recording on private
   property.” 131 It is where we drew the line in Taylor—there is a qualified right
   to film public officials performing public duties in public places. And it is why
   a different outcome exists both in Peavy and in this case, where the subject of
   the surveillance is private. We are more likely to find the government’s
   interest in privacy to be substantial where the subject is private rather than
   public.
             Having resolved Defendants’ appeal, we turn now to Plaintiffs’ cross-
   appeal, which challenges the dismissal of their field-preemption claim.

             128
             Seals v. McBee, 
898 F.3d 587, 593
 (5th Cir. 2018), as revised (Aug. 9, 2018)
   (quoting United States v. Stevens, 
559 U.S. 460, 473
 (2010)).
             129
                   See Nat’l Press Photographers Ass’n, 594 F. Supp. 3d at 808.
             130
                   Tex. Gov’t Code § 423.002(a)(15).
             131
                   PETA, 
60 F.4th at 845
 (Rushing, J., dissenting).




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                                             No. 22-50337


                                                 D
          Plaintiffs argue that the district court erred in dismissing their claim
   that the No-Fly provisions are preempted by federal regulation of the national
   airspace. 132 In their briefs, they offer two theories of preemption: field
   preemption and obstacle preemption. But only the former was in the
   complaint. We address that one and do not address the latter. 133
          Before proceeding to the merits of the field-preemption claim, though,
   we must first assure ourselves that Plaintiffs have standing to challenge the
   No-Fly provisions on preemption grounds. 134 Ordinarily, Plaintiffs’
   preemption challenge to Chapter 423’s enforcement would meet the same
   fate as their Due Process challenge: dismissal for lack of any imminent or
   concrete threat of enforcement or prosecution. In a recent opinion, however,
   we held that ongoing pecuniary harm—specifically, paying more than others
   because of the challenged law—can confer standing to challenge a state
   regulation on preemption grounds, since enjoining the state law “erases”
   future pecuniary harm resulting from the challenged law. 135
          Here, at least one Plaintiff has an ongoing pecuniary injury similar to
   that in Young Conservatives. NPPA member Wade testified that Chapter 423
   is costing him “thousands of dollars” in lost photojournalism opportunities,
   as his clients are unwilling to violate Chapter 423 or pay for him to do so.
   Chapter 423 places law-abiding Texas photojournalists like Wade at a
   disadvantage to competitors from out of state and those who do not know of
   or do not follow Chapter 423. As Pappalardo testified, for freelance


          132
                See Nat’l Press Photographers Ass’n, 504 F. Supp. 3d at 591.
          133
                See Energy Coal v. CITGO Petrol. Corp., 
836 F.3d 457
, 462 n.4 (5th Cir. 2016).
          134
                See Keyes v. Gunn, 
890 F.3d 232
, 235–36 (5th Cir. 2018).
          135
                Smatresk, 
73 F.4th at 310
.




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                                             No. 22-50337


   journalists like him, the ability to enhance a story with “aerial imagery can be
   the difference between selling a pitch or being denied.” Plaintiffs’
   compliance with Chapter 423 is costing them real money. Because this
   ongoing financial injury is fairly traceable to the likelihood of Chapter 423’s
   enforcement, and because an injunction is likely to redress the injury, we hold
   that Plaintiffs have standing to raise their preemption claim. 136
           Nevertheless, Plaintiffs’ field-preemption claim fails on the merits.
           “Field preemption occurs when States are precluded from regulating
   conduct in a field that Congress, acting within its proper authority, has
   determined must be regulated by its exclusive governance.” 137 “Although
   the Supreme Court has recognized field-preemption claims, it has indicated
   that courts should hesitate to infer field preemption unless plaintiffs show
   that complete ouster of state power including state power to promulgate laws
   not in conflict with federal laws was the clear and manifest purpose of
   Congress.” 138 When Congress has not expressly preempted state law, as here,
   field preemption may still “be inferred from a scheme of federal regulation
   so pervasive as to make reasonable the inference that Congress left no room
   for the States to supplement it, or where an Act of Congress touches a field
   in which the federal interest is so dominant that the federal system will be
   assumed to preclude enforcement of state laws on the same subject.” 139
           Field preemption of state law is disfavored. Courts should not infer
   field preemption in “areas that have been traditionally occupied by the
   states,” in which case congressional intent to preempt must be “clear and

           136
                 See 
id.
           137
            City of El Cenizo v. Texas, 
890 F.3d 164, 176
 (5th Cir. 2018) (internal quotation
   marks omitted).
           138
                 
Id.
 (internal quotation marks omitted).
           139
                 English v. Gen. Elec. Co., 
496 U.S. 72, 79
 (1990) (cleaned up).




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                                            No. 22-50337


   manifest.” 140 States’ police powers, including those necessary to safeguard
   the protection of citizens, fall into this category. 141 Additionally, “where, as
   in this case, Congress has entrusted an agency with the task of promulgating
   regulations to carry out the purposes of a statute, as part of the preemption
   analysis we must consider whether the regulations evidence a desire to occupy
   a field completely. Preemption should not be inferred, however, simply
   because the agency’s regulations are comprehensive.” 142 And importantly,
   field preemption is not to be found where federal “regulations, while
   detailed, appear to contemplate some concurrent state regulation.” 143
           Here, Plaintiffs have not shown that Congress or the relevant agency,
   the Federal Aviation Administration, 144 intended to occupy the entire field of
   drone regulation. They point out—correctly—that there are some federal
   regulations relating to unmanned aerial vehicles. But as the district court
   astutely observed, “federal law has not completely preempted the field
   regarding [drones] flying over certain buildings and structures.” 145
           In fact, the FAA has expressly declined to preempt all state regulation
   of drones. In promulgating a final agency rule on drone regulation, the agency
   stated, “The FAA . . . reviewed the comments and . . . decided that specific




           140
                 
Id.
 (cleaned up).
           141
               Cipollone v. Ligget Grp., Inc., 
505 U.S. 504, 518
 (1992); City of Erie v. Pap’s A.M.,
   
529 U.S. 277, 296
 (2000) (“[E]fforts to protect public health and safety are clearly within
   the city’s police powers”).
           142
              R.J. Reynolds Tobacco Co. v. Durham Cnty., 
479 U.S. 130, 149
 (1986) (emphasis
   added) (internal citation omitted).
           143
                 
Id.
           144
                 See 
49 U.S.C. § 40103
.
           145
                 Nat’l Press Photographers Ass’n, 504 F. Supp. 3d at 589 (emphasis added).




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                                             No. 22-50337


   regulatory text addressing preemption is not required in the final rule.” 146
   “The FAA is not persuaded that including a preemption provision in the final
   rule is warranted at this time. Preemption issues involving small UAS
   necessitate a case-specific analysis that is not appropriate in a rule of general
   applicability. Additionally, certain legal aspects concerning small UAS use
   may be best addressed at the State or local level. For example, State law and
   other legal protections for individual privacy may provide recourse for a
   person whose privacy may be affected through another person’s use of a
   UAS.” 147 These statements unequivocally show that the applicable federal
   “regulations, while detailed, appear to contemplate some concurrent state
   regulation.” 148 That is sufficient, but there is more.
          Shortly before oral argument, the parties alerted the court to a recently
   issued “Fact Sheet” from the FAA. The fact sheet, though it reasserts
   federal sovereignty over issues of “aviation safety or airspace efficiency,”
   nonetheless confirms our conclusion today. 149 For in it, the FAA again
   expressly contemplates concurrent regulation with States and localities. That
   ends the matter. 150 But even more importantly, as an example of a permissible
   concurrent state regulation, the fact sheet states that “security-related
   restrictions over open-air water treatment facilities or certain types of critical
   infrastructure” are likely not to be preempted, particularly if the restrictions
   are “limited to the lower altitudes.” The No-Fly provisions, which prohibit

           146
              Operation and Certification of Small Unmanned Aircraft Systems, 
81 FR 42064
-
   01, 42194 (June 28, 2016).
           147
                 
Id.
           148
                 R.J. Reynolds, 
479 U.S. at 149
.
           149
             State and Local Regulation of Unmanned Aircraft Systems (UAS) Fact Sheet, Fed.
   Aviation Admin. (July 14, 2023), https://www.faa.gov/sites/faa.gov/files/State-Local-
   Regulation-of-Unmanned-Aircraft-Systems-Fact-Sheet.pdf.
           150
                 See R.J. Reynolds, 
479 U.S. at 149
.




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                                            No. 22-50337


   drone flights less than 400 feet over critical infrastructure, are thus expressly
   permitted, not preempted, even under the fact sheet.
          Accordingly, Chapter 423 is not field preempted, and we affirm the
   district court’s dismissal of Plaintiffs’ preemption claim.
                                                 III
          Plaintiffs picked an uphill battle by styling this litigation as a facial, pre-
   enforcement challenge. “A facial challenge . . . is, of course, the most difficult
   challenge to mount successfully.” 151 And the “speech” right they demand is
   sweeping: an unqualified First Amendment right to conduct aerial
   surveillance on non-consenting private individuals on private property, and a
   First Amendment right to fly drones at low altitudes directly over critical
   infrastructure.
          Nothing in the original understanding of the First Amendment or in
   our binding precedent permits such a result. In fact, nothing in the
   Constitution permits an individual to film his neighbor in the privacy of her
   own home—stealthily from the air—for purposes of conducting
   “surveillance.” Under Plaintiffs’ novel theory of the First Amendment, laws
   prohibiting stalking—and even voyeurism—would fall in the name of “free
   speech.”
          We emphasize that our holding today does not foreclose all First
   Amendment and Due Process challenges to Chapter 423. It is possible that,
   in an as-applied challenge, a plaintiff or defendant may persuasively show
   that a particular enforcement of Chapter 423 runs afoul of free speech or
   fairness principles. But it is not this case.
          We therefore


          151
                United States v. Salerno, 
481 U.S. 739, 745
 (1987).




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                                 No. 22-50337


         • VACATE the portion of the district court’s order that
           enjoins Defendants from enforcing the civil provisions of
           Chapter 423 and REMAND with instructions to dismiss
           that portion of Plaintiffs’ claim for lack of Article III
           standing;

         • VACATE the portion of the district court’s order that
           enjoins Defendants from enforcing Chapter 423 on Due
           Process grounds and REMAND with instructions to
           dismiss the Due Process claims for lack of Article III
           standing;

         • VACATE the portion of the district court’s order that
           enjoins Director McCraw and Chief Mathis from enforcing
           Chapter 423 on First Amendment grounds and REMAND
           with instructions to dismiss Plaintiffs’ First Amendment
           claims against them on grounds of sovereign immunity.

         • REVERSE the portion of the district court’s order that
           enjoins Defendant Higgins from enforcing Chapter 423 on
           First Amendment grounds and REMAND with
           instructions to enter judgment in favor of Defendant
           Higgins on Plaintiffs’ First Amendment claims; and

         • AFFIRM the district court’s dismissal of Plaintiffs’
           preemption claims.




                                     38


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